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ANNUAL

REPORT

September

2018

Amundi Index Solutions

SICAV with sub-funds under Luxembourg law

Management Company
Amundi Luxembourg S.A
Administrative agent
CACEIS Bank, Luxembourg Branch

Depositary
CACEIS Bank, Luxembourg Branch
AMUNDI INDEX SOLUTIONS

Audited annual report

R.C.S. Luxembourg B 206.810

As at 30/09/18

Subscriptions are only valid if made on the basis of the current prospectus accompanied by the key investor information
document, the latest annual report and the latest semi-annual report if published after the annual report.
Table of contents

Page

Organisation 5

Directors’ Report 7

Securities Portfolio as at 30/09/18

AMUNDI INDEX EQUITY EUROPE LOW CARBON 14


AMUNDI INDEX EQUITY GLOBAL LOW CARBON 18
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA 30
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL 41
AMUNDI INDEX MSCI EMERGING MARKETS 45
AMUNDI INDEX MSCI EMU 55
AMUNDI INDEX MSCI EUROPE 58
AMUNDI INDEX MSCI JAPAN 63
AMUNDI INDEX MSCI NORTH AMERICA 66
AMUNDI INDEX MSCI PACIFIC EX JAPAN 73
AMUNDI INDEX MSCI WORLD 75
AMUNDI INDEX S&P 500 90
AMUNDI CAC 40 95
AMUNDI EURO STOXX 50 96
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA 97
AMUNDI FTSE 100 98
AMUNDI FTSE EPRA EUROPE REAL ESTATE 99
AMUNDI FTSE MIB 100
AMUNDI GLOBAL INFRASTRUCTURE 101
AMUNDI JAPAN TOPIX 102
AMUNDI JPX-NIKKEI 400 103
AMUNDI MSCI BRAZIL 104
AMUNDI MSCI CHINA 105
AMUNDI MSCI EASTERN EUROPE EX RUSSIA 106
AMUNDI MSCI EM ASIA 107
AMUNDI MSCI EM LATIN AMERICA 108
AMUNDI MSCI EMERGING MARKETS 109
AMUNDI MSCI EUROPE 111
AMUNDI MSCI EUROPE EX SWITZERLAND 112
AMUNDI MSCI EUROPE EX UK 113
AMUNDI MSCI EUROPE GROWTH 114
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR 115
AMUNDI MSCI EUROPE LOW SIZE FACTOR 116
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR 117
AMUNDI MSCI EUROPE MOMENTUM FACTOR 118
AMUNDI MSCI EUROPE QUALITY FACTOR 119
AMUNDI MSCI EUROPE VALUE FACTOR 120
AMUNDI MSCI INDIA 121
AMUNDI MSCI NETHERLANDS 122
AMUNDI MSCI NORDIC 123
AMUNDI MSCI SWITZERLAND 124
AMUNDI MSCI USA 125
AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR 126
AMUNDI MSCI WORLD 127
AMUNDI MSCI WORLD ENERGY 128
AMUNDI MSCI WORLD EX EUROPE 129
AMUNDI MSCI WORLD FINANCIALS 130
AMUNDI NASDAQ-100 131
AMUNDI RUSSELL 2000 132
AMUNDI S&P 500 133
AMUNDI S&P 500 BUYBACK 135
AMUNDI S&P GLOBAL LUXURY 136
AMUNDI STOXX EUROPE 600 137
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA 138
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE 139
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 150
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M 157

3
Table of contents

AMUNDI INDEX BARCLAYS US CORP BBB 1-5 178


AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND 184
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG 185
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES 188
AMUNDI INDEX US CORP SRI 195
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE 211
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX 213
AMUNDI EURO CORPORATE FINANCIALS IBOXX 214
AMUNDI EURO CORPORATES 216
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX 219
AMUNDI FLOATING RATE EURO CORPORATE 1-3 221
AMUNDI FLOATING RATE USD CORPORATE 224
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX 231
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE 232
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 235
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3 237
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 238
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3 242
AMUNDI US TREASURY 1-3 244
AMUNDI US TREASURY 3-7 245
AMUNDI US TREASURY 7-10 246
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE 248
AMUNDI INDEX MSCI USA SRI 249
AMUNDI INDEX MSCI EUROPE SRI 251
AMUNDI INDEX MSCI WORLD SRI 253

Statement of Net Assets as at 30/09/18 258

Financial Details 272

Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18 302

Notes to the Financial Statements as at 30/09/18 316

Additional information (Unaudited Information) 353

Independent Auditor’s Report 371

4
Organisation

DENOMINATION AND REGISTERED OFFICE AMUNDI INDEX SOLUTIONS


5, allée Scheffer
L-2520 Luxembourg

BOARD OF DIRECTORS OF THE SICAV


Chairman Valérie Baudson
Head of ETF, Indexing & Smart Beta
Amundi Asset Management
90, boulevard Pasteur
F-75015 Paris, France

Directors Laurent Bertiau


Head of Japan
Amundi Japan
1-2-2 Uchisawai-cho,
Chiyoda-ku
Tokyo # 100-0011, Japan

Julien Faucher
Managing Director
Amundi Luxembourg
5, allée Scheffer
L-2520 Luxembourg

Dung Ramon
General Secretary of Control and Supervision
Amundi Asset Management
90, boulevard Pasteur
F-75015 Paris, France

Christophe Lemarié
Head of Cross Border Platform and Deputy Head of Retail Marketing
Amundi Ireland Ltd
1, George’s Quay Plaza
George’s Quay
Dublin 2, Ireland

Management Company Amundi Luxembourg S.A.


5, allée Scheffer
L-2520 Luxembourg

BOARD OF DIRECTORS OF THE MANAGEMENT


COMPANY as at 30 September 2018
Chairman David Joseph Harte
Deputy Head of Operations, Services & Technology Division
Amundi Ireland Ltd
1, George’s Quay Plaza
George’s Quay
Dublin 2, Ireland
Directors
Julien Faucher
Managing Director
Amundi Luxembourg
5, allée Scheffer
L-2520 Luxembourg

Enrico Turchi
Managing Director
Amundi Luxembourg
5, allée Scheffer
L-2520 Luxembourg

Christian Pellis
Global Head of Distribution
Amundi Asset Management
90, boulevard Pasteur,
75015 Paris, France

5
Organisation (continued)

Claude Kremer
Directors Partner of Arendt & Medernach
41A, avenue J.F. Kennedy
L-2082, Luxembourg

François Veverka
Independent Director
84, avenue des Pages
78110 Le Vésinet, France

CONDUCTING OFFICERS OF THE MANAGEMENT Mr. Julien Faucher, Managing Director/ Chief Executive Officer
COMPANY Mr. Enrico Turchi, Managing Director / Deputy Chief Executive Officer
Mr. Charles Giraldez, Deputy Chief Executive Officer
Mr. Pierre Bosio, Chief Operating Officer
Mr. François de la Villeon, Real Estate Portfolio Manager

INVESTMENT MANAGERS Amundi Asset Management


90, boulevard Pasteur
F-75015 Paris, France

Amundi Asset Management (London branch)


41 Lothbury
London EC2R 7HF, United Kingdom

Amundi Japan Ltd


Hibiya Dai Building, 1-2-2
Uchisawai-cho,
Chiyoda-ku
Tokyo # 100-0011, Japan

ADMINISTRATION AGENT, REGISTRAR, CACEIS Bank, Luxembourg branch


TRANSFERT AGENT, CUSTODIAN AGENT AND 5, allée Scheffer
PAYING AGENT L-2520 Luxembourg

AUDITOR Ernst & Young, S.A.


35E, avenue J.F. Kennedy
L-1855 Luxembourg

LEGAL ADVISER Arendt & Medernach S.A.


41A, avenue J.F. Kennedy
L-2082 Luxembourg

6
Directors’ Report

SUMMARY - Q4 2017

The economic figures published for the 4th quarter have been favourable, both in the Eurozone and in the United States and China, showing the pursuit of a well
synchronised global growth cycle. On the political side, the main events in Europe were the crisis in Catalonia, the mixed results of the German elections and the
improved climate of Brexit negotiations and, elsewhere in the world, the vote in the US Congress on the tax cuts plan and the 19th National Congress of the Chinese
communist party.

United-States
US economic figures have remained on course, sustained by the improved jobs market and investment. GDP growth in Q3 was 3.2% on an annualised basis. This
figure probably exaggerates the real trend, but it is nevertheless solid, higher than 2% a year, while job creation has been maintained at around 200,000 per month,
a high level at this point of the cycle. However, underlying inflation (excluding oil and food) is very moderate (+1.7% in November), constrained by structural factors
th
that the monetary authorities admit to having difficulty in fully analysing. However, the Federal Reserve has raised the Fed Funds rate (5 consecutive rate rise, and
rd
3 of the year). From a political point of view, the US Congress approved a tax cuts plan in December, a major promise of Donald Trump’s campaign. The corporate
tax rate was lowered and certain tax principles were changed to encourage greater investment and less indebtedness. Moreover, American companies are
encouraged to repatriate their liquidity held abroad. Measures are also planned in favour of households. Finally, legal matters and rumours about Donald Trump’s
team have continued to mount.

Europe
As has been the case on an almost uninterrupted basis in previous quarters, economic data for the Eurozone continued to surprise with growth over recent months.
GDP growth in Q3 thus reached + 0.6% (mainly because of significantly better than expected figures in Germany). The Q4 business environment indicators were
very positive, with France, in particular, standing out. The recovery is also making itself felt in the job market (the unemployment rate fell to 8.7% in November) but
the acceleration of core inflation is still missing (in December it was +0.9%, unchanged compared to the end of 2016). As regards monetary policy, the ECB has
announced that its asset purchase plan will be extended until at least September 2018, with monthly amounts being reduced to EUR 30 billion (instead of the current
EUR 60 billion) from January. Finally, from a political point of view, the Catalonian crisis did not lead to a market shock. The unexpected result of the German
elections (Angela Merkel’s CDU/CSU in the lead, but with a disappointing score) complicated the formation of a coalition government but, at the end of December, a
repeat of the previous formula (alliance between the CDU/CSU and the Socialists of the SPD), envisaged once again, seemed to offer a possible solution. Finally,
progress was made in the Brexit negotiations. A narrowing of differences over the balance of any account to be paid by the British and the future of the Irish border
has paved the way for the negotiation of a transitional period after the UK exits the EU, still scheduled for March 2019.

Emerging countries
The GDP growth figures for the third quarter came out very high in several countries. The only countries which somewhat disappointed market expectations were
Russia and Mexico with annual growth rates close to 1.5%. Household consumption was the main driver of this growth in the majority of cases, with a more mixed
picture with regard to private investment. The continued drop in inflation in Russia and Brazil enabled considerable rate reductions. In Turkey, GDP growth is
exploding, but so too is inflation (in excess of 12%) without any real action/reaction by the central bank.

Equity markets
Following an increase of +11.9% at the end of September, the MSCI World AC global equities index unleashed its seventh quarterly rise in a row with a performance
of +5.0% in Q4 2017, bringing its cumulative increase since the beginning of the year to +17.5% (+5.5% and +20.4% respectively, including dividends). This
continuation of the upturn in Q4 is linked to stronger economic recovery, the good performance of corporate earnings and the progress of tax reform in the United
States. At the regional level, boosted by its economic performance (longest period of expansion since 2008 with 11 quarters of GDP growth) and the re-election of
the Prime Minister, Shinzo Abe (a guarantee of the sustainability of reforms), Japan is at the top of the leaderboard (+8.4% in local currency and +8.3% in USD).
Emerging markets also stood out (+7.1% in USD in Q4) and remain the all-time champions since the beginning of the year (+34.3% in USD), their economic
dynamism, good corporate results and their attractive valuation having more than compensated for questions over the impact of the tightening of American monetary
policy. The United States also made good progress (+6.0%) owing to good quarterly results in Q3 (+8%) and the outlook for corporate tax cuts in 2018. On the other
hand, the underperformance of the Eurozone (-0.7% in Q4 in local currencies), hit by the recovery of the single currency, hindered the growth of corporate earnings
in Q3 (+2%). The United Kingdom (+4.1% in Q4 in GBP and + 4.9% in USD), for its part, raised its game at the last minute with the signing on December 8 of a
compromise on the opening of the Brexit negotiations.

Fixed income market


US long-term rates rose in the fourth quarter, especially with the adoption of tax reform in the United States in mid-December. The 10-year US rate thus rose from
about 2.30% to about 2.40%. German long-term interest rates fell very slightly over the quarter, ending at around 0.40%, despite the October year-end decline in the
pace of ECB purchasing in 2018 (the purchasing programme was extended to September 2018 at a monthly rate of EUR 30 billion, against the previous rate of EUR
60 billion). The 10-year French rate fell from around 0.75% to around 0.65%. The Italian and Spanish spreads contracted sharply at the beginning of the quarter with
the ECB's announcements, but the Italian credit spread then slightly widened at the end of the quarter with the announcement of the date of the legislative elections
(4 March). Finally, the Italian and Spanish 10-year rates ended the month at around 1.95% and 1.55% respectively.

Currency market
The EUR/USD parity continued to grow in the fourth quarter, from 1.18 to 1.20. The Swiss franc continued to depreciate against the euro. On the other hand, the
USD/JPY parity remained virtually stable over the quarter

SUMMARY Q1 2018

Overall, the economic figures for developed countries were slightly disappointing in Q1 in the United States and, more obviously, in the Euro zone. However, it is
likely that growth remained vigorous on both sides of the Atlantic, with some of the disappointment being explained by very high expectations at the start of the year
after the numerous positive surprises witnessed at the end of 2017. Among the major events of the quarter were the protectionist decisions taken by the United
States, which awoke fears of a trade war. In Europe, political developments have been observed in Germany and Italy, and in the context of the Brexit negotiations.
In the emerging world, new reforms were announced in China.

United-States
The economic recovery in the United States continues, sustained primarily by the strength of the labour market, and assisted, at present, by the contribution of the
rd
tax cuts approved by Congress in December 2017. Published at the end of March, the 3 GDP growth forecast for Q4 2017 reported very robust activity (annualised
growth of 2.9%). In Q1, some monthly figures were disappointing but business climate indicators (ISM, etc.) and those of the labour market augured well for a
continued recovery. Despite brief fears concerning a higher than expected January wages figure, inflation only grew moderately (+1.8% year-on-year in February,
excluding volatile components). Given the generally positive economic environment, the Federal Reserve raised the Fed Funds rate in March taking it to 1.5/1.75%
th
(the 7 increase of this cycle). The quarter was also marked by a bipartisan agreement over the budget opening the door to additional public expenditure. However,
in March, attention was mainly focused on the introduction of tariffs on steel and aluminium imports and the announcement of future measures against China
(customs duties on other products and investment restrictions). The details of these various measures, however, revealed numerous exemptions and the possibility
of finding compromises through negotiations.

Euro zone
Business climate indicators (IFO, PMI) fell sharply in Q1 while remaining at high absolute levels, a sign of a continuing strong recovery, albeit decelerating after the
good Q4 figures (GDP growth of 0.6%). Unemployment continued to decline (8.5% in February against 8.7% three months earlier). Inflation, for its part, remained
very sluggish (excluding volatile components, it was 1% year-on-year in March, a pace almost similar to that of end-2017 and end-2016). This did not prevent the
European Central Bank from continuing to signal the forthcoming end of its asset purchase programme (probably by the end of 2018). In March, after several
months of uncertainty, a government majority was formed in Germany, after SPD activists (centre left) approved the renewal of the "grand coalition" with Angela
Merkel's CDU (centre right). In Italy, however, the elections of 4 March were indecisive, with no majority government, and revealed a decline in support for the
traditional parties and the growing presence of anti-establishment parties (Northern League and 5-Star Movement). By the end of March, it seemed that the
formation of an Italian government was still several weeks away, at best. Finally, a political agreement was reached between the EU and the United Kingdom for a
transition period following Brexit in March 2019, which would last until the end of 2020. Giving more visibility to the economic players, this agreement will only come
into force (in principle, by October 2018) if a solution is found to bridge the main differences that remain over two key issues: the Irish border problem and the future
framework for trade relations between the EU and the UK.

7
Directors’ Report (continued)

Emerging markets
The growth of the emerging economies has accelerated until now. The recent GDP publications confirm strong growth and the short-term indicators remain on
course. Naturally, there are significant differences between countries, some being very advanced in the cycle (such as the countries of Central and Eastern Europe)
while others lag behind (typically those of Latin America). Overall, given that inflation is generally under control, monetary policy remains accommodating and more
focused on the domestic economic conditions than on the global financial environment. For the moment, the rate increase by the Fed and the rise in the perceived
risk associated with fears of a trade war have not had major effects on the emerging markets. High oil prices and the stability of Chinese growth have been
supporting all emerging countries.

Fixed income and currency markets


Long-term US bond yields have been rising since the start of the year. Indeed, while the adoption of the tax reform proved positive for long-term yields in February,
the recent changes introduced by Washington and the increasing worries over trade policy (the United States intends to impose new customs duties, particularly on
China) have proved detrimental. US 10-year rates ended the first quarter at 2.74% (against 2.40% in Q4 2017). The trend is mixed in Europe: while the 10-year yield
increased by 7 basis points in Germany, standing at 0.50%, conversely, in France, Italy and Spain, it lost 6bp, 23 bp and 40 bp, standing at 0.72%, 1.78% and
1.16% respectively. Credit spreads, both in the IG and high yield sectors, closed the period up on the previous year on both sides of the Atlantic: at the same time,
they held up relatively well against the implied share volatility.
During the first quarter, the euro appreciated against the dollar, rising from 1.20 to around 1.24 against the green back. Indeed, the minutes of the ECB meeting
earlier in the year, which indicated that the Bank could change its course of action and adopt a less conciliatory tone, as well as the good progress of negotiations by
German politicians regarding the formation of a new government, helped to support the currency at the beginning of the year. The Japanese yen gained 5.7%,
achieving its best performance against the dollar since the beginning of the year.

Equity markets
Equity markets declined over the period (MSCI World in USD -1.8%). Emerging markets, which ended the quarter up (MSCI EM in USD + 0.4%), outperformed
developed markets. Among these, the US market (S&P500 -1.2%) outperformed the euro zone (MSCI EMU -3%) and the Japanese market (Topix -5.6%) in local
currencies. The British market trailed behind (FTSE100 -8.2%). The beginning of the year had started well, but inflation fears weighed on equity markets at the end
of January. Equities then fell in line with rising long-term rates, a rare phenomenon in recent years. This caused sharply increased volatility. Shares eventually
bounced back by mid-February but were unable to reach their highs of the year. Once again, US threats to increase customs duties weighed on equity indices which
then began a second decline just before mid-March, the concerns this time focussing on the issue of synchronized global growth that had been driving equity
markets since February 2016.

SUMMARY - Q2 2018

The global economic recovery continued in Q2 but with notable differences between regions. In the United States, the economic climate was very favourable. In the
Eurozone, indicators stabilized after some nasty surprises in Q1. Signs of a slow-down appeared in China. Concerns about the risk of a trade war have become
increasingly acute, with the Trump administration's protectionist decisions triggering responses from other countries, followed by renewed US threats. Political risk
has also risen in Europe, mainly because of the situation in Italy.

United-States
After a disappointing start to the year, the figures published between April and June showed accelerated growth. Business and household surveys have returned to
high points, showing a very good level of confidence. Industrial production, while volatile, continued on an upward trend. Disposable income, the savings rate and
employment remained on course to support consumption. Inflationary pressure is observed in many sectors, sustained by labour market demands generating
upward pressure on wages and increasing prices for imports and oil. Core PCE inflation is now close to the Federal Reserve's target. Having raised its key rate in
March, the Fed did so again on June 13, affirming its confidence in the economic outlook and signalling two additional rate increases to come in 2018. The risk of a
trade war resurfaced in May and June when the United States implemented new trade tariffs and opened investigations into its major trading partners, who
retaliated. Concerns about this were evident in various confidence studies in June.

Eurozone
After a weaker than expected Q1, Eurozone figures remained mixed in Q2, though still consistent with annual GDP growth of around 2%. Economic surveys
stabilized in May and June, some of them even starting to recover. The rise in oil prices, the high level of the euro (at least at the beginning of the year), domestic
political risks and fears of a trade war may have had a negative impact, but the fundamentals of domestic demand have remained on an uptrend: the unemployment
rate continued to decline (8.4% in May compared with 9.2% twelve months earlier), accompanied by a moderate rise in wages. From the political point of view, Q2
was marked by the advent of a coalition government in Italy, uniting the two leading parties often described as "anti-establishment" (Northern League and 5 Star
Movement). In June, however, this government tried to reassure the markets about its future budget decisions, preferring to oppose other Eurozone governments on
the question of immigration. In Spain, a vote of no-confidence led to the replacement of the centre-right government by a centre-left government, a move that has
not been seen as carrying systemic risks for the Eurozone. Finally, Germany also experienced tensions, with the Minister of the Interior fiercely opposing the
Chancellor's policy regarding the management of migratory flows.

Emerging markets
The global environment had remained favourable to emerging economies in the first quarter, but the situation has changed. First of all, the normalisation of US
monetary policy and the strong appreciation of the dollar have led many emerging central banks to end their policy of monetary easing or even to raise their rates,
including central banks in Asian countries which had hitherto been relatively spared. In addition, Trump's back and forth actions with regard to trade tariffs have not
helped to stabilize emerging currencies, not to mention the negative shock to confidence in fixed investment. In addition, the Chinese economy slowed down and
forced the authorities to relax their monetary policy with a drop in reserve requirement ratios, even though their medium-term objective is to reduce debt. In addition,
although high oil prices (WTI reached a peak of 73 dollars a barrel at the end of June) are favourable to exporting countries such as Russia, some importers, such
as India, are starting to be heavily impacted. Finally, a number of presidential elections yielding uncertain results have and will take place and these have
contributed to an increased perception of global risk, not to mention the effect of idiosyncratic shocks, such as those seen in Argentina.

Fixed income and currency markets


The performance in recent weeks has been characterised by a fall in long rates. The 10-year German rate fell to less than 0.3% after peaking at 0.75% in February.
US rates have been rising since the beginning of the year, but the very small gap between US short- and long-term interest rates raises concerns.
This fall in yields can be explained by investors' turning towards safe havens. Our economists continue to anticipate strong global growth, but the risks to this
scenario are growing. Investors are worried about (1) the impact of a trade war, (2) tensions in emerging currencies resulting in part from rising interest rates in the
US and (3) appreciation of the dollar.
The slower than expected normalisation of monetary policy has weighed on rates. The ECB will stop buying bonds at the end of the year but will not raise its key
rates until summer 2019.
Credit markets have suffered in this riskier environment.
The performance of the US dollar during the quarter was remarkable. The dollar soared in late April as investors reassessed the outlook for the US and the
improving market sentiment on US economic conditions, in contrast with disappointing economic data elsewhere, has changed the course of the US dollar. In June,
the currency registered a new upward momentum, thanks to two key factors. Firstly, the divergence in monetary policy, since the Fed is about to increase its rates,
and will probably do so twice again this year, while other central banks, particularly the ECB, do not seem to be in a hurry to withdraw their policies. Secondly, the
rise in trade tensions is to some extent benefiting the USD, but especially to the detriment of commodities/cyclical currencies, such as the AUD and the NZD, as in a
climate of fear of protectionism and therefore of risks to global economic activity biased towards the cyclical economic context, they tend to underperform. The
opposite is true for safe haven currencies that tend to outperform in such a context - and this was the case for the Japanese yen and the Swiss franc. It should be
noted that German political risks caused by disputes over migration policy and an accommodating ECB, despite a normalization of its monetary policy, weighed on
the euro in June.

Equity markets
Having posted -2.3% in the first quarter, the MSCI World index measured in local currencies bounced back by +2.0% in the 2nd quarter. However, this rebound is
mainly based on the US market (+3.1% following -1.1% in Q1) boosted by the tax reform and the upward revisions to earnings growth forecasts.
Outside the United States, Europe (+ 2.5% in local currencies) and Japan (+ 1.0% yen) also increased compared to the first quarter. However, this is merely a
cosmetic effect because, given the appreciation of the green back, the dollar performance of these two markets is down by -2.7% and -3.0% respectively. In Europe,
the weak performance of Italy (-4.2% in euro and -9.0% in dollars) is to be noted and, in the opposite direction, the rebound in the United Kingdom (+8.0% in pounds
and + 1.7% in dollars). This decline in Italy is linked to the coming to power of a Euro-sceptic coalition that momentarily boosted transalpine rates for fear of budget

8
Directors’ Report (continued)

slippage. Beyond the exchange rate, the rebound in the United Kingdom is particularly linked to the revival of distribution (+14% in the non-food sector, + 25% in the
food sector) due to the renewed vigour of retail sales and current restructuring.
Finally, emerging countries (-4.2% in local currencies, -8.7% in USD) were the biggest losers of the period. After a very good performance in 2017, these markets
suffered from the tightening of US monetary policy and its protectionist stance. While Turkey and Brazil, down 27% in USD, underwent significant corrections, most
other emerging markets experienced a decline of about 10%. The relative resistance of China should be noted (-4% in Q2 in USD) and, especially, India (-1% in
USD in Q2), much more domestic than the average.

SUMMARY - Q3 2018

The economic figures published for Q3 remained high in the United States, while slightly disappointing, but still robust, in the Eurozone and China. The evolution of
trade tensions, especially between the United States and China, remained an important issue of concern for the markets. Turkey's currency crisis and political
developments in Italy also attracted attention. Equity markets advanced in the United States and Japan, while performance in Europe and emerging markets was
weak. Long rates have risen sharply in developed countries.

United-States
After a weakening at the beginning of the year, the statistics and short-term surveys for the 2nd and 3rd quarters reflect solid economic growth, sustained by strong
domestic demand and optimism among businesses and households (close to record highs). Manufacturing sector activity continued its modest expansion, and
investment projects are still robust. The tightening of the labour market is prompting a gradual increase in wages and an improvement in the dynamics of disposable
income, in line with the resilience of consumption. Inflation has become more pervasive: domestic wage pressures are supporting underlying inflation, while
favourable base effects in the energy sector and rising import prices are fuelling overall inflation. The underlying PCE has met the Fed's target. On the monetary
policy front, the Fed is more and more confident about the economic outlook and made its third rate hike this year at its September meeting. In terms of trade policy,
fears of a trade war have been rekindled by the implementation of new US trade tariffs on Chinese imports and the announcement of a third round to come. In terms
of NAFTA, a preliminary bilateral agreement was signed with Mexico, but has not yet been signed with Canada.

Eurozone
Economic activity remained robust in the Eurozone, although much weaker than expected at the beginning of the year. Published at the beginning of Q3, Q2 growth
figures revealed 0.4% GDP growth in volume, identical to that of Q1. Growth was particularly disappointing in France (up only 0.2%), partly due to temporary factors.
Indicators for Q3 signalled continued recovery across the region, but without real acceleration. Despite the steady fall in the unemployment rate (8.1% in August),
core inflation remained very moderate (still around 1% year-on-year). New figures, however, confirmed the upward trend in wages. The ECB has hinted that after its
asset purchase programme was put to sleep (end of 2018), it would probably not raise rates until after the summer of 2019. From the political point of view, the
publication at the end of September by the Italian government of a draft budget that conflicts with European rules has generated new tensions. Finally, negotiations
on the Brexit arrangements continued to face significant differences of opinion between British and European counterparts.

Emerging markets
This summer, emerging markets continued to struggle, weakened by increased geopolitical/ international risks, the strength of the US dollar and idiosyncratic risks
that turned into real crises. Growth momentum in emerging economies slowed, while, with a few exceptions (Turkey, Philippines, Mexico and Argentina), inflation
remains favourable, with only slight impacts from higher oil prices and weak local currencies. Many central banks have adopted a more conservative tone, except for
the PBoC. China is indeed changing its policy mix, with stronger fiscal measures, less deleveraging and a softer monetary policy. Concerns about the RMB have
eased somewhat after the spreading of clearer intentions. Donald Trump's trade policy remained in focus. On 24 September, the United States introduced trade
tariffs on USD 200 billion of goods imported from China, the percentage of which will increase from 2019. The Turkish lira has been the subject of a scathing attack
because of its high external vulnerability, an inappropriate policy mix (the market holds that the central bank has been slow to act and fiscal policy is too lax) and
finally an escalation of tensions with the US government. In September, the CBRT ended up raising its key rates more than expected, bringing them up to 24% and
slightly reversing the depreciation of the Turkish lira.

Fixed income and currency markets


Long rates have risen sharply in developed countries. The 10-year US rate is now above 3%. This increase can be explained by confidence in global growth, fears
over inflation following the acceleration of wages and rising oil prices, and messages of confidence from central bankers about the normalization of their monetary
policies.
On Tuesday, the Chairman of the Federal Reserve welcomed a "remarkably positive" economic outlook for the United States, which is poised to enter a "historically
rare" era in which very low unemployment and controlled inflation are combined. However, Powell pledges that the Fed will "act with authority" if there is an
inflationary outbreak. For his part, Mario Draghi said: "Core inflation is expected to increase further in the coming months, as tightening labour markets push up
wage growth.”
In the currency market, the dollar strengthened in Q3, particularly against the emerging currencies very hard hit in the wake of the difficulties observed in Turkey and
Russia. The price of the euro against the dollar has fluctuated considerably, finally returning to 1.15 because of tensions related to the Italian budget.

Equity markets
Equity markets continued their rebound in the third quarter (Q3) with the performance of the MSCI World AC index +4.2% in local currencies. However, this rebound
by the MSCI was concentrated in the United States (+ 7.0%), which posted its best stock market performance for 19 quarters and in Japan (+ 5.5%), while the trend
in Europe (+0.8%) and Emerging Markets (-1.0%) remained more mixed.
The good performance of the United States is linked to the persistent vigour of its economy, household confidence at its highest levels and results boosted by the
tax reform. Japan's rebound is less significant as it is due to both the depreciation of the Yen (-2.6% in Q3) and to a base effect; Japan fell sharply in the first half (-
4.6%).
In Europe, performances have been mixed. If France (+ 3.3%), Switzerland (+ 5.4%) and the Nordic countries have done well because of their sectoral exposure
(pharmaceuticals, aeronautics, luxury goods, energy, etc.), the United Kingdom (-1.5%) and Ireland (-5.2%) suffered from concerns over Brexit, and Italy (-4,5%)
from its budget plans.
Faced with the tightening of the US Fed and the protectionist stance of the United States, emerging markets continued to fall. Turkey and South Africa fell
significantly, as did China. Conversely, Russia, favoured by the rebound of oil prices, and Mexico by the renewal of the NAFTA treaty, have raised their game.

Other
Notwithstanding continuing uncertainties surrounding the withdrawal of the United Kingdom from the European Union ("Brexit"), the Managers currently foresee no
meaningful impact from Brexit on the Company and its shareholders.

9
Directors’ Report (continued)

Performance Performance
Sub-fund - main share class of of the Performance Realised Anticipated
Benchmark
(in base currency) share class - benchmark - difference Tracking Error Tracking Error
1Y 1Y

100% MSCI EUROPE LOW


AMUNDI INDEX EQUITY EUROPE CARBON LEADERS NR
LOW CARBON - IE 2.88% Close 2.71% 0.17% 0.32% 1.00%
100.0% MSCI WORLD LOW
AMUNDI INDEX EQUITY GLOBAL CARBON LEADERS NR
LOW CARBON - IE 13.46% Close 13.63% -0.17% 0.14% 1.00%

100.0% SCIENTIFIC BETA


AMUNDI INDEX EQUITY GLOBAL DEVELOPED MULTI-BETA
MULTI SMART ALLOCATION MULTI-STRATEGY ERC
SCIENTIFIC BETA - IE 10.51% FOUR FACTOR NR Close 10.76% -0.25% 0.13% 1.00%

100.0% FTSE EPRA/NAREIT


AMUNDI INDEX FTSE EPRA NAREIT DEVELOPED (EX GLOBAL
GLOBAL - IE 5.31% $) NR Close 5.56% -0.26% 0.35% 1.00%

AMUNDI INDEX MSCI EMERGING 100% MSCI EM (EMERGING


MARKETS - IU -0.11% MARKETS) NR Close 0.06% -0.17% 0.24% 2.00%

AMUNDI INDEX MSCI EMU - IE 0.48%100% MSCI EMU NR Close 0.16% 0.33% 0.14% 1.00%
100.0% MSCI EUROPE (15)
AMUNDI INDEX MSCI EUROPE - IE 2.10% NR Close 1.94% 0.16% 0.09% 1.00%
100.0% MSCI JAPAN NR
AMUNDI INDEX MSCI JAPAN - IJ 10.91% Close 11.05% -0.14% 0.05% 1.00%

AMUNDI INDEX MSCI NORTH 100% MSCI NORTH


AMERICA - IU 16.66% AMERICA NR Close 16.73% -0.07% 0.13% 1.00%

AMUNDI INDEX MSCI PACIFIC ex MCSI PACIFIC FREE EX


JAPAN - IE 5.91% JAPAN NR Close 6.05% -0.14% 0.07% 1.00%
100.0% MSCI WORLD NR
AMUNDI INDEX MSCI WORLD - IU 11.69% Close 11.70% -0.01% 0.12% 1.00%
100% S&P 500 COMPOSITE
AMUNDI INDEX S&P 500 - IU 17.47% NR Close 17.67% -0.20% 0.15% 1.00%

AMUNDI CAC 40 UCITS ETF 6.93% 100% CAC 40 NR Close 6.14% 0.79% 0.29% 1.00%

AMUNDI EURO STOXX 50 UCITS ETF - 100% EURO STOXX 50 NR


EUR -1.61% Close -2.07% 0.47% 0.17% 1.00%
100% SCIENTIFIC BETA
EXTENDED DEVELOPED
AMUNDI EUROPE EQUITY MULTI EUROPE MULTI-BETA
SMART ALLOCATION SCIENTIFIC MULTI-STRATEGY ERC NR
BETA UCITS ETF 3.44% Close 3.72% -0.28% 0.00% 1.00%

AMUNDI FTSE 100 UCITS ETF - EUR 4.75% 100.0% FTSE 100 RI Close 5.11% -0.36% 0.02% 1.00%

AMUNDI FTSE EPRA EUROPE REAL 100.0 - FTSE EPRA/NAREIT


ESTATE UCITS ETF 7.10% DEVELOPED EUROPE 7.16% -0.06% 0.07% 1.00%

AMUNDI FTSE MIB UCITS ETF -5.42% 100% FTSE MIB RI Close -5.06% -0.35% 0.17% 1.00%

100% SOLACTIVE GLOBAL


INFRASTRUCTURE LOW
AMUNDI GLOBAL INFRASTRUCTURE - EARNINGS VOLATILITY
UCITS ETF 7.50% NTR NR Close 8.26% -0.76% 0.00% 1.00%
AMUNDI JAPAN TOPIX UCITS ETF - 100% TOPIX TOKYO SE TR
EUR 10.86% Close 11.51% -0.66% 0.00% 1.00%
100% NIKKEI 400 (JPN 400)
AMUNDI JPX-NIKKEI 400 UCITS ETF 11.28% NR Close 11.55% -0.26% 0.00% 1.00%
100.0% MSCI BRAZIL NR
AMUNDI MSCI BRAZIL - UCITS ETF -13.21% Close -12.60% -0.61% 0.09% 1.00%
AMUNDI MSCI CHINA UCITS ETF - 100% MSCI CHINA H NR
EUR 4.20% Close 5.64% -1.45% 0.02% 1.00%
100% MSCI EM EASTERN
AMUNDI MSCI EASTERN EUROPE EX EUROPE EX RUSSIA NR
RUSSIA UCITS ETF - EUR -1.17% Close -0.70% -0.47% 0.01% 1.00%
AMUNDI MSCI EM ASIA UCITS ETF - 100% MSCI EM ASIA NR
EUR 2.81% Close 3.33% -0.52% 0.00% 1.00%

AMUNDI MSCI EM LATIN AMERICA 100% MSCI EM LATIN


UCITS ETF - EUR -7.13% AMERICA NR Close -6.72% -0.41% 0.02% 1.00%

AMUNDI MSCI EMERGING MARKETS 100% MSCI EM (EMERGING


UCITS ETF - EUR 1.13% MARKETS) NR Close 1.53% -0.40% 0.02% 1.00%
100% MSCI EUROPE (15)
AMUNDI MSCI EUROPE UCITS ETF 2.15% NR Close 1.94% 0.21% 0.05% 1.00%

10
Directors’ Report (continued)

Performance Performance
Sub-fund - main share class of of the Performance Realised Anticipated
Benchmark
(in base currency) share class - benchmark - difference Tracking Error Tracking Error
1Y 1Y

100% MSCI EUROPE EX


AMUNDI MSCI EUROPE EX SWITZERLAND (EUR) NR
SWITZERLAND UCITS ETF 1.69% Close 1.62% 0.07% 0.05% 1.00%

AMUNDI MSCI EUROPE EX UK UCITS 100% MSCI EUROPE EX UK


ETF 0.98% NR Close 0.84% 0.14% 0.06% 1.00%

AMUNDI MSCI EUROPE GROWTH 100% MSCI EUROPE


UCITS ETF 3.88% GROWTH (EUR) NR Close 4.26% -0.39% 0.00% 1.00%

AMUNDI MSCI EUROPE HIGH 100% MSCI EUROPE HIGH


DIVIDEND FACTOR UCITS ETF 2.46% DIVIDEND YIELD NR Close 2.40% 0.06% 0.10% 1.00%

AMUNDI MSCI EUROPE LOW SIZE 100% MSCI EUROPE MID


FACTOR - UCITS ETF 4.33% CAP NR Close 4.24% 0.09% 0.04% 1.00%
100% MSCI EUROPE
AMUNDI MSCI EUROPE MINIMUM MINIMUM VOLATILITY
VOLATILITY FACTOR UCITS ETF 4.40% (EUR) NR Close 4.36% 0.04% 0.00% 1.00%

AMUNDI MSCI EUROPE MOMENTUM 100% MSCI EUROPE


FACTOR UCITS ETF 5.57% MOMENTUM NR Close 5.74% -0.17% 0.00% 1.00%

AMUNDI MSCI EUROPE QUALITY 100% MSCI EUROPE


FACTOR UCITS ETF 3.88% QUALITY NR Close 4.05% -0.17% 0.00% 1.00%

AMUNDI MSCI EUROPE VALUE 100% MSCI EUROPE


FACTOR UCITS ETF -0.66% VALUE NR Close -0.41% -0.25% 0.00% 1.00%

AMUNDI MSCI INDIA UCITS ETF - EUR 1.53% 100% MSCI INDIA NR Close 3.23% -1.70% 0.03% 1.00%

AMUNDI MSCI NETHERLANDS UCITS 100% MSCI NETHERLANDS


ETF 0.68% NR Close 0.95% -0.27% 0.00% 1.00%

100% MSCI NORDIC


AMUNDI MSCI NORDIC UCITS ETF 2.13% COUNTRIES NR Close 2.13% 0.00% 0.00% 1.00%

AMUNDI MSCI SWITZERLAND UCITS 100% MSCI SWITZERLAND


ETF - EUR 3.69% NR Close 4.02% -0.33% 0.00% 1.00%

AMUNDI MSCI USA UCITS ETF - EUR 19.61% 100% MSCI USA NR Close 19.38% 0.23% 0.01% 1.00%
100% MSCI USA MINIMUM
AMUNDI MSCI USA MINIMUM VOLATILITY (USD) NR
VOLATILITY FACTOR - UCITS ETF 14.89% Close 15.21% -0.32% 0.00% 1.00%
AMUNDI MSCI WORLD UCITS ETF - 100% MSCI WORLD NR
EUR 13.23% Close 13.34% -0.11% 0.01% 1.00%
100% MSCI WORLD
AMUNDI MSCI WORLD ENERGY ENERGY (GICS INDUSTRY
UCITS ETF - EUR 15.98% GROUP 1010) NR Close 16.26% -0.28% 0.03% 1.00%

AMUNDI MSCI WORLD EX EUROPE 100% MSCI WORLD EX


UCITS ETF - EUR 16.47% EUROPE NR Close 16.98% -0.50% 0.00% 1.00%
100% MSCI WORLD
AMUNDI MSCI WORLD FINANCIALS FINANCIALS (GICS
UCITS ETF - EUR 3.52% SECTOR 40) NR Close 3.82% -0.30% 0.01% 1.00%
AMUNDI NASDAQ-100 UCITS ETF -
EUR 31.34% 100% NASDAQ 100 RI Close 31.82% -0.48% 0.05% 1.00%

AMUNDI RUSSELL 2000 UCITS ETF - 100% FRANK RUSSELL


EUR 16.80% 2000 (FRC) NR Close 16.67% 0.13% 0.01% 1.00%
100% S&P 500 COMPOSITE
AMUNDI S&P 500 UCITS ETF - EUR 19.83% NR Close 19.40% 0.44% 0.01% 1.00%

AMUNDI S&P 500 BUYBACK UCITS 100% S&P 500 BUYBACK


ETF - EUR 19.14% NTR TR Close 19.44% -0.30% 0.00% 1.00%

AMUNDI S&P GLOBAL LUXURY UCITS 100% S&P GLOBAL


ETF - EUR 15.78% LUXURY NR Close 16.54% -0.76% 0.05% 1.00%

AMUNDI STOXX EUROPE 600 UCITS


ETF - EUR 2.07% 100% STOXX 600 NR Close 1.95% 0.12% 0.04% 1.00%

11
Directors’ Report (continued)

Performance Performance
Sub-fund - main share class of of the Performance Realised Anticipated
Benchmark
(in base currency) share class - benchmark - difference Tracking Error Tracking Error
1Y 1Y

100% SCIBETA UNITED


AMUNDI USA EQUITY MULTI SMART STATES MULTI-BETA
ALLOCATION SCIENTIFIC BETA - MULTI-STRATEGY FOUR-
UCITS ETF 13.33% FACTOR ERC NR Close 13.82% -0.49% 0.00% 1.00%

100% BLOOMBERG
BARCLAYS MSCI EURO
AMUNDI INDEX BARCLAYS EURO CORPORATE SRI INDEX
AGG CORPORATE - IE -0.13% TR Close 0.06% -0.19% 0.06% 1.00%

100% BLOOMBERG
BARCLAYS EURO
AMUNDI INDEX BARCLAYS EURO CORPORATE BBB 1-5
CORP BBB 1-5 - IE -0.19% YEAR NR Close 0.06% -0.26% 0.04% 1.00%

100% BLOOMBERG
BARCLAYS GLOBAL
AMUNDI INDEX BARCLAYS GLOBAL AGGREGATE (500 MM) TR
AGG 500M - IU -1.31% Close -1.18% -0.14% 0.17% 1.00%
100% BLOOMBERG
BARCLAYS US
AMUNDI INDEX BARCLAYS US CORP CORPORATE 1-5 YR BBB
BBB 1-5 - UCITS ETF -0.01% NR Close 0.26% -0.27% 0.07% 1.00%

100% BLOOMBERG
AMUNDI INDEX BARCLAYS US GOV BARCLAYS US GOVT
INFLATION-LINKED BOND - UCITS INFLATION-LINKED ALL
ETF 0.10% MATURITIES NR Close 0.18% -0.08% 0.10% 1.00%
100% JPM EMU GBI
AMUNDI INDEX J.P. MORGAN EMU INVESTMENT GRADE TR
GOVIES IG - IE 0.08% Close 0.16% -0.08% 0.02% 1.00%

AMUNDI INDEX J.P. MORGAN GBI 100% JPM GBI GLOBAL ALL
GLOBAL GOVIES - IE -0.19% MATS TR Close -0.03% -0.16% 0.05% 1.00%
100% BLOOMBERG
AMUNDI INDEX US CORP SRI - UCITS historical BARCLAYS MSCI US historical historical historical
ETF data<1Y CORPORATE SRI NR Close data<1Y data<1Y data<1Y 1.00%
100% MARKIT IBOXX EUR
AMUNDI BBB EURO CORPORATE LIQUID CORPORATES BBB
INVESTMENT GRADE UCITS ETF -0.64% TOP 60 NR Close -0.27% -0.37% 0.00% 1.00%

100% MARKIT IBOXX EUR


LIQUID CORPORATES TOP
AMUNDI EURO CORPORATE EX 75 MID PRICE TCA (NON-
FINANCIALS IBOXX UCITS ETF -0.30% FINANCIALS) NR Mid -0.04% -0.26% 0.03% 1.00%

AMUNDI EURO CORPORATE 100% IBOXX EURO LIQUID


FINANCIALS IBOXX UCITS ETF -0.22% FINANCIALS RI Close 0.04% -0.26% 0.02% 1.00%

100% MARKIT IBOXX EUR


LIQUID CORPORATES TOP
AMUNDI EURO CORPORATES UCITS 75 MID PRICE TCA NR
ETF - EUR -0.27% Close -0.01% -0.27% 0.01% 1.00%

100% IBOXX EURO LIQUID


HIGH YIELD 30 EX-
AMUNDI EURO HIGH YIELD LIQUID FINANCIAL MID INDEX TR
BOND IBOXX UCITS ETF 1.19% Close 1.75% -0.56% 0.01% 1.00%

AMUNDI FLOATING RATE EURO 100% MARKIT IBOXX EUR


CORPORATE 1-3 UCITS ETF -0.55% FRN IG 1-3 NR Close -0.30% -0.25% 0.03% 1.00%

100% MARKIT IBOXX USD


AMUNDI FLOATING RATE USD LIQUID FRN INVESTMENT
CORPORATE UCITS ETF - HEDGED GRADE CORPORATES 100
EUR -0.26% (EUR HEDGED) TR Close 0.07% -0.33% 0.06% 1.00%
100% IBOXX USD LIQUID
AMUNDI GLOBAL EMERGING BOND EMERGING MARKETS
MARKIT IBOXX UCITS ETF -4.67% SOVEREIGNS NR Close -4.23% -0.44% 0.02% 1.00%

100% FTSE MTS


AMUNDI GOVT BOND EUROMTS INVESTMENT GRADE
BROAD INVESTMENT GRADE UCITS GOVERNMENT BROAD
ETF - EUR -0.08% (17H30) RI Open 0.13% -0.21% 0.01% 1.00%

12
Directors’ Report (continued)

Performance Performance
Sub-fund - main share class of of the Performance Realised Anticipated
Benchmark
(in base currency) share class - benchmark - difference Tracking Error Tracking Error
1Y 1Y

AMUNDI GOVT BOND HIGHEST 100% FTSE MTS HIGHEST-


RATED EUROMTS INVESTMENT RATED GOVERNMENT
GRADE UCITS ETF 0.96% (17H30) RI Open 1.17% -0.21% 0.01% 1.00%

AMUNDI GOVT BOND HIGHEST 100% FTSE MTS HIGHEST-


RATED EUROMTS INVESTMENT RATED GOVERNEMENT 1-
GRADE 1-3 UCITS ETF -0.88% 3 YEARS (17H30) RI Open -0.68% -0.21% 0.04% 1.00%

100% FTSE MTS LOWEST-


AMUNDI GOVT BOND LOWEST RATED RATED INVESTMENT
EUROMTS INVESTMENT GRADE GRADE GOVERNMENT
UCITS ETF -0.26% (17H30) RI Open -0.03% -0.24% 0.01% 1.00%

100% FTSE MTS LOWEST


AMUNDI GOVT BOND LOWEST RATED RATED INVESTMENT
EUROMTS INVESTMENT GRADE 1-3 GRADE 1-3 (17H30) TR
UCITS ETF -1.16% Open -0.93% -0.23% 0.03% 1.00%
100% IBOXX USD
AMUNDI US TREASURY 1-3 UCITS TREASURIES 1-3Y TR
ETF -0.25% Close -0.04% -0.21% 0.02% 1.00%
100% IBOXX USD
AMUNDI US TREASURY 3-7 - UCITS TREASURIES 3-7Y TR
ETF -2.07% Close -1.86% -0.21% 0.01% 1.00%
100% IBOXX USD
AMUNDI US TREASURY 7-10 UCITS TREASURIES 7-10Y TR
ETF -3.34% Close -3.13% -0.21% 0.01% 1.00%

100% STOXX AI GLOBAL


ARTIFICIAL INTELLIGENCE
AMUNDI STOXX GLOBAL ARTIFICIAL historical ADTV5 INDEX VALUE NR historical historical historical
INTELLIGENCE - UCITS ETF data<1Y Close data<1Y data<1Y data<1Y 1.00%

100% MSCI USA SOCIALLY


RESPONSIBLE
AMUNDI INDEX MSCI USA SRI - UCITS historical INVESTMENT (SRI) NR historical historical historical
ETF data<1Y Close data<1Y data<1Y data<1Y 1.00%

100% MSCI EUROPE


SOCIALLY RESPONSIBLE
AMUNDI INDEX MSCI EUROPE SRI - historical INVESTMENT (SRI) NR historical historical historical
UCITS ETF data<1Y Close data<1Y data<1Y data<1Y 1.00%

100% MSCI WORLD


SOCIALLY RESPONSIBLE
AMUNDI INDEX MSCI WORLD SRI - historical INVESTMENT (SRI) NR historical historical historical
UCITS ETF data<1Y Close data<1Y data<1Y data<1Y 1.00%

Luxembourg, 25 January 2019

Performances disclosed in the table relate to the period from 28 September 2017 to 28 September 2018.
For sub-funds that were constituted by mergers, their historical performance has been kept in order to have a full year period.
Note: The information stated in this report is historical and not necessarily indicative of future performance.

13
AMUNDI INDEX EQUITY EUROPE LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
18,864.00 VIVENDI SA 418,214.88 0.33
Long positions 124,209,799.76 99.41
1,134.00 JC DECAUX SA 35,721.00 0.03
Other transferable securities 7,627.50 0.01 1,325.00 KERING 611,752.50 0.49
18,735.00 CREDIT AGRICOLE SA 232,051.71 0.19
Shares 7,033.18 0.01
2,300.00 EIFFAGE 221,168.00 0.18
France 7,033.18 0.01 594.00 HERMES INTERNATIONAL SA 338,936.40 0.27
77.00 SODEXO - REGISTERED SHS FROM PREMIUM O 7,033.18 0.01 18,388.00 BNP PARIBAS SA 969,231.48 0.78
1,875.00 ATOS 192,187.50 0.15
Warrants, Rights 594.32 0.00
3,752.00 PUBLICIS GROUPE 193,152.96 0.15
France 594.32 0.00 3,702.00 RENAULT SA 275,799.00 0.22
29,716.00 BOLLORE 25.09.18 RIGHT 594.32 0.00 2,470.00 DASSAULT SYSTEMES SA 318,012.50 0.25
Transferable securities admitted to an official stock exchange 124,202,172.26 99.40 29,716.00 BOLLORE INVESTISSEMENT 110,543.52 0.09
listing 32,684.00 AXA SA 756,634.60 0.61
Shares 124,202,172.26 99.40 12,114.00 DANONE 808,003.80 0.65
Austria 591,320.04 0.47 3,170.00 CAPGEMINI SE 343,628.00 0.28
12,605.00 CARREFOUR SA 207,982.50 0.17
2,648.00 ANDRITZ AG 133,062.00 0.11
15,974.00 NATIXIS SA 93,352.06 0.07
5,976.00 VOESTALPINE AG 235,454.40 0.18
1,250.00 UBISOFT ENTERTAINMENT 116,775.00 0.09
4,558.00 ERSTE GROUP BANK AG 163,085.24 0.13
1,354.00 INGENICO GROUP 88,605.76 0.07
2,408.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 59,718.40 0.05
76.00 DASSAULT AVIATION SA 121,144.00 0.10
Belgium 1,159,762.84 0.93 2,540.00 CASINO GUICHARD PERRACHON SA 91,998.80 0.07
4,087.00 KBC GROUPE SA 261,976.70 0.22 668.00 REMY COINTREAU 74,949.60 0.06
2,549.00 UCB 197,292.60 0.16 1,678.00 IMERYS SA 106,720.80 0.09
7,283.00 PROXIMUS SA 149,884.14 0.12 4,907.00 L'OREAL SA 1,019,183.90 0.82
1,844.00 TELENET GROUP HOLDING NV 87,442.48 0.07 646.00 WENDEL SA 82,817.20 0.07
2,344.00 COLRUYT 114,270.00 0.09 4,722.00 LVMH 1,438,321.20 1.14
2,822.00 AGEAS NOM 130,686.82 0.10 4,229.00 PERNOD RICARD SA 597,557.70 0.48
4,530.00 UMICORE SA 218,210.10 0.17 11,563.00 PEUGEOT SA 268,608.49 0.21
143.00 SEB SA 20,963.80 0.02
Denmark 3,104,029.88 2.48
11,177.00 SCHNEIDER ELECTRIC SE 774,566.10 0.62
3,762.00 VESTAS WIND SYSTEMS AS 219,144.17 0.18 915.00 BIC(SOCIETE) - ACT PORTEUR/NOM 72,147.75 0.06
958.00 GENMAB AS 129,750.24 0.10 1,088.00 EURAZEO 73,820.80 0.06
13,180.00 DANSKE BANK 298,161.65 0.24 12,640.00 SOCIETE GENERALE SA 467,300.80 0.37
1,179.00 H. LUNDBECK 62,718.74 0.05 2,294.00 THALES 280,670.90 0.22
2,201.00 CHRISTIAN HANSEN 192,437.16 0.15 62,226.00 TOTAL SA 3,474,699.84 2.77
1,774.00 PANDORA 95,417.40 0.08 18,739.00 SANOFI 1,434,657.84 1.15
5,082.00 NOVOZYMES -B- 240,291.42 0.19 235.00 EUROFINS SCIENTIFIC 114,915.00 0.09
2,329.00 COLOPLAST -B- 205,127.52 0.16 45,048.00 ORANGE 618,734.28 0.50
28,981.00 NOVO NORDISK 1,175,212.63 0.95 6,269.00 SAFRAN 756,668.30 0.61
5,563.00 ISS A/S 168,592.71 0.13 2,676.00 CNP ASSURANCES 55,553.76 0.04
845.00 TRYG A/S 18,118.68 0.01 1,224.00 GECINA SA REG SHS 176,011.20 0.14
2,280.00 WILLIAM DEMANT HOLDINGS A/S 73,806.29 0.06 755.00 ILIAD SA 84,937.50 0.07
3,850.00 ORSTED 225,251.27 0.18 1,483.00 COVIVIO SA 133,099.25 0.11
Finland 2,541,509.34 2.03 3,954.00 ALSTOM SA 152,189.46 0.12
3,147.00 EDF SA 47,598.38 0.04
12,346.00 STORA ENSO -R- 203,400.35 0.16 3,760.00 EUTELSAT COMMUNICATIONS SA 76,553.60 0.06
11,248.00 UPM KYMMENE CORP 380,182.40 0.30 805.00 IPSEN 116,564.00 0.09
95,735.00 NOKIA OYJ 457,326.10 0.37 7,029.00 LEGRAND SA 441,280.62 0.35
7,657.00 SAMPO OYJ -A- 341,502.20 0.27 1,959.00 ARKEMA SA 209,025.30 0.17
10,575.00 WARTSILA CORPORATION -B- 177,554.25 0.14 812.00 AEROPORTS DE PARIS-ADP- 157,446.80 0.13
3,522.00 ELISA CORPORATION -A- 128,658.66 0.10 2,228.00 SCOR SE ACT PROV REGROUPEMENT 89,120.00 0.07
3,520.00 METSO CORP 107,500.80 0.09 9,368.00 REXEL SA 121,175.08 0.10
7,616.00 KONE -B- 350,488.32 0.28 8,381.00 BUREAU VERITAS SA 186,309.63 0.15
4,537.00 NESTE 323,034.40 0.26 1,798.00 ICADE SA 143,120.80 0.11
2,203.00 ORION CORPORATION (NEW) -B- 71,861.86 0.06 11,453.00 SUEZ ACT. 140,184.72 0.11
France 22,183,299.88 17.75 5,373.00 EDENRED SA 176,395.59 0.14
1,161.00 AMUNDI SA 74,930.94 0.06
12,076.00 VEOLIA ENVIRONNEMENT SA 207,586.44 0.17

The accompanying notes form an integral part of these financial statements

14
AMUNDI INDEX EQUITY EUROPE LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
4,065.00 VALEO SA 152,031.00 0.12 6,231.00 METRO WHOLESALE AND FOOD SPECIALIST AG 84,118.50 0.07
2,148.00 FAURECIA 111,352.32 0.09 3,286.00 SIEMENS HEALTHINEERS 124,457.25 0.10
1,739.00 SODEXO PRIME DE FIDELITE 2021 158,840.26 0.13 2,757.00 INNOGY SE 100,768.35 0.08
498.00 SEB ( ACT NOM PRIME DE FIDELITE 2019) 73,006.80 0.06 Ireland 1,155,375.75 0.92
9,479.00 EDF (ACT NOM PRIME DE FIDELITE 2016) 143,369.88 0.11
359.00 SODEXO 32,791.06 0.03 17,262.00 CRH PLC 486,443.16 0.38
1,180.00 BIOMERIEUX SA 84,724.00 0.07 3,712.00 SMURFIT KAPPA PLC 126,430.72 0.10
2,401.00 UNIBAIL RODAMCO 415,901.22 0.33 3,940.00 DCC PLC 308,113.18 0.25
1,425.00 PADDY POWER 104,737.50 0.08
Germany 18,573,558.31 14.87
10,504.00 BANK OF IRELAND - REGISTERED 69,273.88 0.06
63,375.00 DEUTSCHE TELEKOM AG REG SHS 879,961.88 0.70 13,691.00 AIB GRP - REGISTERED 60,377.31 0.05
3,058.00 UNITED INTERNET AG REG SHS 124,613.50 0.10 Isle of Man 161,517.40 0.13
3,073.00 DEUTSCHE BOERSE AG REG SHS 354,624.20 0.28
979.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 119,144.30 0.10 15,662.00 GVC HOLDINGS PLC 161,517.40 0.13
7,631.00 ALLIANZ SE REG SHS 1,465,152.00 1.17 Italy 2,576,717.93 2.06
7,410.00 BMW AG 575,831.10 0.46 3,515.00 LUXOTTICA GROUP SPA 205,697.80 0.16
1,023.00 BMW VORZUG - STIMMRECHTSLOS 69,257.10 0.06 19,579.00 ASSICURAZIONI GENERALI SPA 291,335.52 0.23
3,170.00 BEIERSDORF AG 308,060.60 0.25 9,519.00 MEDIOBANCA SPA 81,901.48 0.07
7,987.00 FRESENIUS SE & CO KGAA 505,097.88 0.40 229,660.00 INTESA SANPAOLO SPA 505,481.66 0.41
2,975.00 FUCHS PETROLUB AG 143,157.00 0.11 278,019.00 TELECOM ITALIA SPA RISP NON CONV 128,834.00 0.10
3,791.00 HENKEL AG & CO KGAA 383,080.55 0.31 72,277.00 TELECOM ITALIA SPA 37,800.87 0.03
2,166.00 HENKEL KGAA 198,080.70 0.16 10,355.00 ATLANTIA SPA 185,043.85 0.15
3,284.00 MAN SE 307,546.60 0.25 51,661.00 TERNA SPA 237,692.26 0.19
2,791.00 MUENCHENER RUECKVERSICHERUNGS AG REG 532,383.25 0.43 2,073.00 RECORDATI SPA 60,448.68 0.05
SHS
17,308.00 SAP AG 1,834,648.00 1.46 9,938.00 LEONARDO S.P.A. 103,156.44 0.08
564.00 SARTORIUS VORZ.OHNE STIMMRECHT. 78,847.20 0.06 2,535.00 MONCLER SPA 94,048.50 0.08
1,165.00 VOLKSWAGEN AG 174,866.50 0.14 9,858.00 POSTE ITALIANE SPA 67,842.76 0.05
4,136.00 GEA GROUP AG 126,892.48 0.10 32,749.00 UNICREDIT -REGISTERD SHARE 424,558.04 0.34
14,788.00 THYSSENKRUPP AG 321,491.12 0.26 20,842.00 CAMPARI 152,876.07 0.12
2,929.00 MERCK KGAA 260,681.00 0.21 Jersey Island 2,340,139.06 1.87
137.00 PUMA AG 58,225.00 0.05
22,938.00 EXPERIAN GROUP 507,486.99 0.41
4,421.00 FRESENIUS MEDICAL CARE AG & CO KGAA 391,612.18 0.31
3,775.00 RANDGOLD RESSOURCES LTD 230,997.02 0.18
13,420.00 SIEMENS AG REG 1,480,762.80 1.19
15,596.00 SHIRE 809,612.15 0.64
35,080.00 DEUTSCHE BANK AG REG SHS 344,766.24 0.28
25,329.00 WPP 2012 PLC 319,794.09 0.26
18,153.00 DAIMLER NAMEN-AKT 986,615.55 0.79
6,456.00 FERGUSON 472,248.81 0.38
1,295.00 AXEL SPRINGER NAMEN AKT VINKULIERT 75,045.25 0.06
2,816.00 LANXESS AG 177,633.28 0.14 Luxembourg 325,903.74 0.26
1,295.00 MTU AERO ENGINES HOLDING AG 251,359.50 0.20 1,915.00 MILLICOM INTERNATIONAL CELLULAR SA-SDR- 94,642.29 0.08
3,351.00 SYMRISE AG 263,455.62 0.21 6,569.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 124,154.10 0.09
2,233.00 WIRECARD AG 416,901.10 0.33 1,743.00 RTL GROUP 107,107.35 0.09
42,774.00 E.ON AG REG SHS 375,555.72 0.30
Netherlands 9,117,213.72 7.30
4,033.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 233,914.00 0.19
3,126.00 VOLKSWAGEN VORZ.AKT 473,901.60 0.38 77,344.00 KONINKLIJKE KPN NV 175,725.57 0.14
4,484.00 BRENNTAG - NAMEN AKT 238,369.44 0.19 16,966.00 ROYAL PHILIPS ELECTRONIC 665,661.01 0.53
18,611.00 BASF SE REG SHS 1,424,672.05 1.14 9,972.00 AIRBUS GROUP 1,078,770.96 0.86
3,199.00 ADIDAS NAMEN AKT 674,669.10 0.54 2,965.00 RANDSTAD BR 136,330.70 0.11
5,673.00 K+S 102,567.84 0.08 5,284.00 AKZO NOBEL NV 425,573.36 0.34
1,351.00 HUGO BOSS AG 89,598.32 0.07 6,202.00 HEINEKEN NV 500,873.52 0.40
18,274.00 COMMERZBK 164,009.15 0.13 3,555.00 HEINEKEN HOLDING 277,290.00 0.22
6,485.00 EVONIK INDUSTRIES AG 200,062.25 0.16 4,100.00 DSM KONINKLIJKE 374,084.00 0.30
1,933.00 KION GROUP 102,333.02 0.08 26,082.00 AEGON NV 145,746.22 0.12
8,716.00 VONOVIA SE 366,769.28 0.29 26,351.00 UNILEVER NV 1,263,925.72 1.02
4,471.00 PROSIEBENSAT.1 NAMEN-AKT 100,016.27 0.08 5,897.00 WOLTERS KLUWER 316,550.96 0.25
2,904.00 ZALANDO SE 97,313.04 0.08 4,055.00 AERCAP HOLDINGS 200,812.40 0.16
3,493.00 COVESTRO AG 244,020.98 0.20 8,766.00 KONINKLIJKE VOPAK 372,029.04 0.30
3,677.00 UNIPER NAMEN-AKT. 97,477.27 0.08 6,796.00 ASML HLDG 1,093,476.40 0.88
1,670.00 DELIVERY HERO SE 69,171.40 0.06 21,796.00 CNH INDUSTRIAL NV 225,588.60 0.18

The accompanying notes form an integral part of these financial statements

15
AMUNDI INDEX EQUITY EUROPE LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
4,954.00 NN GROUP NV 190,382.22 0.15 18,539.00 ASSA ABLOY -B- NEW I 320,634.34 0.26
19,300.00 FIAT CHRYSLER AUTOMOBILES -A- 292,279.20 0.23 2,452.00 KINNEVIK AB -B- 63,878.52 0.05
6,804.00 ABN AMRO GROUP DEP RECEIPT 159,553.80 0.13 12,105.00 ATLAS COPCO --- REGISTERED SHS -A- 300,237.28 0.24
2,273.00 FERRARI 269,577.80 0.22 7,255.00 EPIROC -REGISTERED SHS 64,265.70 0.05
62,569.00 ING GROEP 699,771.70 0.56 12,447.00 EPIROC- REGISTERED SHS 119,656.04 0.10
1,797.00 EXOR REG 103,902.54 0.08 7,255.00 ATLAS COPCO --- REGISTERED SHS -B- 166,564.04 0.13
4,580.00 QIAGEN REGD EUR 149,308.00 0.12 14,608.00 BOLIDEN -REGISTERED SHS 350,580.69 0.28
Norway 2,668,746.84 2.14 Switzerland 14,639,833.68 11.72

18,913.00 DNB 342,431.20 0.27 224.00 GIVAUDAN SA REG.SHS 476,410.91 0.38


10,576.00 MARINE HARVEST 210,828.97 0.17 2.00 CHOCOLADEFABRIKEN LINDT.SPRUENGLI NOM. 141,906.48 0.11
22,781.00 ORKLA ASA 165,611.68 0.13 21.00 CHOCOLADEFAB.LINDT.SPRUENGLI PARTIZIPSCH 127,345.64 0.10
5,723.00 GJENSIDIGE FORSIKRING ASA 83,015.69 0.07 2,703.00 ZURICH INSURANCE GROUP NAMEN AKT 739,033.63 0.59
3,248.00 SCHIBSTED -B- 96,838.37 0.08 11,609.00 ROCHE HOLDING AG GENUSSSCHEIN 2,432,717.60 1.95
72,948.00 EQUINOR 1,770,020.93 1.42 37,131.00 NOVARTIS AG REG SHS 2,762,202.11 2.22
Portugal 1,186,175.16 0.95 39,060.00 ABB LTD REG SHS 798,379.45 0.64
4,373.00 ADECCO REG.SHS 198,655.34 0.16
5,765.00 JERONIMO MARTINS SGPS SA 73,129.03 0.06 7,644.00 CLARIANT NAMEN AKT 172,075.06 0.14
59,124.00 EDP-ENERGIAS REG.SHS 187,896.07 0.15 1,088.00 TEMENOS AG NAM.AKT 152,668.11 0.12
54,134.00 GALP ENERGIA SA REG SHS -B- 925,150.06 0.74 206.00 STRAUMANN HOLDING REG 133,998.50 0.11
Spain 6,116,307.46 4.90 985.00 BALOISE HOLDING REG.SHS 129,967.39 0.10
1,249.00 SONOVA HOLDING NAM-AKT 215,001.28 0.17
262,810.00 BANCO SANTANDER SA REG SHS 1,139,412.76 0.91
2,760.00 THE SWATCH GROUP REG 186,100.22 0.15
10,435.00 NATURGY ENERGY GROUP SA 245,326.85 0.20
325.00 THE SWATCH GROUP 111,804.24 0.09
96,324.00 TELEFONICA S A 656,737.03 0.53
43,255.00 CREDIT SUISSE GROUP AG REG SHS 562,347.41 0.45
112,736.00 BANCO BILBAO VIZCAYA ARGENT SA REG 618,920.64 0.50
155.00 SGS SA REG SHS 353,021.02 0.28
25,336.00 ENAGAS 589,062.00 0.47
991.00 SWISSCOM SHS NOM 389,045.35 0.31
5,736.00 GAMESA CORPORACION TECNOLOGICA SA 62,522.40 0.05
91.00 BARRY CALLEBAUT - NAMEN-AKT 149,186.90 0.12
23,035.00 MAPFRE REG-SHS 62,240.57 0.05
627.00 SWISS LIFE HOLDING N-NAMEN REGISTERED 205,582.83 0.16
87,301.00 BANCO SABADELL REG.SHS 116,896.04 0.09
374.00 EMS-CHEM HOLDINGS-NAMEN ACT. 192,842.98 0.15
5,557.00 BANKINTER REG.SHS 44,078.12 0.04
3,503.00 SWISS PRIME SITE AG-NAMEN AKT 258,275.04 0.21
132,038.00 IBERDROLA S A 836,856.84 0.67
1,152.00 DUFRY GROUP 112,351.86 0.09
60,085.00 CAIXABANK 236,614.73 0.19
1,043.00 SCHINDLER HOLDING SA 224,862.54 0.18
8,324.00 AMADEUS IT -A- 666,086.48 0.53
1,062.00 SCHINDLER HOLDING NAMEN AKT 221,657.57 0.18
20,763.00 INDITEX SHARE FROM SPLIT 542,121.93 0.43
280.00 PARTNERS GROUP HLDG NAMEN AKT 192,129.04 0.15
13,405.00 RED ELECTRICA 241,826.20 0.19
2,052.00 KUEHNE + NAGEL INTERNATIONAL AG 281,244.54 0.23
17,058.00 BANKIA BEARER SHS 57,604.87 0.05
4,582.00 JULIUS BAER GROUP NAMEN AKT 198,335.92 0.16
Sweden 6,455,460.04 5.17 5,655.00 SWISS RE NAMEN AKT 451,582.57 0.36
26,285.00 SANDVIK AB 401,419.12 0.32 9,387.00 CIE FINANCIERE RICHEMONT NAMEN AKT 661,901.19 0.53
70,873.00 TELIA COMPANY AB 280,075.11 0.22 62,910.00 UBS GROUP NAMEN-AKT 859,464.10 0.69
18,130.00 LUNDIN PETROL 597,107.89 0.47 995.00 VIFOR PHARMA - REGISTERED 149,221.50 0.12
15,117.00 SWEDBANK -A- 322,404.29 0.26 3,164.00 SIKA - REGISTERED SHS 398,515.36 0.32
4,175.00 SWEDISH MATCH 183,902.90 0.15 United Kingdom 29,305,301.19 23.45
5,251.00 HEXAGON -B- 264,850.29 0.21
331,435.00 HSBC HOLDINGS PLC 2,492,507.30 2.00
5,544.00 ELECTROLUX -B- FREE 105,196.19 0.08
6,235.00 SCHRODERS 216,665.64 0.17
11,750.00 SKANSKA -B- FREE 198,553.90 0.16
87,355.00 GLAXOSMITHKLINE PLC 1,507,294.27 1.22
5,149.00 INDUSTRIVAERDEN -C- FREE 98,448.86 0.08
24,077.00 SMITH AND NEPHEW PLC 378,327.76 0.30
28,856.00 VOLVO AB -B- 438,867.09 0.35
56,190.00 STANDARD CHARTERED PLC 401,496.84 0.32
17,180.00 HENNES AND MAURITZ AB 273,163.58 0.22
200,342.00 BT GROUP PLC 506,787.77 0.41
24,183.00 SKANDINAVISKA ENSKILDA BANKEN -A- 232,336.60 0.19
1,272,997.00 LLOYDS BANKING GROUP PLC 847,140.09 0.68
54,080.00 TELEFON AB L.M.ERICSSON 412,975.50 0.33
54,367.00 MARKS AND SPENCER GROUP PLC 176,289.12 0.14
8,904.00 SECURITAS -B- FREE 133,394.06 0.11
25,074.00 BRITISH SKY BROADCASTING GROUP 486,756.26 0.39
51,123.00 NORDEA BANK 479,381.75 0.38
31,008.00 BARRATT DEVELOPMENTS PLC 197,401.18 0.16
8,008.00 ALFA LAVAL 186,836.54 0.15
36,448.00 BRITISH LAND CO PLC REIT 252,412.58 0.20
3,505.00 ICA GRUPPEN AB 95,688.08 0.08
93,294.00 AVIVA PLC 512,742.53 0.41
13,120.00 HUSQVARNA -B- 96,150.25 0.08
32,528.00 SSE PLC 418,538.01 0.33
24,744.00 SHB -A- 268,891.43 0.22
82,576.00 MORRISON SUPERMARKETS PLC 240,500.92 0.19

The accompanying notes form an integral part of these financial statements

16
AMUNDI INDEX EQUITY EUROPE LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
16,899.00 PEARSON PLC 168,866.67 0.14
7,920.00 PERSIMMON PLC 210,304.83 0.17
48,187.00 PRUDENTIAL PLC 951,945.51 0.76
115,851.00 TAYLOR WIMPEY PLC 223,468.28 0.18
187,335.00 TESCO PLC 504,383.69 0.40
11,579.00 TRAVIS PERKINS 138,521.59 0.11
151,160.00 LEGAL GENERAL GROUP PLC 445,002.55 0.36
16,478.00 ST JAME'S PLACE CAPITAL 211,652.52 0.17
20,001.00 IMPERIAL BRANDS - REGISTERED 599,816.66 0.48
46,808.00 DIAGEO PLC 1,428,967.07 1.14
38,964.00 BRITISH AMERICAN TOBACCO PLC 1,568,140.77 1.27
21,648.00 ASTRAZENECA PLC 1,449,357.48 1.17
304,013.00 BARCLAYS PLC 586,351.01 0.47
9,052.00 BURBERRY GROUP PLC 204,791.78 0.16
2,879.00 NEXT PLC 177,591.94 0.14
55,183.00 KINGFISHER PLC 159,851.95 0.13
92,149.00 ITV PLC 163,315.78 0.13
61,416.00 J SAINSBURY PLC 221,901.63 0.18
56,027.00 GROUP 4 SECURICOR 152,231.90 0.12
5,607.00 ADMIRAL GROUP PLC 130,944.37 0.10
146,621.00 CENTRICA PLC NEW 255,000.20 0.20
10,115.00 BUNZL PLC 274,041.37 0.22
16,749.00 BABCOCK INTERNATIONAL GROUP PLC 135,962.81 0.11
5,908.00 LSE GROUP 304,205.78 0.24
23,471.00 UNILEVER PLC 1,111,028.31 0.89
19,355.00 INVESTEC 117,262.20 0.09
9,464.00 SEVERN TRENT PLC 196,473.77 0.16
7,947.00 HARGREAVES LANS - REGISTERED SHS 199,422.28 0.16
14,509.00 SMITHS GROUP -SHS- 243,622.19 0.19
22,276.00 3I GROUP PLC 235,403.03 0.19
10,234.00 MONDI PLC 241,759.79 0.19
12,470.00 RECKITT BENCKISER GROUP PLC 982,310.90 0.79
48,692.00 RELX PLC 883,470.18 0.71
16,451.00 FRESNILLO PLC 151,718.98 0.12
26,727.00 UNITED UTILITIES GROUP PLC 211,259.28 0.17
34,142.00 ROLLS ROYCE HOLDINGS 378,507.95 0.30
55,114.00 JOHN WOOD GROUP 477,471.09 0.38
3,780.00 THE BERKELEY GR 156,140.12 0.12
74,656.00 ROYAL BANK OF SCOTLAND 209,554.82 0.17
31,881.00 SAGE GROUP 209,903.08 0.17
24,266.00 ROYAL MAIL 129,987.19 0.10
27,849.00 RSA INSURANCE GROUP PLC 179,792.01 0.14
66,720.00 STANDARD LIFE NEW 229,154.53 0.18
27,141.00 AUTO TRADER GROUP PLC 136,093.54 0.11
34,969.00 DIRECT LINE INS GR PLC NI 127,170.71 0.10
100,890.00 MELROSE INDUSTRIES PLC 226,440.36 0.18
5,423.00 JOHNSON MATTHEY 216,883.47 0.17
35,534.00 ANTOFAGASTA PLC 341,116.82 0.27
4,589.00 CRODA INTERNATIONAL PLC 268,028.72 0.21
5,650.00 COCA COLA EUROPEAN PARTNERS PLC 221,184.24 0.18
36,484.00 CONVATEC GROUP REGD 95,198.81 0.08
79,896.00 NATIONAL GRID PLC 709,927.51 0.57
33,941.00 COMPASS GROUP 650,124.58 0.52
10,288.00 MICRO FOCUS INTL PLC 165,123.18 0.13
30,477.00 LAND SEC R.E.I.T 302,289.14 0.24
Total securities portfolio 124,209,799.76 99.41

The accompanying notes form an integral part of these financial statements

17
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
213,730.00 AUSNET SVCS - STAPLED SECURITY 216,352.86 0.03
Long positions 651,531,110.37 99.55
45,938.00 HEALTHSCOPE LTD 60,094.56 0.01
Other transferable securities 562,763.51 0.09 135,371.00 MEDIBANK PRIVATE LTD 245,393.14 0.04
1.00 ONEMARKET -REGISTERED SHS 0.67 0.00
Shares 562,763.51 0.09
Austria 805,664.93 0.12
Canada 389,765.55 0.06
2,543.00 ANDRITZ AG 127,785.75 0.02
12,291.00 TELUS CORP 389,765.55 0.06
8,594.00 VOESTALPINE AG 338,603.60 0.05
France 172,997.96 0.03 665.00 ERSTE GROUP BANK AG 23,793.70 0.00
1,894.00 SODEXO - REGISTERED SHS FROM PREMIUM O 172,997.96 0.03 2,005.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 49,724.00 0.01
Shares/Units of UCITS/UCIS 76,165.53 0.01 5,492.00 OMV AG 265,757.88 0.04
Belgium 1,283,149.34 0.20
Shares/Units in investment funds 76,165.53 0.01
4,096.00 GROUPE BRUXELLES LAMBERT GBL 369,868.80 0.05
Canada 76,165.53 0.01
4,921.00 KBC GROUPE SA 315,436.10 0.05
5,787.00 H&R REAL ESTATE 76,165.53 0.01 743.00 UCB 57,508.20 0.01
Transferable securities admitted to an official stock exchange 650,892,181.33 99.45 5,304.00 PROXIMUS SA 109,156.32 0.02
listing 1,044.00 TELENET GROUP HOLDING NV 49,506.48 0.01
Shares 650,891,204.52 99.45
2,468.00 COLRUYT 120,315.00 0.02
Australia 14,655,297.68 2.24 2,907.00 AGEAS NOM 134,623.17 0.02
31,921.00 BORAL LTD 137,403.67 0.02 2,631.00 UMICORE SA 126,735.27 0.02
50,392.00 SUNCORP GROUP 453,914.11 0.07 Bermuda 2,820,048.32 0.43
65,764.00 INSURANCE AUSTRALIA GROUP LIMITED 299,876.96 0.05
662.00 EVEREST REINSURANCE GROUP 130,217.08 0.02
34,007.00 WOOLWORTHS GRP - REGISTERED 594,852.40 0.09
9,176.00 MARVELL TECHNOLOGY GROUP LTD 152,472.49 0.02
4,039.00 FLIGHT CENTRE LIMITED 133,752.72 0.02
556.00 RENAISSANCERE HOLDINGS LTD 63,943.59 0.01
1,337.00 COCHLEAR 167,106.26 0.03
16,718.00 KERRY PROPERTIES 48,837.06 0.01
10,786.00 SONIC HEALTHCARE LTD 167,370.12 0.03
6,200.00 JARDINE MATHESON HLD 334,954.80 0.05
19,463.00 COMPUTERSHARE LIMITED 241,878.06 0.04
7,600.00 JARDINE STRATEGIC HOLDINGS 237,520.45 0.04
8,051.00 CSL LTD 1,008,619.33 0.15
46,100.00 HONG KONG LAND HOLDINGS LTD 262,748.17 0.04
87,918.00 TABCORP HOLDINGS LTD 266,716.91 0.04
3,290.00 BUNGE LTD 194,624.11 0.03
10,506.00 ARISTOCRAT LEISURE 186,127.60 0.03
11,211.00 ARCH CAPITAL GROUP LTD 287,731.30 0.04
63,914.00 ANZ BANKING GROUP LTD 1,121,968.80 0.17
1,411.00 AXIS CAPITAL HOLDINGS LTD 70,106.59 0.01
47,559.00 AMCOR LTD 405,286.93 0.06
8,428.00 INVESCO LTD 166,020.35 0.03
16,341.00 CALTEX AUSTRALIA LTD 304,364.23 0.05
146,000.00 LI FUNG 28,111.98 0.00
12,382.00 LEND GRP - STAPLED SECURITIES 151,641.51 0.02
6,192.00 AXALTA COATING SYSTEMS 155,453.05 0.02
60,903.00 NAT. AUSTRALIA BANK 1,055,075.33 0.16
7,734.00 IHS MARKIT 359,299.73 0.06
34,201.00 QBE INSURANCE GROUP 236,912.18 0.04
3,387.00 ATHENE HOLDING REG A 150,643.50 0.02
76,107.00 WESTPAC BANKING CORP 1,324,156.55 0.20
26,000.00 CK INFRASTRUCTURE HOLDINGS LTD 177,364.07 0.03
27,371.00 WESFARMERS 849,962.22 0.13
4,001.00 RAMSAY HEALTH CARE LTD 136,905.83 0.02 British Virgin Islands 162,973.88 0.02
38,722.00 COMMONWEALTH BANK OF AUSTRALIA 1,722,505.46 0.26 2,761.00 MICHAEL KORS HOLDINGS LTD 162,973.88 0.02
14,906.00 COCA-COLA AMATIL LTD 90,626.40 0.01 Canada 24,589,130.55 3.76
30,810.00 NEWCREST MINING LTD 372,529.81 0.06
64,575.00 MIRVAC GROUP STAPLED SECURITIES 96,944.96 0.01 41,653.00 MANULIFE FINANCIAL REGISTERED 640,601.97 0.10
8,954.00 ORICA LIMITED 94,989.48 0.01 12,288.00 SUN LIFE FINANCIAL INC 420,280.95 0.06
68,988.00 AMP LIMITED 137,090.71 0.02 7,962.00 METRO -A- SUB VTG 213,083.66 0.03
8,052.00 ASX LTD 319,311.23 0.05 19,492.00 GOLDCORP 170,856.04 0.03
15,121.00 BENDIGO AND ADELAIDE BANK 101,258.80 0.02 2,582.00 INDUSTRIAL ALLIANCE INSURANCE AND FIN. 88,826.92 0.01
9,872.00 CHALLENGER 68,875.84 0.01 6,122.00 OPEN TEXT 200,417.16 0.03
15,063.00 BANK OF QUEENSLAND LTD 103,403.89 0.02 7,778.00 CGI GROUP SUB.VTG SHS -A- 431,446.26 0.07
32,928.00 APA GROUP STAPLED SECURITY 204,710.30 0.03 25,241.00 BARRICK GOLD 240,246.37 0.04
61,806.00 GOODMAN GROUP - STAPLED SECURITY 398,872.58 0.06 6,456.00 AGNICO EAGLE MINES 189,721.73 0.03
6,604.00 MACQUARIE GROUP 518,512.53 0.08 15,412.00 BANK OF MONTREAL 1,093,678.68 0.17
77,786.00 STOCKLAND 201,091.32 0.03 29,106.00 BANK OF NOVA SCOTIA 1,492,570.65 0.23
18,972.00 SEEK LTD 245,348.99 0.04 38,853.00 BOMBARDIER INC B 119,042.06 0.02
3,385.00 REA GROUP LTD 181,195.45 0.03 14,578.00 CAE INC 254,594.31 0.04
6,071.00 TPG TELECOM LTD 32,296.98 0.00 20,148.00 CAMECO CORP 197,675.45 0.03
11,071.00 CANADIAN IMPERIAL BANK OF COMMERCE 892,478.86 0.14

The accompanying notes form an integral part of these financial statements

18
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,605.00 CANADIAN TIRE CORP -A- NON VOTING 161,788.19 0.02 759.00 GENMAB AS 102,797.95 0.02
6,035.00 CCL INDUSTRIES INC -B- NON-VOTING 234,027.84 0.04 13,336.00 DANSKE BANK 301,690.73 0.05
11,978.00 EMPIRE -A- NON VOTING 187,805.72 0.03 2,053.00 H. LUNDBECK 109,212.52 0.02
625.00 FAIRFAX FINANCIAL HOLDINGS SUB.VTG 292,128.75 0.04 938.00 CHRISTIAN HANSEN 82,010.93 0.01
7,378.00 FINNING INTERNATIONAL 155,044.39 0.02 2,184.00 PANDORA 117,469.90 0.02
11,337.00 GREAT WEST LIFECO INC 236,654.73 0.04 4,237.00 NOVOZYMES -B- 200,337.42 0.03
8,476.00 LOBLAW COMPANIES 374,641.06 0.06 2,240.00 COLOPLAST -B- 197,288.81 0.03
9,235.00 NATIONAL BK CANADA COMMON 396,809.44 0.06 34,840.00 NOVO NORDISK 1,412,801.77 0.21
20,312.00 POWER FINANCIAL 400,327.76 0.06 3,575.00 ISS A/S 108,344.23 0.02
11,371.00 POWER CORP DU CANADA SUB. 212,522.24 0.03 5,732.00 ORSTED 335,361.10 0.04
8,946.00 ROGERS COMMUNICATIONS -B- NON VOTING 395,832.27 0.06 Finland 2,753,633.82 0.42
30,325.00 ROYAL BANK OF CANADA 2,091,351.45 0.33
13,087.00 SHAW COMMUNICATIONS -B- NON.VOTING 219,402.40 0.03 15,067.00 STORA ENSO -R- 248,228.83 0.04
12,577.00 THOMSON REUTERS 493,747.88 0.08 11,800.00 UPM KYMMENE CORP 398,840.00 0.06
39,811.00 TORONTO DOMINION BANK 2,081,303.75 0.33 115,065.00 NOKIA OYJ 549,665.51 0.09
5,743.00 GEORGE WESTON 373,992.15 0.06 6,674.00 SAMPO OYJ -A- 297,660.40 0.05
7,254.00 MAGNA INTERNATIONAL SHS -A- SUB.VTG 327,827.56 0.05 13,149.00 WARTSILA CORPORATION -B- 220,771.71 0.03
19,041.00 FORTIS INC 531,146.69 0.08 4,319.00 ELISA CORPORATION -A- 157,773.07 0.02
8,159.00 SNC-LAVALIN GROUP 286,232.08 0.04 2,688.00 METSO CORP 82,091.52 0.01
6,298.00 IGM FINANCIAL INC 148,918.64 0.02 10,959.00 KONE -B- 504,333.18 0.08
44,754.00 KINROSS GOLD CORP 104,928.28 0.02 4,133.00 NESTE 294,269.60 0.04
2,090.00 LINAMAR CORP 82,842.71 0.01 France 25,407,829.20 3.88
17,222.00 BROOKFIELD ASSET MANAGEMENT INC -A- 659,468.33 0.10
6,244.00 VEOLIA ENVIRONNEMENT SA 107,334.36 0.02
33,461.00 FIRST QUANTUM MINERALS LTD 327,845.81 0.05
21,767.00 VIVENDI SA 482,574.39 0.07
10,762.00 ALIMENTATION COUCHE - TARD INC SUB VTG B 463,138.39 0.07
1,601.00 KERING 739,181.70 0.11
18,834.00 BCE INC 656,464.66 0.10
17,312.00 CREDIT AGRICOLE SA 214,426.43 0.03
18,863.00 RIOCAN REIT (UNITS) 310,080.15 0.05
2,918.00 EIFFAGE 280,594.88 0.04
14,729.00 CI FINANCIAL 201,213.43 0.03
744.00 HERMES INTERNATIONAL SA 424,526.40 0.06
3,893.00 INTACT FINANCIAL CORP 278,488.16 0.04
19,990.00 BNP PARIBAS SA 1,053,672.90 0.16
9,021.00 DOLLARAMA INC 244,489.62 0.04
1,733.00 ATOS 177,632.50 0.03
248.00 CONSTELLATION SOFTWARE 156,903.96 0.02
4,438.00 PUBLICIS GROUPE 228,468.24 0.03
22,869.00 PEMBINA PIPELINE CORP 668,545.25 0.10
4,546.00 RENAULT SA 338,677.00 0.05
123,087.00 TURQUOISE HILL 225,456.59 0.03
1,905.00 DASSAULT SYSTEMES SA 245,268.75 0.04
16,580.00 FIRST CAP REALTY 215,346.19 0.03
50,558.00 BOLLORE INVESTISSEMENT 188,075.76 0.03
14,444.00 BLACKBERRY LTD 140,654.26 0.02
6,936.00 KLEPIERRE SA 211,756.08 0.03
6,325.00 WSP GLOBAL 297,808.14 0.05
36,800.00 AXA SA 851,920.00 0.13
17,493.00 PRAIRIESKY ROYALTY LTD 264,372.84 0.04
14,039.00 DANONE 936,401.30 0.14
7,020.00 RESTAURANT BRANDS INTERNATIONAL INC 357,604.56 0.05
2,129.00 CAPGEMINI SE 230,783.60 0.04
7,135.00 SMART REIT TRUST UNITS VARIABLE VOTING 144,995.40 0.02
17,551.00 CARREFOUR SA 289,591.50 0.04
30,972.00 HYDRO ONE LTD 405,162.07 0.06
22,977.00 NATIXIS SA 134,277.59 0.02
5,003.00 FRANCO-NEVADA CORP 269,252.61 0.04
1,084.00 UBISOFT ENTERTAINMENT 101,267.28 0.02
37,544.00 ENBRIDGE INC 1,042,284.56 0.16
1,375.00 INGENICO GROUP 89,980.00 0.01
49,689.00 LUNDIN MINING CORP 226,378.10 0.03
116.00 DASSAULT AVIATION SA 184,904.00 0.03
1,234.00 WEST FRASER TIMBER CO 60,419.85 0.01
3,475.00 ESSILOR INTERNATIONAL SA 442,888.75 0.07
1,827.00 SHOPIFY -A- SUBORD VOTING 258,348.89 0.04
1,062.00 CASINO GUICHARD PERRACHON SA 38,465.64 0.01
18,575.00 WHEATON PRECIOUS METAL - REGISTERED 279,611.68 0.04
743.00 REMY COINTREAU 83,364.60 0.01
Cayman Islands 1,100,771.87 0.17 973.00 IMERYS SA 61,882.80 0.01
16,000.00 MINTH GROUP LTD 56,862.13 0.01 5,917.00 L'OREAL SA 1,228,960.90 0.19
9,500.00 MELCO PBL ENTERTAINMENT (MACAU) LTD 172,987.52 0.03 692.00 WENDEL SA 88,714.40 0.01
6,147.00 ASM PACIFIC TECHNOLOGY 53,904.14 0.01 5,433.00 LVMH 1,654,891.80 0.24
60,800.00 MGM CHINA HOLDINGS LTD 82,951.81 0.01 4,652.00 PERNOD RICARD SA 657,327.60 0.10
144,219.00 HKT LTD - STAPLED SECURITY 170,740.04 0.03 11,265.00 PEUGEOT SA 261,685.95 0.04
60,500.00 CK ASSET HOLDINGS LTD 391,078.43 0.05 11,216.00 VINCI SA 919,936.32 0.14
31,000.00 WHARF REIC - REGISTERED 172,247.80 0.03 807.00 SEB SA 118,306.20 0.02
12,314.00 SCHNEIDER ELECTRIC SE 853,360.20 0.13
Denmark 3,227,934.97 0.49
381.00 BIC(SOCIETE) - ACT PORTEUR/NOM 30,041.85 0.00
4,474.00 VESTAS WIND SYSTEMS AS 260,619.61 0.04 1,215.00 EURAZEO 82,437.75 0.01

The accompanying notes form an integral part of these financial statements

19
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
10,885.00 SOCIETE GENERALE SA 402,418.45 0.06 1,569.00 1&1 DRILLISCH AKTIENGESELLSCHAFT 65,741.10 0.01
1,299.00 TELEPERFORMANCE SA 211,087.50 0.03 21,858.00 DAIMLER NAMEN-AKT 1,187,982.30 0.18
2,830.00 THALES 346,250.50 0.05 490.00 AXEL SPRINGER NAMEN AKT VINKULIERT 28,395.50 0.00
57,100.00 TOTAL SA 3,188,464.00 0.48 4,243.00 LANXESS AG 267,648.44 0.04
21,520.00 SANOFI 1,647,571.20 0.25 1,117.00 MTU AERO ENGINES HOLDING AG 216,809.70 0.03
145.00 EUROFINS SCIENTIFIC 70,905.00 0.01 2,730.00 SYMRISE AG 214,632.60 0.03
41,681.00 ORANGE 572,488.54 0.09 1,700.00 WIRECARD AG 317,390.00 0.05
6,874.00 SAFRAN 829,691.80 0.13 38,983.00 E.ON AG REG SHS 342,270.74 0.05
2,893.00 CNP ASSURANCES 60,058.68 0.01 5,031.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 291,798.00 0.04
1,387.00 GECINA SA REG SHS 199,450.60 0.03 3,166.00 VOLKSWAGEN VORZ.AKT 479,965.60 0.07
369.00 ILIAD SA 41,512.50 0.01 5,165.00 BRENNTAG - NAMEN AKT 274,571.40 0.04
1,424.00 COVIVIO SA 127,804.00 0.02 24,675.00 BASF SE REG SHS 1,888,871.25 0.30
23,308.00 ENGIE 295,195.82 0.05 3,833.00 ADIDAS NAMEN AKT 808,379.70 0.12
3,096.00 ALSTOM SA 119,165.04 0.02 4,273.00 K+S 77,255.84 0.01
15,443.00 EDF SA 233,575.38 0.04 1,273.00 HUGO BOSS AG 84,425.36 0.01
4,982.00 EUTELSAT COMMUNICATIONS SA 101,433.52 0.02 38,605.00 TELEFONICA NAMEN AKT 140,560.81 0.02
128.00 IPSEN 18,534.40 0.00 23,917.00 COMMERZBK 214,655.08 0.03
7,792.00 LEGRAND SA 489,181.76 0.07 6,439.00 EVONIK INDUSTRIES AG 198,643.15 0.03
1,707.00 ARKEMA SA 182,136.90 0.03 1,937.00 KION GROUP 102,544.78 0.02
1,273.00 AEROPORTS DE PARIS-ADP- 246,834.70 0.04 9,699.00 VONOVIA SE 408,133.92 0.06
1,120.00 SCOR SE ACT PROV REGROUPEMENT 44,800.00 0.01 4,400.00 PROSIEBENSAT.1 NAMEN-AKT 98,428.00 0.02
9,677.00 REXEL SA 125,172.00 0.02 4,255.00 ZALANDO SE 142,585.05 0.02
10,677.00 BUREAU VERITAS SA 237,349.71 0.04 5,620.00 COVESTRO AG 392,613.20 0.06
1,653.00 ICADE SA 131,578.80 0.02 4,604.00 UNIPER NAMEN-AKT. 122,052.04 0.02
8,506.00 SUEZ ACT. 104,113.44 0.02 5,460.00 METRO WHOLESALE AND FOOD SPECIALIST AG 73,710.00 0.01
5,554.00 EDENRED SA 182,337.82 0.03 3,618.00 SIEMENS HEALTHINEERS 137,031.75 0.02
5,286.00 VALEO SA 197,696.40 0.03 4,838.00 INNOGY SE 176,828.90 0.03
1,036.00 FAURECIA 53,706.24 0.01 Hong Kong 5,713,464.97 0.87
378.00 SODEXO PRIME DE FIDELITE 2021 34,526.52 0.01
9,096.00 ENGIE (ACT NOM PRIME DE FIDELITE) 115,200.84 0.02 18,672.00 WHEELOCK COMPANY LTD 96,455.52 0.01
1,158.00 SODEXO 105,771.72 0.02 48,032.00 BANK OF EAST ASIA LTD 154,317.13 0.02
3,800.00 UNIBAIL RODAMCO 658,236.00 0.10 47,510.00 HENDERSON LAND DEVLOPMENT CO LTD 205,698.16 0.03
19,800.00 HANG SENG BANK LTD 463,157.89 0.07
Germany 21,081,556.52 3.22
51,367.00 WHARF HOLDINGS 120,382.79 0.02
81,250.00 DEUTSCHE TELEKOM AG REG SHS 1,128,156.25 0.17 333,056.00 HONG KONG CHINA GAS 569,467.43 0.09
1,247.00 UNITED INTERNET AG REG SHS 50,815.25 0.01 38,392.00 SUN HUNG KAI PROPERTIES LTD 481,555.35 0.07
3,615.00 DEUTSCHE BOERSE AG REG SHS 417,171.00 0.06 32,000.00 HYSAN DEVELOPMENT 139,250.60 0.02
4,164.00 RWE AG 88,485.00 0.01 85,000.00 BOC HONG KONG (HOLDINGS) LTD 347,906.45 0.05
1,766.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 214,922.20 0.03 216,479.00 PCCW LTD 108,612.86 0.02
8,621.00 ALLIANZ SE REG SHS 1,655,232.00 0.25 33,317.00 TECHTRONIC INDUSTRIES CO LTD 183,289.05 0.03
8,199.00 BMW AG 637,144.29 0.10 24,195.00 HONG KONG EXCHANGES AND CLEARING LTD 596,312.99 0.09
1,765.00 BMW VORZUG - STIMMRECHTSLOS 119,490.50 0.02 48,500.00 THE LINK REIT UNITS 411,163.92 0.06
4,604.00 BEIERSDORF AG 447,416.72 0.07 74,000.00 SJM HOLDINGS LTD 58,948.25 0.01
8,947.00 FRESENIUS SE & CO KGAA 565,808.28 0.09 231,045.00 AIA GROUP LTD 1,776,946.58 0.28
2,636.00 FUCHS PETROLUB AG 126,844.32 0.02 Ireland 8,466,529.76 1.29
4,226.00 HENKEL AG & CO KGAA 427,037.30 0.07
1,579.00 HENKEL KGAA 144,399.55 0.02 11,654.00 JAMES HARDIES IND/CHESS UNITS OF FOR SEC 152,163.35 0.02
2,832.00 MAN SE 265,216.80 0.04 6,978.00 SMURFIT KAPPA PLC 237,670.68 0.04
3,115.00 MUENCHENER RUECKVERSICHERUNGS AG REG 594,186.25 0.09 7,172.00 INGERSOLL-RAND 631,679.38 0.10
SHS 12,921.00 ACCENTURE - SHS CLASS A 1,893,374.26 0.29
20,285.00 SAP AG 2,150,210.00 0.34 4,793.00 ALKERMES 175,131.23 0.03
1,659.00 VOLKSWAGEN AG 249,015.90 0.04 1,480.00 JAZZ PHARMACEUTICALS PLC 214,233.66 0.03
3,629.00 GEA GROUP AG 111,337.72 0.02 11,751.00 EATON CORPORATION PUBLIC LIMITED COMPANY 877,455.21 0.13
4,507.00 MERCK KGAA 401,123.00 0.06 3,131.00 DCC PLC 244,848.31 0.04
133.00 PUMA AG 56,525.00 0.01 2,257.00 PERRIGO COMPANY PLC 137,576.93 0.02
4,446.00 FRESENIUS MEDICAL CARE AG & CO KGAA 393,826.68 0.06 26,462.00 MEDTRONIC HLD 2,241,125.22 0.34
16,172.00 SIEMENS AG REG 1,784,418.48 0.27 1,964.00 PADDY POWER 144,354.00 0.02
30,408.00 DEUTSCHE BANK AG REG SHS 298,849.82 0.05 6,811.00 ALLERGAN 1,116,968.82 0.17

The accompanying notes form an integral part of these financial statements

20
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
2,059.00 WILLIS TOWERS 249,845.42 0.04 842.00 BENESSE HOLDINGS INC 20,646.48 0.00
10,909.00 BANK OF IRELAND - REGISTERED 71,944.86 0.01 6,819.00 DENSO CORP 310,069.67 0.05
17,723.00 AIB GRP - REGISTERED 78,158.43 0.01 30,000.00 OJI HOLDINGS 187,600.91 0.03
Isle of Man 137,189.76 0.02 6,000.00 COCA-COLA WEST SHS 138,256.18 0.02
3,600.00 MITSUI CHEMICALS 77,523.51 0.01
13,303.00 GVC HOLDINGS PLC 137,189.76 0.02 3,200.00 DON QUIJOTE HLD 139,468.96 0.02
Israel 1,675,798.83 0.26 4,864.00 ORIENTAL LAND CO LTD 437,995.59 0.07
44,570.00 BEZEQ THE ISRAEL TELECOMMUNICATION 44,143.13 0.01 5,700.00 JSR CORP 91,637.93 0.01
1,821.00 NICE SYSTEMS LTD (IL273011) 177,424.03 0.03 500.00 OBIC 40,741.61 0.01
1,874.00 CHECK POINT SOFTWARE TECHNOLOGIES 189,852.41 0.03 28,698.00 YAHOO JAPAN CORP 88,968.17 0.01
17,840.00 BANK HAPOALIM (IL662577) 112,528.29 0.02 4,000.00 AISIN SEIKI CO LTD 167,665.94 0.03
1,211.00 ELBIT SYSTEMS LTD 132,240.99 0.02 3,300.00 ALPS ELECTRIC CO LTD 72,188.83 0.01
34,800.00 BANK LEUMI LE-ISRAEL (IL604611) 197,670.62 0.03 7,100.00 AMADA HLDG SHS 65,279.81 0.01
20,263.00 TEVA PHARMA ADR SPONS REPR 1 SH 375,777.03 0.05 25,839.00 ASAHI KASEI CORPORATION 337,458.76 0.05
54,852.00 ISRAEL CHEMICALS LTD 288,322.20 0.04 9,601.00 ASAHI GROUP HD 358,411.91 0.05
1,139.00 FRUTAROM INDUSTRIES LTD 101,536.30 0.02 2,500.00 ASICS CORP KOBE 32,100.60 0.00
1,273.00 AZRIELI GROUP 56,303.83 0.01 5,100.00 BROTHER INDUSTRIES 86,746.66 0.01
17,000.00 CHIBA BANK 99,993.18 0.02
Italy 3,474,905.69 0.53
1,300.00 CASIO COMPUTER CO LTD 18,298.48 0.00
172,172.00 ENEL SPA 759,622.86 0.13 25,509.00 CANON INC 698,007.94 0.11
78,696.00 SNAM SPA 282,439.94 0.04 4,994.00 CHUGAI PHARMACEUTICAL 276,331.97 0.04
3,723.00 LUXOTTICA GROUP SPA 217,869.96 0.03 10,928.00 DAICEL CORP 109,338.81 0.02
23,627.00 ASSICURAZIONI GENERALI SPA 351,569.76 0.05 3,400.00 DAIFUKU CO 149,216.62 0.02
5,878.00 MEDIOBANCA SPA 50,574.31 0.01 16,316.00 DAIWA HOUSE INDUSTRY CO LTD 416,529.25 0.06
218,738.00 INTESA SANPAOLO SPA 481,442.34 0.07 35,009.00 DAIWA SECURITIES GROUP INC 183,418.52 0.03
305,628.00 TELECOM ITALIA SPA RISP NON CONV 141,628.02 0.02 3,121.00 EISAI 261,642.70 0.04
12,644.00 ATLANTIA SPA 225,948.28 0.03 4,537.00 FANUC CORP SHS 736,627.58 0.11
45,758.00 TERNA SPA 210,532.56 0.03 3,400.00 FUJI ELECTRIC SHS 117,260.04 0.02
9,554.00 LEONARDO S.P.A. 99,170.52 0.02 13,161.00 SUBARU CORPORATION 347,158.55 0.05
10,241.00 POSTE ITALIANE SPA 70,478.56 0.01 11,435.00 FUJIFILM HOLDINGS CORP 443,344.72 0.07
38,362.00 UNICREDIT -REGISTERD SHARE 497,324.97 0.08 3,439.00 FUJITSU LTD 211,038.85 0.03
11,766.00 CAMPARI 86,303.61 0.01 6,327.00 HINO MOTORS LTD 59,659.27 0.01
Japan 56,671,464.69 8.66 22,329.00 HITACHI LTD 653,305.49 0.10
1,050.00 HIROSE ELECTRIC CO 98,848.62 0.02
18,382.00 RAKUTEN 121,330.76 0.02 3,400.00 HITACHI CHEMICAL CO LTD 59,609.34 0.01
3,900.00 AIR WATER 61,635.43 0.01 1,100.00 HISAMITSU PHARMACEUTICAL CO INC 72,622.40 0.01
1,000.00 OTSUKA CORP 32,138.50 0.00 2,404.00 HAMATSU PHOTONICS 82,454.20 0.01
2,741.00 LAWSON INC 143,772.18 0.02 8,400.00 HITACHI METALS LTD 89,584.55 0.01
1,000.00 SBI HOLDING 26,756.82 0.00 32,845.00 HONDA MOTOR CO LTD 856,172.30 0.13
200,055.00 MITSUBISHI UFJ FINANCIAL GROUP INC 1,075,267.77 0.17 14,536.00 AEON CO LTD 301,619.05 0.05
700.00 KOSE CORP 114,872.39 0.02 6,481.00 IHI CORP 211,482.73 0.03
1,600.00 MC DONALD'S CO (JAPAN) 60,517.40 0.01 11,700.00 JGC CORP 231,110.67 0.04
38,865.00 RESONA HOLDINGS INC 188,036.97 0.03 13,000.00 ISUZU MOTORS LTD 176,481.29 0.03
4,500.00 DENTSU 179,755.78 0.03 45,338.00 KAJIMA CORP 567,373.65 0.09
1,711.00 NOMURA RESEARCH INSTITUTE 74,442.62 0.01 7,000.00 KANSAI ELECTRIC POWER 90,889.80 0.01
6,057.00 SUMITOMO MITSUI TRUST - SHS 214,680.11 0.03 6,500.00 KAMIGUMI CO LTD 123,369.39 0.02
9,000.00 ACOM CO LTD 31,244.08 0.00 4,716.00 KAWASAKI HEAVY INDUSTRIES 114,567.53 0.02
4,700.00 MISUMI GROUP 104,738.15 0.02 9,300.00 KEISEI ELECTRIC RAILWAY CO LTD 281,969.85 0.04
15,475.00 SOFTBANK GROUP 1,345,407.38 0.22 5,700.00 KEIO 268,735.46 0.04
1,100.00 FAST RETAILING CO LTD 482,926.42 0.07 9,600.00 KINTETSU HLDG SHS 332,542.50 0.05
36,090.00 KDDI CORP 858,693.01 0.13 3,428.00 KIKKOMAN CORP 175,649.63 0.03
3,200.00 SUZUKEN CO 130,736.98 0.02 6,500.00 KEIKYU CORP 102,035.95 0.02
1,400.00 SUNDRUG CO LTD 43,030.72 0.01 2,600.00 KOITO MANUFACTURING 147,018.47 0.02
27,677.00 JAPAN TOBACCO 622,228.49 0.10 21,419.00 KOMATSU LTD 561,090.16 0.09
500.00 AEON FINANCIAL SERVICE CO LTD 8,917.68 0.00 15,900.00 KONICA MINOLTA HOLDINGS INC 145,587.40 0.02
12,715.00 NTT DATA CORP 151,601.96 0.02 5,300.00 JTEKT CORP 66,807.91 0.01
711.00 RYOHIN KEIKAKU CO LTD 182,157.07 0.03 7,552.00 KURARAY CO LTD 97,770.89 0.01

The accompanying notes form an integral part of these financial statements

21
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
18,872.00 KIRIN HOLDINGS CO LTD 416,408.77 0.06 5,616.00 TAISEI 220,504.06 0.03
28,251.00 KUBOTA CORP 413,500.30 0.06 11,700.00 SHOWA SHELL SEKIYU KK 213,462.54 0.03
6,500.00 MARUI GROUP CO LTD 138,150.06 0.02 12,275.00 TAKEDA PHARMA CO LTD 452,279.44 0.07
4,000.00 LION CORP 76,526.01 0.01 10,400.00 MITSUBISHI TANABE PHARMA CORP 149,777.53 0.02
6,200.00 MARUICHI STEEL TUBE LTD 174,116.38 0.03 200.00 BANK OF KYOTO 8,989.68 0.00
69,727.00 MARUBENI CORP 549,659.89 0.08 3,848.00 TERUMO CORP. 196,295.28 0.03
36,237.00 PANASONIC CORP 363,526.37 0.06 3,900.00 TEIJIN LTD 64,414.19 0.01
12,545.00 MAZDA MOTOR CORP 129,701.43 0.02 1,600.00 TOHO GAS 52,331.18 0.01
1,900.00 KEYENCE CORP 950,223.22 0.15 1,223.00 TOHO CO 33,048.04 0.01
41,495.00 MITSUBISHI ELECTRIC CORP 489,558.53 0.07 8,400.00 TOBU RAILWAY CO LTD 213,933.25 0.03
27,985.00 MITSUBISHI ESTATE 409,819.07 0.06 8,426.00 TOKYO GAS CO LTD 178,350.51 0.03
4,300.00 MITSUBISHI GAS CHEM. 78,843.17 0.01 5,300.00 HITACHI CONST MACH. 152,657.87 0.02
10,355.00 MITSUBISHI HEAVY INDUSTRIES LTD 344,332.07 0.05 3,506.00 TOKYO ELECTRON LTD 414,834.19 0.06
35,100.00 MITSUBISHI CORP 931,448.73 0.14 12,581.00 TOKYU CORP 198,162.03 0.03
53,461.00 MITSUI AND CO LTD 818,758.20 0.13 5,367.00 TOKYO TATEMONO CO 56,383.83 0.01
12,100.00 NIKON CORP 195,813.66 0.03 22,186.00 TORAY INDUSTRIES INC 143,529.86 0.02
12,700.00 NAGOYA RAIL ROAD CO. LTD. 270,886.61 0.04 11,848.00 TOYOTA TSUSHO CORP 385,267.23 0.06
2,332.00 NINTENDO CO LTD 732,854.19 0.11 3,900.00 TOTO LTD 139,381.79 0.02
1,400.00 HITACHI HIGH-TECHNOLOGIES 41,545.07 0.01 3,200.00 TOYO SEIKAN KAISHA 57,170.15 0.01
3,400.00 NEC CORP 80,922.31 0.01 6,400.00 TOYO SUISAN KAISHA 213,690.70 0.03
3,700.00 NIPPON EXPRESS 209,218.60 0.03 4,265.00 TOYOTA INDUSTRIES CORP 217,244.12 0.03
5,000.00 NH FOODS LTD 158,987.03 0.02 45,963.00 TOYOTA MOTOR CORP 2,471,840.80 0.39
3,049.00 NIPPON PAINT HOLDINGS CO LTD 97,990.28 0.01 4,800.00 YAMAHA MOTOR CO LTD 115,880.51 0.02
2,700.00 NISSAN CHEMICAL CORP 122,793.32 0.02 9,300.00 UNI CHARM 264,910.67 0.04
54,995.00 NISSAN MOTOR CO LTD 443,323.17 0.07 1,900.00 YAKULT HONSHA CO LTD 134,079.69 0.02
4,836.00 NITTO DENKO CORP 312,163.18 0.05 32,604.00 ASTELLAS PHARMA 489,817.46 0.07
12,800.00 ODAKYU ELECTRIC RAILWAY CO LTD 260,794.83 0.04 3,000.00 YAMAZAKI BAKING CO 51,709.63 0.01
1,900.00 NISSHIN FOODS 112,477.17 0.02 16,250.00 NIPPON TELEGRAPH AND TELEPHONE CORP 632,120.31 0.10
6,800.00 NISSHIN FLOUR MILL. 128,341.76 0.02 4,200.00 YOKOGAWA ELECTRIC CORP 76,500.24 0.01
84,734.00 NOMURA HOLDINGS INC 348,559.77 0.05 1,406.00 SMC CORP 387,497.52 0.06
200.00 RINNAI CORP 13,128.27 0.00 1,900.00 YAMAHA CORP. 86,698.15 0.01
34,268.00 ORIX CORP 478,451.71 0.07 12,200.00 MITSUBISHI MOTORS CORP 74,164.13 0.01
14,973.00 OBAYASHI CORP 122,118.32 0.02 5,056.00 NIDEC CORP 626,399.96 0.10
5,000.00 OSAKA GAS CY 83,984.57 0.01 2,036.00 DAITO TRUST CONSTRUCTION CO LTD 225,546.62 0.03
12,800.00 RICOH CO LTD 118,366.69 0.02 600.00 DISCO CO LTD 86,501.07 0.01
5,543.00 OLYMPUS CORP 186,336.63 0.03 1,700.00 JAPAN AIRPORT TERMINAL CO LTD 66,619.17 0.01
3,241.00 OMRON CORP 117,917.97 0.02 1,500.00 NITORI 185,270.11 0.03
8,195.00 ONO PHARMACEUTICAL CO LTD 199,705.33 0.03 1,127.00 SHIMANO INC 156,412.69 0.02
6,200.00 SECOM CO LTD 435,267.45 0.07 5,082.00 MAKITA CORP 219,182.89 0.03
11,976.00 SEKISUI HOUSE LTD 157,269.59 0.02 2,300.00 KONAMI HLDS SHS 77,579.60 0.01
3,000.00 SHARP CORP 52,505.52 0.01 7,000.00 YASKAWA ELECTRIC CORP 179,073.59 0.03
20,435.00 SHIMIZU CORP 160,625.00 0.02 19,755.00 MITSUI FUDOSAN CO LTD 402,649.87 0.06
9,227.00 SHIN-ETSU CHEM. CO LTD 703,937.38 0.11 1,400.00 KANEKA CORP 55,711.78 0.01
5,635.00 SHINOGI CO LTD 317,096.62 0.05 500.00 SANKYO CO LTD 16,846.18 0.00
6,200.00 SHISEIDO 413,508.78 0.06 35,431.00 ITOCHU CORP 558,607.13 0.09
13,000.00 SHIZUOKA BANK LTD 100,508.60 0.02 2,100.00 MEDICEO HOLDINGS CORP 37,740.75 0.01
25,402.00 SONY CORP 1,341,254.25 0.21 4,700.00 USS 75,133.59 0.01
6,200.00 SHIMADZU CORPORATION 167,302.11 0.03 2,200.00 SYSMEX 163,087.72 0.02
600.00 CREDIT SAISON CO LTD 8,427.26 0.00 2,400.00 TREND MICRO INC 132,980.62 0.02
32,014.00 SUMITOMO CHEMICAL CO LTD 161,369.45 0.02 29,563.00 NTT DOCOMO INC 684,572.49 0.10
4,000.00 SANTEN PHARMACEUTICAL CO LTD 54,605.13 0.01 10,050.00 TOKIO MARINE HOLDINGS INC 429,411.65 0.07
15,400.00 SUMITOMO ELECTRIC INDUSTRIES LTD 208,011.89 0.03 2,500.00 MITSUBISHI UFJ LEASE AND FINANCE CO LTD 12,677.27 0.00
7,759.00 SUMITOMO METAL MINING CO LTD 234,424.38 0.04 1,100.00 SOHGO SECURITY SERVICES CO 41,647.40 0.01
18,295.00 SUMITOMO CORP 262,716.14 0.04 26,642.00 SUMITOMO MITSUI FINANCIAL GROUP INC 926,105.80 0.14
7,404.00 SUZUKI MOTOR CORP 365,236.09 0.06 4,657.00 KANSAI PAINT CO LTD 73,916.71 0.01
2,343.00 SUMITOMO HEAVY INDUSTRIES 72,014.99 0.01 483,023.00 MIZUHO FINANCIAL GROUP INC 725,656.68 0.11
6,404.00 SUMITOMO REALTY & DEVELOPMENT CO LTD 198,048.34 0.03 7,500.00 ALFRESA HOLDINGS CORP 172,820.23 0.03

The accompanying notes form an integral part of these financial statements

22
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
300.00 KAKAKU.COM 5,052.72 0.00 11,489.00 AIRBUS GROUP 1,242,880.02 0.19
764.00 OSAKA SECURITIES EXCHANGE 11,466.17 0.00 2,981.00 RANDSTAD BR 137,066.38 0.02
6,340.00 T AND D HOLDING INC 90,105.28 0.01 5,366.00 AKZO NOBEL NV 432,177.64 0.07
5,600.00 HULIC CO LTD 47,328.49 0.01 3,038.00 HEINEKEN HOLDING 236,964.00 0.04
4,600.00 NABTESCO CORP 105,299.06 0.02 4,226.00 DSM KONINKLIJKE 385,580.24 0.06
4,711.00 SEGA SAMMY HOLDINGS INC 59,811.91 0.01 26,471.00 AEGON NV 147,919.95 0.02
5,100.00 HAKUHODO DY HOLDINGS INC 77,043.71 0.01 32,455.00 UNILEVER NV 1,556,704.08 0.23
7,200.00 DAIICHI SANKYO CO LTD 268,780.93 0.04 5,526.00 WOLTERS KLUWER 296,635.68 0.05
16,800.00 SEVEN & I HOLDINGS CO LTD 644,346.58 0.10 5,310.00 AERCAP HOLDINGS 262,962.72 0.04
3,400.00 SO-NET M3 66,438.77 0.01 221.00 KONINKLIJKE VOPAK 9,379.24 0.00
33,318.00 MITSUBISHI CHEMICAL HOLDINGS CORP 274,642.61 0.04 8,475.00 LYONDELLBASELL -A- 747,974.39 0.11
3,100.00 BANDAI NAMCO HOLDINGS INC 103,741.41 0.02 8,431.00 ASML HLDG 1,356,547.90 0.20
600.00 TSURUHA HOLDINGS INC 63,625.13 0.01 21,497.00 CNH INDUSTRIAL NV 222,493.95 0.03
2,188.00 NOMURA REAL ESTATE HOLDINGS INC 38,045.25 0.01 3,540.00 NN GROUP NV 136,042.20 0.02
6,000.00 IDEMITSU KOSAN 273,328.84 0.04 22,533.00 FIAT CHRYSLER AUTOMOBILES -A- 341,239.75 0.05
600.00 FUKUOKA FINANCIAL GROUP 14,212.19 0.00 9,998.00 MYLAN NV. 315,046.75 0.05
2,100.00 AOZORA BANK SHS 64,625.67 0.01 2,433.00 ABN AMRO GROUP DEP RECEIPT 57,053.85 0.01
7,500.00 J.FRONT RETAILING CO LTD 100,224.36 0.02 2,693.00 FERRARI 319,389.80 0.05
2,115.00 SONY FINANCIAL HOLDINGS 40,142.50 0.01 69,714.00 ING GROEP 779,681.38 0.12
5,200.00 ZOZO INC 135,588.08 0.02 4,077.00 EXOR REG 235,732.14 0.04
6,743.00 ISETAN MITSUKOSHI 71,299.60 0.01 7,840.00 QIAGEN REGD EUR 255,584.00 0.04
7,515.00 MS&AD INSURANCE GROUP HOLDING 216,115.56 0.03 New Zealand 713,315.17 0.11
7,100.00 TEMP HOLDINGS 143,421.84 0.02
1,900.00 HOSHIZAKI 169,363.82 0.03 31,594.00 FLETCHER BUILDING LTD 117,936.51 0.02
2,000.00 MEIJI HLDGS 115,668.28 0.02 56,810.00 SPARK NEW 131,324.49 0.02
6,200.00 SOMPO HOLDINGS INC 227,408.68 0.03 71,953.00 AUCKLAND INTERNATIONAL AIRPORT LTD 299,804.17 0.04
16,686.00 DAI-ICHI LIFE INSURANCE CO LT 299,181.63 0.05 87,600.00 MERIDIAN ENERGY LTD 164,250.00 0.03
97,474.00 JX HOLDINGS INC 634,143.62 0.10 Norway 2,798,907.47 0.43
2,400.00 POLA ORBIS HOLDINGS 75,495.15 0.01
27,689.00 DNB 501,325.94 0.08
1,800.00 KEIHAN EL RWY 59,213.67 0.01
17,288.00 MARINE HARVEST 344,630.43 0.05
8,000.00 NEXON CO LTD 90,048.44 0.01
26,729.00 ORKLA ASA 194,312.57 0.03
22.00 DAIWA HOUSE REIT INV SHS 43,339.98 0.01
15,011.00 GJENSIDIGE FORSIKRING ASA 217,743.93 0.03
23.00 PROLOGIS REIT 39,208.21 0.01
63,505.00 EQUINOR 1,540,894.60 0.24
7,000.00 SUNTORY 255,213.03 0.04
20,448.00 TOKYU FUDOSAN HOLDINGS CORP 122,754.03 0.02 Portugal 864,744.20 0.13
2,091.00 LIDA GROUP HOLDINGS CO LTD 32,031.71 0.00 7,276.00 JERONIMO MARTINS SGPS SA 92,296.06 0.01
20,481.00 RECRUIT HOLDINGS CO LTD 588,679.91 0.09 88,552.00 EDP-ENERGIAS REG.SHS 281,418.26 0.04
31,900.00 JAPAN POST HOLDINGS CO 326,909.17 0.05 28,732.00 GALP ENERGIA SA REG SHS -B- 491,029.88 0.08
20,000.00 JAPAN POST BANK 203,594.36 0.03
Singapore 4,103,301.82 0.63
59.00 NOMURA REAL ESTATE MASTER FUND 69,407.03 0.01
11,000.00 CONCORDIA FIN GRP 46,441.65 0.01 45,400.00 SINGAPORE EXCHANGE LTD 210,830.16 0.03
12,714.00 FLEXTRONICS INTERNATIONAL LTD 143,614.02 0.02
Jersey Island 2,800,924.31 0.43
65,066.00 SINGAPORE TECHNOLOGIES ENGINEERING 145,953.16 0.02
18,128.00 EXPERIAN GROUP 401,069.15 0.06 40,728.00 DBS GROUP HOLDINGS 669,540.04 0.10
3,619.00 RANDGOLD RESSOURCES LTD 221,451.19 0.03 14,700.00 CITY DEVELOPMENT 84,381.08 0.01
17,453.00 SHIRE 906,011.86 0.15 1,942.00 JARDINE CYCLE & CARRIAGE LTD 39,144.69 0.01
5,714.00 APTIV - REGISTERED 412,746.10 0.06 34,712.00 UNITED OVERSEAS BANK 592,294.48 0.09
28,337.00 WPP 2012 PLC 357,771.93 0.05 30,738.00 UOL GROUP LTD 133,445.59 0.02
6,861.00 FERGUSON 501,874.08 0.08 138,200.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 229,890.68 0.04
Luxembourg 415,145.18 0.06 31,900.00 SATS 104,922.97 0.02
137,356.00 S'PORE PRESS HOLDINGS LTD 248,392.75 0.04
3,088.00 MILLICOM INTERNATIONAL CELLULAR SA-SDR- 152,613.78 0.02
153,600.00 SUNTEC REAL ESTATE INVESTMENT TRUST 186,791.85 0.03
5,164.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 97,599.60 0.01
89,989.00 OVERSEA-CHINESE BANKING CORPORATION LTD 648,671.54 0.10
2,684.00 RTL GROUP 164,931.80 0.03
278,720.00 SINGAPORE TELECOM - SH BOARD LOT 1000 569,013.45 0.09
Netherlands 10,560,462.42 1.61 123,400.00 YANGZIJIANG SHIPBUILDING (HOLDINGS) LTD 96,415.36 0.01
114,877.00 KONINKLIJKE KPN NV 261,000.54 0.04 Spain 7,164,250.61 1.09
21,012.00 ROYAL PHILIPS ELECTRONIC 824,405.82 0.13
11,898.00 ENDESA 221,421.78 0.03

The accompanying notes form an integral part of these financial statements

23
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
322,328.00 BANCO SANTANDER SA REG SHS 1,397,453.04 0.21 1,572.00 BALOISE HOLDING REG.SHS 207,420.03 0.03
13,440.00 NATURGY ENERGY GROUP SA 315,974.40 0.05 929.00 SONOVA HOLDING NAM-AKT 159,916.88 0.02
123,516.00 TELEFONICA S A 842,132.09 0.13 3,074.00 THE SWATCH GROUP REG 207,272.49 0.03
106,804.00 BANCO BILBAO VIZCAYA ARGENT SA REG 586,353.96 0.09 46,061.00 CREDIT SUISSE GROUP AG REG SHS 598,827.51 0.09
10,396.00 ENAGAS 241,707.00 0.04 227.00 SGS SA REG SHS 517,004.98 0.08
11,384.00 GAMESA CORPORACION TECNOLOGICA SA 124,085.60 0.02 853.00 SWISSCOM SHS NOM 334,869.51 0.05
18,893.00 FERROVIAL SA 337,617.91 0.05 89.00 BARRY CALLEBAUT - NAMEN-AKT 145,908.07 0.02
22,006.00 MAPFRE REG-SHS 59,460.21 0.01 760.00 SWISS LIFE HOLDING N-NAMEN REGISTERED 249,191.31 0.04
101,377.00 BANCO SABADELL REG.SHS 135,743.80 0.02 438.00 EMS-CHEM HOLDINGS-NAMEN ACT. 225,842.85 0.03
159,707.00 IBERDROLA S A 1,012,222.97 0.15 2,102.00 SWISS PRIME SITE AG-NAMEN AKT 154,979.77 0.02
60,926.00 CAIXABANK 239,926.59 0.04 1,294.00 DUFRY GROUP 126,200.78 0.02
7,316.00 AMADEUS IT -A- 585,426.32 0.09 1,125.00 SCHINDLER HOLDING SA 242,541.10 0.04
24,864.00 INDITEX SHARE FROM SPLIT 649,199.04 0.10 896.00 SCHINDLER HOLDING NAMEN AKT 187,010.53 0.03
7,098.00 GRIFOLS SA -A- 172,197.48 0.03 306.00 PARTNERS GROUP HLDG NAMEN AKT 209,969.59 0.03
8,551.00 RED ELECTRICA 154,260.04 0.02 2,514.00 KUEHNE + NAGEL INTERNATIONAL AG 344,565.69 0.05
26,375.00 BANKIA BEARER SHS 89,068.38 0.01 10,245.00 CHUBB - NAMEN AKT 1,178,770.38 0.19
Sweden 7,640,347.92 1.17 8,174.00 TE CONNECTIVITY LTD REG SHS 618,803.12 0.09
3,215.00 JULIUS BAER GROUP NAMEN AKT 139,164.12 0.02
30,098.00 SANDVIK AB 459,650.47 0.07 5,457.00 GARMIN 329,111.36 0.05
87,678.00 TELIA COMPANY AB 346,484.92 0.05 7,500.00 SWISS RE NAMEN AKT 598,915.86 0.09
17,749.00 LUNDIN PETROL 584,559.74 0.10 11,920.00 CIE FINANCIERE RICHEMONT NAMEN AKT 840,509.45 0.13
14,882.00 SWEDBANK -A- 317,392.39 0.05 73,511.00 UBS GROUP NAMEN-AKT 1,004,292.89 0.16
3,608.00 SWEDISH MATCH 158,927.34 0.02 1,160.00 VIFOR PHARMA - REGISTERED 173,966.77 0.03
5,538.00 HEXAGON -B- 279,326.01 0.04 3,180.00 SIKA - REGISTERED SHS 400,530.60 0.06
8,127.00 ELECTROLUX -B- FREE 154,208.05 0.02
The Netherlands Antilles 2,031,156.19 0.31
17,256.00 SKANSKA -B- FREE 291,595.41 0.04
6,301.00 INDUSTRIVAERDEN -C- FREE 120,475.10 0.02 38,726.00 SCHLUMBERGER LTD 2,031,156.19 0.31
13,809.00 SKF AB -B- 234,416.78 0.04 United Kingdom 37,059,076.08 5.66
38,649.00 VOLVO AB -B- 587,807.53 0.10
359,269.00 HSBC HOLDINGS PLC 2,701,828.73 0.40
26,306.00 HENNES AND MAURITZ AB 418,267.82 0.06
3,110.00 SCHRODERS 108,072.19 0.02
32,198.00 SKANDINAVISKA ENSKILDA BANKEN -A- 309,340.19 0.05
96,909.00 GLAXOSMITHKLINE PLC 1,672,146.76 0.26
46,380.00 TELEFON AB L.M.ERICSSON 354,175.36 0.05
15,056.00 SMITH AND NEPHEW PLC 236,578.59 0.04
9,178.00 SECURITAS -B- FREE 137,498.96 0.02
64,952.00 STANDARD CHARTERED PLC 464,104.34 0.07
47,317.00 NORDEA BANK 443,692.78 0.07
238,329.00 BT GROUP PLC 602,880.19 0.09
6,704.00 ALFA LAVAL 156,412.60 0.02
1,252,157.00 LLOYDS BANKING GROUP PLC 833,271.71 0.13
11,962.00 HUSQVARNA -B- 87,663.82 0.01
27,683.00 MARKS AND SPENCER GROUP PLC 89,764.22 0.01
9,752.00 TELE2 AB 101,017.86 0.02
6,494.00 WEIR GROUP PLC 128,545.70 0.02
24,702.00 SHB -A- 268,435.02 0.04
19,045.00 BRITISH SKY BROADCASTING GROUP 369,716.56 0.06
29,419.00 ASSA ABLOY -B- NEW I 508,805.30 0.08
14,353.00 ASHTEAD GROUP 392,727.35 0.06
2,213.00 KINNEVIK AB -B- 57,652.19 0.01
17,260.00 BARRATT DEVELOPMENTS PLC 109,879.53 0.02
16,311.00 ATLAS COPCO --- REGISTERED SHS -A- 404,557.65 0.06
39,710.00 BRITISH LAND CO PLC REIT 275,002.84 0.04
5,673.00 EPIROC -REGISTERED SHS 50,252.14 0.01
73,349.00 AVIVA PLC 403,125.09 0.06
16,311.00 EPIROC- REGISTERED SHS 156,801.62 0.02
29,658.00 SSE PLC 381,609.70 0.06
5,673.00 ATLAS COPCO --- REGISTERED SHS -B- 130,243.67 0.02
32,203.00 MEGGITT PLC 204,791.77 0.03
21,696.00 BOLIDEN -REGISTERED SHS 520,687.20 0.08
77,413.00 MORRISON SUPERMARKETS PLC 225,463.78 0.03
Switzerland 18,828,375.85 2.88 12,551.00 PEARSON PLC 125,418.40 0.02
197.00 GIVAUDAN SA REG.SHS 418,986.38 0.06 9,787.00 PERSIMMON PLC 259,880.48 0.04
3.00 CHOCOLADEFABRIKEN LINDT.SPRUENGLI NOM. 212,859.72 0.03 55,379.00 PRUDENTIAL PLC 1,094,025.16 0.17
31.00 CHOCOLADEFAB.LINDT.SPRUENGLI PARTIZIPSCH 187,986.43 0.03 55,592.00 TAYLOR WIMPEY PLC 107,232.99 0.02
2,865.00 ZURICH INSURANCE GROUP NAMEN AKT 783,326.43 0.12 178,669.00 TESCO PLC 481,051.21 0.07
13,413.00 ROCHE HOLDING AG GENUSSSCHEIN 2,810,753.82 0.44 10,292.00 TRAVIS PERKINS 123,124.98 0.02
43,263.00 NOVARTIS AG REG SHS 3,218,366.05 0.50 95,986.00 LEGAL GENERAL GROUP PLC 282,574.85 0.04
49,476.00 ABB LTD REG SHS 1,011,280.63 0.16 8,947.00 ST JAME'S PLACE CAPITAL 114,920.20 0.02
7,379.00 ADECCO REG.SHS 335,211.02 0.05 23,709.00 IMPERIAL BRANDS - REGISTERED 711,017.11 0.11
12,432.00 CLARIANT NAMEN AKT 279,858.34 0.04 54,694.00 DIAGEO PLC 1,669,712.97 0.26
1,044.00 TEMENOS AG NAM.AKT 146,494.03 0.02 78,059.00 BAE SYSTEMS PLC 551,973.93 0.08
350.00 STRAUMANN HOLDING REG 227,667.36 0.03 44,128.00 BRITISH AMERICAN TOBACCO PLC 1,775,970.54 0.27

The accompanying notes form an integral part of these financial statements

24
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
25,040.00 ASTRAZENECA PLC 1,676,455.62 0.26 8,556.00 TARGET CORP 649,784.55 0.10
334,340.00 BARCLAYS PLC 644,842.81 0.10 4,506.00 EDWARDS LIFESCIENCES CORP 675,415.07 0.10
2,952.00 INTERTEK GROUP PLC 165,456.51 0.03 18,088.00 METLIFE INC 727,568.97 0.11
5,786.00 BURBERRY GROUP PLC 130,902.04 0.02 18,338.00 UNITEDHEALTH GROUP INC 4,200,294.03 0.64
2,272.00 NEXT PLC 140,148.97 0.02 79,957.00 VERIZON COMMUNICATIONS INC 3,675,337.26 0.56
47,263.00 KINGFISHER PLC 136,909.61 0.02 3,002.00 ILLUMINA INC 948,699.20 0.14
69,543.00 ITV PLC 123,251.14 0.02 75,792.00 FORD MOTOR 603,595.35 0.09
34,118.00 J SAINSBURY PLC 123,271.45 0.02 3,907.00 MOODY S CORP 562,419.63 0.09
30,882.00 GROUP 4 SECURICOR 83,910.00 0.01 2,638.00 LABORATORY CORP OF AMERICA HOLDINGS 394,462.20 0.06
2,906.00 ADMIRAL GROUP PLC 67,865.94 0.01 2,805.00 BLACKROCK INC 1,138,252.82 0.17
158,872.00 CENTRICA PLC NEW 276,306.89 0.04 4,100.00 DAVITA 252,848.04 0.04
11,270.00 BUNZL PLC 305,333.30 0.05 27,472.00 EXELON CORP 1,032,653.91 0.16
16,973.00 BABCOCK INTERNATIONAL GROUP PLC 137,781.16 0.02 5,921.00 AETNA INC 1,034,072.19 0.16
3,587.00 LSE GROUP 184,696.37 0.03 6,567.00 FLUOR CORP WHEN ISSUED 328,491.35 0.05
26,583.00 UNILEVER PLC 1,258,338.61 0.19 64,733.00 JPMORGAN CHASE CO 6,288,826.28 0.96
10,202.00 INVESTEC 61,808.78 0.01 3,446.00 GLOBAL PAYMENTS INC 377,977.10 0.06
6,472.00 SEVERN TRENT PLC 134,359.49 0.02 34,456.00 US BANCORP 1,566,613.31 0.24
5,716.00 HARGREAVES LANS - REGISTERED SHS 143,437.49 0.02 21,498.00 NEW YORK COMMUNITY BANCORP INC 191,936.51 0.03
14,037.00 SMITHS GROUP -SHS- 235,696.78 0.04 1,683.00 ALIGN TECHNOLOGY INC 566,873.23 0.09
10,401.00 3I GROUP PLC 109,913.22 0.02 6,333.00 RAYTHEON CO 1,126,799.64 0.17
6,763.00 MONDI PLC 159,763.68 0.02 3,553.00 CONSTELLATION BRANDS INC -A- 659,576.29 0.10
13,031.00 RECKITT BENCKISER GROUP PLC 1,026,503.07 0.16 5,628.00 REGENCY CENTERS 313,355.80 0.05
45,206.00 RELX PLC 820,220.02 0.13 2,587.00 ROCKWELL COLLINS WHEN ISSUED 312,867.75 0.05
14,892.00 FRESNILLO PLC 137,341.14 0.02 3,661.00 BIOMARIN PHARMACEUTICAL INC 305,645.43 0.05
29,460.00 UNITED UTILITIES GROUP PLC 232,861.84 0.04 4,584.00 ZIMMER BIOMET HLDGS SHS 518,862.23 0.08
24,401.00 SEGRO (REIT) 174,737.08 0.03 4,248.00 AMERISOURCEBERGEN CORP 337,279.86 0.05
41,799.00 ROLLS ROYCE HOLDINGS 463,395.64 0.07 40,298.00 CHEVRON CORP 4,242,479.07 0.65
29,818.00 JOHN WOOD GROUP 258,323.34 0.04 3,912.00 SCANA 130,983.80 0.02
531.00 THE BERKELEY GR 21,933.97 0.00 7,775.00 PRINCIPAL FINANCIAL GROUP INC 392,197.37 0.06
5,700.00 AON 754,667.24 0.12 1,671.00 ACUITY BRANDS 226,156.87 0.03
48,114.00 ROYAL BANK OF SCOTLAND 135,053.05 0.02 18,548.00 CENTERPOINT ENERGY 441,543.00 0.07
22,741.00 SAGE GROUP 149,725.73 0.02 9,432.00 PRUDENTIAL FINANCIAL INC 822,772.48 0.13
11,641.00 LIBERTY GLOBAL -C- 282,230.36 0.04 39,520.00 ALTRIA GROUP 2,052,045.80 0.31
3,179.00 LIBERTY GLOBAL -A- 79,180.77 0.01 954.00 ALLIANCE DATA SYSTEMS CORP 193,970.42 0.03
38,657.00 ROYAL MAIL 207,076.35 0.03 2,399.00 SEATTLE GENETICS INC 159,286.16 0.02
12,736.00 RSA INSURANCE GROUP PLC 82,223.10 0.01 5,285.00 INTUIT 1,034,704.26 0.16
68,035.00 STANDARD LIFE NEW 233,670.99 0.04 6,528.00 ALLSTATE CORP 554,725.44 0.08
16,827.00 AUTO TRADER GROUP PLC 84,375.88 0.01 4,217.00 HENRY SCHEIN INC 308,714.17 0.05
17,436.00 DIRECT LINE INS GR PLC NI 63,408.97 0.01 3,027.00 FLIR SYSTEMS INC 160,197.75 0.02
7,409.00 NIELSEN HOLDINGS PLC 176,438.18 0.03 11,696.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 667,220.80 0.10
99,048.00 MELROSE INDUSTRIES PLC 222,306.12 0.03 7,503.00 PULTEGROUP 160,008.02 0.02
4,129.00 JOHNSON MATTHEY 165,132.18 0.03 1,611.00 CAMDEN PROPERTY SBI 129,781.55 0.02
85,061.00 ROYAL DUTCH SHELL PLC -B- 2,568,113.50 0.39 4,821.00 ESTEE LAUDER COMPANIES INC -A- 603,174.96 0.09
89,220.00 ROYAL DUTCH SHELL PLC 2,641,088.31 0.39 5,911.00 BORG WARNER 217,712.08 0.03
2,282.00 CRODA INTERNATIONAL PLC 133,284.28 0.02 2,034.00 WATERS 340,920.46 0.05
8,535.00 COCA COLA EUROPEAN PARTNERS PLC 334,125.23 0.05 10,581.00 DUKE REALTY 258,444.23 0.04
8,836.00 TECHNIPFMC LTD 239,455.60 0.04 1,987.00 GARTNER GROUP INC -A- 271,148.95 0.04
15,497.00 TECHNIPFMC USD 416,944.68 0.06 107.00 NVR INC 227,615.67 0.03
91,196.00 NATIONAL GRID PLC 810,335.31 0.12 3,526.00 INCYTE CORP 209,708.20 0.03
38,281.00 COMPASS GROUP 733,255.33 0.11 2,761.00 MID-AMER APARTMENT COMMUNITIES INC 238,137.74 0.04
7,501.00 MICRO FOCUS INTL PLC 120,391.62 0.02 4,175.00 MACERICH CO 198,739.35 0.03
23,912.00 LAND SEC R.E.I.T 237,173.54 0.04 6,462.00 ENTERGY CORP 451,366.39 0.07
6,030.00 SENSATA TECH(S) -REGISTERED SHS 257,241.93 0.04 3,841.00 CITRIX SYSTEMS 367,598.42 0.06
United States of America 381,883,852.52 58.36 5,431.00 COPART INC 240,946.56 0.04
7,988.00 CARDINAL HEALTH INC 371,374.95 0.06
636.00 UNITED THERAPEUTICS CORP 70,022.97 0.01 2,492.00 ALBERMARLE CORPORATION 214,078.14 0.03
3,726.00 PACKAGING CORP OF AMERICA 351,876.83 0.05 16,608.00 KEYCORP 284,402.17 0.04

The accompanying notes form an integral part of these financial statements

25
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,694.00 ESSEX PROPERTY TRUST 359,816.39 0.05 3,811.00 ARROW ELECTRONICS INC 241,882.84 0.04
4,321.00 RESMED 429,086.65 0.07 4,621.00 AUTODESK INC 621,079.91 0.09
11,476.00 CAPITAL ONE FINANCIAL CORP 937,939.46 0.14 9,074.00 AUTOMATIC DATA PROCESSING INC 1,177,002.88 0.18
6,305.00 DTE ENERGY COMPANY 592,393.16 0.09 691.00 AUTOZONE INC 461,479.72 0.07
827.00 COOPER COMPANIES INC 197,333.66 0.03 2,541.00 AVERY DENNISON CORP 237,036.03 0.04
12,735.00 EDISON INTERNATIONAL 742,061.82 0.11 7,868.00 AVNET INC 303,271.94 0.05
3,175.00 ALEXION PHARMACEUTICALS 379,988.59 0.06 6,660.00 BALL CORP 252,237.11 0.04
2,142.00 ANSYS INC 344,269.10 0.05 4,962.00 BECTON DICKINSON 1,115,008.18 0.17
15,751.00 NATIONAL OILWELL VARCO INC 584,204.12 0.09 5,926.00 BEST BUY CO 404,896.56 0.06
18,200.00 CVS HEALTH 1,233,494.62 0.19 10,887.00 BOEING CO COM. 3,485,902.11 0.53
4,724.00 ROCKWELL AUTOMATION 762,672.82 0.12 29,118.00 BOSTON SCIENTIFIC CORP 965,168.32 0.15
3,725.00 QUEST DIAGNOSTICS 346,073.83 0.05 2,655.00 M&T BANK CORPORATION 376,111.67 0.06
16,296.00 PG AND E CORP 645,526.44 0.10 31,902.00 BRISTOL-MYERS SQUIBB CO 1,705,102.16 0.26
1,886.00 TAKE TWO INTERACTIVE SOFTWARE INC 224,062.97 0.03 8,366.00 BROWN-FORMAN CORP -B- NON VOTING 364,099.27 0.06
7,726.00 STATE STREET CORP 557,283.07 0.09 6,943.00 CADENCE DESIGN SYSTEMS INC 270,905.52 0.04
2,284.00 AUTOLIV 170,449.52 0.03 13,171.00 CATERPILLAR - REGISTERED 1,729,182.77 0.26
18,415.00 BB AND T CORP 769,577.36 0.12 12,719.00 CELGENE CORP 979,959.80 0.15
8,517.00 HARTFORD FINANCIAL SERVICES GROUP INC 366,344.66 0.06 6,616.00 CERNER CORP 366,884.68 0.06
7,584.00 AMAZON.COM INC 13,078,563.93 2.00 8,449.00 CHURCH AND DWIGHT CO 431,870.11 0.07
28,715.00 MORGAN STANLEY 1,151,319.46 0.18 5,366.00 CIGNA CORP 962,091.69 0.15
7,779.00 FLOWSERVE 366,279.39 0.06 4,518.00 CINCINNATI FINANCIAL CORP 298,775.36 0.05
11,453.00 VALERO ENERGY 1,121,634.74 0.17 2,460.00 CINTAS 418,951.87 0.06
14,391.00 NISOURCE 308,759.12 0.05 91,123.00 CISCO SYSTEMS INC 3,816,731.77 0.58
3,095.00 SL GREEN REALTY CORPORATION 259,884.07 0.04 3,081.00 CLOROX CO 398,978.23 0.06
6,786.00 GOLDMAN SACHS GROUP INC 1,310,109.89 0.20 12,194.00 CMS ENERGY CORP 514,426.17 0.08
32,977.00 ANNALY CAPITAL MANAGEMENT 290,447.45 0.04 3,802.00 COGNEX CORP 182,718.59 0.03
16,431.00 ONEOK INC (NEW) 958,981.91 0.15 18,161.00 COLGATE-PALMOLIVE CO 1,046,817.86 0.16
184,034.00 BANK OF AMERICA CORP 4,667,793.06 0.71 2,362.00 COMERICA INC 183,428.67 0.03
1,116.00 AFFILIATED MANAGERS GROUP 131,364.20 0.02 12,603.00 COGNIZANT TECHNOLOGY SOLUTIONS -A- 837,125.66 0.13
1,916.00 AMERICAN FINANCIAL GROUP 183,055.12 0.03 4,656.00 CUMMINS - REGISTERED 585,537.60 0.09
12,870.00 JUNIPER NETWORKS INC 332,082.57 0.05 9,416.00 DR HORTON 341,943.07 0.05
19,689.00 DEVON ENERGY CORP 677,037.16 0.10 14,513.00 DANAHER CORP 1,357,712.08 0.21
1,132.00 F5 NETWORKS 194,355.09 0.03 6,271.00 DEERE AND CO 811,639.63 0.12
8,451.00 UNUM SHS 284,270.83 0.04 5,450.00 DOVER CORP 415,401.21 0.06
708.00 METTLER TOLEDO INTERNATIONAL 371,207.78 0.06 2,934.00 EATON VANCE NON-VOTING 132,768.87 0.02
13,431.00 CONSOLIDATED EDISON INC 881,022.72 0.13 8,083.00 ECOLAB INC 1,091,048.42 0.17
3,859.00 RED HAT 452,780.47 0.07 6,358.00 ELECTRONIC ARTS - REGISTERED 659,556.97 0.10
2,554.00 UNITED RENTALS INC 359,736.89 0.05 3,197.00 EQUIFAX INC 359,390.69 0.05
8,194.00 SEMPRA ENERGY 802,468.79 0.12 8,368.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 529,745.19 0.08
1,812.00 LENNOX INTL 340,715.28 0.05 5,088.00 FASTENAL CO 254,159.07 0.04
1,672.00 VERISIGN INC 230,495.60 0.04 2,553.00 FED RLTY INV TR / SHS.OF BENEF.INTEREST 277,983.56 0.04
8,105.00 SEALED AIR 280,168.53 0.04 12,370.00 FIFTH THIRD BANCORP 297,348.60 0.05
2,387.00 AKAMAI TECHNOLOGIES 150,330.65 0.02 10,934.00 FISERV INC 775,499.72 0.12
9,715.00 AGILENT TECHNOLOGIES 590,009.56 0.09 4,545.00 FMC CORP 341,139.13 0.05
33,339.00 ABBOTT LABORATORIES LTD 2,105,681.48 0.32 7,457.00 FRANKLIN RESOURCES INC 195,236.65 0.03
708.00 ABIOMED INC 274,148.08 0.04 2,900.00 ARTHUR J.GALLAGHER AN CO 185,859.66 0.03
9,328.00 ADOBE SYSTEMS INC 2,167,966.94 0.33 807.00 GAP INC 20,044.73 0.00
25,442.00 ADVANCED MICRO DEVICES INC 676,627.97 0.10 180,580.00 GENERAL ELECTRIC CO 1,755,271.80 0.27
9,127.00 COSTCO WHOLESALE CORP 1,845,673.49 0.28 15,267.00 GENERAL MILLS INC 564,149.50 0.09
4,157.00 AGCO CORP 217,566.97 0.03 4,004.00 GENUINE PARTS CO 342,658.29 0.05
18,296.00 AFLAC INC 741,448.75 0.11 1,362.00 WW GRAINGER INC 419,106.69 0.06
549.00 ALLEGHANY (DEL) 308,427.87 0.05 26,617.00 GILEAD SCIENCES INC 1,769,348.75 0.27
17,010.00 AMERICAN EXPRESS CO COM. 1,559,530.69 0.24 3,229.00 HARLEY DAVIDSON INC 125,935.17 0.02
13,142.00 AMGEN INC 2,345,419.87 0.36 1,990.00 HARRIS CORP 289,907.79 0.04
10,297.00 ANALOG DEVICES INC 819,681.98 0.13 2,670.00 HASBRO INC 241,644.77 0.04
93,361.00 APPLE INC 18,144,909.29 2.78 2,908.00 HENRY JACK AND ASSOCIATES INC 400,785.74 0.06
24,386.00 APPLIED MATERIALS INC 811,466.98 0.12 5,480.00 HERSHEY 481,239.78 0.07

The accompanying notes form an integral part of these financial statements

26
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
22,518.00 HOME DEPOT INC 4,016,016.96 0.61 31,588.00 STARBUCKS CORP 1,545,813.10 0.24
2,485.00 HUMANA INC 724,255.02 0.11 7,333.00 STRYKER CORP 1,121,762.76 0.17
18,289.00 HUNTINGTON BANCSHARES INC 234,930.59 0.04 10,791.00 SUNTRUST BANKS INC 620,517.34 0.09
2,031.00 IDEXX LABS CORP 436,555.71 0.07 13,406.00 SYMANTEC CORP 245,613.16 0.04
8,525.00 ILLINOIS TOOL WORKS 1,035,770.99 0.16 12,058.00 SYSCO CORP 760,437.80 0.12
4,467.00 EAST WEST BANCORP INC 232,176.32 0.04 3,625.00 SYNOPSYS 307,758.29 0.05
89,728.00 INTEL CORP 3,653,239.02 0.56 838.00 TELEFLEX INC 191,978.84 0.03
17,955.00 IBM CORP 2,337,473.57 0.36 8,368.00 TEXTRON INC 514,903.97 0.08
2,206.00 INTERNATIONAL FLAVORS FRAGRANCES 264,226.19 0.04 8,528.00 THERMO FISHER SCIEN SHS 1,792,091.47 0.27
8,486.00 INTERPUBLIC GROUP OF COMPANIES INC 167,089.81 0.03 2,339.00 TIFFANY CO 259,716.60 0.04
51,036.00 JOHNSON AND JOHNSON 6,071,152.92 0.93 12,497.00 TJX COS INC 1,205,263.83 0.18
16,231.00 KIMCO REALTY 233,927.63 0.04 3,632.00 TOLL BROTHERS INC 103,284.51 0.02
3,136.00 KLA-TENCOR CORP 274,612.62 0.04 4,229.00 TORCHMARK CORP 315,636.69 0.05
2,964.00 ZOHL'S CORP 190,242.10 0.03 8,199.00 TRIMBLE 306,783.07 0.05
23,439.00 KROGER CO 587,438.05 0.09 5,591.00 UGI CORP 267,058.70 0.04
4,177.00 LAM RESEARCH CORP 545,545.33 0.08 16,786.00 UNITED TECHNOLOGIES CORP 2,020,534.36 0.31
4,085.00 LENNAR CORP -A- 164,208.91 0.03 2,024.00 UNIVERSAL HEALTH SERVICES INC 222,770.69 0.03
4,256.00 LINCOLN NATIONAL CORP 247,921.62 0.04 5,134.00 VERTEX PHARMACEUTICALS INC 851,939.01 0.13
15,231.00 LOWE'S COMPANIES INC 1,505,659.42 0.23 5,901.00 VF REGISTERED 474,772.66 0.07
1,735.00 MANPOWER INC 128,403.44 0.02 4,126.00 VULCAN MATERIALS CO 395,016.10 0.06
13,587.00 MARSH MC-LENNAN COS. INC. 967,642.39 0.15 30,443.00 WALMART INC 2,461,387.97 0.38
10,959.00 MASCO 345,328.80 0.05 29,259.00 WALT DISNEY CO 2,945,800.65 0.45
6,235.00 MATTEL 84,278.52 0.01 2,265.00 WHIRLPOOL CORP 231,570.17 0.04
2,682.00 MCCORMICK & CO INC NON VOTING 304,221.70 0.05 22,064.00 HOST HOTELS & RESORTS - SHS 400,818.25 0.06
134,394.00 MICROSOFT CORP 13,233,441.05 2.03 6,741.00 XILINX INC 465,282.80 0.07
2,604.00 MIDDLEBY CORP 289,993.46 0.04 5,502.00 ZIONS BANCORP 237,559.45 0.04
6,860.00 SIMON PROPERTY GROUP - REGISTERED 1,043,913.04 0.16 4,560.00 MCKESSON CORP 520,778.30 0.08
21,561.00 EBAY 612,952.41 0.09 11,009.00 NVIDIA CORP 2,663,580.87 0.41
12,176.00 NEWMONT MINING CORP 316,586.48 0.05 1,791.00 VARIAN MEDICAL SYTEMS 172,592.88 0.03
26,182.00 NIKE INC 1,909,719.36 0.29 1,212.00 ADVANCE AUTO PARTS 175,648.70 0.03
4,678.00 NORDSTROM INC 240,887.80 0.04 2,459.00 J.M. SMUCKER CO SHS/WHEN ISSUED 217,234.60 0.03
4,115.00 NORTHERN TRUST CORP 361,829.49 0.06 2,326.00 TRACTOR SUPPLY CO 181,994.73 0.03
5,241.00 OMNICOM GROUP INC 306,924.51 0.05 1,657.00 W.R.BERKLEY CORP 114,028.42 0.02
62,189.00 ORACLE CORP 2,760,624.06 0.42 6,096.00 T ROWE PRICE GROUP INC 573,018.75 0.09
9,797.00 PACCAR INC 575,167.83 0.09 3,384.00 CARMAX INC 217,549.10 0.03
3,490.00 ROPER TECHNOLOGIES 890,032.63 0.14 5,725.00 PIONER NATURAL RESOURCES COMPANY 858,577.49 0.13
3,602.00 AVALONBAY COMMUN 561,775.55 0.09 87,362.00 COMCAST CORP 2,663,356.37 0.41
4,447.00 PARKER-HANNIFIN CORP 704,207.24 0.11 1,578.00 NEKTAR THERAPEUTICS 82,819.53 0.01
8,465.00 PAYCHEX INC 536,760.44 0.08 7,667.00 NETFLIX INC 2,469,612.32 0.38
116,494.00 PFIZER INC 4,420,052.16 0.68 3,981.00 CROWN HOLDINGS INC 164,518.30 0.03
5,331.00 PINNACLE WEST CAPITAL CORP 363,416.77 0.06 630.00 AMERCO 193,447.70 0.03
10,456.00 PNC FINANCIAL SERVICES GROUP INC 1,226,003.13 0.19 2,337.00 INTUITIVE SURGICAL 1,154,918.64 0.18
1,208.00 POLARIS INDUSTRIES INC 104,991.48 0.02 193.00 MARKEL CORP 197,484.78 0.03
8,869.00 PPG INDUSTRIES INC 833,296.57 0.13 3,708.00 CENTENE 462,199.09 0.07
52,346.00 PROCTER AND GAMBLE CO 3,750,975.10 0.57 4,220.00 BIOGEN IDEC INC 1,283,657.51 0.20
10,144.00 PROGRESSIVE CORP 620,430.27 0.09 1,432.00 JONES LANG LASALLE INC 177,930.47 0.03
14,777.00 PUBLIC SERVICE ENTERPRISE GROUP INC 671,612.42 0.10 5,641.00 HOLOGIC INC 199,025.55 0.03
31,660.00 QUALCOMM INC 1,963,383.38 0.30 882.00 ASSURANT INC 81,973.22 0.01
1,578.00 REGENERON PHARMACEUTICALS INC 548,923.91 0.08 1,782.00 SIGNATURE BANK 176,190.17 0.03
88,294.00 WELLS FARGO AND CO 3,995,465.04 0.61 1,620.00 WYNN RESORTS LTD 177,216.70 0.03
2,552.00 RAYMOND JAMES FINANCIAL INC 202,248.47 0.03 3,894.00 PUBLIC STORAGE INC 675,976.94 0.10
3,516.00 ROBERT HALF INTERNATIONAL INC 213,048.71 0.03 13,555.00 SALESFORCE COM.INC 1,855,920.49 0.28
8,430.00 ROSS STORES INC 719,253.55 0.11 17,878.00 REGIONS FINANCIAL CORP 282,446.23 0.04
21,451.00 CHARLES SCHWAB CORP/THE 907,719.89 0.14 3,851.00 TOTAL SYSTEM SERVICES INC 327,376.44 0.05
2,918.00 SEI INVESTMENTS COMPANY 153,499.61 0.02 3,654.00 NASDAQ 269,920.96 0.04
2,311.00 SHERWIN WILLIAMS CO 905,717.01 0.14 6,620.00 MOLSON COORS BREWING CO -B- NON VOTING 350,520.88 0.05
2,267.00 SNAP ON INC 358,348.00 0.05 6,825.00 CHENIERE ENERGY INC 408,324.80 0.06

The accompanying notes form an integral part of these financial statements

27
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
8,759.00 REALTY INCOME CORP 429,013.78 0.07 4,641.00 STANLEY BLCK DECK 585,129.61 0.09
741.00 SVB FINANCIAL GROUP 198,299.64 0.03 3,336.00 SS C TECHNOLOGIERS HOLDINGS 163,224.18 0.02
3,046.00 AMERIPRISE FINANCIAL INC 387,234.06 0.06 3,944.00 CIT GROUP 175,247.39 0.03
7,140.00 C.H.ROBINSON WORLWIDE INC 601,936.12 0.09 10,487.00 NEXTERA ENERGY 1,513,233.92 0.23
6,705.00 ATMOS ENERGY CORP 542,114.98 0.08 5,320.00 E TRADE FINANCIAL 239,961.08 0.04
138,240.00 AT AND T INC 3,996,641.58 0.61 2,690.00 CBOE HOLDINGS INC 222,240.55 0.03
7,372.00 LKQ CORP 201,008.39 0.03 2,913.00 TESLA MOTORS INC 664,033.59 0.10
4,111.00 UNDER ARMOUR INC -A- 75,105.83 0.01 28,371.00 GENERAL MOTORS CO 822,429.25 0.13
7,231.00 CBS -B- 357,659.02 0.05 2,204.00 FIRST REPUBLIC BANK 182,164.44 0.03
5,463.00 VIACOM -B- 158,786.81 0.02 2,125.00 FLEETCOR TECHNOLOGIES 416,840.29 0.06
5,600.00 LIVE NATION 262,619.03 0.04 1,777.00 O REILLY AUTO 531,371.19 0.08
5,038.00 TD AMERITRADE HOLDING CORP 229,149.84 0.04 4,264.00 MOTOROLA SOLUTIONS INC 477,758.90 0.07
8,248.00 FIDELITY NATIONAL 774,523.77 0.12 71,093.00 KINDER MORGAN 1,085,216.44 0.17
10,018.00 CA INC 380,796.13 0.06 5,084.00 HCA HEALTHCARE RG REGISTERED SHS 608,941.95 0.09
3,313.00 WESTINGHOUSE AIR BRAKE TECHNOLOGIES 299,154.06 0.05 1,118.00 HUNTINGTON INGALLS INDUSTRIESINC 246,489.40 0.04
CORP 881.00 COSTAR GROUP INC 319,207.96 0.05
8,903.00 AMETEK INC 606,461.78 0.09
49,603.00 CITIGROUP 3,063,727.27 0.47
2,397.00 ALNYLAM PHARMACEUTICALS INC 180,615.96 0.03
16,284.00 MOSAIC 455,363.17 0.07
4,952.00 CELANESE RG REGISTERED SHS 486,033.58 0.07
14,325.00 PROLOGIS 836,066.94 0.13
17,809.00 MASTERCARD INC -A- 3,413,225.56 0.52
5,576.00 HOLLYFRONTIER 335,568.14 0.05
987.00 TRANSDIGM GROUP 316,366.85 0.05
11,898.00 MARATHON PETROLEUM 819,184.73 0.13
8,495.00 HANESBRANDS 134,793.67 0.02
1,471.00 PVH CORP 182,877.66 0.03
15,262.00 THE WESTERN UNION COMPANY 250,446.59 0.04
1,025.00 RALPH LAUREN -A- 121,385.06 0.02
2,893.00 NATIONAL RETAIL PROPERTIES INC 111,635.18 0.02
8,685.00 CBRE GROUP 329,753.34 0.05
3,940.00 SPIRIT AEROSYSTEMS HOLDINGS INC -A- 310,959.79 0.05
4,171.00 XYLEM WHEN ISSUED 286,816.85 0.04
3,385.00 IDEX CORP 439,073.70 0.07
2,852.00 EXPEDIA GROUP 320,386.53 0.05
4,919.00 TRAVELERS COS INC/THE 549,327.15 0.08
1,294.00 TRIPADVISOR INC WHEN ISSUED 56,895.89 0.01
6,150.00 UDR 214,071.89 0.03
8,704.00 TARGA RESOURCES CORP 421,973.52 0.06
5,557.00 ROLLINS 290,361.02 0.04
12,409.00 EXPRESS SCRIPTS 1,015,048.72 0.16
3,091.00 BROADRIDGE FINANCIAL SOL -W/I 351,147.18 0.05
13,823.00 PHILLIPS 66 1,341,479.60 0.20
2,647.00 EXTRA SPACE STORAGE INC 197,448.20 0.03
1,868.00 SPLUNK 194,455.34 0.03
9,004.00 PEOPLES UNITED FINANCIAL 132,715.01 0.02
44,758.00 FACEBOOK -A- 6,337,409.11 0.97
4,840.00 MACYS 144,720.79 0.02
3,549.00 SERVICENOW INC 597,753.65 0.09
10,523.00 DISCOVER FINANCIAL SERVICES - SHS WI 692,624.49 0.11
1,862.00 PALO ALTO NET 361,114.18 0.06
21,588.00 BANK OF NEW YORK MELLON CORP 947,715.99 0.14
35,108.00 MONDELEZ INTERNATIONAL INC 1,298,527.49 0.20
6,573.00 CME GROUP -A- 963,228.87 0.15
2,883.00 WORKDAY -A- 362,342.09 0.06
2,202.00 WABCO HOLDINGS WHEN ISSUED 223,593.53 0.03
28,196.00 ABBVIE INC WI 2,295,977.34 0.35
1,969.00 LULULEMON ATHLETICA INC SHS WHEN ISSUED 275,456.57 0.04
4,085.00 L BRANDS 106,565.22 0.02
736.00 MERCADOLIBRE 215,743.37 0.03
18,217.00 COTY INC -A- 196,991.41 0.03
1,308.00 WMWARE 175,743.85 0.03
13,029.00 NEWS CORP -A- 147,957.39 0.02
943.00 ULTA BEAUTY RG REGISTERED 229,047.92 0.03
10,464.00 21ST CENTURY -B- 412,794.21 0.06
1,818.00 MSCI 277,685.22 0.04
15,595.00 21ST CENTURY -A- WHEN ISSUED 622,054.54 0.10
4,075.00 DISH NETWORK -A- 125,460.18 0.02
4,281.00 CDW 327,737.00 0.05
4,880.00 DOLLAR TREE INC 342,629.36 0.05
7,921.00 HD SUPPLY HLDGS 291,811.96 0.04
34,315.00 VISA INC -A- 4,434,212.96 0.68
21,427.00 SPRINT SERIES -1- 120,647.94 0.02
6,550.00 NETAPP 484,356.01 0.07
2,567.00 LEIDOS HOLDINGS WI 152,848.66 0.02
31,262.00 PHILIP MORRIS INTERNATIONAL INC 2,194,665.07 0.34
2,617.00 VEEVA SYSTEMS -A- 245,297.28 0.04
7,587.00 AMERCIAN WATER WORKS CO INC 574,626.25 0.09
3,649.00 COMMSCOPE HOLDINGS INC 96,636.45 0.01
14,554.00 ACTIVISION BLIZZARD 1,042,399.71 0.16
13,493.00 TWITTER INC 330,616.25 0.05
1,438.00 IAC/INTERACTIVE CORP (WHEN ISSUED) 268,311.11 0.04
11,330.00 INTERCONEXCH GR INC WI 730,524.06 0.11
9,277.00 DISCOVERY C 236,257.99 0.04
46,717.00 SIRIUS XM HOLDINGS INC 254,198.40 0.04
1,128.00 REINSURANCE GR AMER 140,390.60 0.02
9,489.00 ARAMARK HOLDING CORP 351,456.55 0.05
17,415.00 AMERICAN INTERNATIONAL GROUP INC 798,256.22 0.12
4,483.00 VOYA FINANCIAL INC 191,709.52 0.03
4,585.00 VERISK ANALYTICS INC 475,868.92 0.07
4,206.00 SABRE 94,440.36 0.01
49,896.00 MERCK AND CO 3,047,457.80 0.47
10,742.00 ALLY FINANCIAL INC 244,619.80 0.04
2,737.00 FORTINET 217,428.32 0.03
806.00 ARISTA NETWORKS INC 184,488.30 0.03
1,198.00 LEAR 149,556.61 0.02
9,253.00 FIDL NAT FINANCL-A FNF GROUP WI 313,478.73 0.05
5,786.00 DOLLAR GENERAL 544,476.80 0.08

The accompanying notes form an integral part of these financial statements

28
AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
2,579.00 CDK GLOBAL INC 138,908.51 0.02 6,270.00 WORLDPAY - REGISTERED SHS -A- 546,674.90 0.08
5,120.00 KEYSIGHT TECHNOLOGIES INC 292,168.40 0.04 8,978.00 BROADCOM - REGISTERED SHS 1,907,138.99 0.29
13,264.00 SYNCHRONY FINANCIAL 354,924.77 0.05 7,456.00 QURATE RTL GRP -REGISTERED SHS 142,572.33 0.02
19,260.00 WALGREENS BOOTS ALLIANCE INC 1,208,828.24 0.18 Warrants, Rights 976.81 0.00
7,904.00 CROWN CASTLE REIT 757,599.93 0.12
Switzerland 976.81 0.00
4,617.00 ANTHEM 1,089,357.60 0.17
6,245.00 IRON MOUNTAIN REIT INC 185,602.58 0.03 1,979.00 SWISS PRIME SITE AG 26.09.18 RIGHT 976.81 0.00
13,588.00 CITIZENS FINANCIAL GROUP INC 451,217.53 0.07 Total securities portfolio 651,531,110.37 99.55
13,282.00 EVERSOURCE EN 702,579.49 0.11
9,745.00 MONSTER BEVERAGE CORP 488,969.95 0.07
2,541.00 LIBERTY BROADBAND CORP -C- 184,422.13 0.03
3,672.00 THE CHEMOURS WHEN ISSUED 124,686.77 0.02
9,177.00 WESTROCK 422,228.91 0.06
22,622.00 PAYPAL HOLDINGS INC WI 1,710,819.18 0.26
18,682.00 THE KRAFT HEINZ 886,409.83 0.14
40,496.00 VEREIT 253,121.79 0.04
2,147.00 ZILLOW GROUP -C- 81,794.88 0.01
11,282.00 WELLTOWER INC 624,759.57 0.10
5,403.00 ALPHABET INC 5,615,026.47 0.86
6,065.00 ALPHABET -C- 6,231,937.62 0.95
10,799.00 FIRST DATA -A- 227,508.85 0.03
29,696.00 HEWLETT PACKARD WHEN ISSUED 416,996.78 0.06
38,196.00 HP INC 847,448.06 0.13
47,818.00 FREEPORT MCMORAN COPPER AND GOLD INC 573,074.95 0.09
17,027.00 EMERSON ELECTRIC CO 1,122,623.90 0.17
5,776.00 DIAMONDBACK ENERGY 672,283.63 0.10
31,319.00 HALLIBURTON 1,092,861.88 0.17
5,365.00 DENTSPLY SIRONA INC 174,322.08 0.03
38,360.00 MARATHON OIL CORP 768,851.31 0.12
7,919.00 HELMERICH PAINE 468,867.52 0.07
6,287.00 CONCHO RES 826,809.51 0.13
9,173.00 CONTINENTAL RESOURCES 539,244.46 0.08
6,626.00 SQUARE -A- 564,821.58 0.09
12,636.00 INTERNATIONAL PAPER CO 534,704.61 0.08
5,692.00 S&P GLOBAL 957,520.34 0.15
2,166.00 UNDER ARMOUR WHEN ISSUED 36,289.59 0.01
3,131.00 CHARTER COMM -A- 878,459.14 0.13
6,462.00 LIBERTY MEDIA -C- SIRIUS XM 241,733.88 0.04
1,384.00 GODADDY -A- 99,364.41 0.02
4,065.00 DELL TECHNOLOGIES INC -V- 339,899.10 0.05
8,527.00 FORTIVE WHEN ISSUED 618,143.27 0.09
10,046.00 AGNC INVESTMENT CORP 161,133.86 0.02
4,418.00 PLAINS GP REGISTERED SHS -A- 93,304.81 0.01
4,957.00 ZAYO GROUP HOLDINGS INC 148,176.53 0.02
2,489.00 SBA COMMUNICATIONS -A 344,217.02 0.05
2,360.00 L3 TECHNOLOGIES INC 432,013.09 0.07
8,392.00 INVITATION HOMS REGISTERED 165,527.96 0.03
3,532.00 TRANSUNION 223,749.08 0.03
6,094.00 DXC TECHNOLOGY WI 490,668.00 0.07
8,802.00 XEROX - REGISTERED 204,457.99 0.03
14,135.00 BAKER HUGHES-A RG REGISTERED SHS -A 411,697.85 0.06
1,574.00 BRIGHTHOUSE - REGISTERED 59,951.58 0.01
50,450.00 DOWDUPONT 2,793,318.55 0.43
6,748.00 LIBERTY MEDIA -C- MEDIA GROUP 216,063.81 0.03
7,101.00 TAPESTRY REG 307,332.99 0.05
3,512.00 QUINTILES IMS HOLDING INC 392,291.76 0.06
918.00 BOOKING HLDG 1,568,068.88 0.24

The accompanying notes form an integral part of these financial statements

29
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
54,178.00 STOCKLAND 140,060.24 0.02
Long positions 615,979,356.23 99.48
6,577.00 SEEK LTD 85,054.83 0.01
Other transferable securities 267,676.43 0.04 26,091.00 TREASURY WINE ESTATES LTD 284,265.61 0.05
19,275.00 ALS LTD 107,343.49 0.02
Shares 267,676.43 0.04
77,016.00 AURIZON HOLDINGS LTD 197,181.69 0.03
Canada 267,676.43 0.04 124,737.00 ORORA LTD 257,974.73 0.04
8,441.00 TELUS CORP 267,676.43 0.04 102,815.00 SCENTRE GRP - STAPLED SECURITY 254,267.46 0.04
261,573.00 AUSNET SVCS - STAPLED SECURITY 264,782.99 0.04
Shares/Units of UCITS/UCIS 401,662.29 0.06
85,320.00 HEALTHSCOPE LTD 111,612.78 0.02
Shares/Units in investment funds 401,662.29 0.06 6,441.00 CIMIC GROUP 206,073.48 0.03
Canada 401,662.29 0.06 235,811.00 SOUTH 32 LTD 575,829.51 0.10
146,766.00 VICINITY CENTRES 239,535.86 0.04
30,518.00 H&R REAL ESTATE 401,662.29 0.06 75,229.00 ECHO ENTERTAINMENT GROUP LTD 243,218.41 0.04
Transferable securities admitted to an official stock exchange 615,310,017.51 99.38 54,487.00 LINK ADMINISTRATION HOLDING LTD 264,068.31 0.04
listing
Shares 615,147,316.36 99.35 Austria 2,648,277.64 0.43

Australia 10,486,710.92 1.69 4,229.00 ANDRITZ AG 212,507.25 0.03


19,867.00 VOESTALPINE AG 782,759.80 0.13
46,353.00 BORAL LTD 199,526.09 0.03
12,359.00 ERSTE GROUP BANK AG 442,205.02 0.07
20,909.00 ORIGIN ENERGY LTD 107,586.33 0.02
19,861.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 492,552.80 0.08
9,948.00 SUNCORP GROUP 89,608.22 0.01
14,843.00 OMV AG 718,252.77 0.12
57,214.00 INSURANCE AUSTRALIA GROUP LIMITED 260,889.85 0.04
9,171.00 WOOLWORTHS GRP - REGISTERED 160,419.66 0.03 Belgium 3,005,287.70 0.49
1,924.00 COCHLEAR 240,473.03 0.04 5,861.00 GROUPE BRUXELLES LAMBERT GBL 529,248.30 0.09
5,516.00 SONIC HEALTHCARE LTD 85,593.70 0.01 2,919.00 SOLVAY 337,144.50 0.05
11,669.00 COMPUTERSHARE LIMITED 145,017.47 0.02 2,211.00 ACKERMANS AND VAN HAAREN NV 331,428.90 0.05
903.00 CSL LTD 113,126.72 0.02 9,152.00 UCB 708,364.80 0.11
21,350.00 TABCORP HOLDINGS LTD 64,769.52 0.01 9,153.00 PROXIMUS SA 188,368.74 0.03
3,863.00 ARISTOCRAT LEISURE 68,438.12 0.01 19,666.00 AGEAS NOM 910,732.46 0.16
1,095.00 RIO TINTO 53,723.42 0.01
Bermuda 7,857,736.17 1.27
3,994.00 ANZ BANKING GROUP LTD 70,112.08 0.01
4,951.00 AMCOR LTD 42,191.29 0.01 25,100.00 DAIRY FARM INTERNATIONAL HOLDING 194,489.88 0.03
4,115.00 BHP BILLITON LTD 88,769.98 0.01 4,957.00 EVEREST REINSURANCE GROUP 975,054.49 0.16
19,804.00 LEND GRP - STAPLED SECURITIES 242,538.24 0.04 38,874.00 MARVELL TECHNOLOGY GROUP LTD 645,947.65 0.10
5,511.00 NAT. AUSTRALIA BANK 95,471.82 0.02 4,900.00 JARDINE MATHESON HLD 264,722.34 0.04
73,697.00 SANTOS LTD 333,296.09 0.05 6,000.00 JARDINE STRATEGIC HOLDINGS 187,516.14 0.03
5,604.00 WESFARMERS 174,023.18 0.03 19,303.00 BUNGE LTD 1,141,893.35 0.18
4,410.00 WOODSIDE PETROLEUM 105,985.05 0.02 271,577.00 NWS HOLDINGS LTD 462,556.26 0.07
3,756.00 RAMSAY HEALTH CARE LTD 128,522.44 0.02 91,000.00 YUE YUEN INDUSTRIAL HOLDINGS 217,771.62 0.04
53,883.00 COCA-COLA AMATIL LTD 327,601.12 0.05 50,484.00 ARCH CAPITAL GROUP LTD 1,295,676.32 0.22
15,781.00 NEWCREST MINING LTD 190,811.19 0.03 21,800.00 VTECH HOLDINGS LTD 216,833.08 0.04
55,595.00 TELSTRA CORP 110,476.58 0.02 478,000.00 LI FUNG 92,037.87 0.01
15,401.00 ILUKA RESOURCES 95,458.76 0.02 25,971.00 NORVERGIAN CRUISE LINE LTD 1,284,127.88 0.21
145,332.00 MIRVAC GROUP STAPLED SECURITIES 218,183.59 0.04 28,000.00 HANERGY THIN 0.31 0.00
8,006.00 ORICA LIMITED 84,932.52 0.01 18,923.00 IHS MARKIT 879,108.98 0.14
17,741.00 ANSELL LTD 279,050.80 0.05 Canada 21,811,594.67 3.52
36,450.00 BLUESCOPE STEEL 385,548.50 0.06
17,351.00 BENDIGO AND ADELAIDE BANK 116,192.14 0.02 5,421.00 METHANEX CORP 368,152.10 0.06
51,587.00 FORTESCUE METALS GROUP LTD 125,970.87 0.02 31,318.00 MANULIFE FINANCIAL REGISTERED 481,654.92 0.08
225,376.00 INCITEC PIVOT LTD 558,771.87 0.10 7,600.00 TELUS CORP 241,007.09 0.04
12,937.00 BRAMBLES 87,842.33 0.01 17,449.00 SUN LIFE FINANCIAL INC 596,800.31 0.10
13,341.00 AGL ENERGY LTD 162,056.62 0.03 45,766.00 HUSKY ENERGY 691,359.70 0.11
18,749.00 BANK OF QUEENSLAND LTD 128,707.39 0.02 7,342.00 METRO -A- SUB VTG 196,490.86 0.03
284,427.00 SPARK INFRASTRUCTUR -STAPLED SECURITY 396,883.12 0.06 14,130.00 OPEN TEXT 462,576.68 0.07
51,241.00 GOODMAN GROUP - STAPLED SECURITY 330,690.06 0.05 602.00 CANADIAN PACIFIC RAILWAY 109,557.70 0.02
3,975.00 MACQUARIE GROUP 312,096.80 0.05 12,990.00 CGI GROUP SUB.VTG SHS -A- 720,556.30 0.13
31,292.00 CROWN RESORTS 266,858.21 0.04 183.00 CANADIAN NATIONAL RAILWAY 14,127.09 0.00
31,502.00 DEXUS - STAPLED SECURITY 207,226.76 0.03 21,242.00 BARRICK GOLD 202,183.49 0.03

The accompanying notes form an integral part of these financial statements

30
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
3,554.00 BANK OF MONTREAL 252,201.79 0.04 96,000.00 WYNN MACAU LTD 190,127.25 0.03
6,835.00 BANK OF NOVA SCOTIA 350,502.31 0.06 41,600.00 SANDS CHINA LTD 162,259.52 0.03
19,141.00 CAE INC 334,283.82 0.05 414,500.00 WH GROUP 144A/REGS 251,290.90 0.04
35,760.00 CAMECO CORP 350,847.44 0.06 24,000.00 CK HUTCHISON 238,187.19 0.04
5,285.00 CANADIAN IMPERIAL BANK OF COMMERCE 426,045.59 0.07 34,000.00 CK ASSET HOLDINGS LTD 219,779.62 0.04
3,028.00 CANADIAN TIRE CORP -A- NON VOTING 305,230.31 0.05 14,000.00 WHARF REIC - REGISTERED 77,789.33 0.01
21,790.00 EMPIRE -A- NON VOTING 341,650.25 0.06 Denmark 3,860,256.93 0.62
706.00 FAIRFAX FINANCIAL HOLDINGS SUB.VTG 329,988.64 0.05
19,049.00 FINNING INTERNATIONAL 400,303.69 0.06 8,588.00 GN GREAT NORDIC 360,345.33 0.06
28,239.00 GREAT WEST LIFECO INC 589,476.31 0.10 17,486.00 DANSKE BANK 395,573.19 0.06
20,229.00 IMPERIAL OIL 563,207.91 0.09 2,251.00 CARLSBERG AS -B- 232,548.25 0.04
6,401.00 NATIONAL BK CANADA COMMON 275,038.14 0.04 7,777.00 JYSKE BANK A/S 324,439.26 0.05
4,424.00 ONEX CORP SUB.VOTING 260,280.36 0.04 5,957.00 DSV 466,510.85 0.08
30,533.00 POWER FINANCIAL 601,772.72 0.10 3,728.00 CHRISTIAN HANSEN 325,945.36 0.05
26,196.00 POWER CORP DU CANADA SUB. 489,599.20 0.08 16,963.00 ISS A/S 514,082.00 0.08
10,925.00 ROGERS COMMUNICATIONS -B- NON VOTING 483,396.78 0.08 21,208.00 ORSTED 1,240,812.69 0.20
3,767.00 ROYAL BANK OF CANADA 259,789.64 0.04 Finland 5,431,027.09 0.88
23,850.00 SHAW COMMUNICATIONS -B- NON.VOTING 399,843.14 0.06
42,025.00 STORA ENSO -R- 692,361.88 0.11
17,505.00 TECK RESOURSES LTD -B- 362,960.44 0.06
24,406.00 UPM KYMMENE CORP 824,922.80 0.13
5,045.00 THOMSON REUTERS 198,056.62 0.03
10,774.00 NOKIAN TYRES PLC 380,214.46 0.06
4,966.00 TORONTO DOMINION BANK 259,620.57 0.04
10,891.00 KESKO CORP 509,589.89 0.08
3,729.00 GEORGE WESTON 242,837.67 0.04
7,631.00 SAMPO OYJ -A- 340,342.60 0.05
5,107.00 SAPUTO 130,689.67 0.02
31,557.00 WARTSILA CORPORATION -B- 529,842.03 0.09
5,091.00 MAGNA INTERNATIONAL SHS -A- SUB.VTG 230,075.83 0.04
8,318.00 ELISA CORPORATION -A- 303,856.54 0.05
49,357.00 ENCANA CORP 556,575.09 0.09
36,277.00 FORTUM CORP 783,220.43 0.13
18,116.00 FORTIS INC 505,343.91 0.08
4,803.00 KONE -B- 221,034.06 0.04
14,579.00 SNC-LAVALIN GROUP 511,456.98 0.08
11,877.00 NESTE 845,642.40 0.14
7,260.00 GILDAN ACTIVEWEAR 190,040.96 0.03
120,694.00 KINROSS GOLD CORP 282,973.91 0.05 France 21,769,489.30 3.52
3,729.00 BROOKFIELD ASSET MANAGEMENT INC -A- 142,791.63 0.02 15,772.00 VEOLIA ENVIRONNEMENT SA 271,120.68 0.04
29,291.00 FIRST QUANTUM MINERALS LTD 286,988.78 0.05 15,705.00 VIVENDI SA 348,179.85 0.06
2,422.00 BCE INC 84,419.53 0.01 389.00 KERING 179,601.30 0.03
29,161.00 RIOCAN REIT (UNITS) 479,364.23 0.08 11,980.00 CREDIT AGRICOLE SA 148,384.28 0.02
19,696.00 EMERA 526,853.41 0.09 6,012.00 EIFFAGE 578,113.92 0.09
22,683.00 CI FINANCIAL 309,873.33 0.05 997.00 HERMES INTERNATIONAL SA 568,888.20 0.09
7,054.00 INTACT FINANCIAL CORP 504,612.25 0.08 3,788.00 BNP PARIBAS SA 199,665.48 0.03
20,171.00 CRESCENT POINT ENERGY CORP 110,437.69 0.02 10,932.00 PUBLICIS GROUPE 562,779.36 0.09
11,894.00 DOLLARAMA INC 322,354.45 0.05 3,813.00 RENAULT SA 284,068.50 0.05
17,236.00 ALTAGAS 235,920.87 0.04 4,680.00 DASSAULT SYSTEMES SA 602,550.00 0.10
4,617.00 VERMILION ENERGY INC 130,881.89 0.02 77,571.00 BOLLORE INVESTISSEMENT 288,564.12 0.05
516.00 CONSTELLATION SOFTWARE 326,461.46 0.05 13,341.00 KLEPIERRE SA 407,300.73 0.07
27,650.00 ARC RESOURCES 265,201.32 0.04 5,637.00 AXA SA 130,496.55 0.02
15,872.00 TOURMALINE OIL CORP 240,403.16 0.04 15,339.00 BOUYGUES 571,070.97 0.09
14,107.00 CANADIAN APARTMENT PROPERTIES REIT 448,105.26 0.07 1,144.00 DANONE 76,304.80 0.01
11,221.00 BLACKBERRY LTD 109,269.00 0.02 4,457.00 CAPGEMINI SE 483,138.80 0.08
7,632.00 WSP GLOBAL 359,347.31 0.06 22,137.00 CARREFOUR SA 365,260.50 0.06
10,167.00 PRAIRIESKY ROYALTY LTD 153,654.53 0.02 9,150.00 CIE DE SAINT-GOBAIN 339,876.75 0.05
42,663.00 HYDRO ONE LTD 558,098.59 0.09 5,587.00 UBISOFT ENTERTAINMENT 521,937.54 0.08
14,833.00 SUNCOR ENERGY INC 493,791.15 0.08 4,373.00 MICHELIN SA REG SHS 450,200.35 0.07
60,320.00 LUNDIN MINING CORP 274,811.87 0.04 134.00 DASSAULT AVIATION SA 213,596.00 0.03
3,823.00 WEST FRASER TIMBER CO 187,184.02 0.03 968.00 CHRISTIAN DIOR 357,192.00 0.06
5,532.00 CANADIAN NATURAL RESOURCES 155,493.66 0.03 1,986.00 ESSILOR INTERNATIONAL SA 253,115.70 0.04
3,068.00 NUTRIEN - REGISTERED 152,403.80 0.02 488.00 AIR LIQUIDE SA 55,290.40 0.01
17,395.00 BAUSCH HEALTH -REGISTERED SHS 384,315.55 0.06 152.00 L'OREAL SA 31,570.40 0.01
Cayman Islands 1,147,738.67 0.19 1,059.00 WENDEL SA 135,763.80 0.02
1,302.00 LVMH 396,589.20 0.06
12,000.00 CN SHANSHUI CEM 8,304.86 0.00
3,673.00 PERNOD RICARD SA 518,994.90 0.08

The accompanying notes form an integral part of these financial statements

31
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
17,378.00 PEUGEOT SA 403,690.94 0.07 7,346.00 AXEL SPRINGER NAMEN AKT VINKULIERT 425,700.70 0.07
6,040.00 SCHNEIDER ELECTRIC SE 418,572.00 0.07 17,915.00 DEUTSCHE WOHNEN AG 740,247.80 0.12
4,439.00 EURAZEO 301,186.15 0.05 1,831.00 SYMRISE AG 143,953.22 0.02
10,413.00 SOCIETE GENERALE SA 384,968.61 0.06 2,399.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 139,142.00 0.02
3,777.00 TELEPERFORMANCE SA 613,762.50 0.10 1,643.00 VOLKSWAGEN VORZ.AKT 249,078.80 0.04
1,882.00 THALES 230,262.70 0.04 2,739.00 BAYER AG REG SHS 209,560.89 0.03
9,863.00 TOTAL SA 550,749.92 0.09 4,848.00 BRENNTAG - NAMEN AKT 257,719.68 0.04
8,115.00 SANOFI 621,284.40 0.10 2,059.00 BASF SE REG SHS 157,616.45 0.03
27,979.00 ORANGE 384,291.57 0.06 2,668.00 ADIDAS NAMEN AKT 562,681.20 0.09
3,697.00 SAFRAN 446,227.90 0.07 11,787.00 K+S 213,108.96 0.03
21,395.00 CNP ASSURANCES 444,160.20 0.07 7,707.00 HUGO BOSS AG 511,128.24 0.08
5,103.00 GECINA SA REG SHS 733,811.40 0.11 5,341.00 LEG IMMOBILIEN - NAMEN AKT 546,117.25 0.09
895.00 ILIAD SA 100,687.50 0.02 55,946.00 COMMERZBK 502,115.35 0.08
2,177.00 COVIVIO SA 195,385.75 0.03 11,760.00 EVONIK INDUSTRIES AG 362,796.00 0.06
19,138.00 ENGIE 242,382.77 0.04 10,236.00 OSRAM LICHT 350,685.36 0.06
17,050.00 ALSTOM SA 656,254.50 0.11 17,775.00 VONOVIA SE 747,972.00 0.12
44,390.00 EDF SA 671,398.75 0.11 53,766.00 TUI AG REG SHS 889,208.08 0.14
3,231.00 IPSEN 467,848.80 0.08 5,944.00 COVESTRO AG 415,247.84 0.07
1,027.00 LEGRAND SA 64,475.06 0.01 11,090.00 UNIPER NAMEN-AKT. 293,995.90 0.05
5,539.00 ARKEMA SA 591,011.30 0.10 6,703.00 SIEMENS HEALTHINEERS 253,876.13 0.04
2,753.00 AEROPORTS DE PARIS-ADP- 533,806.70 0.09 4,907.00 INNOGY SE 179,350.85 0.03
14,532.00 SCOR SE ACT PROV REGROUPEMENT 581,280.00 0.09 Guernsey 873,730.85 0.14
26,102.00 REXEL SA 337,629.37 0.05
14,987.00 BUREAU VERITAS SA 333,161.01 0.05 15,381.00 AMDOCS LTD 873,730.85 0.14
33,704.00 SUEZ ACT. 412,536.96 0.07 Hong Kong 5,453,050.87 0.88
243.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 50,471.10 0.01 53,018.00 MTR CORP LTD 240,337.30 0.04
3,856.00 AMUNDI SA 248,866.24 0.04 31,000.00 WHEELOCK COMPANY LTD 160,139.30 0.03
4,223.00 FAURECIA 218,920.32 0.04 56,000.00 HANG LUNG PROPERTIES LTD 94,271.43 0.02
14,688.00 ENGIE (ACT NOM PRIME DE FIDELITE) 186,023.52 0.03 52,219.00 BANK OF EAST ASIA LTD 167,769.12 0.03
401.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 45,433.30 0.01 22,000.00 HENDERSON LAND DEVLOPMENT CO LTD 95,250.67 0.02
14,395.00 RUBIS 671,094.90 0.11 54,500.00 POWER ASSETS HOLDINGS 326,808.71 0.05
1,664.00 UNIBAIL RODAMCO 288,238.08 0.05 10,100.00 HANG SENG BANK LTD 236,257.31 0.04
Germany 15,390,487.68 2.49 142,000.00 WHARF HOLDINGS 332,788.70 0.05
58,000.00 HANG LUNG GROUP LTD 132,736.99 0.02
18,125.00 DEUTSCHE TELEKOM AG REG SHS 251,665.63 0.04
275,428.00 HONG KONG CHINA GAS 470,933.66 0.08
7,951.00 INFINEON TECHNOLOGIES REG SHS 155,601.07 0.03
99,000.00 NEW WORLD DEVELOPMENT 116,334.11 0.02
10,287.00 UNITED INTERNET AG REG SHS 419,195.25 0.07
23,500.00 SWIRE PACIFIC LTD SIE A 221,718.84 0.04
6,861.00 DEUTSCHE POST AG REG SHS 210,701.31 0.03
13,000.00 SUN HUNG KAI PROPERTIES LTD 163,060.52 0.03
34,318.00 RWE AG 729,257.50 0.12
101,000.00 HYSAN DEVELOPMENT 439,509.72 0.07
4,635.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 564,079.50 0.09
114,191.00 SINO LAND 168,610.65 0.03
5,883.00 FRAPORT AG 447,696.30 0.07
43,000.00 CHINA L&P HLDGS 433,612.25 0.07
1,535.00 ALLIANZ SE REG SHS 294,720.00 0.05
461,341.00 PCCW LTD 231,466.16 0.04
1,346.00 BMW AG 104,597.66 0.02
43,000.00 TECHTRONIC INDUSTRIES CO LTD 236,558.78 0.04
857.00 BEIERSDORF AG 83,283.26 0.01
28,000.00 GALAXY ENTERTAINMENT GROUP LTD 152,960.01 0.02
1,367.00 CONTINENTAL AG 204,981.65 0.03
61,000.00 THE LINK REIT UNITS 517,134.01 0.07
4,897.00 FUCHS PETROLUB AG 235,643.64 0.04
157,800.00 SWIRE PROPERTIES LTD 514,792.63 0.07
6,926.00 HEIDELBERGCEMENT AG 466,258.32 0.08
804.00 HENKEL AG & CO KGAA 81,244.20 0.01 Ireland 9,647,162.44 1.56
4,579.00 MAN SE 428,823.35 0.07 12,695.00 KINGSPAN GROUP 509,831.20 0.08
1,882.00 MUENCHENER RUECKVERSICHERUNGS AG REG 358,991.50 0.06 3,855.00 CRH PLC 108,633.90 0.02
SHS
5,714.00 RHEINMETALL AG 514,602.84 0.08 8,675.00 KERRY GROUP -A- 826,293.75 0.13
1,784.00 SAP AG 189,104.00 0.03 6,720.00 SMURFIT KAPPA PLC 228,883.20 0.04
6,930.00 GEA GROUP AG 212,612.40 0.03 8,020.00 INGERSOLL-RAND 706,367.63 0.11
3,341.00 MERCK KGAA 297,349.00 0.05 4,942.00 ACCENTURE - SHS CLASS A 724,174.26 0.12
1,134.00 FRESENIUS MEDICAL CARE AG & CO KGAA 100,449.72 0.02 19,504.00 SEAGATE TECHNOLOGY PLC 795,104.95 0.13
31,358.00 DEUTSCHE LUFTHANSA AG REG SHS 663,535.28 0.11 11,588.00 EATON CORPORATION PUBLIC LIMITED COMPANY 865,283.89 0.14
4,136.00 DAIMLER NAMEN-AKT 224,791.60 0.04 3,275.00 DCC PLC 256,109.30 0.04

The accompanying notes form an integral part of these financial statements

32
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
12,153.00 PERRIGO COMPANY PLC 740,794.15 0.12 9,600.00 ANA HD 288,882.66 0.05
16,132.00 PENTAIR PLC 602,085.41 0.10 21,800.00 AMADA HLDG SHS 200,436.60 0.03
12,414.00 MEDTRONIC HLD 1,051,369.07 0.16 48,500.00 ASAHI KASEI CORPORATION 633,412.67 0.10
2,966.00 PADDY POWER 218,001.00 0.04 5,300.00 AGC INC. 189,416.28 0.03
3,302.00 ALLERGAN 541,510.94 0.09 7,700.00 ASAHI GROUP HD 287,446.28 0.05
6,729.00 WILLIS TOWERS 816,517.66 0.13 4,400.00 BRIDGESTONE CORP 143,177.01 0.02
13,979.00 JOHNSON CONTROLS INTERNATIONAL PLC 421,235.47 0.07 5,800.00 BROTHER INDUSTRIES 98,653.06 0.02
35,628.00 BANK OF IRELAND - REGISTERED 234,966.66 0.04 36,000.00 CHIBA BANK 211,750.26 0.03
Israel 3,572,254.54 0.58 12,700.00 CASIO COMPUTER CO LTD 178,762.06 0.03
6,400.00 CANON INC 175,124.50 0.03
2,692.00 NICE SYSTEMS LTD (IL273011) 262,287.47 0.04 17,800.00 CHUBU ELECTRIC POWER CO INC 231,861.84 0.04
15,374.00 CHECK POINT SOFTWARE TECHNOLOGIES 1,557,519.23 0.25 18,700.00 CHUGOKU ELECTRIC POWER CO 206,944.64 0.03
97,039.00 BANK HAPOALIM (IL662577) 612,087.03 0.10 4,200.00 CHUGAI PHARMACEUTICAL 232,397.73 0.04
82,816.00 BANK LEUMI LE-ISRAEL (IL604611) 470,410.65 0.08 18,800.00 DAICEL CORP 188,101.18 0.03
127,455.00 ISRAEL CHEMICALS LTD 669,950.16 0.11 2,400.00 DAIKIN INDUSTRIES LTD 275,148.00 0.04
Italy 6,485,445.69 1.05 3,900.00 DIC 120,905.94 0.02
20,100.00 SUMI DAI PHARMA 397,493.35 0.06
26,296.00 ENI SPA 428,151.47 0.07
10,100.00 DAI NIPPON PRINTING CO LTD 202,261.82 0.03
92,807.00 ENEL SPA 409,464.48 0.07
7,500.00 DAIWA HOUSE INDUSTRY CO LTD 191,466.62 0.03
109,757.00 SNAM SPA 393,917.87 0.06
14,000.00 DAIWA SECURITIES GROUP INC 73,348.54 0.01
8,318.00 LUXOTTICA GROUP SPA 486,769.36 0.08
2,000.00 EISAI 167,665.94 0.03
27,586.00 ASSICURAZIONI GENERALI SPA 410,479.68 0.07
1,400.00 FANUC CORP SHS 227,304.08 0.04
82,711.00 MEDIOBANCA SPA 711,645.44 0.10
1,800.00 EZAKI GLICO CO LTD 76,131.86 0.01
193,902.00 INTESA SANPAOLO SPA 426,778.30 0.07
11,400.00 FUJI ELECTRIC SHS 393,166.02 0.06
142,717.00 UBI BANCA SCPA 493,229.95 0.08
5,400.00 FUJIFILM HOLDINGS CORP 209,362.61 0.03
361,138.00 TELECOM ITALIA SPA 188,875.17 0.03
4,600.00 FUJITSU LTD 282,285.17 0.05
57,492.00 TERNA SPA 264,520.69 0.04
7,500.00 HANKYU HANSHIN HOLDINGS INC 229,100.50 0.04
21,002.00 LEONARDO S.P.A. 218,000.76 0.04
8,600.00 HASEKO CORP 96,150.20 0.02
5,156.00 PRYSMIAN SPA 103,429.36 0.02
22,900.00 HINO MOTORS LTD 215,931.30 0.03
12,907.00 MONCLER SPA 478,849.70 0.08
10,400.00 HITACHI LTD 304,284.88 0.05
81,826.00 POSTE ITALIANE SPA 563,126.53 0.09
1,470.00 HIROSE ELECTRIC CO 138,388.07 0.02
42,087.00 UNICREDIT -REGISTERD SHARE 545,615.87 0.09
3,900.00 HISAMITSU PHARMACEUTICAL CO INC 257,479.40 0.04
49,433.00 CAMPARI 362,591.06 0.06
11,100.00 HAMATSU PHOTONICS 380,716.14 0.06
Japan 58,449,725.16 9.44 14,600.00 HONDA MOTOR CO LTD 380,578.95 0.06
400.00 CYBER AGENT 18,343.20 0.00 8,700.00 HOYA CORP 445,125.79 0.07
12,500.00 AIR WATER 197,549.44 0.03 15,400.00 AEON CO LTD 319,546.88 0.05
11,800.00 OTSUKA CORP 379,234.29 0.06 6,800.00 JGC CORP 134,320.73 0.02
6,400.00 LAWSON INC 335,695.72 0.05 29,600.00 ISUZU MOTORS LTD 401,834.32 0.06
18,800.00 MITSUBISHI UFJ FINANCIAL GROUP INC 101,047.38 0.02 30,500.00 KAJIMA CORP 381,686.36 0.06
1,600.00 KOSE CORP 262,565.47 0.04 17,000.00 KANSAI ELECTRIC POWER 220,732.36 0.04
4,300.00 NOMURA RESEARCH INSTITUTE 187,085.48 0.03 8,900.00 NIPPON YUSEN KK 144,163.15 0.02
17,600.00 MISUMI GROUP 392,210.96 0.06 4,600.00 KAO CORP 319,872.05 0.05
1,800.00 KDDI CORP 42,827.58 0.01 20,900.00 KAWASAKI HEAVY INDUSTRIES 507,731.43 0.08
8,100.00 SUZUKEN CO 330,928.00 0.05 5,200.00 KEISEI ELECTRIC RAILWAY CO LTD 157,660.56 0.03
1,200.00 RYOHIN KEIKAKU CO LTD 307,438.09 0.05 4,200.00 KIKKOMAN CORP 215,206.67 0.03
4,500.00 DENSO CORP 204,621.43 0.03 17,800.00 KOBE STEEL 136,270.27 0.02
52,000.00 OJI HOLDINGS 325,174.91 0.05 600.00 KOITO MANUFACTURING 33,927.34 0.01
3,500.00 KOBAYASHI PHARMACEUTICAL CO 221,785.96 0.04 19,400.00 KOMATSU LTD 508,200.62 0.08
5,000.00 WEST JAPAN RAILWAY COMPANY 300,199.34 0.05 33,000.00 KONICA MINOLTA HOLDINGS INC 302,162.53 0.05
9,900.00 COCA-COLA WEST SHS 228,122.70 0.04 18,800.00 JTEKT CORP 236,978.98 0.04
11,100.00 MITSUI CHEMICALS 239,030.84 0.04 24,600.00 KURARAY CO LTD 318,480.39 0.05
4,800.00 DON QUIJOTE HLD 209,203.44 0.03 20,500.00 KIRIN HOLDINGS CO LTD 452,330.42 0.07
2,900.00 ORIENTAL LAND CO LTD 261,140.46 0.04 12,900.00 KYOWA HAKKO KIRIN CO LTD 208,173.34 0.03
24,700.00 JSR CORP 397,097.68 0.06 14,000.00 KYUSHU ELECTRIC POWER CO INC 145,487.35 0.02
800.00 CENTRAL JAPAN RAILWAY CO 143,471.11 0.02 15,600.00 KURITA WATER INDUSTRIES LTD 391,392.34 0.06
13,300.00 AISIN SEIKI CO LTD 557,489.26 0.09 3,900.00 MARUI GROUP CO LTD 82,890.05 0.01
3,300.00 AJINOMOTO CO INC 48,788.74 0.01 6,500.00 LION CORP 124,354.77 0.02

The accompanying notes form an integral part of these financial statements

33
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
44,200.00 MARUBENI CORP 348,429.84 0.06 20,300.00 TOKYO EL HLDG 85,859.82 0.01
16,100.00 SHINSEI BANK LTD 226,619.62 0.04 9,400.00 TOBU RAILWAY CO LTD 239,401.50 0.04
4,400.00 PANASONIC CORP 44,140.41 0.01 7,000.00 TOKYO GAS CO LTD 148,166.82 0.02
2,900.00 KYOCERA CORP 149,913.97 0.02 1,600.00 TOKYO ELECTRON LTD 189,313.95 0.03
16,800.00 MAZDA MOTOR CORP 173,693.43 0.03 9,700.00 TOKYO TATEMONO CO 101,904.81 0.02
500.00 KEYENCE CORP 250,058.74 0.04 62,800.00 TORAY INDUSTRIES INC 406,277.62 0.07
12,200.00 MITSUBISHI ELECTRIC CORP 143,935.75 0.02 15,000.00 TOPPAN PRINTING 207,497.97 0.03
20,800.00 MITSUBISHI GAS CHEM. 381,380.89 0.06 5,200.00 TOYOTA TSUSHO CORP 169,090.95 0.03
2,200.00 MITSUBISHI HEAVY INDUSTRIES LTD 73,156.02 0.01 7,800.00 THK CO LTD 170,982.88 0.03
35,000.00 MITSUBISHI CORP 928,795.03 0.16 11,000.00 TOYO SEIKAN KAISHA 196,522.37 0.03
1,400.00 FAMILYMART UNY HOLDINGS 125,537.22 0.02 18,400.00 TOSOH CORP 244,070.67 0.04
55,700.00 MITSUI AND CO LTD 853,048.61 0.15 10,700.00 TOYO SUISAN KAISHA 357,264.13 0.06
28,100.00 NIKON CORP 454,740.81 0.07 3,700.00 TOYOTA INDUSTRIES CORP 188,465.01 0.03
7,700.00 NANKAI ELECTRIC RAILWAY CO LTD 166,631.29 0.03 8,700.00 TOYOTA MOTOR CORP 467,876.66 0.08
15,100.00 NAGOYA RAIL ROAD CO. LTD. 322,077.78 0.05 21,600.00 YAMAHA MOTOR CO LTD 521,462.30 0.08
13,000.00 NEC CORP 309,408.85 0.05 2,100.00 YAKULT HONSHA CO LTD 148,193.35 0.02
6,000.00 NIPPON EXPRESS 339,273.40 0.05 4,300.00 ASTELLAS PHARMA 64,599.90 0.01
10,400.00 NH FOODS LTD 330,693.02 0.05 10,500.00 YAMAZAKI BAKING CO 180,983.71 0.03
6,400.00 NICHIREI CORP 146,017.93 0.02 7,400.00 NIPPON TELEGRAPH AND TELEPHONE CORP 287,857.86 0.05
7,600.00 NIPPON STEEL AND SUMITOMO CORP 138,457.81 0.02 13,200.00 YOKOGAWA ELECTRIC CORP 240,429.32 0.04
4,700.00 ROHM CO LTD 294,976.84 0.05 12,100.00 YAMAHA CORP. 552,130.31 0.09
4,000.00 NISSAN CHEMICAL CORP 181,916.03 0.03 7,000.00 PIGEON CORP 339,576.59 0.05
18,900.00 NISSAN MOTOR CO LTD 152,355.81 0.02 78,900.00 MITSUBISHI MOTORS CORP 479,635.26 0.08
4,700.00 NISSHIN FOODS 278,232.99 0.04 4,300.00 SHIMAMURA CORP 351,355.65 0.06
20,600.00 NISSHIN FLOUR MILL. 388,800.04 0.06 700.00 DAITO TRUST CONSTRUCTION CO LTD 77,545.50 0.01
2,500.00 RINNAI CORP 164,103.42 0.03 85,000.00 YAMADA DENKI CO LTD 370,464.42 0.06
5,300.00 ORIX CORP 73,998.89 0.01 4,800.00 NITORI 592,864.34 0.10
2,400.00 KEWPIE CORP 47,843.92 0.01 19,100.00 MITSUBISHI MATERIAL 491,510.59 0.08
32,900.00 OBAYASHI CORP 268,329.18 0.04 10,000.00 SQUARE ENIX HDLGS 356,252.23 0.06
12,500.00 OSAKA GAS CY 209,961.42 0.03 5,200.00 MAKITA CORP 224,272.15 0.04
53,100.00 RICOH CO LTD 491,036.84 0.08 4,800.00 YASKAWA ELECTRIC CORP 122,793.32 0.02
2,200.00 OMRON CORP 80,043.05 0.01 38,500.00 NSK LTD 379,954.37 0.06
16,600.00 SEKISUI CHEMICAL CO LTD 263,729.73 0.04 5,800.00 KANEKA CORP 230,805.96 0.04
7,900.00 SEKISUI HOUSE LTD 103,743.30 0.02 20,800.00 LIXIL GROUP CORPORATION 344,961.31 0.06
31,800.00 SHIMIZU CORP 249,957.17 0.04 31,800.00 ITOCHU CORP 501,360.58 0.08
6,400.00 SHISEIDO 426,847.77 0.07 21,400.00 MEDICEO HOLDINGS CORP 384,596.26 0.06
21,000.00 SHIZUOKA BANK LTD 162,360.06 0.03 10,500.00 TAIHEIYO CEMENT CORP 283,732.16 0.05
5,600.00 SHIMADZU CORPORATION 151,111.58 0.02 2,400.00 SYSMEX 177,913.88 0.03
7,700.00 CREDIT SAISON CO LTD 108,149.84 0.02 7,700.00 MITSUI OSK LINES LTD 193,479.07 0.03
13,100.00 STANLEY ELECTRIC CO LTD 385,764.31 0.06 5,100.00 TREND MICRO INC 282,583.81 0.05
25,000.00 SUMITOMO CHEMICAL CO LTD 126,014.75 0.02 2,700.00 NTT DOCOMO INC 62,522.26 0.01
12,400.00 SANTEN PHARMACEUTICAL CO LTD 169,275.90 0.03 35,800.00 MITSUBISHI UFJ LEASE AND FINANCE CO LTD 181,538.55 0.03
8,200.00 SUMITOMO ELECTRIC INDUSTRIES LTD 110,759.57 0.02 24,200.00 JFE HOLDINGS INC 478,207.22 0.08
16,600.00 SUMITOMO RUBBER INDUSTRIES LTD 214,532.06 0.03 1,200.00 SOHGO SECURITY SERVICES CO 45,433.53 0.01
17,600.00 SUMITOMO METAL MINING CO LTD 531,752.69 0.09 9,100.00 SUMITOMO MITSUI FINANCIAL GROUP INC 316,326.20 0.05
17,100.00 SUMITOMO CORP 245,555.94 0.04 121,000.00 MIZUHO FINANCIAL GROUP INC 181,781.11 0.03
8,200.00 SUZUKI MOTOR CORP 404,502.42 0.07 163,800.00 SOJITZ CORP 509,046.53 0.08
16,100.00 SUMITOMO HEAVY INDUSTRIES 494,853.29 0.08 19,000.00 SEIKO EPSON CORP 279,104.67 0.05
4,800.00 TAISEI 188,465.01 0.03 10,700.00 ALFRESA HOLDINGS CORP 246,556.86 0.04
5,000.00 TAKEDA PHARMA CO LTD 184,227.88 0.03 9,600.00 T AND D HOLDING INC 136,437.02 0.02
31,800.00 MITSUBISHI TANABE PHARMA CORP 457,973.61 0.07 5,800.00 NABTESCO CORP 132,768.38 0.02
8,900.00 BANK OF KYOTO 400,040.93 0.06 40,100.00 SEGA SAMMY HOLDINGS INC 509,118.54 0.08
3,700.00 TERUMO CORP. 188,745.46 0.03 10,900.00 ELECTRIC POWER DEVELOPMENT CO 259,840.52 0.04
19,400.00 TEIJIN LTD 320,419.32 0.05 7,000.00 HAKUHODO DY HOLDINGS INC 105,746.27 0.02
8,500.00 TOHO GAS 278,009.38 0.04 13,000.00 DAIICHI SANKYO CO LTD 485,298.91 0.08
5,800.00 TOHO CO 156,728.24 0.03 3,200.00 SO-NET M3 62,530.60 0.01
16,000.00 TOHOKU ELECTRIC POWER 187,009.68 0.03 21,200.00 MITSUBISHI CHEMICAL HOLDINGS CORP 174,753.09 0.03

The accompanying notes form an integral part of these financial statements

34
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
2,000.00 BANDAI NAMCO HOLDINGS INC 66,929.94 0.01 26,534.00 ABN AMRO GROUP DEP RECEIPT 622,222.30 0.10
3,900.00 TSURUHA HOLDINGS INC 413,563.36 0.07 1,324.00 FERRARI 157,026.40 0.03
68,300.00 INPEX 733,584.73 0.13 17,180.00 ASR 705,410.80 0.11
17,300.00 IDEMITSU KOSAN 788,098.14 0.14 49,568.00 KONINKLIJKE AHOLD NV 978,968.00 0.15
9,200.00 FUKUOKA FINANCIAL GROUP 217,920.24 0.04 20,909.00 ING GROEP 233,846.26 0.04
142.00 UNITED URBAN INVESTMENT CORP 191,910.80 0.03 6,909.00 EXOR REG 399,478.38 0.06
9,600.00 AOZORA BANK SHS 295,431.63 0.05 New Zealand 1,568,211.93 0.25
28,000.00 J.FRONT RETAILING CO LTD 374,170.96 0.06
30,400.00 ISETAN MITSUKOSHI 321,445.63 0.05 81,397.00 FLETCHER BUILDING LTD 303,844.97 0.05
12,900.00 TEMP HOLDINGS 260,583.34 0.04 171,826.00 CONTACT ENERGY LTD 571,772.59 0.09
159.00 JAPAN RETAIL FUND INVESTMENT CORP 248,390.42 0.04 39,920.00 FISCHER AND PAYKEL INDUSTRIES LTD 342,920.09 0.06
15.00 NIPPON BUILDING FD 74,699.27 0.01 93,268.00 SPARK NEW 215,602.40 0.03
2,500.00 HOSHIZAKI 222,847.14 0.04 71,505.00 MERIDIAN ENERGY LTD 134,071.88 0.02
2,000.00 MEIJI HLDGS 115,668.28 0.02 Norway 3,574,374.81 0.58
15,000.00 DAI-ICHI LIFE INSURANCE CO LT 268,951.48 0.04
24,516.00 DNB 443,876.87 0.07
111,550.00 JX HOLDINGS INC 725,718.87 0.12
10,776.00 TELENOR ASA 181,263.38 0.03
7,100.00 OTSUKA HOLDINGS 308,208.96 0.05
36,916.00 MARINE HARVEST 735,907.95 0.12
4,500.00 CALBEE 127,568.62 0.02
117,418.00 NORSK HYDRO ASA 606,555.39 0.10
3,700.00 KEIHAN EL RWY 121,716.98 0.02
58,122.00 ORKLA ASA 422,531.16 0.07
5,000.00 TAISHO PHARMACEUTICAL HOLDINGS CO LTD 526,419.51 0.09
11,246.00 YARA INTERNATIONAL ASA 475,241.71 0.08
35,800.00 NEXON CO LTD 402,966.75 0.07
29,220.00 EQUINOR 708,998.35 0.11
3,000.00 SUNTORY 109,377.01 0.02
20,800.00 TOKYU FUDOSAN HOLDINGS CORP 124,867.16 0.02 Panama 1,057,160.01 0.17
17,800.00 RECRUIT HOLDINGS CO LTD 511,620.64 0.08 19,255.00 CARNIVAL CORP 1,057,160.01 0.17
18,500.00 JAPAN POST HOLDINGS CO 189,586.82 0.03 Portugal 1,373,925.20 0.22
18,200.00 JAPAN POST BANK 185,270.87 0.03
93.00 NOMURA REAL ESTATE MASTER FUND 109,404.30 0.02 15,743.00 JERONIMO MARTINS SGPS SA 199,699.96 0.03
18,600.00 CONCORDIA FIN GRP 78,528.61 0.01 164,454.00 EDP-ENERGIAS REG.SHS 522,634.81 0.08
38,127.00 GALP ENERGIA SA REG SHS -B- 651,590.43 0.11
Jersey Island 1,697,372.50 0.27
Singapore 5,942,499.86 0.96
12,209.00 EXPERIAN GROUP 270,115.48 0.04
6,690.00 APTIV - REGISTERED 483,246.66 0.08 65,100.00 SINGAPORE EXCHANGE LTD 302,313.73 0.05
107,896.00 GLENCORE PLC 401,831.28 0.06 71,900.00 CAPITALAND LTD 152,675.09 0.02
7,412.00 FERGUSON 542,179.08 0.09 41,700.00 SINGAPORE TECHNOLOGIES ENGINEERING 93,539.59 0.02
14,514.00 DBS GROUP HOLDINGS 238,600.08 0.04
Liberia 1,847,016.27 0.30
22,400.00 CITY DEVELOPMENT 128,580.70 0.02
16,510.00 ROYAL CARIBBEAN CRUISES 1,847,016.27 0.30 14,569.00 UNITED OVERSEAS BANK 248,592.37 0.04
Luxembourg 1,234,106.08 0.20 48,406.00 UOL GROUP LTD 210,149.23 0.03
42,500.00 VENTURE CORPORATION LIMITED 472,118.08 0.09
23,031.00 SUBSEA 7 SA 293,171.40 0.05
227,100.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 377,772.60 0.06
33,396.00 TENARIS SA - REG.SHS 481,904.28 0.08
81,600.00 SATS 268,392.30 0.04
17,128.00 ARCELORMITTAL - REGISTERED 459,030.40 0.07
92,700.00 COMFORTDELGRO CORP 141,936.93 0.02
Netherlands 8,822,830.19 1.42 183,300.00 S'PORE PRESS HOLDINGS LTD 331,477.27 0.05
53,832.00 KONINKLIJKE KPN NV 122,306.30 0.02 280,700.00 SUNTEC REAL ESTATE INVESTMENT TRUST 341,357.24 0.06
10,489.00 ROYAL PHILIPS ELECTRONIC 411,535.92 0.07 26,500.00 OVERSEA-CHINESE BANKING CORPORATION LTD 191,021.08 0.03
1,426.00 RANDSTAD BR 65,567.48 0.01 76,000.00 KEPPEL CORPORATION LTD 333,297.63 0.05
7,153.00 AKZO NOBEL NV 576,102.62 0.09 67,400.00 SINGAPORE AIRLINES LTD 413,645.44 0.07
3,573.00 HEINEKEN NV 288,555.48 0.05 156,400.00 WILMAR INTERNATIONAL LTD 317,323.34 0.05
6,008.00 GEMALTO NV 301,601.60 0.05 225,800.00 MAPLETREE COMMERCIAL TRUST 229,065.25 0.04
9,573.00 STMICROELECTRONICS NV 150,056.78 0.02 326,500.00 CAPITAMALL REAL ESTATE INVESTMENT TRUST 456,715.29 0.07
5,809.00 DSM KONINKLIJKE 530,013.16 0.09 326,908.00 CAPITACOMMERCIAL REAL ESTATE INV TRUST 366,652.75 0.06
115,108.00 AEGON NV 643,223.50 0.10 490,000.00 GENTING SPORE -REGISTERED SHS 327,273.87 0.05
8,158.00 WOLTERS KLUWER 437,921.44 0.07 Spain 4,077,486.25 0.66
10,016.00 AALBERTS INDUSTRIES NV 367,386.88 0.06
6,967.00 ENDESA 129,655.87 0.02
6,834.00 LYONDELLBASELL -A- 603,145.36 0.10
16,850.00 NATURGY ENERGY GROUP SA 396,143.50 0.06
24,488.00 NN GROUP NV 941,073.84 0.15
20,525.00 TELEFONICA S A 139,939.45 0.02
18,977.00 FIAT CHRYSLER AUTOMOBILES -A- 287,387.69 0.05
40,481.00 BANCO BILBAO VIZCAYA ARGENT SA REG 222,240.69 0.04

The accompanying notes form an integral part of these financial statements

35
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
7,722.00 ENAGAS 179,536.50 0.03 2,802.00 DUFRY GROUP 273,272.49 0.04
473.00 ACS 17,349.64 0.00 815.00 SCHINDLER HOLDING SA 175,707.55 0.03
26,189.00 FERROVIAL SA 467,997.43 0.08 818.00 PARTNERS GROUP HLDG NAMEN AKT 561,291.26 0.09
19,818.00 BANKINTER REG.SHS 157,196.38 0.03 1,364.00 KUEHNE + NAGEL INTERNATIONAL AG 186,948.13 0.03
38,215.00 IBERDROLA S A 242,206.67 0.04 7,745.00 LOGITECH NAMEN AKT 299,410.07 0.05
3,475.00 AMADEUS IT -A- 278,069.50 0.04 209.00 GEBERIT AG 83,854.22 0.01
87,372.00 INTL CONS AIRLINES GROUP 647,650.52 0.10 1,480.00 NESTLE SA REG SHS 106,732.72 0.02
33,424.00 MERLIN PROPERTIES SOCIMI S.A. 390,559.44 0.06 5,646.00 CHUBB - NAMEN AKT 649,618.11 0.10
2,299.00 AENA 343,700.50 0.06 272.00 GEBERIT AG NAM-AKT 109,084.62 0.02
27,104.00 REPSOL SA 465,240.16 0.08 12,506.00 TE CONNECTIVITY LTD REG SHS 946,752.11 0.16
Sweden 6,377,998.32 1.03 8,236.00 SWISS RE NAMEN AKT 657,689.48 0.11
13,095.00 COCA COLA HBC NAMEN 384,182.73 0.06
12,440.00 SANDVIK AB 189,981.12 0.03 3,710.00 CIE FINANCIERE RICHEMONT NAMEN AKT 261,601.52 0.04
122,457.00 TELIA COMPANY AB 483,924.17 0.08 2,520.00 SIKA - REGISTERED SHS 317,401.61 0.05
8,406.00 SWEDBANK -A- 179,277.00 0.03
Thailand 185,955.07 0.03
12,244.00 SWEDISH MATCH 539,331.04 0.09
3,628.00 HEXAGON -B- 182,989.31 0.03 434,000.00 THAI BEVERAGE PUBLIC CO LTD 185,955.07 0.03
10,375.00 ELECTROLUX -B- FREE 196,863.35 0.03 United Kingdom 34,792,142.79 5.62
19,727.00 INDUSTRIVAERDEN -C- FREE 377,180.16 0.06
80,954.00 HSBC HOLDINGS PLC 608,802.44 0.10
10,117.00 SKF AB -B- 171,742.68 0.03
9,811.00 SCHRODERS 340,931.29 0.06
6,008.00 INVESTOR -B- FREE 238,877.54 0.04
14,384.00 GLAXOSMITHKLINE PLC 248,193.24 0.04
28,469.00 SVENSKA CELLULOSA SCA AB-SHS-B- 277,537.95 0.04
43,898.00 SMITH AND NEPHEW PLC 689,779.95 0.11
35,475.00 TELEFON AB L.M.ERICSSON 270,900.63 0.04
87,960.00 STANDARD CHARTERED PLC 628,504.39 0.10
13,455.00 TRELLEBORG -B- FREE 236,092.63 0.04
378,044.00 LLOYDS BANKING GROUP PLC 251,576.58 0.04
8,709.00 SECURITAS -B- FREE 130,472.70 0.02
144,161.00 MARKS AND SPENCER GROUP PLC 467,452.96 0.08
34,579.00 CASTELLUM 532,602.63 0.09
12,982.00 WEIR GROUP PLC 256,972.61 0.04
10,286.00 ALFA LAVAL 239,985.09 0.04
74,027.00 HAMMERSON PLC 379,589.41 0.06
12,287.00 ICA GRUPPEN AB 335,440.63 0.05
11,998.00 BELLWAY PLC 406,017.76 0.07
19,342.00 HUSQVARNA -B- 141,748.33 0.02
26,466.00 BRITISH SKY BROADCASTING GROUP 513,778.86 0.08
54,032.00 TELE2 AB 559,700.29 0.09
13,692.00 ASHTEAD GROUP 374,641.04 0.06
20,449.00 KINNEVIK AB -B- 532,729.16 0.09
78,982.00 BARRATT DEVELOPMENTS PLC 502,810.24 0.08
23,360.00 BOLIDEN -REGISTERED SHS 560,621.91 0.09
118,925.00 BRITISH LAND CO PLC REIT 823,588.84 0.13
Switzerland 14,390,486.52 2.32 72,720.00 AVIVA PLC 399,668.11 0.06
266.00 GIVAUDAN SA REG.SHS 565,737.96 0.09 38,005.00 HALMA PLC 616,597.15 0.10
6.00 CHOCOLADEFABRIKEN LINDT.SPRUENGLI NOM. 425,719.45 0.07 40,183.00 SSE PLC 517,034.95 0.08
1,015.00 ZURICH INSURANCE GROUP NAMEN AKT 277,513.55 0.04 159,450.00 MORRISON SUPERMARKETS PLC 464,394.88 0.07
584.00 ROCHE HOLDING AG GENUSSSCHEIN 122,379.80 0.02 92,434.00 PEARSON PLC 923,665.41 0.15
5,202.00 NOVARTIS AG REG SHS 386,980.56 0.06 16,333.00 PERSIMMON PLC 433,700.61 0.07
2,704.00 ADECCO REG.SHS 122,836.51 0.02 308,364.00 TAYLOR WIMPEY PLC 594,812.05 0.10
32,273.00 CLARIANT NAMEN AKT 726,501.63 0.12 73,073.00 TESCO PLC 196,742.88 0.03
2,638.00 LAFARGEHOLCIM N NAMEN-AKT. 112,653.57 0.02 33,958.00 TRAVIS PERKINS 406,245.42 0.07
5,725.00 TEMENOS AG NAM.AKT 803,331.72 0.14 16,071.00 DIAGEO PLC 490,619.76 0.08
317.00 STRAUMANN HOLDING REG 206,201.58 0.03 31,173.00 BAE SYSTEMS PLC 220,431.76 0.04
4,364.00 BALOISE HOLDING REG.SHS 575,814.90 0.09 109,008.00 BARCLAYS PLC 210,244.14 0.03
2,972.00 SONOVA HOLDING NAM-AKT 511,596.32 0.08 5,684.00 INTERTEK GROUP PLC 318,582.25 0.05
1,255.00 THE SWATCH GROUP 431,736.37 0.07 16,685.00 BURBERRY GROUP PLC 377,480.21 0.06
40,157.00 CREDIT SUISSE GROUP AG REG SHS 522,071.09 0.08 10,000.00 NEXT PLC 616,852.86 0.10
1,030.00 HELVETIA HOLDING AG 542,893.66 0.09 11,873.00 CARNIVAL PLC 635,075.19 0.10
366.00 GEORG FISCHER REG. 358,080.30 0.06 203,370.00 KINGFISHER PLC 589,114.24 0.10
60.00 SGS SA REG SHS 136,653.30 0.02 96,979.00 J SAINSBURY PLC 350,394.00 0.06
858.00 SWISSCOM SHS NOM 336,832.40 0.05 186,193.00 RENTOKIL INITIAL PLC 665,624.56 0.11
74.00 BARRY CALLEBAUT - NAMEN-AKT 121,316.82 0.02 17,575.00 BUNZL PLC 476,151.97 0.08
1,884.00 SWISS LIFE HOLDING N-NAMEN REGISTERED 617,732.14 0.10 27,191.00 BABCOCK INTERNATIONAL GROUP PLC 220,727.48 0.04
5,599.00 PSP SWISS PROPERTY AG 469,071.39 0.08 54,769.00 PENNON GROUP PLC 438,570.16 0.07
387.00 EMS-CHEM HOLDINGS-NAMEN ACT. 199,546.08 0.03 18,143.00 HARGREAVES LANS - REGISTERED SHS 455,281.03 0.07
4,990.00 SWISS PRIME SITE AG-NAMEN AKT 367,911.07 0.06 30,427.00 SMITHS GROUP -SHS- 510,903.04 0.08
6,271.00 PARGESA HOLDING SA 435,827.73 0.07 43,844.00 3I GROUP PLC 463,324.24 0.07

The accompanying notes form an integral part of these financial statements

36
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
17,540.00 MONDI PLC 414,350.87 0.07 36,747.00 CENTERPOINT ENERGY 874,777.92 0.14
2,305.00 BP PLC 15,474.16 0.00 4,010.00 PRUDENTIAL FINANCIAL INC 349,800.43 0.06
44,063.00 UNITED UTILITIES GROUP PLC 348,288.91 0.06 3,794.00 INTUIT 742,794.32 0.12
97,325.00 SEGRO (REIT) 696,950.37 0.11 14,257.00 ALLSTATE CORP 1,211,507.45 0.20
14,051.00 THE BERKELEY GR 580,403.40 0.09 4,981.00 HENRY SCHEIN INC 364,644.37 0.06
6,662.00 AON 882,033.89 0.14 12,086.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 689,469.10 0.11
310,093.00 ROYAL BANK OF SCOTLAND 870,412.06 0.14 11,003.00 ESTEE LAUDER COMPANIES INC -A- 1,376,630.19 0.22
155,871.00 ROYAL MAIL 834,963.84 0.13 20,648.00 BORG WARNER 760,500.59 0.12
174,234.00 VODAFONE GROUP 321,804.22 0.05 2,389.00 WATERS 400,422.32 0.06
49,709.00 JUST EAT PLC 374,052.34 0.06 29,427.00 DUKE REALTY 718,763.66 0.12
106,792.00 RSA INSURANCE GROUP PLC 689,444.79 0.11 276.00 NVR INC 587,120.79 0.09
107,845.00 INFORMA PLC 922,915.39 0.15 4,585.00 MID-AMER APARTMENT COMMUNITIES INC 395,458.72 0.06
77,954.00 AUTO TRADER GROUP PLC 390,885.94 0.06 7,990.00 MACERICH CO 380,341.89 0.06
5,054.00 SPIRAX-SARCO ENGIN 414,239.04 0.07 16,244.00 EASTMAN CHEMICAL CO 1,338,679.02 0.22
257,241.00 DIRECT LINE INS GR PLC NI 935,500.59 0.16 18,532.00 ENTERGY CORP 1,294,447.83 0.21
5,064.00 JOHNSON MATTHEY 202,525.89 0.03 8,964.00 CITRIX SYSTEMS 857,889.14 0.14
133,884.00 BP PLC 885,845.63 0.14 17,557.00 COPART INC 778,917.10 0.13
19,012.00 RIO TINTO PLC 828,232.86 0.13 4,181.00 ALBERMARLE CORPORATION 359,173.64 0.06
33,984.00 BHP BILLITON PLC 637,669.80 0.10 3,778.00 ESSEX PROPERTY TRUST 802,471.27 0.13
43,965.00 ROYAL DUTCH SHELL PLC 1,301,450.88 0.22 14,713.00 RESMED 1,461,039.54 0.24
36,818.00 ANGLO AMERICAN PLC 712,259.74 0.12 8,935.00 CAPITAL ONE FINANCIAL CORP 730,262.20 0.12
12,737.00 CRODA INTERNATIONAL PLC 743,927.18 0.12 9,982.00 DARDEN RESTAURANTS INC 955,573.47 0.15
12,521.00 COCA COLA EUROPEAN PARTNERS (038) 488,319.00 0.08 17,575.00 DTE ENERGY COMPANY 1,651,278.30 0.27
63,331.00 NATIONAL GRID PLC 562,736.80 0.09 5,446.00 COOPER COMPANIES INC 1,299,491.09 0.21
6,366.00 INTERCONT HOTELS GR PLC 341,654.75 0.06 16,315.00 EDISON INTERNATIONAL 950,666.55 0.15
17,466.00 COMPASS GROUP 334,553.37 0.05 4,340.00 ALEXION PHARMACEUTICALS 519,417.48 0.08
27,023.00 MICRO FOCUS INTL PLC 433,721.21 0.07 6,569.00 ANSYS INC 1,055,790.72 0.17
41,237.00 LAND SEC R.E.I.T 409,013.26 0.07 25,436.00 NATIONAL OILWELL VARCO INC 943,420.47 0.15
25,270.00 RIGHTMOVE -REGISTERED SHS 133,634.65 0.02 6,096.00 CVS HEALTH 413,152.92 0.07
United States of America 350,315,774.24 56.57 1,289.00 ROCKWELL AUTOMATION 208,104.42 0.03
32,565.00 STEEL DYNAMICS 1,266,992.98 0.20
5,183.00 FEDEX CORP 1,074,485.21 0.17 9,570.00 QUEST DIAGNOSTICS 889,107.79 0.14
5,212.00 PACKAGING CORP OF AMERICA 492,212.04 0.08 32,832.00 PG AND E CORP 1,300,559.90 0.21
32,058.00 TARGET CORP 2,434,641.57 0.38 15,869.00 STATE STREET CORP 1,144,644.70 0.18
39,315.00 PPL CORP 990,406.28 0.16 13,738.00 AUTOLIV 1,025,234.47 0.17
7,582.00 EDWARDS LIFESCIENCES CORP 1,136,484.03 0.18 36,816.00 BB AND T CORP 1,538,569.64 0.25
13,774.00 METLIFE INC 554,043.29 0.09 24,365.00 HARTFORD FINANCIAL SERVICES GROUP INC 1,048,020.15 0.17
3,726.00 UNITEDHEALTH GROUP INC 853,435.25 0.14 389.00 AMAZON.COM INC 670,828.24 0.11
5,410.00 VERIZON COMMUNICATIONS INC 248,678.35 0.04 9,366.00 AMPHENOL -A- 758,150.08 0.12
17,563.00 KANSAS CITY SOUTHERN INDUSTRIES INC 1,712,902.83 0.28 2,606.00 ALEXANDRIA REAL ESTATE 282,228.79 0.05
50,602.00 FORD MOTOR 402,986.22 0.07 15,734.00 MORGAN STANLEY 630,850.09 0.10
2,828.00 MOODY S CORP 407,095.65 0.07 20,109.00 VALERO ENERGY 1,969,348.90 0.32
12,842.00 LABORATORY CORP OF AMERICA HOLDINGS 1,920,274.27 0.31 48,579.00 NISOURCE 1,042,263.18 0.17
33,351.00 XCEL ENERGY INC 1,355,575.30 0.22 8,120.00 SL GREEN REALTY CORPORATION 681,828.33 0.11
1,023.00 BLACKROCK INC 415,127.50 0.07 4,910.00 GOLDMAN SACHS GROUP INC 947,928.02 0.15
12,658.00 DAVITA 780,622.07 0.13 149,475.00 ANNALY CAPITAL MANAGEMENT 1,316,512.48 0.21
58,824.00 EXELON CORP 2,211,154.40 0.36 69,598.00 BANK OF AMERICA CORP 1,765,266.53 0.29
12,483.00 AETNA INC 2,180,091.73 0.35 74,064.00 FIRSTENERGY CORP 2,370,175.53 0.38
21,749.00 JPMORGAN CHASE CO 2,112,920.50 0.34 4,239.00 AFFILIATED MANAGERS GROUP 498,972.09 0.08
18,723.00 US BANCORP 851,279.92 0.14 29,644.00 JUNIPER NETWORKS INC 764,899.42 0.12
1,326.00 ALIGN TECHNOLOGY INC 446,627.40 0.07 13,854.00 CENTURYLINK SHS 252,866.81 0.04
13,064.00 RAYTHEON CO 2,324,413.47 0.38 34,739.00 ALLIANT ENERGY CORP 1,273,215.01 0.21
7,665.00 CONSTELLATION BRANDS INC -A- 1,422,924.92 0.23 7,262.00 F5 NETWORKS 1,246,825.69 0.20
6,899.00 ROCKWELL COLLINS WHEN ISSUED 834,354.31 0.13 20,441.00 UNUM SHS 687,584.91 0.11
6,374.00 ZIMMER BIOMET HLDGS SHS 721,472.04 0.12 587.00 METTLER TOLEDO INTERNATIONAL 307,766.90 0.05
23,503.00 CHEVRON CORP 2,474,340.80 0.39 34,112.00 AMEREN CORPORATION 1,856,703.09 0.30
4,882.00 PRINCIPAL FINANCIAL GROUP INC 246,264.64 0.04 22,008.00 CONSOLIDATED EDISON INC 1,443,641.43 0.23

The accompanying notes form an integral part of these financial statements

37
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
5,226.00 RED HAT 613,172.00 0.10 5,776.00 GENUINE PARTS CO 494,304.26 0.08
3,883.00 UNITED RENTALS INC 546,929.66 0.09 4,081.00 WW GRAINGER INC 1,255,781.50 0.20
15,824.00 SEMPRA ENERGY 1,549,702.97 0.25 13,232.00 HARRIS CORP 1,927,668.29 0.31
8,691.00 VERISIGN INC 1,198,108.41 0.19 8,258.00 HASBRO INC 747,379.22 0.12
12,450.00 SEALED AIR 430,363.75 0.07 8,617.00 HERSHEY 756,723.20 0.12
12,269.00 VENTAS INC 574,419.47 0.09 4,140.00 HOME DEPOT INC 738,356.44 0.12
24,921.00 AKAMAI TECHNOLOGIES 1,569,497.33 0.25 8,193.00 HUMANA INC 2,387,855.67 0.39
17,105.00 AGILENT TECHNOLOGIES 1,038,817.65 0.17 9,015.00 J.B. HUNT TRANSPORT SERVICES INC 923,154.63 0.15
21,668.00 ABBOTT LABORATORIES LTD 1,368,544.54 0.22 5,843.00 IDEXX LABS CORP 1,255,930.59 0.20
4,208.00 ADOBE SYSTEMS INC 978,002.24 0.16 17,080.00 INTEL CORP 695,405.25 0.11
1,369.00 COSTCO WHOLESALE CORP 276,840.91 0.04 2,665.00 IBM CORP 346,943.31 0.06
32,333.00 AFLAC INC 1,310,300.74 0.21 6,385.00 INTERNATIONAL FLAVORS FRAGRANCES 764,770.73 0.12
5,802.00 AIR PRODUCTS CHEMICALS INC 834,458.98 0.13 13,681.00 INTERPUBLIC GROUP OF COMPANIES INC 269,379.66 0.04
1,282.00 ALLEGHANY (DEL) 720,226.83 0.12 2,483.00 JOHNSON AND JOHNSON 295,373.32 0.05
12,110.00 AMERICAN ELECTRIC POWER CO INC 739,007.15 0.12 6,136.00 KELLOGG 369,903.33 0.06
9,803.00 AMERICAN EXPRESS CO COM. 898,770.10 0.15 2,573.00 KIMBERLY CLARK 251,739.75 0.04
31,705.00 APACHE CORP 1,301,228.89 0.21 4,113.00 KLA-TENCOR CORP 360,166.36 0.06
25,496.00 ARCHER-DANIELS MIDLAND CO 1,103,473.03 0.18 34,152.00 KROGER CO 855,931.74 0.14
7,267.00 AUTODESK INC 976,712.33 0.16 5,188.00 LAM RESEARCH CORP 677,588.98 0.11
18,195.00 BAXTER INTERNATIONAL INC 1,207,621.65 0.20 23,961.00 LENNAR CORP -A- 963,184.75 0.16
2,463.00 BECTON DICKINSON 553,459.32 0.09 7,533.00 ELI LILLY AND CO 695,967.48 0.11
17,605.00 BEST BUY CO 1,202,869.39 0.19 24,715.00 LINCOLN NATIONAL CORP 1,439,704.61 0.23
4,118.00 BOEING CO COM. 1,318,539.99 0.21 19,331.00 LOEWS CORP 835,984.61 0.14
16,291.00 BOSTON SCIENTIFIC CORP 539,994.40 0.09 10,124.00 MARSH MC-LENNAN COS. INC. 721,013.59 0.12
13,935.00 M&T BANK CORPORATION 1,974,055.02 0.32 11,500.00 MASCO 362,376.24 0.06
27,318.00 BROWN-FORMAN CORP -B- NON VOTING 1,188,915.11 0.19 28,896.00 MAXIM INTEGRATED PRODUCTS INC 1,402,880.28 0.23
14,777.00 CAMPBELL SOUP CO 466,019.38 0.08 3,247.00 MCCORMICK & CO INC NON VOTING 368,310.16 0.06
20,087.00 CADENCE DESIGN SYSTEMS INC 783,764.82 0.13 2,497.00 MCDONALD'S CORP 359,641.09 0.06
3,881.00 CATERPILLAR - REGISTERED 509,525.35 0.08 33,635.00 MGM RESORTS INTL 808,224.58 0.13
7,308.00 CERNER CORP 405,258.96 0.07 43,331.00 MICRON TECHNOLOGY 1,687,353.53 0.27
7,069.00 CHURCH AND DWIGHT CO 361,331.49 0.06 9,034.00 MICROSOFT CORP 889,555.39 0.14
4,828.00 CIGNA CORP 865,631.51 0.14 4,442.00 MOHAWK INDUSTRIES INC 670,602.41 0.11
13,479.00 CINCINNATI FINANCIAL CORP 891,366.33 0.14 69,092.00 NEWMONT MINING CORP 1,796,451.49 0.29
6,200.00 CINTAS 1,055,894.96 0.17 20,113.00 NIKE INC 1,467,045.51 0.24
29,793.00 CISCO SYSTEMS INC 1,247,894.49 0.20 6,633.00 NORFOLK SOUTHERN CORP 1,030,784.76 0.17
7,008.00 CLOROX CO 907,510.36 0.15 6,988.00 NUCOR CORP 381,737.93 0.06
37,316.00 CMS ENERGY CORP 1,574,243.65 0.25 5,139.00 ROPER TECHNOLOGIES 1,310,566.67 0.21
8,244.00 COCA-COLA CO 327,843.62 0.05 5,083.00 AVALONBAY COMMUN 792,755.45 0.13
8,173.00 COLGATE-PALMOLIVE CO 471,099.74 0.08 8,663.00 PAYCHEX INC 549,315.50 0.09
23,790.00 COMERICA INC 1,847,488.59 0.30 2,636.00 PEPSICO INC 253,727.77 0.04
19,126.00 CONAGRA BRANDS INC 559,371.69 0.09 19,614.00 PFIZER INC 744,200.59 0.12
26,260.00 CORNING INC 798,086.96 0.13 15,568.00 PINNACLE WEST CAPITAL CORP 1,061,277.86 0.17
38,709.00 COGNIZANT TECHNOLOGY SOLUTIONS -A- 2,571,157.43 0.41 19,574.00 PNC FINANCIAL SERVICES GROUP INC 2,295,121.02 0.37
10,236.00 CSX CORP 652,583.56 0.11 2,560.00 PPG INDUSTRIES INC 240,527.59 0.04
2,491.00 CUMMINS - REGISTERED 313,267.65 0.05 6,099.00 PROCTER AND GAMBLE CO 437,038.11 0.07
37,552.00 DR HORTON 1,363,705.00 0.22 13,142.00 PROGRESSIVE CORP 803,794.82 0.13
11,518.00 DANAHER CORP 1,077,525.51 0.17 36,254.00 PUBLIC SERVICE ENTERPRISE GROUP INC 1,647,738.84 0.27
16,724.00 DOVER CORP 1,274,710.05 0.21 8,153.00 RAYMOND JAMES FINANCIAL INC 646,133.15 0.10
14,411.00 REPUBLIC SERVICES -A- 901,509.48 0.15 15,606.00 ROSS STORES INC 1,331,514.94 0.22
2,051.00 ECOLAB INC 276,845.27 0.04 4,894.00 SNAP ON INC 773,601.72 0.12
16,452.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 1,041,511.46 0.17 56,923.00 SOUTHERN CO 2,136,756.61 0.35
3,928.00 FASTENAL CO 196,214.00 0.03 10,065.00 STARBUCKS CORP 492,548.08 0.08
83,384.00 FIFTH THIRD BANCORP 2,004,374.76 0.32 5,193.00 STRYKER CORP 794,397.11 0.13
11,482.00 FISERV INC 814,366.90 0.13 24,629.00 SUNTRUST BANKS INC 1,416,247.02 0.23
17,976.00 FRANKLIN RESOURCES INC 470,641.55 0.08 6,949.00 SYSCO CORP 438,238.70 0.07
13,081.00 ARTHUR J.GALLAGHER AN CO 838,355.26 0.14 15,282.00 SYNOPSYS 1,297,424.04 0.21
11,739.00 WASTE MANAGEMENT INC 913,246.70 0.15 10,937.00 TEXAS INSTRUMENTS INC 1,010,271.83 0.16

The accompanying notes form an integral part of these financial statements

38
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
17,586.00 TEXTRON INC 1,082,110.56 0.17 16,301.00 CME GROUP -A- 2,388,801.73 0.38
5,575.00 THERMO FISHER SCIEN SHS 1,171,541.97 0.19 36,074.00 HCP 817,449.57 0.13
17,049.00 TIFFANY CO 1,893,077.51 0.31 2,454.00 ULTA BEAUTY RG REGISTERED 596,058.96 0.10
4,919.00 TJX COS INC 474,409.28 0.08 6,385.00 MSCI 975,258.59 0.16
12,052.00 TORCHMARK CORP 899,516.04 0.15 16,874.00 DOLLAR TREE INC 1,184,739.30 0.19
7,739.00 UNION PACIFIC CORP 1,084,925.85 0.18 6,261.00 VISA INC -A- 809,051.65 0.13
3,728.00 UNITED TECHNOLOGIES CORP 448,740.15 0.07 25,270.00 NETAPP 1,868,652.86 0.30
9,363.00 UNIVERSAL HEALTH SERVICES INC 1,030,534.58 0.17 12,899.00 AMERCIAN WATER WORKS CO INC 976,947.94 0.16
16,721.00 VF REGISTERED 1,345,309.90 0.22 9,944.00 IAC/INTERACTIVE CORP (WHEN ISSUED) 1,855,414.27 0.30
29,864.00 WALMART INC 2,414,574.46 0.38 19,604.00 AMERICAN INTERNATIONAL GROUP INC 898,594.02 0.15
7,073.00 WALT DISNEY CO 712,110.74 0.12 13,495.00 VERISK ANALYTICS INC 1,400,621.83 0.23
4,305.00 WHIRLPOOL CORP 440,136.68 0.07 8,780.00 MERCK AND CO 536,248.99 0.09
61,105.00 HOST HOTELS & RESORTS - SHS 1,110,043.48 0.18 8,210.00 LEAR 1,024,924.67 0.17
7,162.00 XILINX INC 494,341.40 0.08 9,800.00 DOLLAR GENERAL 922,204.05 0.15
25,094.00 ZIONS BANCORP 1,083,481.79 0.17 7,234.00 BERKSHIRE HATHAWAY -B- 1,333,509.89 0.22
4,405.00 NVIDIA CORP 1,065,771.07 0.17 6,090.00 STANLEY BLCK DECK 767,817.13 0.12
6,668.00 VARIAN MEDICAL SYTEMS 642,573.60 0.10 20,679.00 CIT GROUP 918,849.07 0.15
5,630.00 ADVANCE AUTO PARTS 815,925.87 0.13 25,420.00 NEXTERA ENERGY 3,668,008.61 0.58
11,338.00 YUM BRANDS INC 887,419.35 0.14 40,384.00 GENERAL MOTORS CO 1,170,666.62 0.19
8,803.00 J.M. SMUCKER CO SHS/WHEN ISSUED 777,680.44 0.13 17,291.00 MOTOROLA SOLUTIONS INC 1,937,366.11 0.31
7,588.00 SKYWORKS SOLUTIONS INC 592,602.22 0.10 35,185.00 KINDER MORGAN 537,090.01 0.09
8,471.00 TRACTOR SUPPLY CO 662,801.96 0.11 4,016.00 HUNTINGTON INGALLS INDUSTRIESINC 885,421.68 0.14
7,241.00 T ROWE PRICE GROUP INC 680,647.77 0.11 1,271.00 COSTAR GROUP INC 460,514.54 0.07
6,929.00 CIMAREX ENERGY CO 554,439.31 0.09 12,972.00 CITIGROUP 801,215.05 0.13
24,044.00 COMCAST CORP 733,015.96 0.12 33,502.00 MOSAIC 936,844.56 0.15
15,845.00 NEKTAR THERAPEUTICS 831,606.72 0.13 28,017.00 PROLOGIS 1,635,189.35 0.26
2,829.00 INTUITIVE SURGICAL 1,398,059.41 0.23 20,709.00 MARATHON PETROLEUM 1,425,827.58 0.23
1,738.00 MARKEL CORP 1,778,386.24 0.29 11,623.00 PVH CORP 1,444,994.58 0.23
23,747.00 CENTENE 2,960,043.62 0.47 9,988.00 FORTUNE BRANDS HOME AND SECURITY W.ISS 450,255.43 0.07
24,709.00 HORMEL FOODS CORP 838,170.12 0.14 17,124.00 CBRE GROUP 650,166.51 0.10
19,046.00 HOLOGIC INC 671,980.27 0.11 14,863.00 XYLEM WHEN ISSUED 1,022,047.19 0.17
6,649.00 WYNN RESORTS LTD 727,354.23 0.12 3,180.00 EXPEDIA GROUP 357,233.23 0.06
9,406.00 SALESFORCE COM.INC 1,287,848.63 0.21 23,665.00 TARGA RESOURCES CORP 1,147,288.98 0.19
154,176.00 REGIONS FINANCIAL CORP 2,435,755.14 0.38 15,652.00 EXPRESS SCRIPTS 1,280,324.17 0.21
13,839.00 TOTAL SYSTEM SERVICES INC 1,176,463.93 0.19 21,400.00 PHILLIPS 66 2,076,804.13 0.34
15,401.00 LAS VEGAS SANDS CORP 786,690.77 0.13 4,087.00 FACEBOOK -A- 578,689.64 0.09
8,413.00 NASDAQ 621,468.27 0.10 7,397.00 INGREDION 668,436.61 0.11
9,126.00 MOLSON COORS BREWING CO -B- NON VOTING 483,210.50 0.08 14,409.00 DUKE ENERGY CORP 992,688.92 0.16
1,808.00 WELLCARE HEALTH PLANS INC 498,877.24 0.08 5,798.00 SERVICENOW INC 976,549.93 0.16
9,322.00 REALTY INCOME CORP 456,589.39 0.07 19,983.00 MONDELEZ INTERNATIONAL INC 739,104.33 0.12
8,016.00 C.H.ROBINSON WORLWIDE INC 675,787.10 0.11 15,080.00 XPO LOGISTICS INC 1,482,293.24 0.24
29,234.00 AT AND T INC 845,180.99 0.14 9,542.00 ZOETIS INC -A- 752,187.28 0.12
17,386.00 LKQ CORP 474,054.77 0.08 22,909.00 T MOBILE US INC 1,384,204.58 0.22
28,578.00 VIACOM -B- 830,644.24 0.13 44,013.00 COTY INC -A- 475,939.11 0.08
1,525.00 CHIPOTLE MEXICAN GRILL -A- 596,765.39 0.10 21,915.00 21ST CENTURY -A- WHEN ISSUED 874,147.18 0.14
7,813.00 FIDELITY NATIONAL 733,675.34 0.12 9,315.00 CDW 713,120.79 0.12
26,756.00 CA INC 1,017,027.46 0.16 13,850.00 INTERCONEXCH GR INC WI 893,006.03 0.14
13,300.00 AMETEK INC 905,980.20 0.15 145,821.00 SIRIUS XM HOLDINGS INC 793,447.03 0.13
12,547.00 CELANESE RG REGISTERED SHS 1,231,474.82 0.20 44,582.00 ALLY FINANCIAL INC 1,015,233.66 0.16
9,715.00 MASTERCARD INC -A- 1,861,951.05 0.30 30,304.00 FIDL NAT FINANCL-A FNF GROUP WI 1,026,657.25 0.17
11,194.00 WYNDHAM DESTINATIONS 417,883.63 0.07 4,326.00 CDK GLOBAL INC 233,004.36 0.04
5,322.00 TRAVELERS COS INC/THE 594,332.00 0.10 13,972.00 WALGREENS BOOTS ALLIANCE INC 876,933.96 0.14
13,356.00 UDR 464,901.49 0.08 6,638.00 ANTHEM 1,566,202.24 0.25
9,921.00 BROADRIDGE FINANCIAL SOL -W/I 1,127,056.35 0.18 62,454.00 CITIZENS FINANCIAL GROUP INC 2,073,913.72 0.33
16,413.00 DELTA AIR LINES 817,187.94 0.13 13,064.00 QORVO INC 864,822.18 0.14
41,285.00 MACYS 1,234,462.37 0.20 22,604.00 EVERSOURCE EN 1,195,686.41 0.19
38,955.00 BANK OF NEW YORK MELLON CORP 1,710,129.53 0.28 17,024.00 MONSTER BEVERAGE CORP 854,204.67 0.14

The accompanying notes form an integral part of these financial statements

39
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
37,368.00 WEC ENERGY GR 2,147,815.48 0.35
20,622.00 WESTROCK 948,807.30 0.15
12,243.00 THE KRAFT HEINZ 580,896.88 0.09
13,411.00 WELLTOWER INC 742,656.50 0.12
109,030.00 HEWLETT PACKARD WHEN ISSUED 1,531,019.63 0.25
23,756.00 HP INC 527,070.27 0.09
14,748.00 EXXON MOBIL CORP 1,079,530.74 0.17
31,835.00 TYSON FOODS INC -A- 1,631,629.40 0.26
1,862.00 3M CO 337,789.08 0.05
5,689.00 PRAXAIR INC 787,251.80 0.13
94,480.00 FREEPORT MCMORAN COPPER AND GOLD INC 1,132,295.82 0.18
8,731.00 EOG RESOURCES INC 958,944.18 0.15
38,935.00 CONOCOPHILLIPS CO 2,594,549.29 0.41
6,252.00 HONEYWELL INTERNATIONAL INC 895,680.41 0.14
14,683.00 EMERSON ELECTRIC CO 968,079.33 0.16
31,727.00 ANADARKO PETROLEUM CORP 1,841,340.57 0.30
44,890.00 OCCIDENTAL PETROLEUM CORP 3,175,730.78 0.50
22,864.00 DENTSPLY SIRONA INC 742,907.76 0.12
110,699.00 MARATHON OIL CORP 2,218,745.35 0.36
27,086.00 CABOT OIL AND GAS CORP -A- 525,162.91 0.08
42,872.00 NOBLE ENERGY INC 1,151,250.69 0.19
24,798.00 HESS CORP 1,528,231.46 0.25
13,884.00 CONCHO RES 1,825,898.41 0.29
5,097.00 S&P GLOBAL 857,428.18 0.14
14,285.00 FORTIVE WHEN ISSUED 1,035,554.89 0.17
33,781.00 ARCONIC REGISTERED SHD 640,137.59 0.10
15,790.00 HILTON WORLDWIDE HLDGS INC REG SHS 1,098,162.89 0.18
4,804.00 L3 TECHNOLOGIES INC 879,402.91 0.14
10,281.00 DXC TECHNOLOGY WI 827,790.89 0.13
8,675.00 DOWDUPONT 480,317.91 0.08
23,185.00 TAPESTRY REG 1,003,452.39 0.16
9,311.00 QUINTILES IMS HOLDING INC 1,040,042.31 0.17
468.00 BOOKING HLDG 799,407.66 0.13
26,462.00 WORLDPAY - REGISTERED SHS -A- 2,307,194.78 0.37
30,634.00 EVERGY 1,448,488.40 0.23
34,565.00 QURATE RTL GRP -REGISTERED SHS 660,945.89 0.11
Shares/Units in investment funds 162,701.15 0.03
Japan 162,701.15 0.03

53.00 JAPAN PRIME REALTY INVESTMENT CORP 162,701.15 0.03


Total securities portfolio 615,979,356.23 99.48

The accompanying notes form an integral part of these financial statements

40
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
109,149.00 COMINAR REAL ESTATE INVESTMENT TRUST 847,688.64 0.11
Long positions 752,733,987.25 99.61
81,949.00 ARTIS REIT 641,356.61 0.08
Shares/Units of UCITS/UCIS 5,100,114.29 0.67 59,223.00 ALLIED PROPERTIES REAL ESTATE 1,700,144.07 0.22
85,301.00 CANADIAN APARTMENT PROPERTIES REIT 2,709,564.52 0.36
Shares/Units in investment funds 3,970,665.14 0.52
95,575.00 FIRST CAP REALTY 1,241,357.78 0.16
Canada 2,264,907.82 0.29 27,642.00 GR RL EST INV - UNITS CONS 1SH+1TU REIT 1,021,282.01 0.14
172,086.00 H&R REAL ESTATE 2,264,907.82 0.29 137,447.00 CHOICE PROPERTIES REAL ESTATE INVESTMENT 1,104,995.70 0.15
55,251.00 CROMBIE REIT TRUST UNITS 478,779.44 0.06
Japan 676,202.35 0.09
28,092.00 DREAM OFF REIT - TRUATS UNITS -A- 452,622.96 0.06
513.00 KENEDIX RESIDENTIAL INV 676,202.35 0.09 72,369.00 SMART REIT TRUST UNITS VARIABLE VOTING 1,470,661.86 0.19
United Kingdom 272,669.59 0.04 47,518.00 KILLAM APARTMENT REAL ESTATE INVESTMENT 510,517.43 0.07
129,353.00 CHART RET RES - TRUST UNITS 1,261,350.06 0.17
405,431.00 INVISTA FOUNDATION PROPERTY TRUST 272,669.59 0.04
25,721.00 NORTH APRT REIT TRUST UNITS 439,262.29 0.06
United States of America 756,885.38 0.10
101,458.00 DREAM GLB REIT - TRUST UNITS 1,003,531.02 0.13
45,363.00 ASHFROD HOSPITALITY TRUST INC 249,564.85 0.03 43,027.00 NORTHWEST HEALTHCARE PREIT 321,265.97 0.04
7,919.00 UNIVERSAL HEALTH REALTY INCOME TRUST 507,320.53 0.07 58,944.00 INTERRENT REIT --- TRUST UNITS 461,312.82 0.06
Undefined 1,129,449.15 0.15 Cayman Islands 14,386,716.16 1.90
Australia 1,129,449.15 0.15 1,596,059.00 CK ASSET HOLDINGS LTD 10,317,095.09 1.36
328,461.00 INVESTA OFFICE FUND 1,129,449.15 0.15 732,423.00 WHARF REIC - REGISTERED 4,069,621.07 0.54

Transferable securities admitted to an official stock exchange 747,633,872.96 98.94 Finland 1,316,254.92 0.17
listing
Shares 746,143,759.20 98.74 231,191.00 CITYCON OYJ 415,219.04 0.05
83,868.00 TECHNOPOLIS PLC 391,244.22 0.05
Australia 34,312,861.41 4.54
54,141.00 KOJAMO RG 509,791.66 0.07
2,234,633.00 MIRVAC GROUP STAPLED SECURITIES 3,354,803.17 0.44 France 26,166,884.96 3.46
1,036,507.00 GOODMAN GROUP - STAPLED SECURITY 6,689,224.77 0.89
613,216.00 DEXUS - STAPLED SECURITY 4,033,863.42 0.53 120,355.00 KLEPIERRE SA 3,674,438.15 0.49
1,088,076.00 GPT GROUP STAPLED SECURITY 3,531,349.88 0.47 31,472.00 GECINA SA REG SHS 4,525,673.60 0.60
293,079.00 BUNNINGS WAREHOUSE UNITS 609,782.50 0.08 21,202.00 COVIVIO SA 1,902,879.50 0.25
1,466,296.00 STOCKLAND 3,790,648.73 0.50 25,821.00 MERCIALYS SA 358,395.48 0.05
201,455.00 CHARTER HALL RETAIL REIT 532,093.19 0.07 19,748.00 ICADE SA 1,571,940.80 0.21
394,658.00 SHOPPING CENTER - STAPLED SECURITY 590,032.52 0.08 18,183.00 CARMILLA SAS 399,116.85 0.05
3,003,068.00 SCENTRE GRP - STAPLED SECURITY 7,426,761.33 0.98 79,289.00 UNIBAIL RODAMCO 13,734,440.58 1.81
1,931,380.00 VICINITY CENTRES 3,152,193.11 0.42 Germany 31,056,503.91 4.11
903,332.00 CROMWELL PROP STAPLED SECURITY 602,108.79 0.08
30,771.00 DEUTSCHE EUROSHOP AG REG SHS 857,895.48 0.11
Austria 1,280,109.42 0.17 45,208.00 HAMBORNER AG 411,392.80 0.05
41,589.00 CA-IMMOBILIEN-ANLAGEN AG 1,280,109.42 0.17 208,656.00 DEUTSCHE WOHNEN AG 8,621,665.92 1.14
89,366.00 ALSTRIA OFFICE REIT AG 1,142,097.48 0.15
Belgium 5,296,552.05 0.70
77,531.00 TAG IMMOBILIEN 1,589,385.50 0.21
11,499.00 BEFIMMO SCA 565,175.85 0.07 38,093.00 LEG IMMOBILIEN - NAMEN AKT 3,895,009.25 0.52
13,390.00 COFINIMMO SA 1,438,086.00 0.19 305,658.00 VONOVIA SE 12,862,088.64 1.71
10,033.00 INTERVEST OFFICES 229,755.70 0.03 27,167.00 DIC ASSET AG 257,543.16 0.03
9,740.00 WAREHOUSING DISTRIBUTION DE PAUW SICAFI 1,104,516.00 0.15 17,778.00 ADLER REAL ESTATE AG 270,225.60 0.04
1,245.00 LEASINVEST REAL ESTATE SICAFI 111,801.00 0.01 51,121.00 TLG IMMOB 144A/REGS 1,149,200.08 0.15
3,857.00 RETAIL ESTATES 285,032.30 0.04
Guernsey 661,623.88 0.09
1,625.00 WERELDHAVE BELGIUM 143,650.00 0.02
4,882.00 MONTEA 275,344.80 0.04 248,364.00 REGIONAL REIT LIMITED 271,327.87 0.04
11,557.00 AEDIFICA 897,978.90 0.12 558,870.00 SIRIUS REAL ESTATE LIMITED 390,296.01 0.05
6,115.00 XIOR STUDENT HOUSING N V 245,211.50 0.03 Hong Kong 39,233,734.87 5.19
Bermuda 4,056,307.51 0.54 1,200,713.00 HANG LUNG PROPERTIES LTD 2,021,302.27 0.27
703,697.00 HONG KONG LAND HOLDINGS LTD 4,010,739.68 0.53 710,602.00 HENDERSON LAND DEVLOPMENT CO LTD 3,076,605.29 0.41
2,533.00 BROOKFIELD PPTY PARTNERSHIP WI 45,567.83 0.01 722,465.00 WHARF HOLDINGS 1,693,156.25 0.22
3,441,365.00 NEW WORLD DEVELOPMENT 4,043,920.52 0.54
Canada 19,522,324.51 2.58
842,263.00 SUN HUNG KAI PROPERTIES LTD 10,564,603.33 1.40
187,218.00 RIOCAN REIT (UNITS) 3,077,590.33 0.42 364,551.00 HYSAN DEVELOPMENT 1,586,373.34 0.21
23,313.00 BOARDWALK REAL ESTATE INVT TRUST UNIT 779,041.00 0.10 1,836,887.00 SINO LAND 2,712,286.59 0.36

The accompanying notes form an integral part of these financial statements

41
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,158,012.00 CHAMPION REAL ESTATE INVEST.TRUST(UNITS) 698,223.14 0.09 2,409.00 NOMURA REAL ESTATE MASTER FUND 2,833,924.31 0.38
1,273,804.00 THE LINK REIT UNITS 10,798,809.31 1.42 2,297.00 JP HOTEL REIT INVESTMENT CORP 1,439,879.78 0.19
624,850.00 SWIRE PROPERTIES LTD 2,038,454.83 0.27 5,051.00 INVESCO OFFICE J-REIT 620,611.92 0.08
Ireland 1,597,330.02 0.21 Jersey Island 478,468.42 0.06

431,128.00 GREEN REIT 651,003.28 0.09 204,252.00 TARGET HEALTHCARE REIT LTD 262,581.87 0.03
436,744.00 HIBERNIA REIT REGS 144A 620,176.48 0.08 51,688.00 PHOENIX SPREE - REGISTERED SHS 215,886.55 0.03
220,670.00 IRISH RESIDENTIAL PROPERTIES REIT PLC 326,150.26 0.04 Luxembourg 5,220,498.08 0.69
Isle of Man 343,773.93 0.05
66,869.00 GRANDE CITY PROPERTIES S.A. 1,492,516.08 0.20
927,825.00 REDEFINE INTERNATIONAL PLC 343,773.93 0.05 17,547.00 ADO PROPERTIES 905,425.20 0.12
Israel 968,576.21 0.13 368,480.00 AROUNDTOWN SA 2,822,556.80 0.37

21,899.00 AZRIELI GROUP 968,576.21 0.13 Netherlands 2,366,280.58 0.31

Italy 632,990.55 0.08 24,277.00 WERELDHAVE NV 734,379.25 0.10


10,822.00 VASTNED 354,961.60 0.05
642,063.00 BENI STABILI SPA 483,152.41 0.06
28,742.00 EUROCOMMERCIAL 906,522.68 0.11
22,641.00 IGD SIIQ -REGISTERED SHS 149,838.14 0.02
10,449.00 NSI NV 370,417.05 0.05
Japan 79,867,200.07 10.57
New Zealand 679,126.07 0.09
695,075.00 MITSUBISHI ESTATE 10,178,845.44 1.34
855,992.00 KIWI PROPERTY GROUP LTD 679,126.07 0.09
254,173.00 SUMITOMO REALTY & DEVELOPMENT CO LTD 7,860,484.35 1.04
126,232.00 TOKYO TATEMONO CO 1,326,149.30 0.18 Norway 814,685.36 0.11
556,635.00 MITSUI FUDOSAN CO LTD 11,345,432.12 1.49 65,860.00 ENTRA (UNITARY 144A REGS) 814,685.36 0.11
71,283.00 AEON MALL CO LTD 1,054,691.66 0.14 Singapore 18,286,978.78 2.42
524.00 TOKYU REIT INC 623,180.65 0.08
597.00 MORI TRUST SOGO REIT INC 733,076.12 0.10 1,513,825.00 CAPITALAND LTD 3,214,511.36 0.42
204,551.00 HULIC CO LTD 1,728,765.97 0.23 264,843.00 CITY DEVELOPMENT 1,520,254.39 0.20
64,007.00 NTT URBAN DEVELOPMENT 631,681.54 0.08 278,133.00 UOL GROUP LTD 1,207,483.30 0.16
526.00 JAPAN LOGISTICS FD 891,092.94 0.12 1,363,910.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 2,268,814.72 0.30
372.00 FUKUOKA REIT CORP 495,702.99 0.07 1,123,666.00 SUNTEC REAL ESTATE INVESTMENT TRUST 1,366,482.08 0.18
234.00 KENEDIX OFFICE INVESTMENT CORP 1,285,918.94 0.17 1,172,460.00 K-REIT ASIA UNITS REAL ESTATE INV.TRUST 879,132.60 0.12
66,162.00 NOMURA REAL ESTATE HOLDINGS INC 1,150,434.16 0.15 488,380.00 CDL HOSPITALITY TRUST STAPLED ECURITY 492,365.08 0.07
886.00 MORI HILLS REIT INVESTMENT CORP 969,751.91 0.13 781,412.00 MAPLETREE INDUSTRIAL 974,887.85 0.13
272.00 FRONTIER REAL ESTATE INVESTMENT CORP 912,308.89 0.12 1,131,021.00 MAPLETREE COMMERCIAL TRUST 1,147,376.46 0.15
165.00 DAIWA OFFICE INVESTMENT SHS 856,710.81 0.11 1,416,663.00 CAPITAMALL REAL ESTATE INVESTMENT TRUST 1,981,658.96 0.26
1,666.00 UNITED URBAN INVESTMENT CORP 2,251,573.19 0.30 1,326,842.00 CAPITACOMMERCIAL REAL ESTATE INV TRUST 1,488,156.49 0.20
753.00 PREMIER INVESTMENT CO 681,489.29 0.09 1,217,562.00 MAPLETREE LOG TRUST REAL ESTATE INV TRU 943,638.36 0.12
891.00 JAPAN RENTAL HOUSING INV INC 606,476.21 0.08 784,830.00 FORTUNE REIT 802,217.13 0.11
919.00 MID REIT 601,851.00 0.08 Spain 4,368,162.16 0.58
273.00 NIP ACCOMMODATIONS 1,047,063.19 0.14
40,448.00 LAR ESPANA 354,728.96 0.05
1,529.00 JAPAN RETAIL FUND INVESTMENT CORP 2,388,609.78 0.32
200,890.00 MERLIN PROPERTIES SOCIMI S.A. 2,347,399.65 0.31
782.00 JP REAL ESTATE INVESTMENT 3,532,748.68 0.47
186,149.00 INMOBILIARIA COLONIAL SA 1,666,033.55 0.22
763.00 NIPPON BUILDING FD 3,799,702.87 0.50
722.00 JAPAN EXCELLENT INC 824,179.67 0.11 Sweden 12,065,231.67 1.60
722.00 ADVANCE RESIDEN INVESTMENT CORP 1,588,160.30 0.21 58,372.00 FASTIGHETS BALDER -B 1,393,536.49 0.18
837.00 INDUSTRIAL AND INFRASTRUCTURE FD 727,059.25 0.10 113,626.00 KUNGSLEDEN 719,409.50 0.10
1,065.00 DAIWA HOUSE REIT INV SHS 2,098,048.95 0.28 65,922.00 HUFVUDSTADEN AB -A- 862,835.03 0.11
1,944.00 GLP J-REIT 1,628,239.43 0.22 159,756.00 CASTELLUM 2,460,639.88 0.33
353.00 COMFORIA RESIDENTIAL REIT 715,477.26 0.09 12,207.00 CATENA 235,170.43 0.03
1,162.00 PROLOGIS REIT 1,980,866.98 0.26 50,682.00 DIOS FASTIGHETER 279,181.55 0.04
907.00 AEON REIT INVESTMENT CORP 839,426.51 0.11 21,551.00 D CARNEGIE AND CO AB 355,097.55 0.05
589.00 HULIC REIT 737,539.13 0.10 335,626.00 KLOVERN AB -B- 379,506.43 0.05
261.00 NIPPON REIT INV 727,038.79 0.10 95,782.00 HEMFOSA FASTIGHETER AB 1,135,901.54 0.15
351.00 R-API 1,308,976.80 0.17 45,168.00 PANDOX -B- 696,136.85 0.09
2,805.00 INVICIBLE INVESTMENT CORP 1,009,918.21 0.13 96,896.00 WALLENSTAM -B- 789,839.13 0.10
1,526.00 ORIX JREIT INC 2,051,955.22 0.27 162,009.00 FABEGE --REGISTERED SHS 1,931,341.14 0.26
2,194.00 SEKISUI HOUSE REIT 1,195,708.30 0.16 79,861.00 WIHLBORGS FAST --- REGISTERED SHS 826,636.15 0.11
318.00 KENEDIX RETAIL REIT CORP 586,447.26 0.08

The accompanying notes form an integral part of these financial statements

42
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Switzerland 7,339,686.12 0.97 90,732.00 BOSTON PROPERTIES INC 9,615,326.63 1.27
23,623.00 PSP SWISS PROPERTY AG 1,979,080.82 0.26 50,280.00 SL GREEN REALTY CORPORATION 4,221,961.60 0.56
8,460.00 ALLREAL HOLDING LTD REG.SHS 1,174,430.39 0.16 54,057.00 MACK CALI REALTY 989,454.86 0.13
45,215.00 SWISS PRIME SITE AG-NAMEN AKT 3,333,687.14 0.44 209,131.00 VENTAS INC 9,791,255.94 1.30
3,670.00 MOBIMO HOLDING NAMEN AKT 750,464.94 0.10 42,408.00 FED RLTY INV TR / SHS.OF BENEF.INTEREST 4,617,597.73 0.61
926.00 HIAG IMMOBILIEN HOLDING AG NAM.AKT 102,022.83 0.01 244,372.00 KIMCO REALTY 3,521,986.47 0.47
182,018.00 SIMON PROPERTY GROUP - REGISTERED 27,698,391.30 3.68
United Kingdom 33,845,067.83 4.48
24,940.00 NATIONAL HEALTH INVESTORS INC 1,623,086.18 0.21
86,423.00 BIG YELLOW GROUP PLC 890,768.70 0.12 81,249.00 AVALONBAY COMMUN 12,671,766.12 1.68
478,375.00 HAMMERSON PLC 2,452,971.01 0.32 42,757.00 PENNSYLVANIA REAL EST.INV.SHS.BENEF.INT 348,240.40 0.05
590,695.00 BRITISH LAND CO PLC REIT 4,090,727.85 0.54 429,312.00 HOST HOTELS & RESORTS - SHS 7,798,952.39 1.03
3,137.00 DAEJAN HOLDINGS PLC 206,397.80 0.03 67,143.00 LASALLE HOTEL PROPERTIES SHS BENEF.INT 1,999,549.18 0.26
59,402.00 DERWENT LONDON PLC 1,905,479.30 0.25 23,504.00 LTC PROPERTIES INC 892,605.63 0.12
327,129.00 CAPITAL AND REGIONAL PROPERTIES 157,935.74 0.02 18,445.00 URSTADT BIDDLE PROPERTIES -A- 338,092.17 0.04
140,944.00 SHAFTESBURY 1,432,939.90 0.19 100,833.00 VORNADO REALTY TRUST SHS OF BENEF.INT 6,337,330.18 0.84
525,302.00 INTU 908,875.96 0.12 75,299.00 INVESTORS REAL ESTATE TRUST 387,678.02 0.05
246,876.00 GRAINGER PLC 831,558.97 0.11 251,242.00 COUSINS PROPERTIES INC 1,922,980.09 0.25
70,890.00 HELICAL BAR PLC 263,454.67 0.03 134,103.00 SENIOR HOUSING PROPERTIES TRUST 2,027,420.30 0.27
159,561.00 UNITE GROUP PLC 1,599,820.05 0.21 48,923.00 ACADIA REALTY TRUST SHS.BENEF.INTEREST 1,180,638.56 0.16
122,987.00 SAFESTORE HOLDINGS PLC 719,432.18 0.10 117,745.00 OMEGA HEALTHCARE INVESTORS INC 3,322,000.56 0.44
286,362.00 HANSTEEN HOLDINGS 311,874.63 0.04 87,447.00 PUBLIC STORAGE INC 15,180,317.36 2.01
602,920.00 SEGRO (REIT) 4,317,547.59 0.58 58,072.00 CORPORATE OFFICE PROP.T.SHS OF BENEF.INT 1,491,422.95 0.20
441,723.00 CAPITAL COUNTIES PROPERTIES PLC 1,320,730.19 0.17 81,858.00 AMERICAN CAMPUS COMMUNITIES INC 2,900,796.63 0.38
387,117.00 LONDON STAMFORD PTY 772,799.67 0.10 7,086.00 SAUL CENTERS 341,640.98 0.05
82,123.00 WORKSPACE GROUP PLC R.E.I.T. 905,459.90 0.12 21,017.00 EASTGROUP PROPERTIES INC 1,730,215.70 0.23
347,568.00 EMPIRIC STUDENT 375,801.92 0.05 19,323.00 GETTY REALTY CORP (HOLDING COMPANY) 475,131.19 0.06
873,396.00 TRITAX BIG BOX REIT PLC 1,446,425.76 0.19 170,156.00 REALTY INCOME CORP 8,334,201.33 1.10
1,411,781.00 ASSURA PLC 857,546.20 0.11 49,092.00 RAMCO-GERSHENSON SH.OF BENEFITS INTEREST 574,818.08 0.08
425,277.00 PRIMARY HEALTH PROPERTIES PLC REIT 543,384.30 0.07 137,452.00 SUNSTONE HOTEL INVESTORS INC 1,936,043.67 0.26
180,094.00 NEWRIVER REIT PLC 521,689.24 0.07 120,923.00 DIGITAL REALTY TRUST INC 11,710,218.72 1.55
210,929.00 CIVITAS SOCIAL REG 260,508.51 0.03 218,062.00 MEDICAL PROPERTIES 2,799,228.95 0.37
271,419.00 GCP STUDENT - REGISTERED 453,456.99 0.06 73,193.00 WEINGARTEN REALTY INVESTOR SHS BENEF.INT 1,875,354.01 0.25
262,819.00 CUSTODIAN REIT 357,054.95 0.05 127,925.00 LEXINGTON REALTY 914,143.35 0.12
429,189.00 LAND SEC R.E.I.T 4,256,953.49 0.57 18,020.00 AGREE REALTY CORP 824,126.04 0.11
166,659.00 GREAT PORT EST REIT -REGISTERED SHS 1,252,024.21 0.17 1,330.00 ALEXANDER'S INC. 393,102.88 0.05
169,407.00 LXI REIT PLC 220,638.99 0.03 121,898.00 DIAMONDROCK HOSPITALITY 1,224,752.18 0.16
175,474.00 TRIPLE POINT SH - REGISTERED SHS 210,809.16 0.03 93,901.00 NATIONAL RETAIL PROPERTIES INC 3,623,454.86 0.48
United States of America 399,979,829.75 52.94 48,018.00 WASHINGTON REAL ESTATE INVESTMENT TRUST 1,267,112.96 0.17
154,851.00 UDR 5,390,121.33 0.71
36,310.00 TAUBMAN CENTERS 1,870,363.58 0.25 71,189.00 EXTRA SPACE STORAGE INC 5,310,215.20 0.70
88,526.00 REGENCY CENTERS 4,928,950.86 0.65 96,509.00 DOUGLAS EMMETT 3,134,153.66 0.41
74,081.00 HEALTHCARE REALTY TRUST 1,866,216.15 0.25 50,022.00 SUN COMMUNITIES 4,372,995.16 0.58
211,148.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 12,045,343.50 1.59 274,987.00 HCP 6,231,302.49 0.82
53,361.00 CAMDEN PROPERTY SBI 4,298,741.95 0.57 11,020.00 PS BUSINESS PARKS 1,205,795.78 0.16
207,979.00 DUKE REALTY 5,079,951.98 0.67 50,873.00 EQUITY LIFESTYLE 4,224,451.87 0.56
105,286.00 CBL AND ASSOCIATES PROP 361,679.85 0.05 54,902.00 TANGER FACTORY OUTLET CENTERS INC 1,081,496.13 0.14
66,242.00 MID-AMER APARTMENT COMMUNITIES INC 5,713,408.14 0.76 46,423.00 MONMOUTH REAL ESTATE INV -A- 668,267.38 0.09
81,739.00 MACERICH CO 3,890,959.37 0.51 67,692.00 RETAIL OPPORTUNITY INVESTMENT CORP 1,088,084.06 0.14
38,552.00 ESSEX PROPERTY TRUST 8,188,690.42 1.08 38,264.00 PEBBLEBROOK - SHS OF BENEFIT INTEREST 1,198,159.00 0.16
61,083.00 HIGHWOOD PROPERTIES INC 2,485,391.80 0.33 27,892.00 CHATHAM LODGING TRUST 501,647.77 0.07
72,581.00 FIRST INDUSTRIAL REALTY TRUST INC 1,962,155.32 0.26 100,823.00 SABRA HEALTH CARE REIT 2,006,911.55 0.27
88,621.00 LIBERTY PROPERTY TRUST 3,223,622.26 0.43 23,819.00 AMERICAN ASSETS TRUST INC 764,709.87 0.10
93,832.00 APARTMENT INVESTMENT AND MANAGEMENT -A- 3,565,050.50 0.47 369,463.00 PROLOGIS 21,563,406.60 2.85
97,796.00 HOSPITALITY PPTY TRUST SHS OF BENEF INT 2,428,270.89 0.32 111,410.00 CUBESMART 2,736,571.07 0.36
100,061.00 BRANDYWINE REALTY TRUST SHS OF BENEF.INT 1,354,247.89 0.18 35,440.00 CHESAPEAKE LODGING SHS OF BENEF INTEREST 978,528.45 0.13
58,240.00 KILROY REALTY CORP 3,594,684.12 0.48 71,909.00 PIEDMONT OFFICE REALTY TRUST INC 1,171,965.02 0.16
61,168.00 ALEXANDRIA REAL ESTATE 6,624,470.70 0.88 60,141.00 GOVERNMENT PROP INCOME TR BENEF INT 584,581.91 0.08

The accompanying notes form an integral part of these financial statements

43
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
33,526.00 TERRENO REALTY 1,088,187.86 0.14 Shares/Units in investment funds 1,488,869.01 0.20
61,150.00 SUMMIT HOTEL 712,319.85 0.09 Japan 1,488,869.01 0.20
98,356.00 RLJ LODGING TRUST ( BENEF INTEREST) 1,865,503.81 0.25
485.00 JAPAN PRIME REALTY INVESTMENT CORP 1,488,869.01 0.20
92,625.00 HUDSON PACIFIC PROPERTIES INC 2,609,289.71 0.35
26,723.00 RYMAN HOSPITALITY PROPERTIES INC 1,982,540.60 0.26 Warrants, Rights 1,244.75 0.00
58,904.00 CYRUSONE INC 3,215,250.62 0.43 Belgium 1,244.75 0.00
51,386.00 REXFORD INDUSTRIAL REALTY TRUST UNITS 1,413,944.52 0.19
1,245.00 LEASINVEST REAL ESTATE 01.10.18 RIGHT 1,244.75 0.00
155,378.00 AMERICAN HOMES 4 RENT 2,928,303.42 0.39
30,438.00 QTS REALTY -A- 1,118,200.14 0.15 Total securities portfolio 752,733,987.25 99.61
181,273.00 BRIXMOR PROPERTY GROUP INC 2,732,750.95 0.36
121,151.00 GARMING AND LEISURE PROPERTIES 3,676,773.78 0.49
124,588.00 RETAIL PROPERTIES OF AMERICA INC -A- 1,307,557.23 0.17
63,609.00 W.P. CAREY 3,521,906.84 0.47
59,749.00 STAG INDUSTRIAL INC 1,414,634.09 0.19
262,220.00 SPIRIT REALTY CAPITAL INC 1,819,623.93 0.24
124,576.00 PARAMOUNT GROUP INC 1,618,469.08 0.21
111,212.00 STORE CAPITAL CORP 2,660,853.62 0.35
103,831.00 PHYSICIANS REALTY TRUST 1,507,180.94 0.20
70,557.00 EQUITY COMMON SHS OF BENEF INT 1,949,353.53 0.26
65,361.00 URBAN EDGE PROP WI 1,242,506.14 0.16
85,805.00 EMPIRE STATE REALTY TRUST INC 1,227,052.13 0.16
48,846.00 KITE REALTY GRP 700,203.10 0.09
19,164.00 SERITAGE GROWTH -A- 783,554.33 0.10
582,861.00 VEREIT 3,643,194.89 0.48
219,022.00 WELLTOWER INC 12,128,708.60 1.61
62,567.00 XENIA HOTELS 1,276,657.68 0.17
40,471.00 FOUR CORNERS PROPERTY WI 895,135.59 0.12
47,095.00 CARETRUST REIT 718,082.18 0.10
44,309.00 EPR PROPERTIES SHS OF BENEFIT INTREST 2,609,710.45 0.35
127,953.00 FOREST CITY REALTY TRUST INC -A- 2,763,961.06 0.37
26,193.00 LIFE STORAGE INC 2,145,954.27 0.28
110,020.00 WA PRIME GROUP 691,473.10 0.09
67,313.00 COLUMBIAN PROPERTY 1,370,020.94 0.18
118,679.00 HEALTHCARE TRUST 2,725,070.11 0.36
179,528.00 INVITATION HOMS REGISTERED 3,541,098.99 0.47
120,785.00 PARK HOTELS AND RESORTS INC 3,412,969.18 0.45
91,126.00 GRAMERCY PROPERTY TRUST REG SHS 2,152,817.43 0.28
51,266.00 NEW SENIOR INVESTMENT GROUP INC 260,412.74 0.03
132,757.00 APPLE HOSP REIT 1,999,070.11 0.26
65,276.00 FRANKLIN STREET PROPERTIES 449,035.94 0.06
24,229.00 HERSHA HOSPITALITY - SHS OF BENEFIT INT 472,898.35 0.06
40,000.00 GLOBAL NET LEASE INC 718,037.02 0.10
37,373.00 SELECT INCOME REIT 705,952.32 0.09
29,785.00 TIER REIT 618,009.90 0.08
33,822.00 NATIONAL STORAGE SHS OF BENEFIT INTEREST 740,793.53 0.10
70,588.00 KENNEDY-WILSON HOLDINGS INC 1,306,622.47 0.17
62,846.00 JBG SMITH PROPERTIES WHEN ISSUED 1,992,783.62 0.26
222,904.00 VICI PROPERTIES 4,149,104.16 0.55
36,165.00 EASTERLY GOVERNMENT PROPERTIES INC 603,113.26 0.08
91,706.00 DDR -REGISTERED SHS 1,057,204.77 0.14
278,167.00 COLONY CAP -REGISTERED SHS 1,458,490.77 0.19
51,791.00 INDEPENDENCE REALTY TRUST INC 469,530.12 0.06
87,286.00 GGP INC 1,572,876.44 0.21
27,043.00 SPIRIT MTA --- REGISTERED SHS 268,218.13 0.04
51,562.00 AMRICLD RLTYTST -SHS OF BENEF INTEREST 1,110,702.75 0.15
9,174.00 RETAIL VALUE -REGISTERED SHS 258,198.93 0.03

The accompanying notes form an integral part of these financial statements

44
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
213,418.00 EMBRAER 1,059,719.03 0.06
Long positions 1,648,509,527.75 99.52
31,164.00 M. DIAS BRANCO SA 307,380.38 0.02
Other transferable securities 525,797.62 0.03 85,073.00 ODONTOPREV - SHS 272,883.86 0.02
297,983.00 JBS 699,892.43 0.04
Shares 525,797.62 0.03
263,922.00 BR MALLS PARTICIPACOES SA 635,751.86 0.04
Cayman Islands 15,189.92 0.00 268,835.00 WEG SA 1,329,504.71 0.08
283,000.00 CHINA HUISHAN DAIRY HOLDINGS CO LTD 15,189.92 0.00 76,857.00 MULTIPLAN EMPREENDIMENTOS 360,076.01 0.02
1,425,118.00 ITAUSA INVESTIMENTOS ITAU SA-PREF 3,604,202.40 0.22
Colombia 510,607.69 0.03
70,558.00 SUL AMERICA CDAC OF 1 SH+2 PFD SHS 459,363.60 0.03
93,018.00 GRUPO ARGOS SA 510,607.69 0.03 54,100.00 EQUATORIAL ENERGIA SA 778,394.68 0.05
Malaysia 0.01 0.00 110,717.00 HYPERA SA 790,680.09 0.05
1,015,235.00 ITAUUNIBANCO PFD SHS 11,218,569.45 0.67
27,360.00 RHB CAPITAL BHD 0.01 0.00
119,765.00 BANCO SANTANDER UNITS (50SHS+50PFD SHS) 1,070,919.29 0.06
Transferable securities admitted to an official stock exchange 1,615,703,853.28 97.54
79,367.00 FIBRIA 1,500,855.63 0.09
listing
Shares 1,615,703,853.28 97.54 156,912.00 BRF FOODS 863,223.36 0.05
389,263.00 CIELO 1,194,032.60 0.07
Bermuda 17,032,106.49 1.03
50,450.00 CIA BRASILEIRA DE DISTRIBUICAO PREF SHS 1,105,492.57 0.07
960,000.00 BRILLIANCE CHINA AUTO HLDGS 1,553,190.67 0.09 24,414.00 MAGAZINE LUIZA SA 748,818.47 0.05
864,000.00 SKYWORTH DIGITAL HOLDINGS LTD 244,020.24 0.01 282,458.00 TIM PARICIPACOES 829,638.44 0.05
21,469.00 CREDICORP 4,789,304.52 0.29 115,153.00 ULTRAPAR 1,076,391.40 0.06
419,410.00 COSCO SHIPPING 452,913.56 0.03 143,386.00 TELEF BRASIL PFD SHS 1,407,439.67 0.08
551,000.00 CHINA GAS HOLDINGS LTD 1,559,714.70 0.09 73,636.00 RAIA DROGASIL SA 1,335,505.39 0.08
601,000.00 NINE DRAGONS PAPER (HOLDINGS) LTD 649,777.50 0.04 443,695.00 KROTON EDUCACIONAL SA 1,266,561.72 0.08
3,047,749.00 GOME RETAIL RG REGISTERED SHS 311,593.95 0.02 224,172.00 BB SEGURIDADE 1,352,805.56 0.08
1,756,000.00 BEIJING ENTERPRISES WATER 935,794.31 0.06 1,506,610.00 AMBEV SA 6,918,901.52 0.42
284,000.00 CHINA RESOURCES GAS GROUP LTD 1,155,972.79 0.07 206,601.00 KLABIN SA UNIT 1,028,973.46 0.06
399,000.00 HAIER ELECTRONICS GROUP CO LTD 1,083,556.76 0.07 46,788.00 ENGIE BRASIL ENERGIA SA (BRL) 415,676.11 0.03
1,060,000.00 KUNLUN ENERGY 1,234,082.17 0.07 349,488.00 RUMO SA 1,310,934.68 0.08
1,114,000.00 SIHUAN PHARMACEUTICAL HOLDINGS GROUP LTD 227,784.94 0.01 126,147.00 ATACADAO SA 467,809.41 0.03
292,500.00 SHENZHEN INTL HOLDINGS LTD 604,069.71 0.04 140,837.00 SUZANO PAPEL E CELULOSE SA 1,695,579.65 0.10
394,000.00 HANERGY THIN 5.04 0.00 34,971.00 IRB BRASIL RESSEGUROS SA 581,888.81 0.04
4,200,000.00 ALIBABA PICTURES GRP 574,318.63 0.03 635,576.00 B3 - REGISTERED SHS 3,724,091.29 0.22
1,100,000.00 ALIBABA HEALTH INFORMATION 1,078,221.24 0.07 111,926.00 PETROBRAS BR-REGISTERED SHS 546,515.60 0.03
482,500.00 LUYE PHARMA GRP 432,866.79 0.03
Cayman Islands 250,996,829.19 15.14
3,844,000.00 HENGTEN NETWORK 144,918.97 0.01
20,600.00 SINA CORP.REG SHS 1,431,288.00 0.09
Brazil 101,725,234.85 6.14
25,300.00 NETEASE SPONS ADR REPR 25 SHS 5,774,725.00 0.35
385,898.00 CONCESSOES RODOVIARIAS 817,485.13 0.05 622,000.00 TINGY HOLDING CORP 1,143,060.20 0.07
953,367.00 PETROLEO BRASILEIRO 5,784,295.90 0.35 844,000.00 CHINA RESOURCES LAND LTD -RC- 2,955,376.70 0.18
69,223.00 CENTRAIS ELETRICAS BRASILEIRAS 268,843.28 0.02 131,800.00 CTRIP.COM INTL ADR REPR 1/4TH SH 4,899,006.00 0.30
219,423.00 COMPANHIA SIDERURGICA NACIONAL 513,175.60 0.03 1,577,000.00 GEELY AUTOMOBILE 3,143,953.59 0.19
108,814.00 SABESP 642,761.25 0.04 910,000.00 CHINA MENGNIU DAIRY 3,029,486.03 0.18
253,435.00 CEMIG PREF (CIA ENERG.MINAS GERAIS) 454,377.26 0.03 221,500.00 KINGBOARD HOLDINGS LTD 723,243.38 0.04
998,079.00 VALE DO RIO DOCE 14,950,244.61 0.89 87,300.00 BAIDU -A- SPONS ADR REPR 1/10 SH -A- 19,963,764.00 1.21
1,076,005.00 BANCO BRADESCO PREF. 7,724,652.55 0.46 238,000.00 SHENZHOU INTERNATIONAL GROUP 3,053,729.08 0.18
322,801.00 BANCO BRADESCO 2,081,368.98 0.13 496,000.00 AGILE PROPERTY HOLDING LTD 701,062.34 0.04
328,405.00 GERDAU PREF. 1,413,587.22 0.09 349,000.00 SHIMAO PROPERTY HOLDINGS LIMITED 870,612.85 0.05
71,251.00 ELETROBRAS (CENTR.ELET.BRASIL.) PREF.-B- 332,206.11 0.02 44,500.00 NEW ORIENTAL EDUCATION & TECH.GR ADR RE1 3,293,445.00 0.20
235,665.00 LOJAS AMERICANAS PREF. 936,502.60 0.06 364,500.00 GREENTOWN CHINA 340,513.82 0.02
1,255,823.00 PETROLEO BRASILEIRO -PETROBRAS- PREF. 6,631,961.32 0.40 1,159,500.00 SHUI ON LAND LTD 269,688.22 0.02
58,725.00 BRASKEM SA PREF SHS -A- 859,350.24 0.05 435,500.00 KINGBOARD LAMINATES 386,249.09 0.02
62,146.00 NATURA COSMETICO SA 441,634.04 0.03 206,000.00 HAITIAN INTERNATIONAL 458,601.22 0.03
275,292.00 BANCO DO BRASIL SA 2,030,092.66 0.12 227,900.00 SUNNY OPTI TECH SHS 2,629,976.75 0.16
31,670.00 PORTO SEGURO SA 470,182.53 0.03 176,000.00 TOWNGAS CHINA 154,071.77 0.01
159,314.00 LOCALIZA RENT A CAR SA 907,553.66 0.05 340,000.00 ANTA SPORTS PRODUCTS 1,631,581.20 0.10
228,411.00 LOJAS RENNER 1,773,028.35 0.11 403,500.00 KWG GROUP HOLDINGS LIMITED 369,212.50 0.02
96,610.00 ENERGIAS DO BRAZIL 309,406.62 0.02 507,000.00 SOHO CHINA 196,970.59 0.01
52,252.00 COSAN SA INDUSTRIA 424,051.81 0.03

The accompanying notes form an integral part of these financial statements

45
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
287,000.00 KINGSOFT 547,230.82 0.03 314,000.00 JIAYUAN INTERNATIONAL 537,717.64 0.03
5,125,000.00 GCL POLY ENERGY HOLDINGS LTD 360,227.10 0.02 1,012,000.00 CHINA FIRST CAPITAL GROUP 543,187.34 0.03
632,000.00 KINGDEE INTL SOFTWARE GROUP CO 688,139.53 0.04 5,400,000.00 CHONG SING HOLDING 289,843.05 0.02
601,250.00 CHINA STATE CONSTRUCTION INTL HLDG LTD 635,448.60 0.04 41,900.00 HUAZHU GROUP -SHS ADR 1,353,370.00 0.08
1,593,000.00 WANT WANT CHINA 1,341,593.75 0.08 Chile 18,203,734.83 1.10
411,000.00 UNI-PRESIDENT CHINA 438,579.30 0.03
749,600.00 CHINA ZHONGWANG HOLDINGS LTD 366,900.40 0.02 124,161.00 EMPRESAS COPEC SA 1,912,862.41 0.11
2,208,000.00 SINO BIOPHARMACEUTICAL 2,059,879.26 0.12 49,229.00 ENTEL 417,356.82 0.03
682,000.00 CHINA RESOURCES CEMENT 794,003.81 0.05 2,527,152.00 COLBUN SA 544,050.29 0.03
467,000.00 LONGFOR PROPERTIES CO LTD 1,205,557.93 0.07 8,092,861.00 BANCO DE CHILE 1,229,020.41 0.07
229,000.00 HENGAN INTL GROUP 2,112,966.02 0.13 9,199,498.00 ENEL AMERICAS 1,413,118.72 0.09
618,000.00 LEE MAN PAPER MANUFACTURING LTD 573,383.16 0.03 14,821.00 CREDITO 999,675.97 0.06
224,500.00 ZHONGSHENG GROUP 546,838.49 0.03 397,998.00 EMPRESAS CMPC 1,601,887.60 0.10
240,000.00 ENN ENERGY HOLDINGS LTD 2,085,643.08 0.13 232,711.00 FALABELLA SOCIEDAD ANONIMA. 1,888,924.59 0.10
800,000.00 SUNAC CHINA 2,463,921.48 0.15 38,462.00 SOQUIMICH PREF -B- 1,760,878.47 0.11
7,900.00 51JOB SPONS ADR REPR 1 SH 608,221.00 0.04 458,453.00 CENCOSUD SA 1,086,914.46 0.07
112,800.00 TAL EDUCAT GR -A- ADR REPR 1/3 SH -A- 2,900,088.00 0.18 20,903,834.00 BANCO SANTANDER -CHILE 1,667,933.22 0.10
9,100.00 NOAH HOLDGS -ADR- RECP 0.5 SHS 383,474.00 0.02 84,861.00 EMBOTELLADORA ANDINA PFD -B- 329,396.02 0.02
36,000.00 AIRTAC INTL 352,536.40 0.02 47,060.00 CIA CERVECERIAS UNIDAS SA CERVEZAS 654,159.66 0.04
411,000.00 CHINA MEDICAL SYSTEM HOLDINGS LTD 571,466.20 0.03 96,540.00 LAN AIRLINES SA 915,622.45 0.06
390,398.00 CHAILEASE HOLDING COMPANY LTD 1,368,111.94 0.08 828,893.00 AGUAS ANDINAS SA -A- 457,512.23 0.03
132,000.00 ZHEN DING TEH 294,841.48 0.02 41,110,637.00 ITAU CORP 422,200.50 0.03
234,500.00 AAC TECHNOLOGIES HOLDINGS INC 2,436,426.01 0.15 8,984,073.00 ENERSIS CHILE 902,221.01 0.05
919,000.00 KAISA GROUP 294,787.51 0.02 China 178,208,480.08 10.76
970,000.00 CIFI HOLDINGS GROUP CO LTD 446,266.28 0.03
632,000.00 BEIJING CAP. INTERNATIONAL AIRPORT -H- 768,099.40 0.05
128,600.00 VIPSHOP HOLDINGS ADR 1/5 REPR 802,464.00 0.05
6,744,000.00 PETROCHINA CO LTD -H- 5,464,200.85 0.32
206,000.00 NEXTEER AUTO 326,444.04 0.02
8,154,000.00 CHINA PETROLEUM AND CHEMICAL -H- 8,169,709.32 0.48
15,600.00 YY INC -A- SPONS ADR REPR 20 SHS -A- 1,168,752.00 0.07
254,000.00 TONG REN TANG TECHNOLOGIES -H- 371,995.91 0.02
29,100.00 58.COM -A- ADR 2,141,760.00 0.13
295,000.00 TRAVELSKY TECHNOLOGY -H- 767,195.88 0.05
1,254,000.00 XINYI SOLAR HOLDINGS LTD 386,219.69 0.02
1,484,000.00 ALUMINUM CORPORATION OF CHINA -H- 659,983.35 0.04
18,900.00 AUTOHOME -A- SPONS ADR REPR 1 SH-A- 1,463,049.00 0.09
114,000.00 TSINGTAO BREWERY -H- 536,132.96 0.03
518,500.00 CHINA CONCH VENTURE HOLDINGS LTD 1,808,969.49 0.11
1,062,000.00 SINOPEC SHANGHAI PETROCHEMICAL -H- 648,742.34 0.04
438,000.00 LOGAN PROPERTY HOLDINGS CO LTD 494,818.82 0.03
1,352,000.00 HUANENG POWER INTL INC -H- 889,823.26 0.05
728,000.00 FUTURE LAND DEV 471,692.72 0.03
394,000.00 CHINA SHIPPING DEVELOPMENT CO -H- 195,868.98 0.01
17,570.00 WEIBO -A- SPONS ADR REPR 1 SH 1,284,894.10 0.08
252,060.00 SHANGHAI LUJIAZUI FIN. TRADE ZONE DEV.B 345,322.20 0.02
1,807,700.00 TENCENT HLDG 74,665,081.77 4.50
446,000.00 CHINA EASTERN AIRLINES CORPORATION -H- 286,126.72 0.02
230,800.00 JD COM ADR REPR 2SHS -A- 6,021,572.00 0.36
1,372,000.00 DATANG INTERNATIONAL POWER GENERATION-H- 347,167.56 0.02
366,400.00 ALIBABA GR ADR 60,368,064.00 3.64
574,000.00 ZHEJIANG EXPRESSWAY -H- 477,543.26 0.03
240,000.00 CHINA AUTO RENTAL INC REGS/144A 189,854.86 0.01
356,000.00 JIANGXI COPPER -H- 415,375.24 0.03
46,000.00 MOMO -A- ADR 2,014,800.00 0.12
320,000.00 JIANGSU EXPRESSWAY CO LTD -H- 410,585.42 0.02
600,000.00 SSY GROUP LTD 579,686.09 0.03
480,000.00 ANGANG STEEL COMPANY -H- 429,397.11 0.03
380,500.00 3SBIO UNITARY 144A/REG S 639,926.93 0.04
436,077.00 YITAI COAL / -B- 523,292.40 0.03
661,500.00 DALI FOODS GRP UNITARY 144A/REGS 475,946.44 0.03
692,000.00 CHINA SOUTHERN AIRLINES -H- 443,061.13 0.03
250,000.00 GENSCRIPT BIO UNITARY 144A/REG S 422,368.28 0.03
391,000.00 ANHUI CONCH CEMENT CO -H- 2,361,013.15 0.14
49,000.00 GENERAL INTERFACE SOLUTION HOLDING LTD 207,021.79 0.01
592,000.00 YANZHOU COAL MINING CO -H- 686,197.02 0.04
91,600.00 FANG HLDG SPONS ADR REPR 1/5 SH 237,244.00 0.01
812,000.00 HUADIAN POWER INTERNATIONAL CORPORATION 317,539.16 0.02
815,000.00 CHINA EVERGRANDE GROUP LTD 2,286,188.14 0.14
203,000.00 BYD COMPANY LTD -H- 1,457,982.09 0.09
11,800.00 BAOZUN A ADR REPR 3SHS -A- 573,244.00 0.03
4,396,000.00 CHINA TELECOM CORP LTD -H- 2,185,380.78 0.13
2,187,500.00 FULLSHARE HOLDINGS LTD 1,051,128.33 0.06
651,000.00 SINOTRANS -H- 265,394.25 0.02
933,400.00 SEMICONDUCTOR MANU INTL REG SHS 1,006,769.56 0.06
753,000.00 AVICHINA INDUSTRY AND TECHNOLOGY CO LTD 496,551.75 0.03
719,000.00 YUZHOU PROPERTIES CO LTD 292,197.06 0.02
2,187,120.00 PICC PROPERTY AND CASUALTY -H- 2,582,643.24 0.16
18,800.00 GDS HOLDINGS -A- ADR REP 8 SHS-A- 660,444.00 0.04
982,000.00 GREAT WALL MOTOR CO-H- 626,227.11 0.04
156,500.00 WUXI BIOLOGICS REG SHS UNIT 144A/REGS 1,583,015.24 0.10
2,378,000.00 CHINA LIFE INSURANCE CO LTD 5,403,354.26 0.33
72,200.00 CHINA LITERATURE LIMITED 453,964.75 0.03
1,630,000.00 ZIJIN MINING CORP CO LTD -H- 627,009.23 0.04
152,000.00 GREENTOWN SERVICE GROUP LTD REGULATION 121,989.67 0.01
611,000.00 WEICHAI POWER -H- 757,413.04 0.05
S
510,000.00 MEITU UNITARY 144A/REGS 357,166.38 0.02 7,302.00 KWEICHOW MOUTAI CO LTD 774,710.24 0.05
247,000.00 COUNTRY GARD SE 419,825.13 0.03 1,199,000.00 CHINA SHIPPING CONTAINER LINES -H- 162,422.01 0.01

The accompanying notes form an integral part of these financial statements

46
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
1,666,000.00 PING AN INS (GRP) CO -H- 16,926,297.14 1.01 65,900.00 KANGMEI PHARMACEUTICAL CO LTD 209,559.49 0.01
301,000.00 CHINA UNITED TELECOM -A- 243,666.77 0.01 1,042,000.00 BBMG CORP 356,880.11 0.02
195,926.00 BAOSHAN IRON AND STEEL -A- 223,530.27 0.01 360,000.00 CN STATE CEC -A- 287,243.00 0.02
316,800.00 CHINA MINSENG BANKING -A- 291,910.04 0.02 18,600.00 HANGZHOU HUADONG MEDICINE CO LTD -A- 113,482.79 0.01
30,100.00 JIANGSU HENGRUI MEDICINE CO LTD -A- 277,788.86 0.02 72,900.00 SANAN OPTOELECTRONICS CO LTD 173,334.67 0.01
124,300.00 CHINA YANGTZE POWER -A- 295,909.99 0.02 378,000.00 SINOPHARM GROUP CO LTD 1,850,164.78 0.11
62,500.00 ZTE CORPORATION -A- 166,228.59 0.01 1,333,000.00 METALLURGICAL CORP OF CHINA LTD -H- 374,776.77 0.02
83,400.00 CHINA VANKE -A- 294,541.80 0.02 44,000.00 JIANGSU HENGTONG -A- 152,771.88 0.01
21,400.00 ZHUHAI GREE ELECTRICAL APPLIANCES INC-A- 125,030.06 0.01 2,108,760.00 CHINA MINSHENG BANKING CORPORATION -H- 1,565,752.53 0.09
167,500.00 PING AN BANK CO LTD -A- 268,999.64 0.02 1,014,000.00 CHINA LONGYUAN POWER GROUP CORP -H- 852,675.31 0.05
79,200.00 CHINA MERCHANTS BANK CO LTD -A- 353,261.80 0.02 803,400.00 CHINA PACIFIC INSURANCE (GROUP) CO LTD 3,100,691.83 0.19
115,827.00 SDIC POWER HLDG -A- 129,284.25 0.01 45,200.00 HANGZHOU KIK-VISION DIGITAL TECH -A- 188,799.05 0.01
234,000.00 BOE TECHNOLOGY -A- 107,127.51 0.01 9,333,000.00 AGRICULTURAL BANK OF CHINA -H- 4,580,072.21 0.28
67,800.00 SAIC MOTOR CO LTD 327,934.89 0.02 600,300.00 AGRICULTURAL BANK OF CHINA -A- 339,384.93 0.02
226,300.00 SHANGHAI PUDONG DEVELOPMENT BANK -A- 349,288.01 0.02 940,800.00 GUANGZHOU AUTOMOBILE GROUP CO 1,042,404.41 0.06
32,200.00 WULIANGYE YIBIN CO LTD -A- 317,994.74 0.02 279,600.00 XINJIANG GOLDWIND SCIENCE & TECHN CO LTD 300,505.90 0.02
216,040.00 ZTE CORPORATION -H- 395,916.09 0.02 55,600.00 HUATAI SECURITIES CO LTD -A- 127,271.15 0.01
676,000.00 AIR CHINA .SHS. -H- 653,113.00 0.04 46,700.00 SHENZHEN LUXSHARE PRECISION INDUSTRY -A- 104,658.83 0.01
1,076,500.00 CHINA SHENHUA ENERGY CO LTD-SHS.-H- 2,459,808.98 0.15 29,900.00 AISINO -A- 120,936.95 0.01
2,682,000.00 BANK OF COMMUNICATIONS -H- 2,011,947.80 0.12 659,000.00 CHONGQING RURAL -H- 360,453.31 0.02
825,000.00 CHINA COSCO HOLDINGS -H- 342,655.06 0.02 272,200.00 SHANGHAI PHARMACEUTICAL LTD -H- 680,419.59 0.04
618,000.00 SHANGHAI ELECTRIC GROUP CO LTD -H- 324,601.21 0.02 1,298,000.00 HUANENG RENEWABLES -H- 386,500.85 0.02
68,500.00 SDIC RESOURCES SHS -A- 134,399.90 0.01 722,000.00 CITIC SECURITIES CO -H- 1,284,388.08 0.08
30,394,000.00 CHINA CONSTRUCTION BANK CORPORATION -H- 26,568,301.79 1.59 13,500.00 CHINA INTL TRAVEL SERVICE -A- 133,458.12 0.01
548,000.00 SHANDONG WEIGAO GRP -H- 541,352.18 0.03 262,100.00 NEW CHINA LIFE INSURANCE CO LTD -H- 1,257,757.16 0.08
860,000.00 DONGFENG MOTOR GP -H- 885,836.00 0.05 1,035,200.00 HAITONG SECURITIES CO LTD -H- 941,941.85 0.06
101,200.00 CITIC SECURITIES -A- 245,477.37 0.01 67,106.00 ZHEJIANG DAHUA TEC -A- 144,051.06 0.01
1,236,000.00 CHINA NATIONAL BUILDING MATERIAL CO -H- 1,097,799.71 0.07 143,500.00 SHANGAI FOSUN PHARMACEUTICAL H 565,753.05 0.03
24,975,000.00 BANK OF CHINA LTD -H- 11,107,199.58 0.66 50,200.00 SHENZHEN O-FILM -A- 98,421.57 0.01
482,100.00 BANK OF CHNA LTD -A- 260,648.17 0.02 2,212,000.00 PICC GRP CN -H- 995,056.23 0.06
167,300.00 DAQIN RAILWAY CO LTD -A- 200,110.73 0.01 215,000.00 CHINA INTL MARINE -H- 228,053.31 0.01
1,197,500.00 CHINA MERCHANT BANK -H- 4,866,564.42 0.29 417,500.00 SINOPEC ENGINEERING CO LTD 476,995.01 0.03
21,879,000.00 INDUS.AND COMMERCIAL BANK OF CHINA -H- 15,993,493.27 0.96 18,223.00 UNISPLENDOUR CORP -A- 111,579.89 0.01
151,700.00 INDUSTRIAL AND COMMERCIAL BANK CHINA -A- 127,214.32 0.01 1,024,500.00 CN GALAXY SECS -H- 477,886.39 0.03
354,800.00 GUANGZHOU R&F PROPERTIES COMPANY LTD -H- 652,022.13 0.04 2,794,000.00 CN CINDA AM -H- 706,987.00 0.04
178,000.00 ZHAOJIN MINING INDUSTRY COMPANY LTD -H- 137,851.80 0.01 601,000.00 CHINA EVERBRIGHT BANK CO LTD 266,516.30 0.02
84,354.00 SUNING APPLIANCE CO -A- 165,260.93 0.01 374,900.00 CHINA VANKE -H- 1,240,895.01 0.07
750,000.00 CHINA COMMUNICATION SERCICES CORP -H- 691,060.97 0.04 235,000.00 CHINA EVERBRIGHT BANK CO LTD -A- 133,542.42 0.01
1,403,000.00 CHINA COMM CONSTRUCTION -H- 1,434,390.81 0.09 3,390,000.00 CGN POWER CO 144A/REGS 805,809.67 0.05
652,000.00 CHINA COAL ENERGY CO LTD -H- 274,967.50 0.02 51,900.00 MIDEA GROUP CO -A- 303,981.40 0.02
199,200.00 ZHUZHOU CRRC -H- 1,137,933.00 0.07 161,600.00 FUYAO GLASS GRP 144A/REGS 587,548.15 0.04
106,000.00 INDUSTRIAL BANK 245,720.37 0.01 517,400.00 HUATAI SECURITIES CO LTD 741,889.31 0.04
39,700.00 PING AN INSURANCE GROUP CO.SHS.A 395,235.26 0.02 701,000.00 BAIC MOTOR -H- UNITARY 144A/REGS 561,701.25 0.03
1,185,000.00 CHINA MOLYBDENUM CO LTD -H- 496,720.44 0.03 409,800.00 GF SECURITIES UNITARY 144A/REG S 525,805.96 0.03
2,829,000.00 CHINA CITIC BANK CORPORATION -H- 1,811,300.51 0.11 633,000.00 CN RAILW SIGNAL -H- UNITARY 144A/REGS 448,160.23 0.03
343,900.00 BANK OF COMMUNICATIONS 291,890.28 0.02 331,200.00 CHINA INTL CAPITAL -H- UNITARY 144A/REGS 612,038.09 0.04
10,800.00 YUNNAN BAIYAO GROUP -A- 110,235.39 0.01 95,100.00 GUOTAI JUNAN SECURITIES CO LTD 207,184.26 0.01
75,600.00 CHENGDU DR PENG TECHNOLOGY -A- 115,258.22 0.01 146,600.00 CHINA NATIONAL NUCLEAR POWER CO -A- 128,051.02 0.01
494,000.00 CHINA OILFIELD SERVICES -H- 535,987.27 0.03 146,800.00 LEGEND HLDGSS -H- UNITARY 144A/REG 450,253.54 0.03
1,210,000.00 CHINA RAILWAY GROUP LTD -H- 1,199,960.43 0.07 888,000.00 PSBC H UNITARY 144A/REGS 559,473.76 0.03
56,400.00 CHINA PACIFIC INSURANCE 291,074.65 0.02 63,000.00 XI AN LONGI SILICON MATERIALS CORP 130,018.01 0.01
152,000.00 DALIAN MERRO PHARMACEUTICAL CO LTD -A- 142,708.79 0.01 106,400.00 FOCUS MEDIA --- SHS -A- 131,596.94 0.01
79,800.00 CHINA RAILWAY CONSTRUCTION 129,316.03 0.01 2,390,000.00 CHINA REINSURANCE CORP 473,423.09 0.03
630,500.00 CHINA RAILWAY CONSTRUCTION -H- 850,881.03 0.05 75,400.00 BK SHANGHAI A 133,692.11 0.01
31,200.00 ANHUI USTC IFLY -A- 129,550.60 0.01 194,900.00 SHENWAN HONGY -A- 127,467.35 0.01
202,800.00 CRRC CORP -A- 254,657.40 0.02 246,400.00 GUOTAI JUNAN SECURITIES CO LTD 506,974.85 0.03
1,315,450.00 CRRC CORP -H- SHS -HCOMPANY 1,201,988.25 0.07 10,614,000.00 CHINA TOWER 1,546,335.65 0.09

The accompanying notes form an integral part of these financial statements

47
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
73,000.00 ZHONGAN ONLINE P C H UNITARY 144A REGS 298,066.77 0.02 772,000.00MMG LTD 399,569.34 0.02
245,400.00 JIHUA GROUP CORPORATION LTD A 132,319.26 0.01 274,000.00BYD ELECTRONIC -RC- 403,387.91 0.02
Colombia 7,118,684.67 0.43 153,000.00BEIJING ENTERPRISES HOLDINGS LTD -RC- 858,372.48 0.05
149,000.00SINOTRUK HK 324,470.86 0.02
80,547.00 SURAMERICANA DE INVERSIONES SA 942,891.87 0.06 1,938,000.00CHINA UNICO HK 2,283,518.47 0.14
65,647.00 BANCOLOMBIA SA 705,242.24 0.04 512,452.00CN TAIPING INSURANCE HOLDINGS CO 1,797,692.37 0.11
158,231.00 INTERCONNEXION ELECTRICA SA 712,985.07 0.04 632,000.00FAR EAST HORIZON LTD 601,718.25 0.04
1,487,486.00 ECOPETROL 2,018,787.86 0.12 650,500.00SUN ART RETAIL GROUP LTD 846,281.64 0.05
137,289.00 CEMENTOS ARGOS SA 356,007.56 0.02 724,000.00CN TRADITIONAL CHINESE MEDECINE CO LTD 492,232.21 0.03
36,169.00 GRUPO INVERSION PFD SHS 414,140.95 0.03 91,000.00HUA HONG SEMICONDUCTOR UNITARY 196,073.45 0.01
1,150,074.00 GRUPO AVAL PFD 451,215.97 0.03 144A/REGS
143,955.00 BANCOLOMBIA SA PREF 1,517,413.15 0.09 502,000.00 CHINA RESOURCES PHARMACEUTICAL GROUP 796,792.34 0.05
LTD
Czech Republic 3,092,003.77 0.19 Hungary 4,753,561.06 0.29
24,090.00 KOMERCNI BANKA AS 988,703.82 0.06 71,607.00 OTP BANK LTD 2,653,712.95 0.16
19,662.00 TELEFONICA CZECH REPUBLIC 229,423.81 0.01 44,950.00 RICHTER GEDEON 840,981.00 0.05
51,146.00 CEZ AS 1,307,641.13 0.09 116,853.00 MOL HUNGARIAN OIL AND GAS PLC-A- 1,258,867.11 0.08
153,838.00 MONETA MONEY BANK 566,235.01 0.03
India 140,501,083.15 8.48
Egypt 2,097,062.17 0.13
359,142.00 WIPRO DEMATERIALISED 1,605,214.34 0.10
334,256.00 COMMERCIAL INTERNATIONAL BANK 1,552,464.68 0.10 167,358.00 ZEE ENTERTAINMENT - DEMATERIALISED 1,012,597.68 0.06
244,380.00 SEWEDY ELECTRIC 243,153.00 0.01 1,116,876.00 INFOSYS TECHNOLOGIES DEMATERALISED 11,248,105.69 0.69
285,210.00 EASTERN COMPANY 301,444.49 0.02 207,531.00 HINDUSTAN UNILEVER 4,604,673.78 0.28
Greece 4,789,789.56 0.29 177,980.00 HCL TECHNOLOGIES DEMATERIALISED 2,670,804.39 0.16
18,277.00 HERO HONDA MOTORS LTD DEMATERIALISED 739,564.09 0.04
19,594.00 MOTOR OIL HELLAS CORINTH REFIN.REG SHS 512,064.70 0.03
36,249.00 DR REDDY'S LABORATORIES LTD 1,265,464.42 0.08
12,787.00 TITAN CEMENT REG. 317,092.35 0.02
240,539.00 BHARAT PETROLEUM CORP DEMATERIALISED 1,241,518.16 0.07
78,809.00 HELLENIC TELECOMMUNICATIONS 967,542.43 0.06
ORGANISATION 110,648.00 TATA STEEL DEMATERIALISED 887,213.94 0.05
73,555.00 GREEK ORGANISAT.OF FOOTBALL PROGNOSTICS 772,324.56 0.05 905,317.00 RELIANCE INDUSTRIES DEMATERAILISED 15,710,350.69 0.96
35,002.00 JUMBO SA REG.SHS 520,381.73 0.03 181,539.00 HINDUSTAN PETROLEUM (DEMATERIALISED) 629,714.08 0.04
459,325.00 ALPHA BANK AE 661,013.92 0.04 7,458.00 NESTLE INDIA DEMATERAILISED 997,930.43 0.06
597,514.00 EUROBANK ERGASIAS 450,414.12 0.03 151,703.00 DABUR INDIA LTD DEMATERIALISED 893,392.18 0.05
98,731.00 PIRAEUS BANK 215,590.99 0.01 33,125.00 MARUTI SUZUKI 3,357,715.56 0.20
183,686.00 NATL BANK GREECE -REGISTERED SHS 373,364.76 0.02 252,254.00 GAIL (INDIA) SHS DEMATERIALISED 1,318,861.21 0.08
Hong Kong 65,747,970.89 3.97 30,719.00 ULTRA TECH CEMENT LTD 1,720,479.82 0.10
151,322.00 LARSEN & TOUBRO LTD DEMATERIALISED 2,655,492.93 0.16
2,114,000.00 LENOVO GROUP LTD -RC- 1,545,328.62 0.09 443,254.00 BHARTI AIRTEL LTD(DEMATERIALISED) 2,070,128.51 0.12
1,938,500.00 CHINA MOBILE LTD 19,112,679.21 1.14 430,912.00 INDIAN OIL CORP LTD DEMATERIALISED 911,578.75 0.06
2,752,000.00 GUANGZHOU INVESTMENT CO LTD -RC- 492,375.35 0.03 291,781.00 TATA CONSULT.SERVICES SVS DEMATERIALISED 8,789,654.55 0.53
921,259.00 CHINA EVERBRIGHT INTERNATIONAL 795,881.25 0.05 598,626.00 NTPC DS - SHS - DEMATERIALISED 1,377,855.30 0.08
419,295.00 CHINA MERCHANTS HLDGS (INTL) CO LTD -RC- 802,696.43 0.05 2,655.00 SHREE CEMENTS LTD 618,691.07 0.04
294,000.00 CHINA EVERBRIGHT LTD 526,762.90 0.03 415,808.00 VEDANTA ED- 1,332,489.74 0.08
1,226,000.00 CHINA OVERSEAS LAND INVESTMENT LTD -RC- 3,838,631.21 0.23 170,092.00 AMBUJA CEMENTS -SHS- 524,542.14 0.03
467,053.00 CHINA RESOURCES BEER LTD -RC- 1,877,183.16 0.11 25,671.00 NICHOLAS PIRAMAL DEMATERIALISED 814,272.36 0.05
932,000.00 GUANGDONG INVEST -RC- 1,655,581.43 0.10 78,530.00 BHARAT FORGE LTD DEMATERIALISED 651,184.64 0.04
1,006,000.00 CHINA TRAVEL INTL INVEST HONG KONG -RC- 323,980.12 0.02 1,101,429.00 ITC DEMATERIALISED 4,524,078.18 0.27
1,843,000.00 CITIC PACIFIC LTD 2,746,273.08 0.17 112,739.00 UPL LTD 1,033,142.57 0.06
204,000.00 SHANGHAI INDUSTRIAL HOLDINGS LTD -RC- 452,063.14 0.03 373,097.00 HINDALCO INDUSTRIES LTD 1,181,979.74 0.07
1,344,000.00 SHENZHEN INVESTMENT LTD -RC- 429,397.11 0.03 109,935.00 CIPLA SHS DEMATERIALISED 991,901.98 0.06
1,496,000.00 CSPC PHARMACEUTICAL 3,177,477.24 0.19 340,883.00 ASHOK LEYLAND -DEMATERIALISED- 560,065.64 0.03
610,412.00 CHINA RESOURCES POWER HOLDINGS -RC- 1,079,640.05 0.07 610,729.00 VODAFONE IDEA LTD 324,784.09 0.02
5,708,000.00 CNOOC LTD -RC- 11,306,690.32 0.68 30,632.00 GLENMARK PHARMACEUTICALS 267,126.71 0.02
1,876,000.00 CHINA POWER INTERNATIONAL DEV. -RC- 417,159.29 0.03 501,608.00 POWER GRID INDIA 1,303,668.52 0.08
971,000.00 CHINA AGRI-INDUSTRIES LTD -RC- 374,753.77 0.02 22,763.00 SIEMENS DEMATERIALISED 296,791.91 0.02
2,431,866.00 COUNTRY GARDEN HOLDINGS 3,067,443.90 0.19 47,137.00 SHIRAM TRANSPORT FIN DEMATERIALISED 748,411.10 0.05
873,884.00 FOSUN INTERNATIONAL 1,541,177.67 0.09 26,647.00 BAJAJ AUTO LTD 987,894.44 0.06
1,664,000.00 CN JINMAO HOLDINGS 757,047.54 0.05 175,244.00 RURAL ELECTRIFICATI 236,672.43 0.01
969,925.00 SINO-OCEAN GP SHS 427,638.78 0.03 143,469.00 MARICO LTD DEMATERIALISED 659,157.71 0.04

The accompanying notes form an integral part of these financial statements

48
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
236,318.00 MAHINDRA&MAHINDRA 2,806,703.64 0.17 2,317,500.00 PT BUMI SERPONG DAMAI TBK 179,626.95 0.01
4,529.00 EICHER MOTORS - DEMARTERIALISED 1,511,045.07 0.09 1,513,900.00 PT BANK TABUNGAN NEGARA (PERSERO) 267,191.54 0.02
226,351.00 PETRONET LNG 701,784.78 0.04 738,900.00 INDOFOOD CBP SUKSES MAKMUT 437,592.78 0.03
113,325.00 GODREJ CONSUMER DEMATERIALISED 1,201,645.00 0.07 646,000.00 TOWER B INFRA 243,851.15 0.01
502,111.00 HOUSING DEVELOPMENT FINANCE CORP 12,152,760.32 0.74 2,337,800.00 CHAROEN POKPHAND 796,183.49 0.05
201,845.00 MOTHERSON SUMI SYSTEMS LTD 715,047.41 0.04 17,739,700.00 BANK RAKYAT INDONESIA 3,749,959.61 0.24
67,914.00 LUPIN LTD 844,076.53 0.05 6,182,200.00 ASTRA INTERNATIONAL TBK 3,049,300.01 0.18
38,701.00 PIDILITE INDUSTRIES LTD (DEMATERIALISED) 558,358.86 0.03 7,936,600.00 KALBE FARMA 734,993.24 0.04
165,470.00 ADANI PORTS 750,766.64 0.05 1,812,100.00 SURYA CITRA MEDIA 228,009.63 0.01
216,826.00 COAL INDIA 796,384.50 0.05 1,864,700.00 PAKUWON JATI 64,444.52 0.00
268,382.00 SUN PHARMACEUTICAL INDUSTRIES.DEMATERIAL 2,307,477.61 0.14 1,783,300.00 WASKITA KARYA 203,443.16 0.01
95,162.00 LIC HOUSING FINANCE LTD 547,946.09 0.03 787,600.00 MATAHARI DEPT -A- 366,011.94 0.02
506,481.00 OIL AND NATURAL GAS CORP 1,238,079.98 0.07 15,483,300.00 TELKOM INDONESIA -B- 3,782,114.55 0.24
83,724.00 AUROBINDO PHARMA 859,819.57 0.05 Isle of Man 1,081,068.47 0.07
2,384.00 BOSCH LTD 655,578.51 0.04
99,308.00 TITAN INDUSTRIES LTD 1,103,635.13 0.07 119,017.00 NEPI ROCKCASTLE PLC 1,081,068.47 0.07
503,117.00 TATA MOTORS 1,552,590.06 0.09 Luxembourg 2,163,745.02 0.13
337,385.00 TATA POWER 306,480.87 0.02 3,174,000.00 C HUARONG A MGT-H- UNITARY 144A/REGS 584,102.75 0.04
281,613.00 BHARAT HEAVY ELECTRICALS LTD 266,112.39 0.02 12,838.00 DOOSAN BOBCAT 467,572.90 0.03
9,129.00 BRITANNIA INDUSTRIES LTD 733,380.08 0.04 43,717.00 PLAY COMMUNICATIONS 238,619.90 0.01
1,762.00 PAGE INDUSTRIES 799,331.44 0.05 46,978.00 REINET INVEST --- REGISTERED SHS 873,449.47 0.05
111,803.00 MAHINDRA AND MAHINDRA FINANCIAL SERVICE 617,237.59 0.04
Malaysia 39,801,404.66 2.40
91,167.00 ASIAN PAINTS LTD 1,626,517.60 0.10
104,754.00 BHARTI INFRATEL LTD 379,984.27 0.02 268,522.00 MALAYSIA AIRPORTS HOLDINGS 577,468.80 0.03
573,844.00 AXIS BANK 4,854,597.48 0.29 218,600.00 HAP SENG CONSOLIDATED 522,930.53 0.03
79,919.00 HAVELLS INDIA LTD 655,426.09 0.04 63,100.00 PETRONAS DAGANGAN 400,389.54 0.02
551,764.00 STATE BANK OF INDIA 2,020,876.21 0.12 206,484.00 HONG LEONG BANK BHD 1,026,810.78 0.06
759,808.00 ICICI BANK 3,202,638.90 0.19 320,383.00 RHB BANK BERHAD 418,043.88 0.03
150,268.00 TECH MAHINDRA LTD 1,545,382.46 0.09 607,700.00 IOI CORPORATION BHD 666,658.98 0.04
88,609.00 INDIABULLS HOUSING FINANCE LTD 1,047,380.44 0.06 223,200.00 PETRONAS GAS BHD 1,019,329.61 0.06
54,190.00 CADILA HEALTHCARE 288,517.41 0.02 415,300.00 MISC 608,125.48 0.04
55,273.00 BAJAJ FINANCE LTD 1,653,081.02 0.10 641,300.00 SP SETIA BHD 418,392.27 0.03
104,127.00 GRASIM INDUSTRIES 1,467,315.66 0.09 1,160,232.00 DIALOG GROUP BHD 978,428.09 0.06
12,100.00 BAJAJ FINSERV 1,002,552.18 0.06 53,966.00 HONG LEONG CREDIT BHD 251,672.74 0.02
268,035.00 JSW STEEL LTD 1,411,167.61 0.09 137,600.00 KUALA LUMPUR KEPONG MY 829,892.15 0.05
538,659.00 YES BANK LTD 1,364,666.96 0.08 236,800.00 ALLIANCE BK RG 239,175.46 0.01
39,892.00 AVENUE SUPER REGISTERED 768,205.65 0.05 943,630.00 PUBLIC BANK BHD 5,700,335.17 0.35
88,655.00 UNITED SPIRITS -REGISTERED SHS 628,986.87 0.04 1,305,498.00 YTL CORP BHD 394,316.43 0.02
52,968.00 CONTAINER -REGISTERED SHS 456,354.79 0.03 97,800.00 UMW HOLDINGS BHD 118,631.83 0.01
29,486.00 INTERGLOBE AVIATION LTD 336,024.01 0.02 760,775.00 SIME DARBY BHD 479,794.63 0.03
Indonesia 32,218,590.92 1.95 180,740.00 PERLIS PLANTATIONS BHD 732,832.77 0.04
1,214,806.00 MALAYAN BANKING BHD 2,873,745.23 0.17
541,000.00 UNITED TRACTORS 1,198,066.63 0.07 1,488,838.00 CIMB GROUP HOLDINGS BHD 2,162,123.82 0.13
1,359,000.00 INDOFOOD SUKSES MAKMUR TBK 538,073.04 0.03 1,106,500.00 IJM CORP 481,263.10 0.03
684,800.00 INDOCEMENT TUNGGAL PRAKARSA 850,168.96 0.05 38,700.00 BRITISH AMERICAN TOBACCO (M) BHD 296,621.61 0.02
760,900.00 INDAH KIAT PULP PAPER CORP 885,924.74 0.05 18,600.00 NESTLE (M) BHD 657,979.96 0.04
143,700.00 GUDANG GARAM 714,087.77 0.04 678,100.00 GENTING BHD 1,279,686.01 0.08
2,739,700.00 HANJAYA MANDALA SAMPOERNA 707,837.40 0.04 991,700.00 TENAGA NASIONAL BHD 3,704,660.77 0.23
6,176,700.00 BANK MANDIRI 2,787,523.66 0.17 948,900.00 GENTING MALAYSIA BHD 1,144,141.23 0.07
483,500.00 PT UNILEVER INDONESIA TBK 1,525,791.00 0.09 644,500.00 GAMUDA BHD 523,263.98 0.03
919,000.00 BANK DANAMON INDONESIA SERIES -A- 444,035.58 0.03 434,837.00 TELEKOM MALAYSIA 338,330.39 0.02
1,118,400.00 SEMEN GRESIK (PERSERO) TBK 744,899.08 0.04 542,200.00 AMMB HOLDING BHD 541,088.38 0.03
2,564,700.00 BANK NEGARA INDONESIA 1,273,614.68 0.08 994,000.00 DIGI.COM BHD 1,157,689.43 0.07
672,600.00 JASA MARGA -B- 201,759.57 0.01 224,800.00 TOP GLOVE CORPORATION BHD 579,044.79 0.03
3,151,900.00 BANK CENTRAL ASIA DEP 5,108,099.30 0.32 502,300.00 AIRASIA BHD 383,538.45 0.02
4,325,400.00 PERUSAHAAN GAS NEGA -B- 653,098.31 0.04 54,300.00 GENTING PLANTATIONS BHD 124,515.86 0.01
3,921,400.00 ADARO ENERGY 482,888.63 0.03 867,606.00 AXIATA GROUP 955,973.90 0.06

The accompanying notes form an integral part of these financial statements

49
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
427,100.00 HARTALEGA HOLDINGS BHD 683,197.40 0.04 3,209,700.00 SM PRIME HOLDINGS INC 2,147,522.60 0.14
762,100.00 PETRONAS CHEMICALS 1,723,639.56 0.10 556,460.00 ABOITIZ EQUITY VENTURES INC 504,655.52 0.03
748,900.00 MAXIS BHD 1,056,806.13 0.06 82,340.00 SECURITY BANK CORP 234,691.08 0.01
304,800.00 FGV HOLDINGS BHD 114,157.72 0.01 187,080.00 INTERNATIONAL CONTAINER TERMINAL SERVICE 325,823.18 0.02
790,000.00 IHH HEALHCARE BHD 994,542.76 0.06 2,332,500.00 AYALA LAND INC 1,728,976.82 0.11
141,000.00 ASTRO MALAYSIA HOLDINGS BHD 50,083.55 0.00 311,536.00 METROBANK AND TRUST 386,320.75 0.02
261,500.00 WESTPORTS HOLDINGS BHD 240,112.04 0.01 83,275.00 SM INVESTMENTS CORP 1,393,311.01 0.08
636,892.00 IOI PROPERTIES GROUP BHD 257,004.61 0.02 78,720.00 AYALA CORP 1,352,066.52 0.08
256,200.00 MY E.G. SERVICES BHD 108,336.75 0.01 3,606,100.00 MEGAWORLD - SHS 293,667.20 0.02
405,000.00 PRESS MTL ALUMI - REGISTERED 475,608.86 0.03 851,966.00 ROBINSON'S LAND SHS 320,098.25 0.02
754,075.00 SIME DARBY PLANTATION BHD 965,715.18 0.06 1,481,700.00 ALLIANCE GLOBAL GROUP 342,247.17 0.02
601,875.00 SIME DARBY PROPERTY BHD 171,611.72 0.01 429,000.00 ABOITIZ POWER CORP 265,594.09 0.02
41,000.00 FRASER & NEAVE HOLDINGS BHD 373,692.33 0.02 54,680.00 MANILA ELECTRIC CO MER 344,090.29 0.02
Mexico 51,835,461.08 3.13 4,503,000.00 METRO PACIFIC INVESTMENTS CORP 395,877.26 0.02
622,845.00 BDO UNIBANK INC 1,381,025.82 0.08
1,677,585.00 WAL MART 5,116,397.71 0.31 35,614.00 GT CAPITAL 540,504.86 0.03
10,566,738.00 AMERICA MOVIL -L- 8,498,947.87 0.50 31,820.00 PLDT 795,058.24 0.05
166,953.00 COCA COLA FEMSA -L- (KOFL) 1,020,151.89 0.06
Poland 20,245,854.95 1.22
783,066.00 TLEVISA ORD.PART.CERT.REPR.(SHS1A+1L+1D) 2,786,490.42 0.17
763,669.00 GRUPO FINANCIERO INBURSA SAB DE CV -O- 1,199,050.85 0.07 11,017.00 SANTANDER BANK POLSKA SPOLKA AKCYJNA 1,122,579.92 0.07
524,121.00 GRUPO BIMBO -SHS- -A- 1,118,638.28 0.07 22,493.00 OPTIMUS TECHNOLOGIE 1,142,913.86 0.07
41,593.00 INDUSTRIAL PENOLES SAB DE CV 717,053.00 0.04 178,343.00 BANK MILLENIUM SA 447,534.11 0.03
965,723.00 ALFA SAB DE CV -A- 1,246,195.81 0.08 13,755.00 BANK HANDLOWY 288,075.44 0.02
132,640.00 GRUPO CARSO SAB DE CV -A1- 440,283.74 0.03 4,741.00 MBANK S.A. 575,689.58 0.03
514,078.00 KIMBERLY-CLARK -A- 915,481.65 0.06 44,366.00 KGHM POLSKA MIEDZ SA (PLN) 1,072,398.79 0.06
830,191.00 GRUPO FINANCIERO BANORTE -O- 6,006,924.97 0.36 54,862.00 GRUPA PEKAO SA 1,580,609.15 0.10
4,609,311.00 CEMEX-CPO REPR 2 SHS -A-.1 SHS -B- 3,238,976.27 0.20 257,331.00 ORANGE POLSKA 309,958.40 0.02
607,392.00 FOMENTO ECONOMICO UNITS 1 SH-B- 4 SHS-D- 6,015,054.09 0.36 97,153.00 POLSKI KONCERN NAFTOWY ORLEN SA 2,661,986.98 0.15
73,599.00 GRUMA SHS-B- 941,633.93 0.06 280,145.00 PKO BANK POLSKI SA 3,260,382.14 0.19
72,618.00 PROMOTORA Y OPERADORA DE 773,161.32 0.05 29,725.00 GRUPA LOTOS SA 605,444.68 0.04
INFRAESTRUCTURA 9,225.00 NG2 SA 550,576.14 0.03
161,131.00 ALSEA SA DE CV 548,643.63 0.03
549,340.00 POLISH OIL AND GAS COMPANY SA 964,214.91 0.06
336,259.00 MEXICHEM SHS 1,157,354.33 0.07
411.00 LPP 961,677.07 0.06
110,737.00 GRUPO AEROPORTUARIO DEL PACIFICO SAB-B- 1,211,524.83 0.07
82,091.00 CYFROWY POLSAT SA 495,288.98 0.03
1,084,288.00 FIBRO UNO 1,427,028.53 0.09
11,990.00 ZA TARNOW 102,786.15 0.01
141,251.00 ARCA CONTINENT 913,108.47 0.06
270,569.00 PGE POLSKA GRUPA ENERGETYCZNA S.A. 698,784.60 0.04
52,118.00 EL PUERTO LIVERPOOL C1 391,430.76 0.02
196,148.00 POWSZECHNY ZAKLAD UBEZPIECZEN 2,112,529.24 0.13
63,792.00 ASUR -B- 1,305,333.93 0.08
19,620.00 JSW 352,358.97 0.02
151,414.00 IENOVA 752,971.73 0.05
28,973.00 ALIOR BANK 495,179.15 0.03
1,119,345.00 GMEXICO -B- 3,229,474.07 0.19
16,465.00 DINA POLSKA S.A. 444,886.69 0.03
554,527.00 BANCO SANTANDER SA 864,149.00 0.05
Qatar 480,779.94 0.03
Pakistan 1,175,060.65 0.07
25,377.00 OOREDOO TELECOM 480,779.94 0.03
206,100.00 OIL AND GAS DEVELOPMENT CO LTD 253,915.55 0.02
Russia 56,902,560.39 3.44
187,500.00 HABIB BANK 228,554.27 0.01
41,300.00 LUCKY CEMENT LTD 170,594.44 0.01 158,320.00 MOBILE TELESYSTEMS ADR REPR.2 SHS 1,350,469.60 0.08
132,500.00 MCB BANK LTD 214,690.93 0.01 20,355.00 MMC NORILSK NIC 3,539,240.64 0.21
247,800.00 UNITED BANK 307,305.46 0.02 149.00 TRANSNEFT PREF.SHS 377,078.12 0.02
Peru 812,565.54 0.05 3,470,886.00 SBERBANK 10,774,868.47 0.66
29,803,090.00 RUSHYDRO 282,399.93 0.02
60,594.00 BUENAVENTURE SP ADR-SHS- 812,565.54 0.05 3,425,739.00 GAZPROM 8,505,366.81 0.51
Philippines 15,806,000.98 0.95 9,478.00 POLYUS GOLD CO ZAO 597,376.20 0.04
237,857.00 BANK OF THE PHILIPPINE ISLANDS 366,712.69 0.02 650,511.00 MAGNITOGORSK IRON 518,312.71 0.03
7,260.00 GLOBE TELECOM 295,613.52 0.02 372,673.00 ROSNEFT OIL COMPANY OJSC 2,805,216.44 0.17
766,100.00 DMCI HOLDINGS INC 161,358.82 0.01 136,759.00 LUKOIL HOLDING 10,486,345.23 0.63
907,720.00 JG SUMMIT HOLDINGS INC 906,375.90 0.05 66,368.00 SEVERSTAL JSC CHEREPOVETS METAL FACTORY 1,105,845.39 0.07
121,380.00 JOLLIBEE FOODS CORPORATION 577,358.09 0.03 494,886.00 AO TATNEFT 6,312,351.37 0.38
279,330.00 UNIVERSAL ROBINA CORP 747,051.30 0.05 976,797,281.00 VNESHTORGBANK 607,897.20 0.04

The accompanying notes form an integral part of these financial statements

50
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
379,848.00 NOVOLIPETSK STEEL 1,031,756.75 0.06 295,847.00 FORTRESS REIT B 318,399.94 0.02
7,797,787.00 INTER RAO UES 488,916.53 0.03 367,336.00 FORTRESS REIT - REGISTERED -A- 439,726.67 0.03
2,063,208.00 INTER RAO UES - SHS 129,361.90 0.01 230,352.00 ABSA GRP --- REGISTERED SHS 2,472,284.71 0.15
2,264,294.00 SURGUTNEFTEGAZ 948,136.75 0.06 1,586,246.00 OLD MUTUAL -REGISTERED SHS 3,395,280.98 0.20
2,357,433.00 SURGUTNEFTEGAZ 1,370,294.02 0.08 South Korea 238,728,340.41 14.41
192,229.00 ALROSA CJSC 313,430.33 0.02
29,119.00 NOVATEK GDR REPR 1/100 SHS REG-S 5,357,896.00 0.32 15,885.00 KAKAO 1,704,138.06 0.10
19,978.00 SAMSUNG SECURITIES CO LTD 588,038.54 0.04
Singapore 389,414.61 0.02
7,881.00 KOREA GAS CORP 431,261.43 0.03
50,200.00 BOC AVIATION SHS UNITARY 144A/REGS 389,414.61 0.02 68,957.00 LG UPLUS CORP 1,137,627.40 0.07
South Africa 99,341,626.37 6.00 5,561.00 NCSOFT 2,218,384.22 0.13
14,665.00 LG CHEM 4,832,145.97 0.29
225,641.00 RMB HOLDINGS LTD 1,262,045.00 0.08
2,976.00 LG HOUSEHOLD AND HEALTHCARE 3,423,372.82 0.21
169,176.00 REMGRO LTD 2,358,097.03 0.14
721.00 LG HOUSEHOLD AND HEALTHCARE PREF/ISSUE01 522,590.98 0.03
140,087.00 TRUWORTHS INTERNATIONAL LTD 826,590.13 0.05
136,400.00 SHINHAN FINANCIAL GROUP 5,533,468.99 0.33
141,776.00 SHOPRITE HOLDINGS LTD (SHP) 1,920,071.71 0.12
37,279.00 KANGWON LAND 964,532.24 0.06
141,060.00 NASPERS -N- 30,418,870.61 1.85
33,996.00 LG ELECTRONICS INC 2,175,989.35 0.13
376,109.00 NETCARE LTD 643,449.43 0.04
15,738.00 DB INSURANCE RG REGISTERED SHS 1,032,883.92 0.06
260,342.00 GOLD FIELDS 626,054.43 0.04
9,756.00 SAMSUNG FIRE AND MARINE INSURANCE 2,497,817.64 0.15
76,046.00 NEDBANK GROUP 1,422,071.26 0.09
139,447.00 SAMSUNG HEAVY INDUSTRIES CO LTD 1,015,760.06 0.06
116,091.00 PICK'N PAY STORES 564,243.59 0.03
385.00 OTTOGI CORPORATION 259,269.80 0.02
17,092.00 ANGLO AMERICAN PLATINUM LIMITED 558,008.44 0.03
5,316.00 OCI COMPANY LTD 527,167.05 0.03
169,216.00 SAPPI LTD 1,061,245.09 0.06
34,870.00 HANWHA CHEMICAL CORPORATION 606,708.18 0.04
176,647.00 SASOL LTD 6,834,710.02 0.42
44,969.00 NH INVESTMENT SECURITIES CO.LTD. 579,722.11 0.03
545,337.00 MTN GROUP LTD 3,375,015.82 0.20
30,068.00 LG CORP 1,967,939.57 0.12
131,100.00 ANGLOGOLD ASHANTI LTD-REG.SHS 1,133,939.85 0.07
14,138.00 GS ENGINEERING & CONSTRUCTION 666,592.25 0.04
79,385.00 TELKOM 289,800.25 0.02
17,582.00 SAMSUNG SDI CO LTD 4,097,315.62 0.25
90,260.00 CORONATION FUND MANAGERS LTD 343,723.65 0.02
4,657.00 S1 CORP 383,727.59 0.02
61,570.00 SPAR GROUP LTD 801,123.76 0.05
59,327.00 HANON SYSTEMS 676,571.20 0.04
318,280.00 WOOLWORTHS HOLDINGS 1,115,570.27 0.07
42,303.00 SAMSUNG ENGINEERING 736,036.03 0.04
1,082,315.00 FIRSTRAND LTD 5,190,837.51 0.31
186,137.00 SK HYNIX INC 12,266,500.58 0.74
124,028.00 ASPEN PHARMACARE HOLDINGS PLC 1,484,525.89 0.09
7,835.00 LOTTE RG (KRW) 403,316.24 0.02
47,806.00 IMPERIAL HOLDINGS LTD 591,189.02 0.04
6,216.00 SK TELEKOM 1,580,267.87 0.10
51,578.00 TIGER BRANDS LTD 965,937.56 0.06
48,964.00 HYUNDAI MOTOR CO LTD 5,716,329.50 0.35
574,197.00 SANLAM LTD 3,209,949.58 0.19
9,143.00 AMOREG 769,025.89 0.05
80,268.00 EXXARO RESOURCES LTD 824,504.94 0.05
83,477.00 KIA MOTORS 2,641,463.09 0.16
20,414.00 KUMBA IRON ORE 463,004.20 0.03
81,354.00 KOREA ELECTRIC POWER CORP 2,152,571.64 0.13
113,728.00 DISCOVERY LIMITED 1,366,225.01 0.08
24,909.00 POSCO 6,613,208.09 0.40
416,231.00 STANDARD BANK GROUP LIMITED 5,147,286.93 0.31
1,525,870.00 SAMSUNG ELECTRONICS CO LTD 63,896,026.20 3.85
107,603.00 BIDVEST GROUP 1,406,701.71 0.08
7,291.00 DAELIM INDUSTRIAL CO 542,922.38 0.03
88,620.00 INVESTEC LTD 623,292.15 0.04
19,347.00 KOREAN AIR 490,106.60 0.03
84,578.00 MR.PRICE GROUP 1,364,247.39 0.08
5,485.00 CJ CORP 667,545.69 0.04
192,601.00 VODACOM GROUP 1,713,932.24 0.10
5,302.00 KOREA KUMHO PETROCHEMICAL 470,810.95 0.03
81,663.00 CLICKS GROUP 1,009,878.87 0.06
14,267.00 S-OIL CORP 1,762,072.71 0.11
71,276.00 THE FOSCHINI GROUP LTD 873,219.00 0.05
19,872.00 HYUNDAI FIRE MARINE INSURANCE CO LTD 751,526.23 0.05
299,682.00 MMI HOLDINGS LTD 367,634.52 0.02
22,180.00 HYUNDAI MOBIS 4,558,972.64 0.28
38,331.00 LIBERTY HOLDINGS 305,483.77 0.02
1,676.00 KCC CORP 512,205.58 0.03
420,919.00 LIFE HEALTHCARE GROUP HOLDINGS LIMITED 730,521.16 0.04
25,590.00 HYUNDAI STEEL CO 1,303,434.86 0.08
37,821.00 MONDI LTD 1,038,316.94 0.06
17,904.00 SAMSUNG ELECTRO MECHANICS 2,243,548.52 0.14
12,937.00 CAPITEC BANK HOLDINGS LTD 936,356.48 0.06
23,091.00 HYUNDAI ENGINEERING CONSTRUCTION 1,405,131.96 0.08
949,739.00 GROWTHPOINT PROPERTIES LTD 1,559,047.65 0.09
2,113.00 SHINSEGAE CO LTD 690,522.93 0.04
1,725,891.00 RED PROP 1,222,044.42 0.07
2,561.00 CJ KOREA EXPRESS 364,785.24 0.02
47,675.00 PSG GROUP 771,493.18 0.05
135,343.00 DAEWOO SECURITIES 1,033,450.80 0.06
78,730.00 HYPROP INVESTMENT LIMITED 513,508.76 0.03
2,731.00 YUHAN CORP 597,040.84 0.04
40,677.00 PIONEER FOODS GROUP LTD 264,449.44 0.02
142,027.00 WOORI BANK 2,163,855.30 0.13
94,267.00 RESILIENT REIT 387,227.25 0.02
2,843.00 HANMI SCIENCE CO LTD 225,030.80 0.01
107,219.00 BID CORPORATION LIMITED 2,234,507.85 0.13
2,690.00 KOREA ZINC CO LTD 1,057,327.11 0.06
218,437.00 RMI HOLDINGS 595,980.31 0.04

The accompanying notes form an integral part of these financial statements

51
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
274,362.00 SAMSUNG ELECTRONICS CO LTD PFD SHS N/VTG 9,361,823.32 0.57 Taiwan 195,747,868.18 11.82
5,477.00 LOTTE CHEMICAL CORPORATION 1,372,644.69 0.08 209,000.00 CATCHER TECHNOLOGY 2,299,936.44 0.14
10,035.00 HOTEL SHILLA 981,561.94 0.06 645,885.00 EVA AIRWAYS CORP 314,131.81 0.02
9,125.00 HYUNDAI MOTOR CO PREF.SHS 644,117.70 0.04 110,791.00 ADVANTECH CO LTD 825,498.25 0.05
12,556.00 HYUNDAI HEAVY INDUSTRIES CO LTD 1,522,454.03 0.09 514,000.00 TAIWAN MOBILE 1,843,348.75 0.11
22,060.00 CHEIL WORLDWIDE 430,560.32 0.03 332,000.00 NANYA TECHNOLOGY CO LTD 631,748.89 0.04
11,203.00 HYUNDAI MOTOR CO LTD 855,437.61 0.05 2,758,000.00 AU OPTRONICS 1,165,236.94 0.07
2,024.00 KT CORPORATION 55,013.39 0.00 798,000.00 CHINA AIRLINES 241,754.68 0.01
37,057.00 KT & G CORP-SHS. 3,474,355.02 0.21 480,558.00 MEDIA TEK INCORPORATION 3,879,654.09 0.23
2,553.00 LG CHEMICAL LTD PREF./ISSUE 01 469,517.28 0.03 1,207,000.00 CHUNGHWA TELECOM 4,348,407.40 0.26
15,233.00 COWAY 1,191,998.65 0.07 2,112,000.00 FUBON FINANCIAL HOLDING COMPANY 3,583,058.88 0.22
4,284.00 HANSSEM CO LTD 295,834.51 0.02 4,308,000.00 CHINA DEVELOPMENT BANK FINANCIAL HDG CO 1,608,462.04 0.10
4,488.00 HYUNDAI DEPARTMENT STORE SHS 402,170.15 0.02 2,609,700.00 CATHAY FINANCIAL 4,487,248.90 0.27
8,897.00 NAVER 5,742,846.52 0.35 2,389,561.00 HUA NAN FINANCIAL HOLDING CO LTD 1,447,838.50 0.09
68,761.00 DAEWOO ENGINEERING AND CONSTRUCTION CO 366,973.32 0.02 3,153,789.00 TAISHIN FINANCIAL HOLDINGS 1,523,543.73 0.09
88,184.00 INDUSTRIAL BANK OF KOREA 1,212,356.19 0.07 3,454,765.00 MEGA FINANCIAL HOLDING COMPANY 3,111,583.62 0.19
16,190.00 GS HOLDINGS CO LTD 804,209.21 0.05 873,000.00 WINBOND ELECTRONICS CORP 414,583.98 0.03
78,836.00 LG DISPLAY 1,357,464.70 0.08 80,273.00 YAGEO CORPORATION 1,206,736.50 0.07
11,786.00 POSCO DAEWOO 222,597.90 0.01 174,324.00 STANDARD FOOD CORPORATION 290,035.51 0.02
12,358.00 KOREA INVESTMENT HOLDINGS CO LTD 847,819.58 0.05 453,250.00 SYNNEX TECHNOLOGY INTERNATIONAL CORP 578,196.62 0.03
94,603.00 HANA FINANCIAL GROUP INC 3,799,471.70 0.23 7,822,000.00 TAIWAN SEMICONDUCTOR MANUFACTURING CO 67,247,693.05 4.07
4,172.00 LOTTE SHOPPING 787,950.48 0.05 LT
10,639.00 AMOREPACIFIC CORP 2,503,294.31 0.15 85,000.00 GIANT MANUFACTURE CO LTD 364,687.18 0.02
4,335.00 VIROMED 941,057.55 0.06 588,543.00 MACRONIX INTERNATIONAL CO 490,564.66 0.03
20,687.00 SK INNOVATION 4,009,650.98 0.24 930,740.00 ACER INC 769,697.42 0.05
10,953.00 SAMSUNG CARD SHS 363,372.04 0.02 800,000.00 INVENTEC CORPORATION 717,911.35 0.04
2,629.00 CJ CHEILJEDANG 790,418.36 0.05 226,000.00 ASUSTEK COMPUTER 1,954,081.34 0.12
68,086.00 STX PAN OCEAN 321,632.34 0.02 87,000.00 HOTAI MOTOR 745,111.42 0.04
126,948.00 KB FINANCIAL GROUP INC 6,202,913.81 0.37 182,000.00 PRESIDENT CHAIN STORE CORP 2,136,932.57 0.13
2,921.00 AMOREPACIFIC CORP PFD SHS NON.VTG 362,080.26 0.02 147,000.00 REALTEK SEMICONDUCTOR CORP 654,766.59 0.04
24,619.00 DOOSAN HVY IND 330,694.73 0.02 1,440,000.00 FORMOSA PLASTICS CORP 5,517,960.98 0.33
4,617.00 LG INNOTEK 543,176.51 0.03 612,217.00 EVERGREEN MARINE CORP 256,652.57 0.02
25,882.00 CELLTRION 6,929,866.67 0.42 622,000.00 CHENG SHIN RUBBER INDUSTRY CO LTD 977,826.70 0.06
79,338.00 KOREA LIFE INSURANCE CO LTD 378,362.00 0.02 1,533,712.00 UNI PRESIDENT ENTERPRISES CORP 4,003,431.55 0.24
6,848.00 HYUNDAI GLOVIS CO LTD 802,560.35 0.05 698,520.00 ASIA CEMENT 949,417.46 0.06
22,177.00 SAMSUNG LIFE INSURANCE CO LTD 1,945,298.42 0.12 4,008,180.00 CHINA STEEL CORP 3,347,477.51 0.20
1,984.00 HANMI PHARM 894,298.02 0.05 664,518.00 DELTA ELECTRONIC INCS 2,851,072.86 0.17
10,031.00 SK 2,595,354.72 0.16 1,648,000.00 NAN YA PLASTICS CORP 4,577,025.49 0.28
10,236.00 KEPCO PLANT SERVICE ENGINEERING CO LTD 313,747.15 0.02 1,506,200.00 TAIWAN CEMENT CORP 2,027,471.40 0.12
95,096.00 BNK FINANCIAL GROUP INC 737,278.04 0.04 1,720,420.00 CHANG HWA COMMERCIAL BANK 1,064,943.48 0.06
6,624.00 E-MART 1,239,107.60 0.07 1,026,132.00 FAR EASTERN TEXTILE 1,199,780.28 0.07
64,821.00 DGB FINANCIAL GROUP LTD 593,133.38 0.04 674,114.00 LITE-ON TECHNOLOGY CORP 847,802.79 0.05
8,613.00 GS RETAIL CO LTD 298,941.20 0.02 3,833,000.00 UNITED MICROELECTRONICS CORP 2,027,410.15 0.12
27,062.00 KOREA AEROSPACE 856,322.99 0.05 5,180,469.00 HON HAI PRECISION INDUSTRY 13,437,687.33 0.81
24,193.00 HANKOOK TIRE CO LTD 1,092,692.72 0.07 1,342,000.00 COMPAL ELECTRONICS 832,898.35 0.05
13,627.00 DONGSUH 257,982.44 0.02 93,843.00 FENG TAY ENTERPRISE 577,816.59 0.03
11,032.00 SAMSUNG SDS CO LTD 2,297,401.13 0.14 861,000.00 QUANTA COMPUTER INC 1,500,185.82 0.09
24,039.00 SAMSUNG C&T 2,806,446.47 0.17 181,000.00 NOVATEK ELECTRONICS 895,129.34 0.05
5,267.00 SAMSUNG BIOLOGICS CO LTD 2,535,567.47 0.15 3,409,781.00 SINOPAC HOLDINGS 1,245,178.53 0.08
8,081.00 NETMARBLE RG 837,786.86 0.05 5,608,358.00 CHINATRUST FINANCIAL HLDGS 4,224,680.16 0.26
3,420.00 HYUNDAI HEAVY IND 1,248,681.64 0.08 32,000.00 LARGAN PRECISION CO LTD 3,809,646.37 0.23
6,949.00 ORION REGISTERED 660,914.63 0.04 183,000.00 HIGH TECH COMPUTER CORP 243,336.58 0.01
1,943.00 BGF RETAIL - REGISTERED 359,960.81 0.02 216,000.00 MICRO-STAR INTERNATIONAL 583,630.49 0.04
13,541.00 ORANGE LIFE INSURANCE LTD 416,270.58 0.03 2,925,556.00 E.SUN FINANCIAL HOLDING 2,160,654.03 0.13
13,181.00 HYUNDAI DEVELOPMENT CO 604,834.76 0.04 777,000.00 TECO EL.MACHINERY 563,670.13 0.03
706,000.00 POU CHEN CORP 745,700.94 0.05
1,124,000.00 FORMOSA CHEMICALS FIBER CO LTD 4,712,013.78 0.28

The accompanying notes form an integral part of these financial statements

52
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
3,135,600.00 FIRST FINANCIAL HOLDING COMPANY 2,136,064.00 0.13 3,355,900.00 PTT -REGISTERED 5,629,479.92 0.35
139,000.00 RUENTEX INDUSTRIES LTD 276,333.64 0.02 1,853,600.00 BTS GROUP 533,038.39 0.03
216,000.00 FORMOSA TAFFETE CO LTD 263,518.01 0.02 Turkey 10,507,265.06 0.63
888,895.00 TAIWAN BUSINESS BANK 323,149.67 0.02
3,218,117.00 YUANTA FINANCIAL 1,696,906.75 0.10 387,539.00 TURKCELL ILETISIM HIZMET 744,458.67 0.04
508,000.00 FAR EASTONE TELECOMMUNICATION CO LTD 1,211,226.50 0.07 66,580.00 ANADOLU EFES BIRACILIK VE MALT SANAYI 233,632.77 0.01
223,000.00 POWERTECH TECHNOLOGY INC 608,387.29 0.04 40,026.00 TUPRAS TURKIYE PETROL RAFINELERI 894,157.61 0.06
774,668.00 WISTRON CORP 504,892.55 0.03 191,493.00 TURK HAVA YOLLARI AO 608,524.69 0.04
2,975,055.00 SHIN KONG FINANCIAL HOLDING CO LTD 1,164,375.81 0.07 320,716.00 HACI OMER SABANCI HOLDING AS 407,347.01 0.02
396,000.00 FORMOSA PETROCHEMICAL CORP 1,919,495.83 0.12 75,604.00 ARCELIK 174,306.63 0.01
264,042.00 FOXCONN TECHNOLOGY CO LTD 644,257.61 0.04 690,958.00 AKBANK 795,934.10 0.05
2,852,183.00 INNOLUX DISPLAY 990,178.57 0.06 261,300.00 KOC HOLDING AS -B- 742,057.92 0.04
101,000.00 WALSIN TECHNOLOGY CORPORATION 704,581.52 0.04 486,896.00 EREGLI DEMIR VE CELIK 893,986.76 0.05
801,429.00 CHINA LIFE INSURANCE 805,811.94 0.05 235,409.00 TURK SISE CAM 228,852.30 0.01
148,730.00 CHICONY ELECTRONICS 301,035.23 0.02 21,219.00 FORD OTOMOTIV 232,418.22 0.01
476,000.00 WPG HOLDING 590,848.90 0.04 509,049.00 YAPI VE KREDI BANKASI AS 159,307.71 0.01
294,200.00 RUENTEX DEVELOPMENT CO LTD 344,468.08 0.02 762,817.00 TURKIYE GARANTI BANKASI AS (NAMEN-AKT) 979,025.74 0.07
343,400.00 HIGHWEALTH CONSTRUCTION CORP 544,347.11 0.03 42,758.00 TOFAS TURK OTOMOBIL FABRIKASI AS 152,175.40 0.01
80,785.00 HIWIN TECHNOLOGIES CORP 668,070.63 0.04 527,709.00 TURKIYE IS BANKASI AS 388,272.06 0.02
2,889,025.00 TAIWAN COOPERATIVE HOLDINGS 1,759,926.44 0.11 69,755.00 BIM BIRLESIK MAGAZALAR 944,609.41 0.07
56,980.00 ECLAT TEXTILE CO LTD 705,414.72 0.04 221,849.00 PETKIM PETROKIMYA HOLDING AS 197,574.38 0.01
40,000.00 NIEN MADE ENTERPRISE CO LTD 313,103.67 0.02 215,847.00 TURKIYE VAKIFLAR BANKASI TAO 136,177.26 0.01
507,000.00 TAIWAN HIGH SPEED RAIL CORP 496,488.76 0.03 24,796.00 COCA COLA ICECEK SANAYI A.S 139,348.86 0.01
1,111,497.00 ASE TECH HLDG -REGISTERED SHS 2,712,032.18 0.16 123,561.00 ASELSAN AS 567,276.83 0.03
58,942.00 TAV HAVALIMALARI HOLDING AS 306,909.96 0.02
Thailand 41,630,897.91 2.51
177,090.00 TURKIYE HALK BANKA -SHS- 197,214.81 0.01
948,700.00 CHAROEN POKPHAND FOODS PUBLICS CO -F-REG 740,712.72 0.04 67,975.00 ULKER GIDA 191,569.14 0.01
329,700.00 ADVANCED INFO SERVICE -F- 2,049,153.66 0.12 644,786.00 EMLAK KONUT REIT 192,126.82 0.01
143,600.00 DELTA ELECTRONIC -F- REG 309,712.10 0.02 United Arab Emirates 7,282,906.10 0.44
580,900.00 SIAM COMMERCIAL BANK PUBLIC -F- 2,676,376.24 0.16
602,300.00 KASIKORNBANK -F- 4,060,026.59 0.26 448,942.00 BANK ABU DHABI 1,747,829.99 0.11
79,300.00 BANGKOK BANK PUBLIC CO LTD -F- 534,551.07 0.03 52,265.00 DP WORLD 998,261.50 0.06
32,800.00 ELECTRICITY GENERATING PUBLIC CO -F- 239,356.58 0.01 658,922.00 ABU DHABI COMMERCIAL BANK 1,422,591.17 0.09
1,088,900.00 KRUNG THAI BANK FOREIGN REGISTERED 680,140.89 0.04 1,176,587.00 ALDAR PROPERTIES PJSC 586,203.02 0.04
596,800.00 LAND AND HOUSE -F- REGISTERED 212,219.93 0.01 556,021.00 EMIRATES TELECOM 2,528,020.42 0.14
1,163,519.00 HOME PRODUCT CENTER PUBLIC FOREIGN REG. 568,447.14 0.03 United States of America 5,285,901.33 0.32
129,300.00 SIAM CEMENT FOREIGN REGISTERED 1,783,170.64 0.11
27,168.00 SOUTHERN COPPER CORP 1,172,027.52 0.07
132,800.00 BUMRUNGRAD HOSPITAL (F) 763,783.97 0.05
117,171.00 YUM CHINA HOLDINGS INC WI 4,113,873.81 0.25
373,600.00 THAI OIL-FOREIGN REG 1,022,373.68 0.06
140,400.00 GLOW ENERGY PUBLIC CO LTD -F- REG 382,040.41 0.02 Warrants, Rights 0.00 0.00
441,200.00 PTT EXPLORATION AND PRODUCTION PUBLIC CO 2,114,592.67 0.13 Thailand 0.00 0.00
2,710,000.00 IRPCP FOREIGN 569,820.05 0.03
205,955.00 BTS GROUP HOLDINGS XX.XX.XX WAR 0.00 0.00
1,554,800.00 CP SEVEN ELEVEN ALL FOREIGN REGISTERED 3,317,287.74 0.20
Transferable securities dealt in on another regulated market 32,279,876.85 1.95
478,600.00 INDORAMA VENTURES - FOREIGN REG 873,140.69 0.05
624,000.00 PEGATRON 1,248,694.13 0.08 Shares 32,279,876.85 1.95
3,502,800.00 TMB BANK PUBLIC CO LTD 249,116.62 0.02
Netherlands 845,220.05 0.05
785,420.00 MINOR INTERNATIONAL FOREIGN REGISTERED 995,738.58 0.06
449,600.00 BERLI JUCKER PUBLIC CO LTD -FOREIGN REG 827,185.26 0.05 37,366.00 X5 RETAIL GROUP SHS SPONSORED REG-S 845,220.05 0.05
755,800.00 PTT GLOBAL CHEM SHS FOREIGN REGISTER 1,898,846.15 0.11 Qatar 15,144,159.38 0.92
427,500.00 CENTRAL PATTANA (FOREIGN REGISTERED) 1,097,169.52 0.07
37,013.00 QATAR ISLAMIC BANK 1,422,991.28 0.09
659,950.00 BANPU PUBLIC CO LTD 389,765.97 0.02
65,800.00 COMMERCIAL BANK OF QATAR 730,007.25 0.04
1,229,800.00 BANGKOK DUSIT MEDICAL SERVICES PUBLIC CO 969,692.84 0.06
146,863.00 QATAR NATIONAL BANK 7,138,477.23 0.44
3,745,899.00 TRUE CORPORATION FOREIGN REGISTERED 700,762.67 0.04
58,020.00 INDUSTRIES OF QATAR (SHS) 1,986,845.49 0.12
597,000.00 THAI UNION GROUP -F- REG 330,435.64 0.02
48,144.00 DOHA BANK 277,639.58 0.02
2,372,800.00 BANGKOK EXPRESS FOR REG 638,322.14 0.04
15,824.00 QATAR ELECTRIC AND WATER 832,156.42 0.05
1,418,100.00 AIRPORT OF THAILAND PUB CO -F- 2,872,153.71 0.17
116,460.00 MASRAF AL RAYAN PARTLY PAID 1,199,300.38 0.07
162,200.00 ROBINSON REG SHS FOREIGN 353,589.60 0.02
30,828.00 BARWA REAL ESTATE 299,518.12 0.02

The accompanying notes form an integral part of these financial statements

53
AMUNDI INDEX MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD
49,520.00 QATAR INSURANCE COMPANY 516,754.36 0.03
254,379.00 EZDAN HOLDING GROUP 740,469.27 0.04
Russia 3,798,434.52 0.23

114,024.00 MAGNIT GDR 1,619,710.92 0.09


33,583.00 PHOSAGRO GDR REPR SHS REG S 456,057.14 0.03
409,540.00 MOSCOW EXCHANGE 607,790.79 0.04
683,761.00 ALROSA CJSC 1,114,875.67 0.07
South Korea 5,632,780.71 0.34

3,492.00 CJ ENM - REGISTERED SHS 780,722.17 0.05


1,347.00 MEDYTOX 751,672.81 0.05
17,234.00 SILLAJEN INC 1,590,950.41 0.10
10,089.00 CELLTRION HEALTHCARE CO LTD 838,589.92 0.05
4,896.00 CELLTRION PHARM. 353,103.48 0.02
9,901.00 HLB CO LTD 1,071,994.77 0.06
1,275.00 PEARLABYSS CORP 245,747.15 0.01
Taiwan 2,538,645.24 0.15

269,000.00 VANGUARD INTERNATIONAL SEMICONDUCTOR 599,089.16 0.04


COR
43,000.00 PHISON ELECTRONICS 342,219.70 0.02
70,000.00 GLOBALWAFERS CO LTD 771,459.94 0.04
109,000.00 WIN SEMICONDUCTORS CORP 480,152.34 0.03
56,000.00 TAIMED BIOLOGICS INC 345,724.10 0.02
Thailand 658,401.43 0.04

441,300.00 ENERGY ABSOLUTE FOREIGN REGISTER 658,401.43 0.04


United Arab Emirates 3,662,235.52 0.22

1,111,762.00 EMAAR PROPERTIES 1,498,269.50 0.09


522,056.00 DUBAI ISLAMIC BANK 766,088.19 0.05
666,033.00 DUBAI INVESTMENTS LTD 340,899.61 0.02
748,046.00 EMAAR MALLS GROUP PJSC 372,693.92 0.02
575,169.00 DAMAC PROPERT 319,446.81 0.02
255,738.00 EMAAR DEVELOPMENT PJSC 364,837.49 0.02
Total securities portfolio 1,648,509,527.75 99.52

The accompanying notes form an integral part of these financial statements

54
AMUNDI INDEX MSCI EMU

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
57,005.00 DASSAULT SYSTEMES SA 7,339,393.75 0.42
Long positions 1,751,704,888.40 99.56
82,308.00 ACCOR SA 3,639,659.76 0.21
Other transferable securities 7,251,817.06 0.41 373,073.00 BOLLORE INVESTISSEMENT 1,387,831.56 0.08
89,425.00 KLEPIERRE SA 2,730,145.25 0.16
Shares 7,251,817.06 0.41
849,386.00 AXA SA 19,663,285.90 1.12
France 7,250,973.40 0.41 95,911.00 BOUYGUES 3,570,766.53 0.20
63,998.00 AIR LIQUIDE - REGISTERED SHS 7,250,973.40 0.41 269,490.00 DANONE 17,974,983.00 1.02
70,188.00 CAPGEMINI SE 7,608,379.20 0.43
Portugal 843.66 0.00
254,277.00 CARREFOUR SA 4,195,570.50 0.24
84,366.00 BANCO ESPIRIT SANTO 843.66 0.00 404,608.00 NATIXIS SA 2,364,529.15 0.13
Transferable securities admitted to an official stock exchange 1,744,453,071.34 99.15 218,037.00 CIE DE SAINT-GOBAIN 8,098,984.37 0.46
listing 34,188.00 UBISOFT ENTERTAINMENT 3,193,842.96 0.18
Shares 1,744,453,071.34 99.15
74,639.00 MICHELIN SA REG SHS 7,684,085.05 0.44
Austria 13,169,944.74 0.75 25,928.00 INGENICO GROUP 1,696,728.32 0.10
32,866.00 ANDRITZ AG 1,651,516.50 0.09 1,091.00 DASSAULT AVIATION SA 1,739,054.00 0.10
51,530.00 VOESTALPINE AG 2,030,282.00 0.12 91,105.00 ESSILOR INTERNATIONAL SA 11,611,332.25 0.66
131,671.00 ERSTE GROUP BANK AG 4,711,188.38 0.27 23,310.00 CASINO GUICHARD PERRACHON SA 844,288.20 0.05
66,856.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 1,658,028.80 0.09 9,836.00 REMY COINTREAU 1,103,599.20 0.06
64,454.00 OMV AG 3,118,929.06 0.18 15,226.00 IMERYS SA 968,373.60 0.06
8,739.00 AIR LIQUIDE SA 990,128.70 0.06
Belgium 55,385,752.96 3.15
13,264.00 L'OREAL SA 2,754,932.80 0.16
35,896.00 GROUPE BRUXELLES LAMBERT GBL 3,241,408.80 0.18 11,930.00 WENDEL SA 1,529,426.00 0.09
109,919.00 KBC GROUPE SA 7,045,807.90 0.40 121,736.00 LVMH 37,080,785.60 2.10
32,177.00 SOLVAY 3,716,443.50 0.21 92,929.00 PERNOD RICARD SA 13,130,867.70 0.75
56,011.00 UCB 4,335,251.40 0.25 257,398.00 PEUGEOT SA 5,979,355.54 0.34
64,656.00 PROXIMUS SA 1,330,620.48 0.08 221,826.00 VINCI SA 18,194,168.52 1.03
22,408.00 TELENET GROUP HOLDING NV 1,062,587.36 0.06 2,013.00 SEB SA 295,105.80 0.02
26,575.00 COLRUYT 1,295,531.25 0.07 2,064.00 SODEXHO SA 188,525.76 0.01
81,136.00 AGEAS NOM 3,757,408.16 0.21 239,030.00 SCHNEIDER ELECTRIC SE 16,564,779.00 0.94
334,148.00 AB INBEV 25,134,612.56 1.44 10,898.00 BIC(SOCIETE) - ACT PORTEUR/NOM 859,307.30 0.05
92,715.00 UMICORE SA 4,466,081.55 0.25 20,484.00 EURAZEO 1,389,839.40 0.08
Finland 57,731,178.22 3.28 335,904.00 SOCIETE GENERALE SA 12,418,370.88 0.71
25,287.00 TELEPERFORMANCE SA 4,109,137.50 0.23
244,521.00 STORA ENSO -R- 4,028,483.48 0.23 46,535.00 THALES 5,693,557.25 0.32
233,588.00 UPM KYMMENE CORP 7,895,274.40 0.45 1,047,143.00 TOTAL SA 58,472,465.12 3.31
52,660.00 NOKIAN TYRES PLC 1,858,371.40 0.11 491,956.00 SANOFI 37,664,151.36 2.13
2,464,618.00 NOKIA OYJ 11,773,480.19 0.66 4,918.00 EUROFINS SCIENTIFIC 2,404,902.00 0.14
194,019.00 SAMPO OYJ -A- 8,653,247.40 0.49 873,127.00 ORANGE 11,992,399.35 0.68
197,357.00 WARTSILA CORPORATION -B- 3,313,624.03 0.19 146,010.00 SAFRAN 17,623,407.00 1.00
63,676.00 ELISA CORPORATION -A- 2,326,084.28 0.13 72,964.00 CNP ASSURANCES 1,514,732.64 0.09
46,731.00 METSO CORP 1,427,164.74 0.08 19,790.00 GECINA SA REG SHS 2,845,802.00 0.16
194,396.00 FORTUM CORP 4,197,009.64 0.24 11,275.00 ILIAD SA 1,268,437.50 0.07
148,316.00 KONE -B- 6,825,502.32 0.39 16,402.00 COVIVIO SA 1,472,079.50 0.08
56,107.00 NESTE 3,994,818.40 0.23 117,163.00 ENGIE 1,483,869.40 0.08
44,087.00 ORION CORPORATION (NEW) -B- 1,438,117.94 0.08 66,751.00 ALSTOM SA 2,569,245.99 0.15
France 558,988,506.50 31.77 51,303.00 EDF SA 775,957.88 0.04
74,403.00 EUTELSAT COMMUNICATIONS SA 1,514,845.08 0.09
234,228.00 VEOLIA ENVIRONNEMENT SA 4,026,379.32 0.23
16,500.00 IPSEN 2,389,200.00 0.14
455,170.00 VIVENDI SA 10,091,118.90 0.57
116,767.00 LEGRAND SA 7,330,632.26 0.42
32,367.00 JC DECAUX SA 1,019,560.50 0.06
30,125.00 ARKEMA SA 3,214,337.50 0.18
33,160.00 KERING 15,309,972.00 0.87
12,993.00 AEROPORTS DE PARIS-ADP- 2,519,342.70 0.14
499,380.00 CREDIT AGRICOLE SA 6,185,320.68 0.35
70,440.00 SCOR SE ACT PROV REGROUPEMENT 2,817,600.00 0.16
34,990.00 EIFFAGE 3,364,638.40 0.19
129,278.00 REXEL SA 1,672,210.93 0.10
13,861.00 HERMES INTERNATIONAL SA 7,909,086.60 0.45
114,005.00 BUREAU VERITAS SA 2,534,331.15 0.14
491,905.00 BNP PARIBAS SA 25,928,312.55 1.47
200,970.00 GETLINK ACT 2,210,670.00 0.13
41,593.00 ATOS 4,263,282.50 0.24
14,081.00 ICADE SA 1,120,847.60 0.06
90,938.00 PUBLICIS GROUPE 4,681,488.24 0.27
163,289.00 SUEZ ACT. 1,998,657.36 0.11
84,124.00 RENAULT SA 6,267,238.00 0.36

The accompanying notes form an integral part of these financial statements

55
AMUNDI INDEX MSCI EMU

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
103,024.00 EDENRED SA 3,382,277.92 0.19 22,496.00 MTU AERO ENGINES HOLDING AG 4,366,473.60 0.25
57,964.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 12,039,122.80 0.68 155,219.00 DEUTSCHE WOHNEN AG 6,413,649.08 0.36
25,764.00 AMUNDI SA 1,662,808.56 0.09 53,972.00 SYMRISE AG 4,243,278.64 0.24
104,884.00 VALEO SA 3,922,661.60 0.22 51,374.00 WIRECARD AG 9,591,525.80 0.55
32,636.00 FAURECIA 1,691,850.24 0.10 963,307.00 E.ON AG REG SHS 8,457,835.46 0.48
3,509.00 SODEXO PRIME DE FIDELITE 2021 320,512.06 0.02 67,015.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 3,886,870.00 0.22
394,533.00 ENGIE (ACT NOM PRIME DE FIDELITE) 4,996,760.45 0.28 81,221.00 VOLKSWAGEN VORZ.AKT 12,313,103.60 0.70
10,820.00 L OREAL (ACT NOM PRIME DE FIDELITE 2019) 2,247,314.00 0.13 408,130.00 BAYER AG REG SHS 31,226,026.30 1.77
4,526.00 SEB ( ACT NOM PRIME DE FIDELITE 2019) 663,511.60 0.04 68,592.00 BRENNTAG - NAMEN AKT 3,646,350.72 0.21
66,835.00 EDF (ACT NOM PRIME DE FIDELITE 2016) 1,010,879.38 0.06 401,970.00 BASF SE REG SHS 30,770,803.50 1.75
114,897.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 13,017,830.10 0.74 82,407.00 ADIDAS NAMEN AKT 17,379,636.30 0.99
34,033.00 SODEXO 3,108,574.22 0.18 83,766.00 K+S 1,514,489.28 0.09
17,725.00 BIOMERIEUX SA 1,272,655.00 0.07 28,515.00 HUGO BOSS AG 1,891,114.80 0.11
287,652.00 ENGIE (PF 2020) 3,643,112.58 0.21 321,449.00 TELEFONICA NAMEN AKT 1,170,395.81 0.07
3,056.00 EDF ACT PRIME DE FIDELITE 46,222.00 0.00 438,474.00 COMMERZBK 3,935,304.15 0.22
135,044.00 EDF PRIME FID 2020 2,042,540.50 0.12 71,380.00 EVONIK INDUSTRIES AG 2,202,073.00 0.13
3,057.00 SEB (PF 2020) 448,156.20 0.03 30,459.00 KION GROUP 1,612,499.46 0.09
28,594.00 L'OREAL SA 5,938,973.80 0.34 44,875.00 OSRAM LICHT 1,537,417.50 0.09
60,519.00 UNIBAIL RODAMCO 10,483,101.18 0.60 212,498.00 VONOVIA SE 8,941,915.84 0.51
Germany 507,752,178.31 28.86 100,162.00 PROSIEBENSAT.1 NAMEN-AKT 2,240,623.94 0.13
50,324.00 ZALANDO SE 1,686,357.24 0.10
1,458,690.00 DEUTSCHE TELEKOM AG REG SHS 20,253,910.65 1.15 84,193.00 COVESTRO AG 5,881,722.98 0.33
497,365.00 INFINEON TECHNOLOGIES REG SHS 9,733,433.05 0.55 70,090.00 SCHAEFFLER 771,690.90 0.04
53,831.00 UNITED INTERNET AG REG SHS 2,193,613.25 0.12 88,089.00 UNIPER NAMEN-AKT. 2,335,239.39 0.13
84,630.00 DEUTSCHE BOERSE AG REG SHS 9,766,302.00 0.56 5,024.00 INNOGY 193,373.76 0.01
432,077.00 DEUTSCHE POST AG REG SHS 13,269,084.67 0.75 40,254.00 DELIVERY HERO SE 1,667,320.68 0.09
226,777.00 RWE AG 4,819,011.25 0.27 76,350.00 METRO WHOLESALE AND FOOD SPECIALIST AG 1,030,725.00 0.06
26,832.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 3,265,454.40 0.19 81,286.00 LINDE AG 16,557,958.20 0.94
17,926.00 FRAPORT AG 1,364,168.60 0.08 65,647.00 SIEMENS HEALTHINEERS 2,486,380.13 0.14
192,674.00 ALLIANZ SE REG SHS 36,993,408.00 2.10 55,760.00 INNOGY SE 2,038,028.00 0.12
144,904.00 BMW AG 11,260,489.84 0.64
Ireland 28,261,936.27 1.61
24,839.00 BMW VORZUG - STIMMRECHTSLOS 1,681,600.30 0.10
43,600.00 BEIERSDORF AG 4,237,048.00 0.24 367,706.00 CRH PLC 10,361,955.08 0.59
48,143.00 CONTINENTAL AG 7,219,042.85 0.41 69,433.00 KERRY GROUP -A- 6,613,493.25 0.38
182,130.00 FRESENIUS SE & CO KGAA 11,517,901.20 0.65 98,624.00 SMURFIT KAPPA PLC 3,359,133.44 0.19
29,831.00 FUCHS PETROLUB AG 1,435,467.72 0.08 37,048.00 PADDY POWER 2,723,028.00 0.15
65,127.00 HEIDELBERGCEMENT AG 4,384,349.64 0.25 65,408.00 RYANAIR HLDGS 858,152.96 0.05
78,480.00 HENKEL AG & CO KGAA 7,930,404.00 0.45 424,930.00 BANK OF IRELAND - REGISTERED 2,802,413.35 0.16
44,957.00 HENKEL KGAA 4,111,317.65 0.23 350,059.00 AIB GRP - REGISTERED 1,543,760.19 0.09
8,605.00 HOCHTIEF AG 1,228,794.00 0.07 Italy 100,658,143.18 5.72
14,981.00 MAN SE 1,402,970.65 0.08
65,445.00 MUENCHENER RUECKVERSICHERUNGS AG REG 12,483,633.75 0.71 1,113,346.00 ENI SPA 18,127,499.57 1.03
SHS 3,559,543.00 ENEL SPA 15,704,703.72 0.89
430,122.00 SAP AG 45,592,932.00 2.58 986,842.00 SNAM SPA 3,541,775.94 0.20
15,566.00 SARTORIUS VORZ.OHNE STIMMRECHT. 2,176,126.80 0.12 74,301.00 LUXOTTICA GROUP SPA 4,348,094.52 0.25
14,556.00 VOLKSWAGEN AG 2,184,855.60 0.12 513,744.00 ASSICURAZIONI GENERALI SPA 7,644,510.72 0.43
77,426.00 GEA GROUP AG 2,375,429.68 0.14 271,507.00 MEDIOBANCA SPA 2,336,046.23 0.13
190,715.00 THYSSENKRUPP AG 4,146,144.10 0.24 6,512,484.00 INTESA SANPAOLO SPA 14,333,977.28 0.81
56,563.00 MERCK KGAA 5,034,107.00 0.29 2,591,237.00 TELECOM ITALIA SPA RISP NON CONV 1,200,779.23 0.07
3,630.00 PUMA AG 1,542,750.00 0.09 4,990,213.00 TELECOM ITALIA SPA 2,609,881.40 0.15
94,394.00 FRESENIUS MEDICAL CARE AG & CO KGAA 8,361,420.52 0.48 216,842.00 ATLANTIA SPA 3,874,966.54 0.22
103,123.00 DEUTSCHE LUFTHANSA AG REG SHS 2,182,082.68 0.12 604,841.00 TERNA SPA 2,782,873.44 0.16
334,801.00 SIEMENS AG REG 36,941,942.34 2.10 44,445.00 RECORDATI SPA 1,296,016.20 0.07
859,293.00 DEUTSCHE BANK AG REG SHS 8,445,131.60 0.48 177,118.00 LEONARDO S.P.A. 1,838,484.84 0.10
23,493.00 1&1 DRILLISCH AKTIENGESELLSCHAFT 984,356.70 0.06 105,124.00 PRYSMIAN SPA 2,108,787.44 0.12
397,980.00 DAIMLER NAMEN-AKT 21,630,213.00 1.23 78,303.00 MONCLER SPA 2,905,041.30 0.17
20,928.00 AXEL SPRINGER NAMEN AKT VINKULIERT 1,212,777.60 0.07 222,070.00 POSTE ITALIANE SPA 1,528,285.74 0.09
38,052.00 LANXESS AG 2,400,320.16 0.14 878,429.00 UNICREDIT -REGISTERD SHARE 11,387,953.56 0.65

The accompanying notes form an integral part of these financial statements

56
AMUNDI INDEX MSCI EMU

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
254,186.00 CAMPARI 1,864,454.31 0.11 66,922.00 INTL CONS AIRLINES GROUP 495,356.64 0.03
169,343.00 PIRELLI & C.SPA 1,224,011.20 0.07 207,913.00 INTL CONS AIRLINES GROUP 1,541,168.39 0.09
Luxembourg 14,793,569.02 0.84 477,399.00 INDITEX SHARE FROM SPLIT 12,464,887.89 0.71
29,541.00 AENA 4,416,379.50 0.25
206,664.00 TENARIS SA - REG.SHS 2,982,161.52 0.17 128,472.00 GRIFOLS SA -A- 3,116,730.72 0.18
156,599.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 2,959,721.10 0.17 4,220.00 GRIFOLS SA -B- 76,972.80 0.00
17,264.00 RTL GROUP 1,060,872.80 0.06 596,036.00 REPSOL SA 10,230,957.94 0.58
290,702.00 ARCELORMITTAL - REGISTERED 7,790,813.60 0.44 189,442.00 RED ELECTRICA 3,417,533.68 0.19
Netherlands 234,380,347.94 13.32 540,594.00 BANKIA BEARER SHS 1,825,585.94 0.10
1,471,494.00 KONINKLIJKE KPN NV 3,343,234.37 0.19 United Kingdom 3,782,072.98 0.21
411,787.00 ROYAL PHILIPS ELECTRONIC 16,156,462.95 0.92 72,258.00 COCA COLA EUROPEAN PARTNERS (038) 2,818,062.00 0.16
29,247.00 STMICROELECTRONICS NV 458,300.49 0.03 24,625.00 COCA COLA EUROPEAN PARTNERS PLC 964,010.98 0.05
254,808.00 AIRBUS GROUP 27,565,129.44 1.57
0.14 Total securities portfolio
1,751,704,888.40 99.56
53,235.00 RANDSTAD BR 2,447,745.30
110,559.00 AKZO NOBEL NV 8,904,421.86 0.51
113,439.00 HEINEKEN NV 9,161,333.64 0.52
50,422.00 HEINEKEN HOLDING 3,932,916.00 0.22
269,632.00 STMICROELECTRONICS NV 4,226,481.60 0.24
79,400.00 DSM KONINKLIJKE 7,244,456.00 0.41
779,583.00 AEGON NV 4,356,309.81 0.25
675,403.00 UNILEVER NV 32,395,704.90 1.83
127,057.00 WOLTERS KLUWER 6,820,419.76 0.39
54,817.00 AERCAP HOLDINGS 2,714,656.77 0.15
31,364.00 KONINKLIJKE VOPAK 1,331,088.16 0.08
150,396.00 NXP SEMICONDUCTORS 11,070,906.59 0.63
179,388.00 ASML HLDG 28,863,529.20 1.63
445,588.00 CNH INDUSTRIAL NV 4,611,835.80 0.26
131,783.00 NN GROUP NV 5,064,420.69 0.29
471,812.00 FIAT CHRYSLER AUTOMOBILES -A- 7,145,120.93 0.41
185,125.00 ABN AMRO GROUP DEP RECEIPT 4,341,181.25 0.25
53,664.00 FERRARI 6,364,550.40 0.36
548,457.00 KONINKLIJKE AHOLD NV 10,832,025.75 0.62
1,703,046.00 ING GROEP 19,046,866.46 1.08
46,621.00 EXOR REG 2,695,626.22 0.15
100,786.00 QIAGEN REGD EUR 3,285,623.60 0.19
Portugal 8,768,336.03 0.50

106,566.00 JERONIMO MARTINS SGPS SA 1,351,789.71 0.08


1,136,603.00 EDP-ENERGIAS REG.SHS 3,612,124.33 0.21
222,611.00 GALP ENERGIA SA REG SHS -B- 3,804,421.99 0.21
Spain 160,781,105.19 9.14

139,008.00 ENDESA 2,586,938.88 0.15


7,061,957.00 BANCO SANTANDER SA REG SHS 30,617,114.57 1.75
153,282.00 NATURGY ENERGY GROUP SA 3,603,659.82 0.20
2,045,094.00 TELEFONICA S A 13,943,450.89 0.79
2,918,188.00 BANCO BILBAO VIZCAYA ARGENT SA REG 16,020,852.12 0.91
99,258.00 ENAGAS 2,307,748.50 0.13
108,975.00 GAMESA CORPORACION TECNOLOGICA SA 1,187,827.50 0.07
111,868.00 ACS 4,103,318.24 0.23
210,101.00 FERROVIAL SA 3,754,504.87 0.21
461,688.00 MAPFRE REG-SHS 1,247,480.98 0.07
2,498,584.00 BANCO SABADELL REG.SHS 3,345,603.98 0.19
301,531.00 BANKINTER REG.SHS 2,391,743.89 0.14
2,608,424.00 IBERDROLA S A 16,532,191.31 0.95
1,570,659.00 CAIXABANK 6,185,255.14 0.35
192,050.00 AMADEUS IT -A- 15,367,841.00 0.87

The accompanying notes form an integral part of these financial statements

57
AMUNDI INDEX MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
28,099.00 ELISA CORPORATION -A- 1,026,456.47 0.07
Long positions 1,505,271,308.90 98.75
17,277.00 METSO CORP 527,639.58 0.03
Other transferable securities 769,392.11 0.05 86,788.00 FORTUM CORP 1,873,752.92 0.12
63,056.00 KONE -B- 2,901,837.12 0.19
Shares 769,392.11 0.05
22,629.00 NESTE 1,611,184.80 0.11
France 765,703.22 0.05 16,081.00 ORION CORPORATION (NEW) -B- 524,562.22 0.03
8,383.00 SODEXO - REGISTERED SHS FROM PREMIUM O 765,703.22 0.05 France 246,436,995.25 16.17
Portugal 3,688.89 0.00 102,072.00 VEOLIA ENVIRONNEMENT SA 1,754,617.68 0.12
368,889.00 BANCO ESPIRIT SANTO 3,688.89 0.00 193,891.00 VIVENDI SA 4,298,563.47 0.28
Transferable securities admitted to an official stock exchange 1,504,501,916.79 98.70 14,564.00 JC DECAUX SA 458,766.00 0.03
listing 14,399.00 KERING 6,648,018.30 0.44
Shares 1,504,501,916.79 98.70 211,502.00 CREDIT AGRICOLE SA 2,619,663.77 0.17
Austria 6,021,564.64 0.40 14,138.00 EIFFAGE 1,359,510.08 0.09
6,051.00 HERMES INTERNATIONAL SA 3,452,700.60 0.23
13,777.00 ANDRITZ AG 692,294.25 0.05
214,608.00 BNP PARIBAS SA 11,311,987.68 0.74
24,288.00 VOESTALPINE AG 956,947.20 0.06
19,593.00 ATOS 2,008,282.50 0.13
61,763.00 ERSTE GROUP BANK AG 2,209,880.14 0.15
37,125.00 PUBLICIS GROUPE 1,911,195.00 0.13
32,298.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 800,990.40 0.05
34,849.00 RENAULT SA 2,596,250.50 0.17
28,135.00 OMV AG 1,361,452.65 0.09
29,429.00 AIR LIQUIDE NOM. PRIME FIDELITE 3,334,305.70 0.22
Belgium 24,548,240.63 1.61 24,971.00 DASSAULT SYSTEMES SA 3,215,016.25 0.21
16,624.00 GROUPE BRUXELLES LAMBERT GBL 1,501,147.20 0.10 38,337.00 ACCOR SA 1,695,262.14 0.11
47,538.00 KBC GROUPE SA 3,047,185.80 0.20 162,779.00 BOLLORE INVESTISSEMENT 605,537.88 0.04
14,076.00 SOLVAY 1,625,778.00 0.11 36,228.00 KLEPIERRE SA 1,106,040.84 0.07
24,830.00 UCB 1,921,842.00 0.13 370,454.00 AXA SA 8,576,010.10 0.56
36,356.00 PROXIMUS SA 748,206.48 0.05 45,836.00 BOUYGUES 1,706,474.28 0.11
13,292.00 TELENET GROUP HOLDING NV 630,306.64 0.04 118,051.00 DANONE 7,874,001.70 0.52
8,764.00 COLRUYT 427,245.00 0.03 30,746.00 CAPGEMINI SE 3,332,866.40 0.22
37,757.00 AGEAS NOM 1,748,526.67 0.11 110,936.00 CARREFOUR SA 1,830,444.00 0.12
145,486.00 AB INBEV 10,943,456.92 0.71 196,018.00 NATIXIS SA 1,145,529.19 0.08
40,576.00 UMICORE SA 1,954,545.92 0.13 99,207.00 CIE DE SAINT-GOBAIN 3,685,044.02 0.24
13,524.00 UBISOFT ENTERTAINMENT 1,263,412.08 0.08
Denmark 40,362,865.47 2.65
31,422.00 MICHELIN SA REG SHS 3,234,894.90 0.21
37,276.00 VESTAS WIND SYSTEMS AS 2,171,402.91 0.14 10,538.00 INGENICO GROUP 689,606.72 0.05
12,379.00 GENMAB AS 1,676,595.25 0.11 450.00 DASSAULT AVIATION SA 717,300.00 0.05
137,414.00 DANSKE BANK 3,108,618.03 0.20 39,747.00 ESSILOR INTERNATIONAL SA 5,065,755.15 0.33
12,571.00 H. LUNDBECK 668,733.88 0.04 9,600.00 CASINO GUICHARD PERRACHON SA 347,712.00 0.02
20,099.00 CARLSBERG AS -B- 2,076,404.79 0.14 3,980.00 REMY COINTREAU 446,556.00 0.03
1,254.00 A.P. MOELLER-MAERSK -B- A/S 1,516,789.69 0.10 4,891.00 IMERYS SA 311,067.60 0.02
764.00 A.P. MOELLER-MAERSK -A- 863,146.60 0.06 52,377.00 AIR LIQUIDE SA 5,934,314.10 0.39
34,951.00 DSV 2,737,119.45 0.18 30,417.00 L'OREAL SA 6,317,610.90 0.41
20,556.00 CHRISTIAN HANSEN 1,797,245.91 0.12 4,626.00 WENDEL SA 593,053.20 0.04
20,386.00 PANDORA 1,096,493.29 0.07 53,738.00 LVMH 16,368,594.80 1.07
43,237.00 NOVOZYMES -B- 2,044,368.40 0.13 40,543.00 PERNOD RICARD SA 5,728,725.90 0.38
22,488.00 COLOPLAST -B- 1,980,638.76 0.13 115,287.00 PEUGEOT SA 2,678,117.01 0.18
351,884.00 NOVO NORDISK 14,269,297.88 0.94 96,067.00 VINCI SA 7,879,415.34 0.52
27,715.00 ISS A/S 839,932.95 0.06 2,496.00 SEB SA 365,913.60 0.02
27,969.00 TRYG A/S 599,717.46 0.04 104,709.00 SCHNEIDER ELECTRIC SE 7,256,333.70 0.48
23,654.00 WILLIAM DEMANT HOLDINGS A/S 765,707.94 0.05 5,791.00 BIC(SOCIETE) - ACT PORTEUR/NOM 456,620.35 0.03
36,759.00 ORSTED 2,150,652.28 0.14 10,953.00 EURAZEO 743,161.05 0.05
Finland 25,298,881.88 1.66 151,389.00 SOCIETE GENERALE SA 5,596,851.33 0.37
11,059.00 TELEPERFORMANCE SA 1,797,087.50 0.12
112,719.00 STORA ENSO -R- 1,857,045.53 0.12 21,071.00 THALES 2,578,036.85 0.17
101,215.00 UPM KYMMENE CORP 3,421,067.00 0.22 460,019.00 TOTAL SA 25,687,460.96 1.68
26,439.00 NOKIAN TYRES PLC 933,032.31 0.06 215,495.00 SANOFI 16,498,297.20 1.08
1,106,113.00 NOKIA OYJ 5,283,901.80 0.36 1,979.00 EUROFINS SCIENTIFIC 967,731.00 0.06
88,055.00 SAMPO OYJ -A- 3,927,253.00 0.26 380,927.00 ORANGE 5,232,032.35 0.34
84,047.00 WARTSILA CORPORATION -B- 1,411,149.13 0.09

The accompanying notes form an integral part of these financial statements

58
AMUNDI INDEX MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
63,701.00 SAFRAN 7,688,710.70 0.50 35,152.00 GEA GROUP AG 1,078,463.36 0.07
31,282.00 CNP ASSURANCES 649,414.32 0.04 90,662.00 THYSSENKRUPP AG 1,970,991.88 0.13
8,026.00 GECINA SA REG SHS 1,154,138.80 0.08 24,494.00 MERCK KGAA 2,179,966.00 0.14
5,498.00 ILIAD SA 618,525.00 0.04 1,758.00 PUMA AG 747,150.00 0.05
7,411.00 COVIVIO SA 665,137.25 0.04 39,705.00 FRESENIUS MEDICAL CARE AG & CO KGAA 3,517,068.90 0.23
229,556.00 ENGIE 2,907,326.74 0.19 39,330.00 DEUTSCHE LUFTHANSA AG REG SHS 832,222.80 0.05
27,200.00 ALSTOM SA 1,046,928.00 0.07 146,067.00 SIEMENS AG REG 16,117,032.78 1.06
101,789.00 EDF SA 1,539,558.63 0.10 374,892.00 DEUTSCHE BANK AG REG SHS 3,684,438.58 0.24
40,562.00 EUTELSAT COMMUNICATIONS SA 825,842.32 0.05 9,995.00 1&1 DRILLISCH AKTIENGESELLSCHAFT 418,790.50 0.03
6,515.00 IPSEN 943,372.00 0.06 176,315.00 DAIMLER NAMEN-AKT 9,582,720.25 0.63
51,150.00 LEGRAND SA 3,211,197.00 0.21 7,095.00 AXEL SPRINGER NAMEN AKT VINKULIERT 411,155.25 0.03
13,329.00 ARKEMA SA 1,422,204.30 0.09 18,261.00 LANXESS AG 1,151,903.88 0.08
5,135.00 AEROPORTS DE PARIS-ADP- 995,676.50 0.07 9,970.00 MTU AERO ENGINES HOLDING AG 1,935,177.00 0.13
28,909.00 SCOR SE ACT PROV REGROUPEMENT 1,156,360.00 0.08 65,169.00 DEUTSCHE WOHNEN AG 2,692,783.08 0.18
54,660.00 REXEL SA 707,027.10 0.05 23,361.00 SYMRISE AG 1,836,641.82 0.12
52,274.00 BUREAU VERITAS SA 1,162,051.02 0.08 23,295.00 WIRECARD AG 4,349,176.50 0.29
82,848.00 GETLINK ACT 911,328.00 0.06 420,271.00 E.ON AG REG SHS 3,689,979.38 0.24
5,004.00 ICADE SA 398,318.40 0.03 29,037.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 1,684,146.00 0.11
62,870.00 SUEZ ACT. 769,528.80 0.05 35,489.00 VOLKSWAGEN VORZ.AKT 5,380,132.40 0.35
42,475.00 EDENRED SA 1,394,454.25 0.09 180,636.00 BAYER AG REG SHS 13,820,460.36 0.91
17,689.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 3,674,005.30 0.24 30,056.00 BRENNTAG - NAMEN AKT 1,597,776.96 0.10
12,509.00 AMUNDI SA 807,330.86 0.05 175,371.00 BASF SE REG SHS 13,424,650.05 0.88
49,593.00 VALEO SA 1,854,778.20 0.12 35,952.00 ADIDAS NAMEN AKT 7,582,276.80 0.50
11,837.00 FAURECIA 613,630.08 0.04 33,784.00 K+S 610,814.72 0.04
6,478.00 SODEXO PRIME DE FIDELITE 2021 591,700.52 0.04 12,767.00 HUGO BOSS AG 846,707.44 0.06
119,183.00 ENGIE (ACT NOM PRIME DE FIDELITE) 1,509,452.70 0.10 110,864.00 TELEFONICA NAMEN AKT 403,655.82 0.03
1,784.00 SEB ( ACT NOM PRIME DE FIDELITE 2019) 261,534.40 0.02 177,014.00 COMMERZBK 1,588,700.65 0.10
20,678.00 EDF (ACT NOM PRIME DE FIDELITE 2016) 312,754.75 0.02 34,971.00 EVONIK INDUSTRIES AG 1,078,855.35 0.07
2,907.00 SODEXO 265,525.38 0.02 13,982.00 KION GROUP 740,207.08 0.05
7,345.00 BIOMERIEUX SA 527,371.00 0.03 19,418.00 OSRAM LICHT 665,260.68 0.04
26,383.00 UNIBAIL RODAMCO 4,570,063.26 0.30 93,793.00 VONOVIA SE 3,946,809.44 0.26
Germany 224,344,091.17 14.72 44,880.00 PROSIEBENSAT.1 NAMEN-AKT 1,003,965.60 0.07
19,104.00 ZALANDO SE 640,175.04 0.04
647,020.00 DEUTSCHE TELEKOM AG REG SHS 8,983,872.70 0.59 76,204.00 TUI AG REG SHS 1,260,298.57 0.08
211,266.00 INFINEON TECHNOLOGIES REG SHS 4,134,475.62 0.27 37,560.00 COVESTRO AG 2,623,941.60 0.17
26,091.00 UNITED INTERNET AG REG SHS 1,063,208.25 0.07 24,986.00 SCHAEFFLER 275,095.86 0.02
36,038.00 DEUTSCHE BOERSE AG REG SHS 4,158,785.20 0.27 43,020.00 UNIPER NAMEN-AKT. 1,140,460.20 0.07
192,410.00 DEUTSCHE POST AG REG SHS 5,908,911.10 0.39 20,132.00 DELIVERY HERO SE 833,867.44 0.05
98,938.00 RWE AG 2,102,432.50 0.14 40,180.00 METRO WHOLESALE AND FOOD SPECIALIST AG 542,430.00 0.04
12,806.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 1,558,490.20 0.10 35,463.00 LINDE AG 7,223,813.10 0.47
9,466.00 FRAPORT AG 720,362.60 0.05 26,476.00 SIEMENS HEALTHINEERS 1,002,778.50 0.07
84,060.00 ALLIANZ SE REG SHS 16,139,520.00 1.06 27,493.00 INNOGY SE 1,004,869.15 0.07
65,262.00 BMW AG 5,071,510.02 0.33
Ireland 13,516,666.55 0.89
9,709.00 BMW VORZUG - STIMMRECHTSLOS 657,299.30 0.04
19,888.00 BEIERSDORF AG 1,932,715.84 0.13 160,181.00 CRH PLC 4,513,900.58 0.30
20,578.00 CONTINENTAL AG 3,085,671.10 0.20 29,459.00 KERRY GROUP -A- 2,805,969.75 0.18
79,436.00 FRESENIUS SE & CO KGAA 5,023,532.64 0.33 39,949.00 SMURFIT KAPPA PLC 1,360,662.94 0.09
15,930.00 FUCHS PETROLUB AG 766,551.60 0.05 20,861.00 DCC PLC 1,631,357.60 0.11
30,529.00 HEIDELBERGCEMENT AG 2,055,212.28 0.13 16,152.00 PADDY POWER 1,187,172.00 0.08
33,452.00 HENKEL AG & CO KGAA 3,380,324.60 0.22 20,239.00 RYANAIR HLDGS 265,535.68 0.02
21,377.00 HENKEL KGAA 1,954,926.65 0.13 171,476.00 BANK OF IRELAND - REGISTERED 1,130,884.22 0.07
3,387.00 HOCHTIEF AG 483,663.60 0.03 140,858.00 AIB GRP - REGISTERED 621,183.78 0.04
5,703.00 MAN SE 534,085.95 0.04 Isle of Man 969,052.83 0.06
29,475.00 MUENCHENER RUECKVERSICHERUNGS AG REG 5,622,356.25 0.37
SHS 93,967.00 GVC HOLDINGS PLC 969,052.83 0.06
189,092.00 SAP AG 20,043,752.00 1.31 Italy 43,500,606.57 2.85
6,306.00 SARTORIUS VORZ.OHNE STIMMRECHT. 881,578.80 0.06
6,416.00 VOLKSWAGEN AG 963,041.60 0.06 485,730.00 ENI SPA 7,908,655.86 0.53

The accompanying notes form an integral part of these financial statements

59
AMUNDI INDEX MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,552,955.00 ENEL SPA 6,851,637.46 0.45 741,954.00 ING GROEP 8,298,013.54 0.54
393,597.00 SNAM SPA 1,412,619.63 0.09 21,008.00 EXOR REG 1,214,682.56 0.08
32,414.00 LUXOTTICA GROUP SPA 1,896,867.28 0.12 43,525.00 QIAGEN REGD EUR 1,418,915.00 0.09
216,127.00 ASSICURAZIONI GENERALI SPA 3,215,969.76 0.21 Norway 18,647,235.52 1.22
131,856.00 MEDIOBANCA SPA 1,134,489.02 0.07
2,841,264.00 INTESA SANPAOLO SPA 6,253,622.06 0.41 187,150.00 DNB 3,388,462.90 0.22
1,113,926.00 TELECOM ITALIA SPA RISP NON CONV 516,193.31 0.03 136,857.00 TELENOR ASA 2,302,075.27 0.15
1,972,354.00 TELECOM ITALIA SPA 1,031,541.14 0.07 76,955.00 MARINE HARVEST 1,534,071.86 0.10
87,846.00 ATLANTIA SPA 1,569,808.02 0.10 260,537.00 NORSK HYDRO ASA 1,345,876.45 0.09
271,115.00 TERNA SPA 1,247,400.12 0.08 156,397.00 ORKLA ASA 1,136,963.73 0.07
15,250.00 RECORDATI SPA 444,690.00 0.03 31,588.00 YARA INTERNATIONAL ASA 1,334,868.86 0.09
89,448.00 LEONARDO S.P.A. 928,470.24 0.06 25,005.00 AKER BP SHS 913,127.70 0.06
46,445.00 PRYSMIAN SPA 931,686.70 0.06 29,169.00 GJENSIDIGE FORSIKRING ASA 423,114.56 0.03
31,722.00 MONCLER SPA 1,176,886.20 0.08 24,053.00 SCHIBSTED -B- 717,134.61 0.05
107,953.00 POSTE ITALIANE SPA 742,932.55 0.05 228,796.00 EQUINOR 5,551,539.58 0.36
372,894.00 UNICREDIT -REGISTERD SHARE 4,834,197.82 0.32 Portugal 3,827,182.06 0.25
121,381.00 CAMPARI 890,329.64 0.06
51,222.00 JERONIMO MARTINS SGPS SA 649,751.08 0.04
70,920.00 PIRELLI & C.SPA 512,609.76 0.03
454,081.00 EDP-ENERGIAS REG.SHS 1,443,069.42 0.09
Jersey Island 29,205,921.82 1.92 101,484.00 GALP ENERGIA SA REG SHS -B- 1,734,361.56 0.12
182,565.00 EXPERIAN GROUP 4,039,121.24 0.26 Spain 70,843,179.32 4.65
18,323.00 RANDGOLD RESSOURCES LTD 1,121,207.55 0.07
62,314.00 ENDESA 1,159,663.54 0.08
178,213.00 SHIRE 9,251,308.67 0.62
3,080,987.00 BANCO SANTANDER SA REG SHS 13,357,619.14 0.88
242,844.00 WPP 2012 PLC 3,066,053.75 0.20
67,538.00 NATURGY ENERGY GROUP SA 1,587,818.38 0.10
2,245,894.00 GLENCORE PLC 8,364,262.50 0.55
912,753.00 TELEFONICA S A 6,223,149.95 0.41
45,988.00 FERGUSON 3,363,968.11 0.22
1,262,594.00 BANCO BILBAO VIZCAYA ARGENT SA REG 6,931,641.06 0.45
Luxembourg 7,182,378.40 0.47 49,801.00 ENAGAS 1,157,873.25 0.08
90,982.00 TENARIS SA - REG.SHS 1,312,870.26 0.09 46,167.00 GAMESA CORPORACION TECNOLOGICA SA 503,220.30 0.03
15,700.00 MILLICOM INTERNATIONAL CELLULAR SA-SDR- 775,918.49 0.05 47,306.00 ACS 1,735,184.08 0.11
64,587.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 1,220,694.30 0.08 93,960.00 FERROVIAL SA 1,679,065.20 0.11
7,487.00 RTL GROUP 460,076.15 0.03 235,784.00 MAPFRE REG-SHS 637,088.37 0.04
127,344.00 ARCELORMITTAL - REGISTERED 3,412,819.20 0.22 1,149,025.00 BANCO SABADELL REG.SHS 1,538,544.48 0.10
132,501.00 BANKINTER REG.SHS 1,050,997.93 0.07
Netherlands 102,692,236.88 6.74
1,138,002.00 IBERDROLA S A 7,212,656.68 0.47
636,125.00 KONINKLIJKE KPN NV 1,445,276.00 0.09 685,957.00 CAIXABANK 2,701,298.67 0.18
179,654.00 ROYAL PHILIPS ELECTRONIC 7,048,724.69 0.46 83,787.00 AMADEUS IT -A- 6,704,635.74 0.44
51,918.00 STMICROELECTRONICS NV 813,555.06 0.05 136,857.00 INTL CONS AIRLINES GROUP 1,013,015.51 0.07
110,918.00 AIRBUS GROUP 11,999,109.24 0.79 204,321.00 INDITEX SHARE FROM SPLIT 5,334,821.31 0.35
23,183.00 RANDSTAD BR 1,065,954.34 0.07 13,077.00 AENA 1,955,011.50 0.13
47,405.00 AKZO NOBEL NV 3,817,998.70 0.25 58,438.00 GRIFOLS SA -A- 1,417,705.88 0.09
48,293.00 HEINEKEN NV 3,900,142.68 0.26 4,410.00 GRIFOLS SA -B- 80,438.40 0.01
22,007.00 HEINEKEN HOLDING 1,716,546.00 0.11 260,038.00 REPSOL SA 4,463,552.27 0.29
86,982.00 STMICROELECTRONICS NV 1,363,442.85 0.09 90,949.00 RED ELECTRICA 1,640,719.96 0.11
36,424.00 DSM KONINKLIJKE 3,323,325.76 0.22 224,299.00 BANKIA BEARER SHS 757,457.72 0.05
340,116.00 AEGON NV 1,900,568.21 0.12 Sweden 64,575,915.79 4.24
294,664.00 UNILEVER NV 14,133,558.76 0.94
56,884.00 WOLTERS KLUWER 3,053,533.12 0.20 215,708.00 SANDVIK AB 3,294,248.22 0.22
27,072.00 AERCAP HOLDINGS 1,340,664.18 0.09 522,894.00 TELIA COMPANY AB 2,066,366.53 0.14
15,624.00 KONINKLIJKE VOPAK 663,082.56 0.04 34,588.00 LUNDIN PETROL 1,139,148.81 0.07
64,470.00 NXP SEMICONDUCTORS 4,745,746.88 0.31 172,836.00 SWEDBANK -A- 3,686,119.46 0.24
79,110.00 ASML HLDG 12,728,799.00 0.84 34,977.00 SWEDISH MATCH 1,540,687.84 0.10
195,282.00 CNH INDUSTRIAL NV 2,021,168.70 0.13 48,028.00 HEXAGON -B- 2,422,439.43 0.16
57,749.00 NN GROUP NV 2,219,294.07 0.15 52,071.00 ELECTROLUX -B- FREE 988,035.82 0.06
196,954.00 FIAT CHRYSLER AUTOMOBILES -A- 2,982,671.38 0.20 63,189.00 SKANSKA -B- FREE 1,067,780.62 0.07
80,766.00 ABN AMRO GROUP DEP RECEIPT 1,893,962.70 0.12 31,541.00 INDUSTRIVAERDEN -C- FREE 603,063.80 0.04
24,239.00 FERRARI 2,874,745.40 0.19 77,040.00 SKF AB -B- 1,307,804.26 0.09
238,418.00 KONINKLIJKE AHOLD NV 4,708,755.50 0.31 309,071.00 VOLVO AB -B- 4,700,619.98 0.31

The accompanying notes form an integral part of these financial statements

60
AMUNDI INDEX MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
168,816.00 HENNES AND MAURITZ AB 2,684,189.93 0.18 101,644.00 CIE FINANCIERE RICHEMONT NAMEN AKT 7,167,176.41 0.47
90,840.00 INVESTOR -B- FREE 3,611,790.31 0.24 738,947.00 UBS GROUP NAMEN-AKT 10,095,349.25 0.66
13,116.00 LUNDBERGFOERETAGEN -B- FREE 380,420.50 0.02 9,646.00 VIFOR PHARMA - REGISTERED 1,446,623.68 0.09
306,341.00 SKANDINAVISKA ENSKILDA BANKEN -A- 2,943,151.25 0.19 24,786.00 SIKA - REGISTERED SHS 3,121,871.59 0.20
574,636.00 TELEFON AB L.M.ERICSSON 4,388,139.56 0.29 United Kingdom 384,026,177.30 25.18
63,806.00 SECURITAS -B- FREE 955,900.91 0.06
598,630.00 NORDEA BANK 5,613,369.65 0.37 3,840,731.00 HSBC HOLDINGS PLC 28,883,642.55 1.90
59,169.00 ALFA LAVAL 1,380,485.89 0.09 21,490.00 SCHRODERS 746,775.39 0.05
18,737.00 ICA GRUPPEN AB 511,528.54 0.03 955,211.00 GLAXOSMITHKLINE PLC 16,481,988.04 1.08
65,641.00 HUSQVARNA -B- 481,051.72 0.03 172,535.00 SMITH AND NEPHEW PLC 2,711,084.41 0.18
77,542.00 TELE2 AB 803,232.89 0.05 556,129.00 STANDARD CHARTERED PLC 3,973,732.62 0.26
293,073.00 SHB -A- 3,184,805.11 0.21 1,579,771.00 BT GROUP PLC 3,996,209.58 0.26
191,748.00 ASSA ABLOY -B- NEW I 3,316,305.75 0.22 13,763,960.00 LLOYDS BANKING GROUP PLC 9,159,489.24 0.60
45,011.00 KINNEVIK AB -B- 1,172,608.56 0.08 281,044.00 MARKS AND SPENCER GROUP PLC 911,306.41 0.06
110,837.00 ESSITY REGISTERED -B- 2,397,113.68 0.16 42,524.00 WEIR GROUP PLC 841,742.68 0.06
122,658.00 ATLAS COPCO --- REGISTERED SHS -A- 3,042,255.64 0.20 137,211.00 HAMMERSON PLC 703,579.00 0.05
67,499.00 EPIROC -REGISTERED SHS 597,914.57 0.04 197,038.00 BRITISH SKY BROADCASTING GROUP 3,825,057.00 0.25
122,658.00 EPIROC- REGISTERED SHS 1,179,141.24 0.08 93,962.00 ASHTEAD GROUP 2,570,991.90 0.17
81,319.00 ATLAS COPCO --- REGISTERED SHS -B- 1,866,963.63 0.12 173,994.00 BARRATT DEVELOPMENTS PLC 1,107,669.66 0.07
52,053.00 BOLIDEN -REGISTERED SHS 1,249,231.69 0.08 165,020.00 BRITISH LAND CO PLC REIT 1,142,809.59 0.07
749,986.00 AVIVA PLC 4,121,912.61 0.27
Switzerland 198,502,724.71 13.02
199,097.00 SSE PLC 2,561,782.54 0.17
1,760.00 GIVAUDAN SA REG.SHS 3,743,228.58 0.25 162,635.00 MEGGITT PLC 1,034,261.09 0.07
20.00 CHOCOLADEFABRIKEN LINDT.SPRUENGLI NOM. 1,419,064.83 0.09 453,590.00 MORRISON SUPERMARKETS PLC 1,321,071.64 0.09
215.00 CHOCOLADEFAB.LINDT.SPRUENGLI PARTIZIPSCH 1,303,776.83 0.09 139,592.00 PEARSON PLC 1,394,901.26 0.09
28,897.00 ZURICH INSURANCE GROUP NAMEN AKT 7,900,797.14 0.52 64,538.00 PERSIMMON PLC 1,713,718.86 0.11
134,145.00 ROCHE HOLDING AG GENUSSSCHEIN 28,110,681.55 1.84 494,000.00 PRUDENTIAL PLC 9,759,086.06 0.64
417,747.00 NOVARTIS AG REG SHS 31,076,503.28 2.05 565,981.00 TAYLOR WIMPEY PLC 1,091,736.78 0.07
351,883.00 ABB LTD REG SHS 7,192,425.87 0.47 1,930,998.00 TESCO PLC 5,199,049.23 0.34
28,700.00 ADECCO REG.SHS 1,303,775.07 0.09 36,622.00 TRAVIS PERKINS 438,115.32 0.03
35,408.00 CLARIANT NAMEN AKT 797,074.02 0.05 1,142,392.00 LEGAL GENERAL GROUP PLC 3,363,107.64 0.22
93,083.00 LAFARGEHOLCIM N NAMEN-AKT. 3,975,030.93 0.26 91,517.00 ST JAME'S PLACE CAPITAL 1,175,494.84 0.08
10,677.00 TEMENOS AG NAM.AKT 1,498,196.11 0.10 182,104.00 IMPERIAL BRANDS - REGISTERED 5,461,177.61 0.36
2,054.00 STRAUMANN HOLDING REG 1,336,082.14 0.09 73,801.00 ASSOCIATED BRITISH FOODS PLC 1,897,538.76 0.12
9,521.00 BALOISE HOLDING REG.SHS 1,256,263.45 0.08 469,735.00 DIAGEO PLC 14,340,194.97 0.94
10,089.00 SONOVA HOLDING NAM-AKT 1,736,707.68 0.11 593,880.00 BAE SYSTEMS PLC 4,199,468.07 0.28
12,160.00 THE SWATCH GROUP REG 819,919.79 0.05 437,940.00 BRITISH AMERICAN TOBACCO PLC 17,625,284.12 1.16
5,912.00 THE SWATCH GROUP 2,033,805.12 0.13 244,119.00 ASTRAZENECA PLC 16,344,036.34 1.07
485,619.00 CREDIT SUISSE GROUP AG REG SHS 6,313,410.82 0.41 3,258,102.00 BARCLAYS PLC 6,283,913.57 0.41
1,059.00 SGS SA REG SHS 2,411,930.71 0.16 33,420.00 INTERTEK GROUP PLC 1,873,156.01 0.12
4,859.00 SWISSCOM SHS NOM 1,907,539.20 0.13 85,887.00 BURBERRY GROUP PLC 1,943,101.16 0.13
520.00 BARRY CALLEBAUT - NAMEN-AKT 852,496.58 0.06 29,463.00 NEXT PLC 1,817,433.58 0.12
13,784.00 LONZA GROUP (CHF) 4,070,018.95 0.27 37,475.00 CARNIVAL PLC 2,004,501.21 0.13
6,212.00 SWISS LIFE HOLDING N-NAMEN REGISTERED 2,036,811.07 0.13 374,800.00 KINGFISHER PLC 1,085,705.94 0.07
1,423.00 EMS-CHEM HOLDINGS-NAMEN ACT. 733,731.44 0.05 626,677.00 ITV PLC 1,110,660.35 0.07
16,579.00 SWISS PRIME SITE AG-NAMEN AKT 1,222,364.24 0.08 310,669.00 J SAINSBURY PLC 1,122,475.54 0.07
7,602.00 PARGESA HOLDING SA 528,330.79 0.03 273,869.00 GROUP 4 SECURICOR 744,134.04 0.05
6,179.00 DUFRY GROUP 602,623.37 0.04 40,916.00 ADMIRAL GROUP PLC 955,541.23 0.06
7,825.00 SCHINDLER HOLDING SA 1,687,008.06 0.11 1,165,376.00 CENTRICA PLC NEW 2,026,797.75 0.13
4,287.00 SCHINDLER HOLDING NAMEN AKT 894,770.26 0.06 69,996.00 BUNZL PLC 1,896,371.73 0.12
3,540.00 PARTNERS GROUP HLDG NAMEN AKT 2,429,059.98 0.16 44,965.00 BABCOCK INTERNATIONAL GROUP PLC 365,010.89 0.02
11,117.00 KUEHNE + NAGEL INTERNATIONAL AG 1,523,682.07 0.10 59,853.00 LSE GROUP 3,081,859.97 0.20
7,270.00 GEBERIT AG 2,916,842.80 0.19 235,190.00 UNILEVER PLC 11,133,004.43 0.73
598,752.00 NESTLE SA REG SHS 43,180,017.31 2.84 136,987.00 INVESTEC 829,935.28 0.05
45,953.00 JULIUS BAER GROUP NAMEN AKT 1,989,116.24 0.13 41,702.00 SEVERN TRENT PLC 865,738.48 0.06
60,051.00 SWISS RE NAMEN AKT 4,795,399.59 0.31 35,193.00 WHITBREAD 1,863,867.75 0.12
36,581.00 COCA COLA HBC NAMEN 1,073,217.91 0.07 50,458.00 HARGREAVES LANS - REGISTERED SHS 1,266,194.69 0.08

The accompanying notes form an integral part of these financial statements

61
AMUNDI INDEX MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
84,221.00 SMITHS GROUP -SHS- 1,414,163.88 0.09
200,749.00 3I GROUP PLC 2,121,427.71 0.14
69,548.00 MONDI PLC 1,642,946.07 0.11
127,664.00 RECKITT BENCKISER GROUP PLC 10,056,594.89 0.66
385,495.00 RELX PLC 6,994,441.36 0.46
36,342.00 FRESNILLO PLC 335,163.30 0.02
117,952.00 UNITED UTILITIES GROUP PLC 932,332.66 0.06
195,906.00 SEGRO (REIT) 1,402,895.04 0.09
313,327.00 ROLLS ROYCE HOLDINGS 3,473,632.52 0.23
120,157.00 JOHN WOOD GROUP 1,040,960.44 0.07
22,253.00 THE BERKELEY GR 919,202.68 0.06
29,923.00 EASYJET PLC 441,462.11 0.03
916,313.00 ROYAL BANK OF SCOTLAND 2,572,034.47 0.17
18,435.00 NMC HEALTH PLC 702,502.55 0.05
187,042.00 SAGE GROUP 1,231,476.21 0.08
63,273.00 MEDICLINIC INTERNATIONAL PLC 304,767.50 0.02
155,680.00 ROYAL MAIL 833,940.70 0.05
158,611.00 MERLIN ENTERTAINMENTS PLC 713,050.51 0.05
5,195,061.00 VODAFONE GROUP 9,595,099.48 0.63
181,937.00 RSA INSURANCE GROUP PLC 1,174,577.84 0.08
237,669.00 INFORMA PLC 2,033,922.55 0.13
554,171.00 STANDARD LIFE NEW 1,903,339.24 0.12
177,923.00 AUTO TRADER GROUP PLC 892,162.04 0.06
271,122.00 DIRECT LINE INS GR PLC NI 985,981.20 0.06
895,006.00 MELROSE INDUSTRIES PLC 2,008,776.72 0.13
37,074.00 JOHNSON MATTHEY 1,482,710.25 0.10
715,152.00 ROYAL DUTCH SHELL PLC -B- 21,591,463.85 1.42
3,803,197.00 BP PLC 25,163,913.92 1.65
226,502.00 RIO TINTO PLC 9,867,262.79 0.65
411,483.00 BHP BILLITON PLC 7,720,994.67 0.51
877,763.00 ROYAL DUTCH SHELL PLC 25,983,519.33 1.71
193,656.00 ANGLO AMERICAN PLC 3,746,357.02 0.25
69,917.00 ANTOFAGASTA PLC 671,184.36 0.04
23,296.00 CRODA INTERNATIONAL PLC 1,360,644.38 0.09
45,774.00 COCA COLA EUROPEAN PARTNERS PLC 1,791,944.71 0.12
263,298.00 CONVATEC GROUP REGD 687,031.44 0.05
642,368.00 NATIONAL GRID PLC 5,707,854.21 0.37
35,151.00 INTERCONT HOTELS GR PLC 1,886,507.38 0.12
302,282.00 COMPASS GROUP 5,790,075.70 0.38
75,298.00 MICRO FOCUS INTL PLC 1,208,538.61 0.08
128,234.00 LAND SEC R.E.I.T 1,271,901.60 0.08
Total securities portfolio 1,505,271,308.90 98.75

The accompanying notes form an integral part of these financial statements

62
AMUNDI INDEX MSCI JAPAN

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
JPY JPY
181,300.00 CHIBA BANK 140,688,800 0.11
Long positions 123,502,273,074 99.15
64,900.00 CASIO COMPUTER CO LTD 120,519,300 0.10
Transferable securities admitted to an official stock exchange 123,502,273,074 99.15 307,550.00 CANON INC 1,110,255,500 0.89
listing 181,400.00 CHUBU ELECTRIC POWER CO INC 311,735,900 0.25
Shares 123,403,858,074 99.07
92,200.00 CHUGOKU ELECTRIC POWER CO 134,612,000 0.11
Japan 123,403,858,074 99.07 69,200.00 CHUGAI PHARMACEUTICAL 505,160,000 0.41
32,700.00 CYBER AGENT 197,835,000 0.16 78,500.00 DAICEL CORP 103,620,000 0.08
268,100.00 RAKUTEN 233,461,480 0.19 30,300.00 DAIFUKU CO 175,437,000 0.14
44,500.00 AIR WATER 92,782,500 0.07 76,300.00 DAIKIN INDUSTRIES LTD 1,154,037,500 0.93
31,300.00 OTSUKA CORP 132,712,000 0.11 47,600.00 SUMI DAI PHARMA 124,188,400 0.10
14,725.00 LAWSON INC 101,897,000 0.08 72,800.00 DAI NIPPON PRINTING CO LTD 192,337,600 0.15
69,960.00 SBI HOLDING 246,958,800 0.20 174,100.00 DAIWA HOUSE INDUSTRY CO LTD 586,368,800 0.47
9,500.00 ABC MART INC. TOKYO 60,040,000 0.05 495,400.00 DAIWA SECURITIES GROUP INC 342,420,480 0.27
3,632,737.00 MITSUBISHI UFJ FINANCIAL GROUP INC 2,575,973,807 2.07 77,500.00 EISAI 857,150,000 0.69
9,100.00 KOSE CORP 197,015,000 0.16 59,400.00 FANUC CORP SHS 1,272,348,000 1.02
19,900.00 MC DONALD'S CO (JAPAN) 99,301,000 0.08 35,600.00 FUJI ELECTRIC SHS 161,980,000 0.13
640,900.00 RESONA HOLDINGS INC 409,086,470 0.33 189,200.00 SUBARU CORPORATION 658,416,000 0.53
65,600.00 DENTSU 345,712,000 0.28 118,700.00 FUJIFILM HOLDINGS CORP 607,150,500 0.49
35,166.00 NOMURA RESEARCH INSTITUTE 201,852,840 0.16 60,300.00 FUJITSU LTD 488,188,800 0.39
104,124.00 SUMITOMO MITSUI TRUST - SHS 486,883,824 0.39 68,500.00 HANKYU HANSHIN HOLDINGS INC 276,055,000 0.22
117,600.00 ACOM CO LTD 53,860,800 0.04 74,400.00 HINO MOTORS LTD 92,553,600 0.07
84,800.00 MISUMI GROUP 249,312,000 0.20 297,200.00 HITACHI LTD 1,147,192,000 0.92
252,000.00 SOFTBANK GROUP 2,890,440,000 2.31 9,624.00 HIROSE ELECTRIC CO 119,530,080 0.10
17,900.00 FAST RETAILING CO LTD 1,036,768,000 0.83 30,300.00 HITACHI CHEMICAL CO LTD 70,083,900 0.06
544,900.00 KDDI CORP 1,710,441,100 1.37 17,100.00 HISAMITSU PHARMACEUTICAL CO INC 148,941,000 0.12
21,550.00 SUZUKEN CO 116,154,500 0.09 42,300.00 HAMATSU PHOTONICS 191,407,500 0.15
21,700.00 SUNDRUG CO LTD 87,993,500 0.07 68,900.00 HITACHI METALS LTD 96,942,300 0.08
335,700.00 JAPAN TOBACCO 995,686,200 0.80 501,300.00 HONDA MOTOR CO LTD 1,723,970,700 1.38
33,200.00 AEON FINANCIAL SERVICE CO LTD 78,119,600 0.06 116,800.00 HOYA CORP 788,400,000 0.63
188,800.00 NTT DATA CORP 296,982,400 0.24 191,300.00 AEON CO LTD 523,683,750 0.42
7,400.00 RYOHIN KEIKAKU CO LTD 250,120,000 0.20 44,000.00 IHI CORP 189,420,000 0.15
21,300.00 BENESSE HOLDINGS INC 68,905,500 0.06 67,600.00 JGC CORP 176,165,600 0.14
6,400.00 HIKARI TSUSHIN 143,744,000 0.12 166,300.00 ISUZU MOTORS LTD 297,843,300 0.24
134,300.00 DENSO CORP 805,665,700 0.65 34,900.00 JAPAN AIRLINES CO LTD 142,531,600 0.11
269,000.00 OJI HOLDINGS 221,925,000 0.18 140,000.00 KAJIMA CORP 231,140,000 0.19
16,300.00 KOBAYASHI PHARMACEUTICAL CO 136,268,000 0.11 215,700.00 KANSAI ELECTRIC POWER 369,494,100 0.30
51,900.00 WEST JAPAN RAILWAY COMPANY 411,099,900 0.33 45,800.00 NIPPON YUSEN KK 97,874,600 0.08
40,100.00 COCA-COLA WEST SHS 121,904,000 0.10 31,700.00 KAMIGUMI CO LTD 79,376,800 0.06
55,100.00 MITSUI CHEMICALS 156,539,100 0.13 152,200.00 KAO CORP 1,396,282,800 1.12
37,000.00 DON QUIJOTE HLD 212,750,000 0.17 42,200.00 KAWASAKI HEAVY INDUSTRIES 135,251,000 0.11
61,500.00 ORIENTAL LAND CO LTD 730,620,000 0.59 38,700.00 KEISEI ELECTRIC RAILWAY CO LTD 154,800,000 0.12
38,500.00 PARK24 CO 132,247,500 0.11 33,200.00 KEIO 206,504,000 0.17
57,500.00 JSR CORP 121,957,500 0.10 51,300.00 KINTETSU HLDG SHS 234,441,000 0.19
44,000.00 CENTRAL JAPAN RAILWAY CO 1,041,040,000 0.84 43,500.00 KIKKOMAN CORP 294,060,000 0.24
20,200.00 OBIC 217,150,000 0.17 91,700.00 KOBE STEEL 92,617,000 0.07
888,200.00 YAHOO JAPAN CORP 363,273,800 0.29 72,400.00 KEIKYU CORP 149,940,400 0.12
50,500.00 AISIN SEIKI CO LTD 279,265,000 0.22 32,600.00 KOITO MANUFACTURING 243,196,000 0.20
136,900.00 AJINOMOTO CO INC 267,023,450 0.21 282,900.00 KOMATSU LTD 977,702,400 0.78
34,500.00 ANA HD 136,965,000 0.11 135,400.00 KONICA MINOLTA HOLDINGS INC 163,563,200 0.13
58,700.00 ALPS ELECTRIC CO LTD 169,408,200 0.14 61,200.00 JTEKT CORP 101,775,600 0.08
101,700.00 AMADA HLDG SHS 123,362,100 0.10 95,600.00 KURARAY CO LTD 163,284,800 0.13
388,100.00 ASAHI KASEI CORPORATION 668,696,300 0.54 14,400.00 MABUCHI MOTOR CO LTD 66,024,000 0.05
55,500.00 AGC INC. 261,682,500 0.21 252,900.00 KIRIN HOLDINGS CO LTD 736,191,900 0.59
113,500.00 ASAHI GROUP HD 558,987,500 0.45 308,800.00 KUBOTA CORP 596,292,800 0.48
49,000.00 ASICS CORP KOBE 83,006,000 0.07 77,600.00 KYOWA HAKKO KIRIN CO LTD 165,210,400 0.13
187,300.00 BRIDGESTONE CORP 804,078,900 0.65 113,500.00 KYUSHU ELECTRIC POWER CO INC 155,608,500 0.12
68,300.00 BROTHER INDUSTRIES 153,265,200 0.12 29,600.00 KURITA WATER INDUSTRIES LTD 97,976,000 0.08

The accompanying notes form an integral part of these financial statements

63
AMUNDI INDEX MSCI JAPAN

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
JPY JPY
56,900.00 MARUI GROUP CO LTD 159,547,600 0.13 389,900.00 SONY CORP 2,716,043,400 2.18
67,100.00 LION CORP 169,360,400 0.14 40,500.00 SHOWA DENKO KK 253,935,000 0.20
17,600.00 MARUICHI STEEL TUBE LTD 65,208,000 0.05 69,200.00 SHIMADZU CORPORATION 246,352,000 0.20
490,700.00 MARUBENI CORP 510,328,000 0.41 49,500.00 CREDIT SAISON CO LTD 91,723,500 0.07
48,600.00 SHINSEI BANK LTD 90,250,200 0.07 40,500.00 STANLEY ELECTRIC CO LTD 157,342,500 0.13
678,800.00 PANASONIC CORP 898,391,800 0.72 468,000.00 SUMITOMO CHEMICAL CO LTD 311,220,000 0.25
98,700.00 KYOCERA CORP 673,134,000 0.54 112,300.00 SANTEN PHARMACEUTICAL CO LTD 202,252,300 0.16
177,100.00 MAZDA MOTOR CORP 241,564,400 0.19 227,400.00 SUMITOMO ELECTRIC INDUSTRIES LTD 405,226,800 0.33
29,744.00 KEYENCE CORP 1,962,509,120 1.58 49,800.00 SUMITOMO RUBBER INDUSTRIES LTD 84,909,000 0.07
559,200.00 MITSUBISHI ELECTRIC CORP 870,394,800 0.70 69,600.00 SUMITOMO METAL MINING CO LTD 277,425,600 0.22
363,500.00 MITSUBISHI ESTATE 702,282,000 0.56 346,100.00 SUMITOMO CORP 655,686,450 0.53
47,800.00 MITSUBISHI GAS CHEM. 115,628,200 0.09 104,300.00 SUZUKI MOTOR CORP 678,784,400 0.54
95,600.00 MITSUBISHI HEAVY INDUSTRIES LTD 419,397,200 0.34 32,700.00 SUMITOMO HEAVY INDUSTRIES 132,598,500 0.11
414,100.00 MITSUBISHI CORP 1,449,764,100 1.16 112,000.00 SUMITOMO REALTY & DEVELOPMENT CO LTD 456,960,000 0.37
19,700.00 FAMILYMART UNY HOLDINGS 233,051,000 0.19 63,800.00 TAISEI 330,484,000 0.27
505,200.00 MITSUI AND CO LTD 1,020,756,600 0.82 42,500.00 TAKASHIMAYA CO LTD 81,557,500 0.07
99,900.00 NIKON CORP 213,286,500 0.17 56,900.00 SHOWA SHELL SEKIYU KK 136,958,300 0.11
55,400.00 MURATA MANUFACTURING CO LTD 967,561,000 0.78 219,900.00 TAKEDA PHARMA CO LTD 1,068,933,900 0.86
59,200.00 NAGOYA RAIL ROAD CO. LTD. 166,588,800 0.13 78,800.00 MITSUBISHI TANABE PHARMA CORP 149,720,000 0.12
76,700.00 NGK INSULATORS LTD 143,735,800 0.12 15,600.00 BANK OF KYOTO 92,508,000 0.07
48,800.00 NGK SPARK PLUG CO LTD 161,528,000 0.13 93,400.00 TERUMO CORP. 628,582,000 0.50
34,800.00 NINTENDO CO LTD 1,442,808,000 1.16 40,000.00 TDK CORP 495,600,000 0.40
20,600.00 HITACHI HIGH-TECHNOLOGIES 80,649,000 0.06 53,000.00 TEIJIN LTD 115,487,000 0.09
77,900.00 NEC CORP 244,606,000 0.20 25,300.00 TOHO GAS 109,169,500 0.09
25,300.00 NIPPON ELECTRIC GLASS CO LTD 90,447,500 0.07 33,700.00 TOHO CO 120,140,500 0.10
24,300.00 NIPPON EXPRESS 181,278,000 0.15 128,900.00 TOHOKU ELECTRIC POWER 198,763,800 0.16
115,000.00 MINEBEA MITSUMI 236,900,000 0.19 450,500.00 TOKYO EL HLDG 251,379,000 0.20
30,500.00 NH FOODS LTD 127,947,500 0.10 57,800.00 TOBU RAILWAY CO LTD 194,208,000 0.16
22,900.00 NOK CORP 44,677,900 0.04 116,500.00 TOKYO GAS CO LTD 325,326,250 0.26
47,400.00 NIPPON PAINT HOLDINGS CO LTD 200,976,000 0.16 32,100.00 HITACHI CONST MACH. 121,980,000 0.10
235,300.00 NIPPON STEEL AND SUMITOMO CORP 565,543,550 0.45 48,300.00 TOKYO ELECTRON LTD 753,963,000 0.61
40,100.00 TAIYO NIPPON SANSO 68,170,000 0.05 149,600.00 TOKYU CORP 310,868,800 0.25
28,300.00 ROHM CO LTD 234,324,000 0.19 196,900.00 TOSHIBA CORP 646,816,500 0.52
38,200.00 NISSAN CHEMICAL CORP 229,200,000 0.18 58,100.00 TOKYO TATEMONO CO 80,526,600 0.06
713,700.00 NISSAN MOTOR CO LTD 759,019,950 0.61 424,900.00 TORAY INDUSTRIES INC 362,652,150 0.29
50,600.00 NITTO DENKO CORP 430,909,600 0.35 75,000.00 TOPPAN PRINTING 136,875,000 0.11
88,200.00 ODAKYU ELECTRIC RAILWAY CO LTD 237,081,600 0.19 63,600.00 TOYOTA TSUSHO CORP 272,844,000 0.22
19,600.00 NISSHIN FOODS 153,076,000 0.12 44,100.00 TOTO LTD 207,931,500 0.17
63,299.00 NISSHIN FLOUR MILL. 157,614,510 0.13 36,000.00 THK CO LTD 104,112,000 0.08
1,064,200.00 NOMURA HOLDINGS INC 577,541,340 0.46 45,300.00 TOYO SEIKAN KAISHA 106,772,100 0.09
10,000.00 RINNAI CORP 86,600,000 0.07 85,300.00 TOSOH CORP 149,275,000 0.12
407,200.00 ORIX CORP 750,062,400 0.60 29,500.00 TOYO SUISAN KAISHA 129,947,500 0.10
202,300.00 OBAYASHI CORP 217,674,800 0.17 19,100.00 TOYODA GOSEI CO LTD 53,575,500 0.04
112,200.00 OSAKA GAS CY 248,635,200 0.20 44,200.00 TOYOTA INDUSTRIES CORP 297,024,000 0.24
200,600.00 RICOH CO LTD 244,732,000 0.20 698,500.00 TOYOTA MOTOR CORP 4,955,857,500 3.97
89,300.00 OLYMPUS CORP 396,045,500 0.32 85,800.00 YAMAHA MOTOR CO LTD 273,273,000 0.22
57,600.00 OMRON CORP 276,480,000 0.22 123,600.00 UNI CHARM 464,488,800 0.37
115,300.00 ONO PHARMACEUTICAL CO LTD 370,689,500 0.30 33,300.00 YAKULT HONSHA CO LTD 310,023,000 0.25
64,600.00 SECOM CO LTD 598,325,200 0.48 571,300.00 ASTELLAS PHARMA 1,132,316,600 0.91
110,500.00 SEKISUI CHEMICAL CO LTD 231,608,000 0.19 92,300.00 YAMATO HOLDINGS CO LTD 321,942,400 0.26
187,400.00 SEKISUI HOUSE LTD 324,670,500 0.26 37,100.00 YAMAZAKI BAKING CO 84,365,400 0.07
56,100.00 SHARP CORP 129,534,900 0.10 212,700.00 NIPPON TELEGRAPH AND TELEPHONE CORP 1,091,576,400 0.88
169,600.00 SHIMIZU CORP 175,875,200 0.14 70,000.00 YOKOGAWA ELECTRIC CORP 168,210,000 0.14
110,800.00 SHIN-ETSU CHEM. CO LTD 1,115,202,000 0.90 39,500.00 YOKOHAMA RUBBER CO 96,735,500 0.08
84,700.00 SHINOGI CO LTD 628,812,800 0.50 17,600.00 SMC CORP 639,936,000 0.51
116,800.00 SHISEIDO 1,027,723,200 0.83 41,600.00 YAMAHA CORP. 250,432,000 0.20
128,800.00 SHIZUOKA BANK LTD 131,376,000 0.11 212,800.00 MITSUBISHI MOTORS CORP 170,665,600 0.14

The accompanying notes form an integral part of these financial statements

64
AMUNDI INDEX MSCI JAPAN

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
JPY JPY
68,200.00 NIDEC CORP 1,114,729,000 0.89 58,400.00 YAMAGUCHI FINANCIAL GROUP 72,299,200 0.06
6,600.00 SHIMAMURA CORP 71,148,000 0.06 40,500.00 IDEMITSU KOSAN 243,405,000 0.20
21,500.00 DAITO TRUST CONSTRUCTION CO LTD 314,222,500 0.25 44,800.00 FUKUOKA FINANCIAL GROUP 140,000,000 0.11
186,800.00 YAMADA DENKI CO LTD 107,410,000 0.09 868.00 UNITED URBAN INVESTMENT CORP 154,764,400 0.12
8,600.00 DISCO CO LTD 163,572,000 0.13 35,400.00 AOZORA BANK SHS 143,724,000 0.12
13,900.00 JAPAN AIRPORT TERMINAL CO LTD 71,863,000 0.06 72,800.00 J.FRONT RETAILING CO LTD 128,346,400 0.10
24,500.00 NITORI 399,227,500 0.32 53,300.00 SONY FINANCIAL HOLDINGS 133,463,200 0.11
31,200.00 MITSUBISHI MATERIAL 105,924,000 0.09 63,100.00 ZOZO INC 217,064,000 0.17
22,400.00 SHIMANO INC 410,144,000 0.33 175,600.00 SEVEN BANK 63,040,400 0.05
70,700.00 MAKITA CORP 402,283,000 0.32 99,900.00 ISETAN MITSUKOSHI 139,360,500 0.11
31,000.00 KONAMI HLDS SHS 137,950,000 0.11 148,589.00 MS&AD INSURANCE GROUP HOLDING 563,746,666 0.45
75,800.00 YASKAWA ELECTRIC CORP 255,825,000 0.21 51,900.00 TEMP HOLDINGS 138,313,500 0.11
106,500.00 NSK LTD 138,663,000 0.11 827.00 JAPAN RETAIL FUND INVESTMENT CORP 170,444,700 0.14
274,300.00 MITSUI FUDOSAN CO LTD 737,592,700 0.59 394.00 JP REAL ESTATE INVESTMENT 234,824,000 0.19
14,400.00 KANEKA CORP 75,600,000 0.06 401.00 NIPPON BUILDING FD 263,457,000 0.21
13,400.00 SANKYO CO LTD 59,563,000 0.05 16,100.00 HOSHIZAKI 189,336,000 0.15
78,900.00 LIXIL GROUP CORPORATION 172,633,200 0.14 36,540.00 MEIJI HLDGS 278,800,200 0.22
433,100.00 ITOCHU CORP 900,848,000 0.72 101,825.00 SOMPO HOLDINGS INC 492,731,175 0.40
93,600.00 EAST JAPAN RAILWAY CO 987,948,000 0.79 331,500.00 DAI-ICHI LIFE INSURANCE CO LT 784,163,250 0.63
51,200.00 MEDICEO HOLDINGS CORP 121,395,200 0.10 1,001,010.00 JX HOLDINGS INC 859,166,883 0.69
72,100.00 USS 152,058,900 0.12 120,100.00 OTSUKA HOLDINGS 687,812,700 0.55
35,900.00 TAIHEIYO CEMENT CORP 127,983,500 0.10 27,000.00 POLA ORBIS HOLDINGS 112,050,000 0.09
52,400.00 SYSMEX 512,472,000 0.41 23,500.00 CALBEE 87,890,000 0.07
38,300.00 MITSUI OSK LINES LTD 126,964,500 0.10 28,600.00 KEIHAN EL RWY 124,124,000 0.10
36,000.00 TREND MICRO INC 263,160,000 0.21 11,700.00 TAISHO PHARMACEUTICAL HOLDINGS CO LTD 162,513,000 0.13
407,000.00 NTT DOCOMO INC 1,243,385,000 1.00 135,000.00 NEXON CO LTD 200,475,000 0.16
11,800.00 ORACLE CORP JAPAN 108,088,000 0.09 519.00 DAIWA HOUSE REIT INV SHS 134,888,100 0.11
207,000.00 TOKIO MARINE HOLDINGS INC 1,166,859,000 0.94 582.00 PROLOGIS REIT 130,891,800 0.11
135,300.00 MITSUBISHI UFJ LEASE AND FINANCE CO LTD 90,515,700 0.07 41,600.00 SUNTORY 200,096,000 0.16
154,900.00 JFE HOLDINGS INC 403,824,300 0.32 165,200.00 TOKYU FUDOSAN HOLDINGS CORP 130,838,400 0.11
21,200.00 SOHGO SECURITY SERVICES CO 105,894,000 0.09 43,736.00 LIDA GROUP HOLDINGS CO LTD 88,390,456 0.07
413,100.00 SUMITOMO MITSUI FINANCIAL GROUP INC 1,894,476,600 1.52 243,100.00 ASHIKAGA HOLDINGS CO LTD 95,538,300 0.08
52,200.00 KANSAI PAINT CO LTD 109,306,800 0.09 30,600.00 CYBERDYNE INC 27,448,200 0.02
7,416,040.00 MIZUHO FINANCIAL GROUP INC 1,469,859,128 1.18 72,900.00 SEIBU HOLDINGS INC 148,934,700 0.12
36,920.00 AEON MALL CO LTD 72,067,840 0.06 338,900.00 RECRUIT HOLDINGS CO LTD 1,285,108,800 1.03
91,000.00 SEIKO EPSON CORP 176,358,000 0.14 477,000.00 JAPAN POST HOLDINGS CO 644,904,000 0.52
269,500.00 RENESAS ELECTRONICS 191,345,000 0.15 121,200.00 JAPAN POST BANK 162,771,600 0.13
12,800.00 CENTURY TOKYO LEASING 90,368,000 0.07 1,195.00 NOMURA REAL ESTATE MASTER FUND 185,464,000 0.15
58,400.00 ALFRESA HOLDINGS CORP 177,536,000 0.14 322,300.00 CONCORDIA FIN GRP 179,521,100 0.14
41,000.00 KAKAKU.COM 91,102,000 0.07 50,500.00 KYUSHU RAILWAY 174,730,000 0.14
153,600.00 OSAKA SECURITIES EXCHANGE 304,128,000 0.24 21,100.00 LINE CORP 101,280,000 0.08
166,600.00 T AND D HOLDING INC 312,375,000 0.25 28,300.00 SG HOLDINGS CO LTD 84,249,100 0.07
89,300.00 HULIC CO LTD 99,569,500 0.08 Shares/Units in investment funds 98,415,000 0.08
33,600.00 NABTESCO CORP 101,472,000 0.08
Japan 98,415,000 0.08
56,900.00 SEGA SAMMY HOLDINGS INC 95,307,500 0.08
45,920.00 ELECTRIC POWER DEVELOPMENT CO 144,418,400 0.12 243.00 JAPAN PRIME REALTY INVESTMENT CORP 98,415,000 0.08
69,800.00 HAKUHODO DY HOLDINGS INC 139,111,400 0.11 Total securities portfolio 123,502,273,074 99.15
30,400.00 DENA CO LTD 61,012,800 0.05
174,359.00 DAIICHI SANKYO CO LTD 858,718,075 0.69
231,700.00 SEVEN & I HOLDINGS CO LTD 1,172,402,000 0.94
126,000.00 SO-NET M3 324,828,000 0.26
403,400.00 MITSUBISHI CHEMICAL HOLDINGS CORP 438,697,500 0.35
60,200.00 BANDAI NAMCO HOLDINGS INC 265,783,000 0.21
11,000.00 TSURUHA HOLDINGS INC 153,890,000 0.12
70,200.00 SUMCO CORP 115,689,600 0.09
321,800.00 INPEX 455,990,600 0.37
36,800.00 NOMURA REAL ESTATE HOLDINGS INC 84,419,200 0.07

The accompanying notes form an integral part of these financial statements

65
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
6,361.00 CANADIAN TIRE CORP -A- NON VOTING 744,760.08 0.03
Long positions 2,756,260,523.04 99.49
10,717.00 CANADIAN UTILITIES -A- NON VOTING 263,324.33 0.01
Other transferable securities 495,954.52 0.02 17,854.00 CCL INDUSTRIES INC -B- NON-VOTING 804,164.69 0.03
7,374.00 EMPIRE -A- NON VOTING 134,290.99 0.00
Shares 495,954.52 0.02
3,164.00 FAIRFAX FINANCIAL HOLDINGS SUB.VTG 1,717,710.51 0.06
Canada 495,954.47 0.02 38,879.00 FINNING INTERNATIONAL 948,968.32 0.03
13,465.00 TELUS CORP 495,954.47 0.02 30,242.00 GREAT WEST LIFECO INC 733,241.04 0.03
1,680.00 AURORA CANNABIS INC SPINOFF TEMP 0.00 0.00 29,095.00 IMPERIAL OIL 940,874.95 0.03
19,445.00 LOBLAW COMPANIES 998,278.21 0.04
United States of America 0.05 0.00
32,684.00 NATIONAL BK CANADA COMMON 1,631,171.07 0.06
50,000.00 RAYONIER ROMPUS 0.05 0.00 7,190.00 ONEX CORP SUB.VOTING 491,331.25 0.02
Shares/Units of UCITS/UCIS 258,534.90 0.01 17,494.00 POWER FINANCIAL 400,471.26 0.01
35,493.00 POWER CORP DU CANADA SUB. 770,491.13 0.03
Shares/Units in investment funds 258,534.90 0.01 34,658.00 ROGERS COMMUNICATIONS -B- NON VOTING 1,781,168.54 0.06
Canada 258,534.90 0.01 149,606.00 ROYAL BANK OF CANADA 11,983,796.84 0.43
51,465.00 SHAW COMMUNICATIONS -B- NON.VOTING 1,002,149.37 0.04
16,912.00 H&R REAL ESTATE 258,534.90 0.01
40,580.00 TECK RESOURSES LTD -B- 977,301.20 0.04
Transferable securities admitted to an official stock exchange 2,755,506,033.62 99.46
24,262.00 THOMSON REUTERS 1,106,302.76 0.04
listing
Shares 2,755,506,033.62 99.46 191,589.00 TORONTO DOMINION BANK 11,633,815.33 0.42
6,326.00 GEORGE WESTON 478,489.12 0.02
Bermuda 10,834,430.76 0.39
22,412.00 SAPUTO 666,154.92 0.02
3,027.00 EVEREST REINSURANCE GROUP 691,578.69 0.02 34,510.00 MAGNA INTERNATIONAL SHS -A- SUB.VTG 1,811,473.88 0.07
62,732.00 MARVELL TECHNOLOGY GROUP LTD 1,210,727.60 0.04 90,334.00 ENCANA CORP 1,183,165.41 0.04
2,082.00 RENAISSANCERE HOLDINGS LTD 278,113.56 0.01 39,013.00 FORTIS INC 1,264,018.08 0.05
17,604.00 BUNGE LTD 1,209,570.84 0.04 31,417.00 SNC-LAVALIN GROUP 1,280,163.07 0.05
47,600.00 ARCH CAPITAL GROUP LTD 1,418,956.00 0.05 29,486.00 GILDAN ACTIVEWEAR 896,490.47 0.03
4,927.00 AXIS CAPITAL HOLDINGS LTD 284,337.17 0.01 4,097.00 IGM FINANCIAL INC 112,520.48 0.00
41,411.00 INVESCO LTD 947,483.68 0.03 96,609.00 KINROSS GOLD CORP 263,085.87 0.01
22,792.00 NORVERGIAN CRUISE LINE LTD 1,308,944.56 0.05 3,556.00 LINAMAR CORP 163,715.19 0.01
17,979.00 AXALTA COATING SYSTEMS 524,267.64 0.02 88,049.00 BROOKFIELD ASSET MANAGEMENT INC -A- 3,916,102.07 0.14
39,631.00 IHS MARKIT 2,138,488.76 0.09 54,728.00 FIRST QUANTUM MINERALS LTD 622,815.65 0.02
15,911.00 ATHENE HOLDING REG A 821,962.26 0.03 39,698.00 ALIMENTATION COUCHE - TARD INC SUB VTG B 1,984,292.24 0.07
British Virgin Islands 1,245,666.64 0.04 16,400.00 BCE INC 663,944.61 0.02
17,580.00 RIOCAN REIT (UNITS) 335,661.32 0.01
18,169.00 MICHAEL KORS HOLDINGS LTD 1,245,666.64 0.04
2,960.00 EMERA 91,965.02 0.00
Canada 142,836,279.95 5.16 30,333.00 CI FINANCIAL 481,302.69 0.02
5,398.00 METHANEX CORP 425,794.43 0.02 14,309.00 INTACT FINANCIAL CORP 1,188,915.07 0.04
207,456.00 MANULIFE FINANCIAL REGISTERED 3,705,844.56 0.13 63,486.00 CRESCENT POINT ENERGY CORP 403,726.31 0.01
59,825.00 SUN LIFE FINANCIAL INC 2,376,623.69 0.09 29,628.00 DOLLARAMA INC 932,668.47 0.03
29,308.00 HUSKY ENERGY 514,240.76 0.02 100,014.00 CENOVUS ENERGY INC 1,003,547.75 0.04
26,533.00 METRO -A- SUB VTG 824,771.33 0.03 22,529.00 ALTAGAS 358,171.48 0.01
86,499.00 GOLDCORP 880,651.83 0.03 11,631.00 VERMILION ENERGY INC 382,962.23 0.01
6,134.00 INDUSTRIAL ALLIANCE INSURANCE AND FIN. 245,104.54 0.01 1,830.00 CONSTELLATION SOFTWARE 1,344,783.98 0.05
27,112.00 OPEN TEXT 1,030,913.78 0.04 14,875.00 ARC RESOURCES 165,713.06 0.01
14,975.00 CANADIAN PACIFIC RAILWAY 3,165,428.28 0.11 11,700.00 TOURMALINE OIL CORP 205,832.33 0.01
30,950.00 ENBRIDGE 999,375.50 0.04 56,082.00 PEMBINA PIPELINE CORP 1,904,260.42 0.07
21,746.00 CGI GROUP SUB.VTG SHS -A- 1,401,062.04 0.05 16,512.00 KEYERA 442,118.36 0.02
76,042.00 CANADIAN NATIONAL RAILWAY 6,818,270.59 0.25 44,448.00 TURQUOISE HILL 94,563.21 0.00
139,237.00 BARRICK GOLD 1,539,303.13 0.06 24,590.00 FIRST CAP REALTY 370,962.84 0.01
31,554.00 AGNICO EAGLE MINES 1,077,028.49 0.04 33,516.00 BLACKBERRY LTD 379,085.19 0.01
2,044.00 ATCO CLASS 1 NON VOTING 59,694.61 0.00 39,782.00 INTER PIPELINE 689,400.98 0.02
65,439.00 BANK OF MONTREAL 5,393,697.83 0.19 8,337.00 WSP GLOBAL 455,937.22 0.02
124,274.00 BANK OF NOVA SCOTIA 7,402,047.41 0.27 9,419.00 PRAIRIESKY ROYALTY LTD 165,339.48 0.01
360,506.00 BOMBARDIER INC B 1,282,943.69 0.05 9,205.00 SEVEN GENERATIONS ENERGY LTD 109,668.47 0.00
21,360.00 CAE INC 433,282.56 0.02 27,283.00 RESTAURANT BRANDS INTERNATIONAL INC 1,614,274.06 0.06
19,436.00 CAMECO CORP 221,486.32 0.01 13,886.00 SMART REIT TRUST UNITS VARIABLE VOTING 327,760.52 0.01
45,445.00 CANADIAN IMPERIAL BANK OF COMMERCE 4,255,165.02 0.15 41,194.00 HYDRO ONE LTD 625,911.18 0.02

The accompanying notes form an integral part of these financial statements

66
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
169,043.00 SUNCOR ENERGY INC 6,536,280.92 0.24 United States of America 2,507,596,838.75 90.51
17,712.00 FRANCO-NEVADA CORP 1,107,174.89 0.04 3,291.00 UNITED THERAPEUTICS CORP 420,853.08 0.02
91,809.00 TRANSCANADA CORP 3,711,862.91 0.13 71,547.00 UNITED PARCEL SERVICE INC 8,353,112.25 0.30
146,102.00 ENBRIDGE INC 4,711,087.14 0.17 25,414.00 FEDEX CORP 6,119,437.06 0.22
29,657.00 LUNDIN MINING CORP 156,935.28 0.01 67,057.00 DOMINION RESOURCES - REGSITERED 4,712,765.96 0.17
4,871.00 WEST FRASER TIMBER CO 277,014.06 0.01 8,917.00 PACKAGING CORP OF AMERICA 978,105.73 0.04
132,007.00 CANADIAN NATURAL RESOURCES 4,309,696.41 0.16 53,606.00 TARGET CORP 4,728,585.26 0.17
23,681.00 WASTE CONNECTIONS INC 1,889,033.37 0.07 69,556.00 PPL CORP 2,035,208.56 0.07
8,988.00 SHOPIFY -A- SUBORD VOTING 1,476,217.41 0.05 20,231.00 EDWARDS LIFESCIENCES CORP 3,522,217.10 0.13
34,347.00 WHEATON PRECIOUS METAL - REGISTERED 600,529.73 0.02 89,663.00 METLIFE INC 4,189,055.36 0.15
67,751.00 NUTRIEN - REGISTERED 3,909,087.17 0.14 96,377.00 UNITEDHEALTH GROUP INC 25,640,137.08 0.93
43,079.00 BAUSCH HEALTH -REGISTERED SHS 1,105,473.54 0.04 420,145.00 VERIZON COMMUNICATIONS INC 22,431,541.55 0.81
57,139.00 AURORA CANNABIS 548,582.16 0.02 12,406.00 KANSAS CITY SOUTHERN INDUSTRIES INC 1,405,351.68 0.05
Ireland 50,320,869.64 1.82 15,039.00 ILLUMINA INC 5,520,215.34 0.20
353,649.00 FORD MOTOR 3,271,253.25 0.12
30,504.00 INGERSOLL-RAND 3,120,559.20 0.11
18,643.00 MOODY S CORP 3,117,109.60 0.11
65,381.00 ACCENTURE - SHS CLASS A 11,127,846.20 0.41
34,429.00 ON SEMICONDUCTOR CORP 634,526.47 0.02
25,373.00 SEAGATE TECHNOLOGY PLC 1,201,411.55 0.04
9,819.00 LABORATORY CORP OF AMERICA HOLDINGS 1,705,363.92 0.06
9,194.00 ALKERMES 390,193.36 0.01
55,934.00 XCEL ENERGY INC 2,640,644.14 0.10
4,483.00 JAZZ PHARMACEUTICALS PLC 753,726.79 0.03
12,077.00 BLACKROCK INC 5,692,252.41 0.21
50,616.00 EATON CORPORATION PUBLIC LIMITED COMPANY 4,389,925.68 0.16
17,879.00 DAVITA 1,280,672.77 0.05
15,108.00 ALLEGION PLC WI 1,368,331.56 0.05
98,478.00 EXELON CORP 4,299,549.48 0.16
12,625.00 PERRIGO COMPANY PLC 893,850.00 0.03
33,068.00 AETNA INC 6,707,843.80 0.24
28,574.00 PENTAIR PLC 1,238,682.90 0.04
22,958.00 FLUOR CORP WHEN ISSUED 1,333,859.80 0.05
138,874.00 MEDTRONIC HLD 13,661,035.38 0.50
347,490.00 JPMORGAN CHASE CO 39,210,771.60 1.42
35,053.00 ALLERGAN 6,676,895.44 0.24
16,202.00 GLOBAL PAYMENTS INC 2,064,134.80 0.07
12,007.00 WILLIS TOWERS 1,692,266.58 0.06
160,692.00 US BANCORP 8,486,144.52 0.31
108,747.00 JOHNSON CONTROLS INTERNATIONAL PLC 3,806,145.00 0.14
56,183.00 NEW YORK COMMUNITY BANCORP INC 582,617.71 0.02
Jersey Island 2,417,998.00 0.09 7,555.00 ALIGN TECHNOLOGY INC 2,955,667.10 0.11
28,820.00 APTIV - REGISTERED 2,417,998.00 0.09 31,545.00 RAYTHEON CO 6,519,089.70 0.24
Liberia 2,015,109.52 0.07 16,130.00 CONSTELLATION BRANDS INC -A- 3,477,950.60 0.13
11,473.00 REGENCY CENTERS 741,958.91 0.03
15,508.00 ROYAL CARIBBEAN CRUISES 2,015,109.52 0.07 16,277.00 ROCKWELL COLLINS WHEN ISSUED 2,286,430.19 0.08
Netherlands 4,990,689.33 0.18 15,920.00 BIOMARIN PHARMACEUTICAL INC 1,543,762.40 0.06
32,003.00 LYONDELLBASELL -A- 3,280,627.53 0.12 20,169.00 ZIMMER BIOMET HLDGS SHS 2,651,618.43 0.10
46,723.00 MYLAN NV. 1,710,061.80 0.06 18,744.00 AMERISOURCEBERGEN CORP 1,728,571.68 0.06
196,043.00 CHEVRON CORP 23,972,138.04 0.87
Panama 2,979,334.40 0.11
8,967.00 SCANA 348,726.63 0.01
46,720.00 CARNIVAL CORP 2,979,334.40 0.11 25,445.00 PRINCIPAL FINANCIAL GROUP INC 1,490,822.55 0.05
Singapore 732,922.56 0.03 7,601.00 ACUITY BRANDS 1,194,877.20 0.04
48,277.00 CENTERPOINT ENERGY 1,334,859.05 0.05
55,863.00 FLEXTRONICS INTERNATIONAL LTD 732,922.56 0.03
45,239.00 PRUDENTIAL FINANCIAL INC 4,583,615.48 0.17
Switzerland 10,362,314.54 0.37 192,195.00 ALTRIA GROUP 11,591,280.45 0.42
48,775.00 CHUBB - NAMEN AKT 6,518,291.00 0.23 5,131.00 ALLIANCE DATA SYSTEMS CORP 1,211,736.96 0.04
36,488.00 TE CONNECTIVITY LTD REG SHS 3,208,389.84 0.12 12,340.00 SEATTLE GENETICS INC 951,660.80 0.03
9,074.00 GARMIN 635,633.70 0.02 25,690.00 INTUIT 5,841,906.00 0.21
22,559.00 MICROCHIP TECHNOLOGY 1,780,130.69 0.06
The Netherlands Antilles 8,828,709.16 0.32
36,290.00 ALLSTATE CORP 3,581,823.00 0.13
144,923.00 SCHLUMBERGER LTD 8,828,709.16 0.32 14,702.00 HENRY SCHEIN INC 1,250,111.06 0.05
United Kingdom 10,344,870.37 0.37 11,027.00 FLIR SYSTEMS INC 677,829.69 0.02
36,534.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 2,420,742.84 0.09
25,185.00 AON 3,872,949.30 0.14
18,702.00 PULTEGROUP 463,248.54 0.02
63,673.00 LIBERTY GLOBAL -C- 1,793,031.68 0.06
6,904.00 CAMDEN PROPERTY SBI 646,007.28 0.02
13,047.00 LIBERTY GLOBAL -A- 377,449.71 0.01
24,150.00 ESTEE LAUDER COMPANIES INC -A- 3,509,478.00 0.13
45,388.00 NIELSEN HOLDINGS PLC 1,255,432.08 0.05
19,917.00 BORG WARNER 852,049.26 0.03
52,882.00 TECHNIPFMC USD 1,652,562.50 0.06
8,153.00 WATERS 1,587,226.04 0.06
28,122.00 SENSATA TECH(S) -REGISTERED SHS 1,393,445.10 0.05
39,611.00 DUKE REALTY 1,123,764.07 0.04

The accompanying notes form an integral part of these financial statements

67
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
9,718.00 GARTNER GROUP INC -A- 1,540,303.00 0.06 28,630.00 UNUM SHS 1,118,574.10 0.04
424.00 NVR INC 1,047,619.20 0.04 2,406.00 METTLER TOLEDO INTERNATIONAL 1,465,205.88 0.05
20,869.00 INCYTE CORP 1,441,630.52 0.05 22,806.00 AMEREN CORPORATION 1,441,795.32 0.05
9,471.00 MID-AMER APARTMENT COMMUNITIES INC 948,804.78 0.03 34,144.00 CONSOLIDATED EDISON INC 2,601,431.36 0.09
9,587.00 MACERICH CO 530,065.23 0.02 17,053.00 RED HAT 2,323,982.84 0.08
13,377.00 EASTMAN CHEMICAL CO 1,280,446.44 0.05 11,381.00 UNITED RENTALS INC 1,861,931.60 0.07
7,682.00 MARTIN MARIETTA 1,397,739.90 0.05 26,272.00 SEMPRA ENERGY 2,988,440.00 0.11
18,928.00 ENTERGY CORP 1,535,628.64 0.06 6,287.00 LENNOX INTL 1,373,080.80 0.05
15,307.00 CITRIX SYSTEMS 1,701,526.12 0.06 10,632.00 VERISIGN INC 1,702,395.84 0.06
20,515.00 COPART INC 1,057,137.95 0.04 12,763.00 SEALED AIR 512,434.45 0.02
30,081.00 CARDINAL HEALTH INC 1,624,374.00 0.06 30,893.00 MARRIOTT INTERNATIONAL -A- 4,078,802.79 0.15
11,784.00 ALBERMARLE CORPORATION 1,175,807.52 0.04 38,493.00 VENTAS INC 2,093,249.34 0.08
101,898.00 KEYCORP 2,026,751.22 0.07 14,783.00 AKAMAI TECHNOLOGIES 1,081,376.45 0.04
6,135.00 ESSEX PROPERTY TRUST 1,513,565.85 0.05 31,961.00 AGILENT TECHNOLOGIES 2,254,528.94 0.08
16,979.00 LIBERTY PROPERTY TRUST 717,362.75 0.03 181,759.00 ABBOTT LABORATORIES LTD 13,333,840.24 0.48
13,870.00 RESMED 1,599,765.80 0.06 3,922.00 ABIOMED INC 1,763,919.50 0.06
51,656.00 CAPITAL ONE FINANCIAL CORP 4,903,704.08 0.18 49,869.00 ADOBE SYSTEMS INC 13,462,136.55 0.49
13,231.00 DARDEN RESTAURANTS INC 1,471,154.89 0.05 97,660.00 ADVANCED MICRO DEVICES INC 3,016,717.40 0.11
18,108.00 DTE ENERGY COMPANY 1,976,126.04 0.07 85,809.00 AES CORP 1,201,326.00 0.04
4,982.00 COOPER COMPANIES INC 1,380,761.30 0.05 45,671.00 COSTCO WHOLESALE CORP 10,727,204.48 0.39
30,340.00 EDISON INTERNATIONAL 2,053,411.20 0.07 9,788.00 AGCO CORP 595,012.52 0.02
24,662.00 ALEXION PHARMACEUTICALS 3,428,264.62 0.12 79,811.00 AFLAC INC 3,756,703.77 0.14
9,458.00 ANSYS INC 1,765,619.44 0.06 22,593.00 AIR PRODUCTS CHEMICALS INC 3,774,160.65 0.14
45,900.00 NEWELL BRANDS 931,770.00 0.03 1,183.00 ALLEGHANY (DEL) 771,942.99 0.03
34,369.00 NATIONAL OILWELL VARCO INC 1,480,616.52 0.05 52,504.00 AMERICAN ELECTRIC POWER CO INC 3,721,483.52 0.13
100,971.00 CVS HEALTH 7,948,437.12 0.29 72,640.00 AMERICAN EXPRESS CO COM. 7,735,433.60 0.28
12,698.00 ROCKWELL AUTOMATION 2,381,128.96 0.09 67,844.00 AMGEN INC 14,063,382.76 0.51
25,089.00 STEEL DYNAMICS 1,133,771.91 0.04 35,796.00 ANALOG DEVICES INC 3,309,698.16 0.12
13,518.00 QUEST DIAGNOSTICS 1,458,727.38 0.05 42,732.00 APACHE CORP 2,037,034.44 0.07
57,010.00 PG AND E CORP 2,623,030.10 0.09 499,520.00 APPLE INC 112,761,644.80 4.07
14,404.00 OGE ENERGY CO (HOLDING CO) 523,153.28 0.02 109,235.00 APPLIED MATERIALS INC 4,221,932.75 0.15
10,913.00 TAKE TWO INTERACTIVE SOFTWARE INC 1,505,884.87 0.05 53,670.00 ARCHER-DANIELS MIDLAND CO 2,697,990.90 0.10
38,060.00 STATE STREET CORP 3,188,666.80 0.12 5,820.00 ARROW ELECTRONICS INC 429,050.40 0.02
8,032.00 AUTOLIV 696,213.76 0.03 23,649.00 AUTODESK INC 3,691,845.39 0.13
83,775.00 BB AND T CORP 4,066,438.50 0.15 44,582.00 AUTOMATIC DATA PROCESSING INC 6,716,724.12 0.24
31,254.00 HARTFORD FINANCIAL SERVICES GROUP INC 1,561,449.84 0.06 2,476.00 AUTOZONE INC 1,920,633.20 0.07
41,953.00 AMAZON.COM INC 84,031,859.00 3.03 7,288.00 AVERY DENNISON CORP 789,654.80 0.03
32,866.00 AMPHENOL -A- 3,090,061.32 0.11 10,525.00 AVNET INC 471,204.25 0.02
8,970.00 ALEXANDRIA REAL ESTATE 1,128,336.30 0.04 30,461.00 BALL CORP 1,339,979.39 0.05
132,819.00 MORGAN STANLEY 6,185,380.83 0.22 54,266.00 BAXTER INTERNATIONAL INC 4,183,365.94 0.15
15,579.00 BOSTON PROPERTIES INC 1,917,619.11 0.07 26,656.00 BECTON DICKINSON 6,957,216.00 0.25
23,217.00 FLOWSERVE 1,269,737.73 0.05 24,351.00 BEST BUY CO 1,932,495.36 0.07
45,312.00 VALERO ENERGY 5,154,240.00 0.19 11,227.00 H & R BLOCK INC 289,095.25 0.01
29,366.00 NISOURCE 731,800.72 0.03 57,615.00 BOEING CO COM. 21,427,018.50 0.77
6,927.00 SL GREEN REALTY CORPORATION 675,590.31 0.02 141,348.00 BOSTON SCIENTIFIC CORP 5,441,898.00 0.20
35,541.00 GOLDMAN SACHS GROUP INC 7,969,713.84 0.29 13,512.00 M&T BANK CORPORATION 2,223,264.48 0.08
127,077.00 ANNALY CAPITAL MANAGEMENT 1,299,997.71 0.05 170,192.00 BRISTOL-MYERS SQUIBB CO 10,565,519.36 0.38
45,410.00 ONEOK INC (NEW) 3,078,343.90 0.11 27,183.00 BROWN-FORMAN CORP -B- NON VOTING 1,374,100.65 0.05
976,781.00 BANK OF AMERICA CORP 28,775,968.26 1.04 14,767.00 CAMPBELL SOUP CO 540,915.21 0.02
48,495.00 FIRSTENERGY CORP 1,802,559.15 0.07 32,605.00 CADENCE DESIGN SYSTEMS INC 1,477,658.60 0.05
5,430.00 AFFILIATED MANAGERS GROUP 742,389.60 0.03 63,837.00 CATERPILLAR - REGISTERED 9,734,504.13 0.35
6,030.00 AMERICAN FINANCIAL GROUP 669,149.10 0.02 73,313.00 CELGENE CORP 6,560,780.37 0.24
44,864.00 JUNIPER NETWORKS INC 1,344,574.08 0.05 28,663.00 CERNER CORP 1,846,183.83 0.07
95,464.00 CENTURYLINK SHS 2,023,836.80 0.07 23,491.00 CHURCH AND DWIGHT CO 1,394,660.67 0.05
17,606.00 ALLIANT ENERGY CORP 749,487.42 0.03 25,569.00 CIGNA CORP 5,324,744.25 0.19
57,303.00 DEVON ENERGY CORP 2,288,681.82 0.08 18,293.00 CINCINNATI FINANCIAL CORP 1,405,085.33 0.05
7,458.00 F5 NETWORKS 1,487,274.36 0.05 8,865.00 CINTAS 1,753,585.65 0.06

The accompanying notes form an integral part of these financial statements

68
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
482,557.00 CISCO SYSTEMS INC 23,476,398.05 0.85 14,961.00 KLA-TENCOR CORP 1,521,683.31 0.05
12,450.00 CLOROX CO 1,872,604.50 0.07 17,443.00 ZOHL'S CORP 1,300,375.65 0.05
29,189.00 CMS ENERGY CORP 1,430,261.00 0.05 80,885.00 KROGER CO 2,354,562.35 0.08
412,094.00 COCA-COLA CO 19,034,621.86 0.69 17,574.00 LAM RESEARCH CORP 2,665,975.80 0.10
21,724.00 COGNEX CORP 1,212,633.68 0.04 18,461.00 LEGGETT PLATT INC 808,407.19 0.03
83,393.00 COLGATE-PALMOLIVE CO 5,583,161.35 0.20 25,610.00 LENNAR CORP -A- 1,195,730.90 0.04
15,431.00 COMERICA INC 1,391,876.20 0.05 100,730.00 ELI LILLY AND CO 10,809,336.30 0.39
40,388.00 CONAGRA BRANDS INC 1,371,980.36 0.05 19,241.00 LINCOLN NATIONAL CORP 1,301,846.06 0.05
80,899.00 CORNING INC 2,855,734.70 0.10 32,836.00 LOEWS CORP 1,649,352.28 0.06
62,442.00 COGNIZANT TECHNOLOGY SOLUTIONS -A- 4,817,400.30 0.17 85,707.00 LOWE'S COMPANIES INC 9,840,877.74 0.36
83,302.00 CSX CORP 6,168,513.10 0.22 5,426.00 MANPOWER INC 466,418.96 0.02
15,640.00 CUMMINS - REGISTERED 2,284,534.80 0.08 54,698.00 MARSH MC-LENNAN COS. INC. 4,524,618.56 0.16
34,540.00 DR HORTON 1,456,897.20 0.05 45,854.00 MASCO 1,678,256.40 0.06
62,813.00 DANAHER CORP 6,825,260.58 0.25 42,984.00 MATTEL 674,848.80 0.02
34,644.00 DEERE AND CO 5,208,032.52 0.19 27,789.00 MAXIM INTEGRATED PRODUCTS INC 1,567,021.71 0.06
21,704.00 DOVER CORP 1,921,455.12 0.07 12,210.00 MCCORMICK & CO INC NON VOTING 1,608,667.50 0.06
20,190.00 REPUBLIC SERVICES -A- 1,467,005.40 0.05 77,885.00 MCDONALD'S CORP 13,029,381.65 0.47
13,131.00 EATON VANCE NON-VOTING 690,165.36 0.02 49,842.00 MGM RESORTS INTL 1,391,090.22 0.05
27,826.00 ECOLAB INC 4,362,560.28 0.16 121,016.00 MICRON TECHNOLOGY 5,473,553.68 0.20
29,450.00 ELECTRONIC ARTS - REGISTERED 3,548,430.50 0.13 742,363.00 MICROSOFT CORP 84,904,056.31 3.06
13,993.00 EQUIFAX INC 1,827,066.01 0.07 7,049.00 MIDDLEBY CORP 911,788.15 0.03
16,716.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 1,229,127.48 0.04 5,231.00 MOHAWK INDUSTRIES INC 917,255.85 0.03
29,500.00 FASTENAL CO 1,711,590.00 0.06 32,193.00 SIMON PROPERTY GROUP - REGISTERED 5,690,112.75 0.21
5,575.00 FED RLTY INV TR / SHS.OF BENEF.INTEREST 705,070.25 0.03 90,632.00 EBAY 2,992,668.64 0.11
67,900.00 FIFTH THIRD BANCORP 1,895,768.00 0.07 59,742.00 NEWMONT MINING CORP 1,804,208.40 0.07
39,298.00 FISERV INC 3,237,369.24 0.12 133,281.00 NIKE INC 11,291,566.32 0.41
11,008.00 FMC CORP 959,677.44 0.03 10,517.00 NORDSTROM INC 629,021.77 0.02
32,492.00 FRANKLIN RESOURCES INC 988,081.72 0.04 28,927.00 NORFOLK SOUTHERN CORP 5,221,323.50 0.19
19,309.00 ARTHUR J.GALLAGHER AN CO 1,437,361.96 0.05 23,715.00 NORTHERN TRUST CORP 2,422,012.95 0.09
20,748.00 GAP INC 598,579.80 0.02 36,555.00 NUCOR CORP 2,319,414.75 0.08
925,007.00 GENERAL ELECTRIC CO 10,443,329.03 0.38 21,210.00 OMNICOM GROUP INC 1,442,704.20 0.05
56,905.00 GENERAL MILLS INC 2,442,362.60 0.09 309,249.00 ORACLE CORP 15,944,878.44 0.58
44,309.00 WASTE MANAGEMENT INC 4,003,761.24 0.14 34,818.00 PACCAR INC 2,374,239.42 0.09
14,084.00 GENUINE PARTS CO 1,399,949.60 0.05 9,669.00 ROPER TECHNOLOGIES 2,864,054.49 0.10
20,055.00 GOODYEAR TIRE RUBBER CO 469,086.45 0.02 13,713.00 AVALONBAY COMMUN 2,484,109.95 0.09
4,887.00 WW GRAINGER INC 1,746,662.67 0.06 16,197.00 PARKER-HANNIFIN CORP 2,979,114.21 0.11
128,342.00 GILEAD SCIENCES INC 9,909,285.82 0.36 36,491.00 PAYCHEX INC 2,687,562.15 0.10
14,003.00 HARLEY DAVIDSON INC 634,335.90 0.02 143,818.00 PEPSICO INC 16,078,852.40 0.58
11,695.00 HARRIS CORP 1,978,910.95 0.07 599,328.00 PFIZER INC 26,412,384.96 0.95
11,267.00 HASBRO INC 1,184,387.04 0.04 9,519.00 PINNACLE WEST CAPITAL CORP 753,714.42 0.03
7,577.00 HENRY JACK AND ASSOCIATES INC 1,212,926.16 0.04 49,114.00 PNC FINANCIAL SERVICES GROUP INC 6,688,835.66 0.24
16,031.00 HERSHEY 1,635,162.00 0.06 6,503.00 POLARIS INDUSTRIES INC 656,477.85 0.02
118,253.00 HOME DEPOT INC 24,496,108.95 0.88 26,566.00 PPG INDUSTRIES INC 2,899,147.58 0.10
13,988.00 HUMANA INC 4,735,217.76 0.17 258,162.00 PROCTER AND GAMBLE CO 21,486,823.26 0.78
6,869.00 J.B. HUNT TRANSPORT SERVICES INC 816,998.86 0.03 55,182.00 PROGRESSIVE CORP 3,920,129.28 0.14
105,367.00 HUNTINGTON BANCSHARES INC 1,572,075.64 0.06 47,348.00 PUBLIC SERVICE ENTERPRISE GROUP INC 2,499,500.92 0.09
7,842.00 IDEXX LABS CORP 1,957,833.72 0.07 144,940.00 QUALCOMM INC 10,440,028.20 0.38
34,397.00 ILLINOIS TOOL WORKS 4,854,104.64 0.18 7,627.00 REGENERON PHARMACEUTICALS INC 3,081,613.08 0.11
10,819.00 EAST WEST BANCORP INC 653,143.03 0.02 470,098.00 WELLS FARGO AND CO 24,708,350.88 0.89
468,132.00 INTEL CORP 22,137,962.28 0.80 14,423.00 RAYMOND JAMES FINANCIAL INC 1,327,637.15 0.05
92,913.00 IBM CORP 14,049,374.73 0.51 10,821.00 ROBERT HALF INTERNATIONAL INC 761,581.98 0.03
8,612.00 INTERNATIONAL FLAVORS FRAGRANCES 1,198,101.44 0.04 40,859.00 ROSS STORES INC 4,049,126.90 0.15
27,557.00 INTERPUBLIC GROUP OF COMPANIES INC 630,228.59 0.02 121,760.00 CHARLES SCHWAB CORP/THE 5,984,504.00 0.22
273,851.00 JOHNSON AND JOHNSON 37,837,992.67 1.37 13,146.00 SEI INVESTMENTS COMPANY 803,220.60 0.03
24,968.00 KELLOGG 1,748,259.36 0.06 8,639.00 SHERWIN WILLIAMS CO 3,932,559.19 0.14
33,101.00 KIMBERLY CLARK 3,761,597.64 0.14 23,014.00 A.O.SMITH CORP 1,228,257.18 0.04
55,553.00 KIMCO REALTY 929,957.22 0.03 8,387.00 SNAP ON INC 1,539,853.20 0.06

The accompanying notes form an integral part of these financial statements

69
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
104,181.00 SOUTHERN CO 4,542,291.60 0.16 23,953.00 HORMEL FOODS CORP 943,748.20 0.03
16,992.00 SOUTHWEST AIRLINES - REGISTERED 1,061,150.40 0.04 21,008.00 BIOGEN IDEC INC 7,422,336.48 0.27
138,846.00 STARBUCKS CORP 7,892,006.64 0.28 4,641.00 JONES LANG LASALLE INC 669,789.12 0.02
34,938.00 STRYKER CORP 6,207,783.84 0.22 28,453.00 HOLOGIC INC 1,166,003.94 0.04
44,614.00 SUNTRUST BANKS INC 2,979,769.06 0.11 6,409.00 ASSURANT INC 691,851.55 0.02
52,981.00 SYMANTEC CORP 1,127,435.68 0.04 4,331.00 SIGNATURE BANK 497,372.04 0.02
52,664.00 SYSCO CORP 3,857,638.00 0.14 11,685.00 WYNN RESORTS LTD 1,484,696.10 0.05
13,914.00 SYNOPSYS 1,372,059.54 0.05 16,484.00 PUBLIC STORAGE INC 3,323,668.92 0.12
3,850.00 TELEFLEX INC 1,024,446.50 0.04 71,690.00 SALESFORCE COM.INC 11,400,860.70 0.41
100,231.00 TEXAS INSTRUMENTS INC 10,753,783.99 0.39 99,675.00 REGIONS FINANCIAL CORP 1,829,036.25 0.07
22,877.00 TEXTRON INC 1,635,019.19 0.06 15,748.00 TOTAL SYSTEM SERVICES INC 1,554,957.52 0.06
39,710.00 THERMO FISHER SCIEN SHS 9,692,416.80 0.35 3,131.00 WESTLAKE CHEMICAL CORP 260,217.41 0.01
10,598.00 TIFFANY CO 1,366,824.06 0.05 3,521.00 DOMINO PIZZA INC 1,037,990.80 0.04
65,035.00 TJX COS INC 7,285,220.70 0.26 44,553.00 LAS VEGAS SANDS CORP 2,643,329.49 0.10
8,658.00 TOLL BROTHERS INC 285,973.74 0.01 13,992.00 NASDAQ 1,200,513.60 0.04
7,979.00 TORCHMARK CORP 691,699.51 0.02 22,900.00 MOLSON COORS BREWING CO -B- NON VOTING 1,408,350.00 0.05
30,072.00 TRIMBLE 1,306,929.12 0.05 24,206.00 CHENIERE ENERGY INC 1,682,074.94 0.06
21,298.00 UGI CORP 1,181,613.04 0.04 31,687.00 REALTY INCOME CORP 1,802,673.43 0.07
79,658.00 UNION PACIFIC CORP 12,970,712.14 0.47 3,955.00 VAIL RESORTS INC 1,085,331.10 0.04
80,962.00 UNITED TECHNOLOGIES CORP 11,319,297.22 0.41 5,193.00 SVB FINANCIAL GROUP 1,614,140.19 0.06
10,402.00 UNIVERSAL HEALTH SERVICES INC 1,329,791.68 0.05 20,435.00 DIGITAL REALTY TRUST INC 2,298,528.80 0.08
26,215.00 VERTEX PHARMACEUTICALS INC 5,052,679.10 0.18 22,870.00 CF INDUSTRIES HOLDINGS INC 1,245,042.80 0.04
35,010.00 VF REGISTERED 3,271,684.50 0.12 13,158.00 AMERIPRISE FINANCIAL INC 1,942,910.28 0.07
12,609.00 VULCAN MATERIALS CO 1,402,120.80 0.05 11,617.00 C.H.ROBINSON WORLWIDE INC 1,137,536.64 0.04
150,136.00 WALMART INC 14,099,271.76 0.51 12,147.00 ATMOS ENERGY CORP 1,140,724.77 0.04
153,202.00 WALT DISNEY CO 17,915,441.88 0.65 744,430.00 AT AND T INC 24,997,959.40 0.90
27,133.00 WESTERN DIGITAL CORP 1,588,365.82 0.06 29,726.00 LKQ CORP 941,422.42 0.03
70,622.00 WEYERHAEUSER CO 2,278,971.94 0.08 10,218.00 UNDER ARMOUR INC -A- 216,825.96 0.01
5,114.00 WHIRLPOOL CORP 607,287.50 0.02 32,737.00 CBS -B- 1,880,740.65 0.07
68,452.00 HOST HOTELS & RESORTS - SHS 1,444,337.20 0.05 42,703.00 VIACOM -B- 1,441,653.28 0.05
125,170.00 WILLIAMS COS INC 3,403,372.30 0.12 9,871.00 LIVE NATION 537,673.37 0.02
24,174.00 XILINX INC 1,938,029.58 0.07 26,337.00 TD AMERITRADE HOLDING CORP 1,391,383.71 0.05
19,501.00 ZIONS BANCORP 977,975.15 0.04 2,181.00 CHIPOTLE MEXICAN GRILL -A- 991,308.12 0.04
21,643.00 MCKESSON CORP 2,870,943.95 0.10 31,771.00 FIDELITY NATIONAL 3,465,262.97 0.13
58,187.00 NVIDIA CORP 16,351,710.74 0.59 29,816.00 CA INC 1,316,376.40 0.05
11,150.00 VARIAN MEDICAL SYTEMS 1,248,019.50 0.05 14,260.00 WESTINGHOUSE AIR BRAKE TECHNOLOGIES 1,495,588.80 0.05
7,106.00 ADVANCE AUTO PARTS 1,196,152.98 0.04 CORP
20,519.00 AMETEK INC 1,623,463.28 0.06
33,959.00 YUM BRANDS INC 3,087,212.69 0.11
6,483.00 ALNYLAM PHARMACEUTICALS INC 567,392.16 0.02
13,255.00 J.M. SMUCKER CO SHS/WHEN ISSUED 1,360,095.55 0.05
15,279.00 CELANESE RG REGISTERED SHS 1,741,806.00 0.06
16,677.00 SKYWORKS SOLUTIONS INC 1,512,770.67 0.05
93,754.00 MASTERCARD INC -A- 20,870,577.94 0.75
12,790.00 TRACTOR SUPPLY CO 1,162,355.20 0.04
4,834.00 TRANSDIGM GROUP 1,799,698.20 0.06
10,431.00 W.R.BERKLEY CORP 833,749.83 0.03
24,812.00 HANESBRANDS 457,285.16 0.02
23,240.00 T ROWE PRICE GROUP INC 2,537,343.20 0.09
45,515.00 THE WESTERN UNION COMPANY 867,515.90 0.03
7,218.00 CIMAREX ENERGY CO 670,840.92 0.02
16,887.00 NATIONAL RETAIL PROPERTIES INC 756,875.34 0.03
15,066.00 CARMAX INC 1,124,978.22 0.04
17,199.00 SPIRIT AEROSYSTEMS HOLDINGS INC -A- 1,576,632.33 0.06
17,926.00 PIONER NATURAL RESOURCES COMPANY 3,122,529.94 0.11
2,577.00 IPG PHOTONICS CORP 402,192.39 0.01
472,863.00 COMCAST CORP 16,744,078.83 0.60
11,220.00 IDEX CORP 1,690,405.20 0.06
21,014.00 NEKTAR THERAPEUTICS 1,281,013.44 0.05
19,685.00 OWENS CORNING SHS 1,068,304.95 0.04
44,825.00 NETFLIX INC 16,770,377.25 0.61
27,887.00 TRAVELERS COS INC/THE 3,617,222.77 0.13
17,093.00 CROWN HOLDINGS INC 820,464.00 0.03
27,976.00 UDR 1,131,069.68 0.04
7,152.00 STERICYCLE INC 419,679.36 0.02
9,143.00 ROLLINS 554,888.67 0.02
807.00 AMERCO 287,816.55 0.01
11,560.00 BROADRIDGE FINANCIAL SOL -W/I 1,525,342.00 0.06
7,479.00 OLD DOMINION FREIGHT LINES INC 1,206,063.54 0.04
13,759.00 EXTRA SPACE STORAGE INC 1,192,079.76 0.04
20,488.00 VORNADO REALTY TRUST SHS OF BENEF.INT 1,495,624.00 0.05
28,189.00 PEOPLES UNITED FINANCIAL 482,595.68 0.02
11,493.00 INTUITIVE SURGICAL 6,596,982.00 0.24
15,525.00 DELTA AIR LINES 897,810.75 0.03
1,211.00 MARKEL CORP 1,439,261.39 0.05
29,408.00 MACYS 1,021,339.84 0.04
19,693.00 CENTENE 2,851,152.54 0.10
38,041.00 DISCOVER FINANCIAL SERVICES - SHS WI 2,908,234.45 0.10

The accompanying notes form an integral part of these financial statements

70
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
106,826.00 BANK OF NEW YORK MELLON CORP 5,447,057.74 0.20 44,134.00 AMERICAN TOWER CORP 6,412,670.20 0.23
34,170.00 CME GROUP -A- 5,816,075.70 0.21 17,628.00 TARGA RESOURCES CORP 992,632.68 0.04
10,104.00 WABCO HOLDINGS WHEN ISSUED 1,191,665.76 0.04 58,694.00 EXPRESS SCRIPTS 5,576,516.94 0.20
12,096.00 LULULEMON ATHLETICA INC SHS WHEN ISSUED 1,965,479.04 0.07 46,297.00 PHILLIPS 66 5,218,597.84 0.19
4,200.00 MERCADOLIBRE 1,429,974.00 0.05 14,966.00 SPLUNK 1,809,539.06 0.07
8,199.00 WMWARE 1,279,535.94 0.05 244,824.00 FACEBOOK -A- 40,263,755.04 1.45
45,400.00 HCP 1,194,928.00 0.04 9,974.00 INGREDION 1,046,871.04 0.04
5,288.00 ULTA BEAUTY RG REGISTERED 1,491,850.56 0.05 70,376.00 DUKE ENERGY CORP 5,631,487.52 0.20
7,667.00 MSCI 1,360,202.47 0.05 17,102.00 SERVICENOW INC 3,345,664.26 0.12
29,454.00 DISH NETWORK -A- 1,053,275.04 0.04 8,994.00 PALO ALTO NET 2,025,988.44 0.07
23,460.00 DOLLAR TREE INC 1,913,163.00 0.07 155,858.00 MONDELEZ INTERNATIONAL INC 6,695,659.68 0.24
182,927.00 VISA INC -A- 27,455,513.43 0.99 14,720.00 WORKDAY -A- 2,148,825.60 0.08
24,623.00 NETAPP 2,114,869.47 0.08 154,124.00 ABBVIE INC WI 14,577,047.92 0.53
160,943.00 PHILIP MORRIS INTERNATIONAL INC 13,123,292.22 0.47 11,560.00 XPO LOGISTICS INC 1,319,805.20 0.05
16,677.00 AMERCIAN WATER WORKS CO INC 1,467,075.69 0.05 51,012.00 ZOETIS INC -A- 4,670,658.72 0.17
75,516.00 ACTIVISION BLIZZARD 6,282,176.04 0.23 15,921.00 L BRANDS 482,406.30 0.02
8,080.00 IAC/INTERACTIVE CORP (WHEN ISSUED) 1,751,097.60 0.06 31,215.00 T MOBILE US INC 2,190,668.70 0.08
31,901.00 DISCOVERY C 943,631.58 0.03 42,238.00 COTY INC -A- 530,509.28 0.02
11,048.00 DISCOVERY-A 353,536.00 0.01 30,777.00 NEWS CORP -A- 405,948.63 0.01
8,303.00 REINSURANCE GR AMER 1,200,281.68 0.04 41,050.00 21ST CENTURY -B- 1,880,911.00 0.07
22,033.00 EQT 974,519.59 0.04 108,187.00 21ST CENTURY -A- WHEN ISSUED 5,012,303.71 0.18
96,110.00 AMERICAN INTERNATIONAL GROUP INC 5,116,896.40 0.18 14,688.00 CDW 1,306,056.96 0.05
17,214.00 VERISK ANALYTICS INC 2,075,147.70 0.07 30,478.00 HD SUPPLY HLDGS 1,304,153.62 0.05
270,770.00 MERCK AND CO 19,208,423.80 0.69 50,657.00 SPRINT SERIES -1- 331,296.78 0.01
11,503.00 FORTINET 1,061,381.81 0.04 12,575.00 LEIDOS HOLDINGS WI 869,687.00 0.03
5,807.00 LEAR 842,015.00 0.03 11,576.00 ANTERO RESOURCES 205,010.96 0.01
24,814.00 DOLLAR GENERAL 2,712,170.20 0.10 14,090.00 VEEVA SYSTEMS -A- 1,533,978.30 0.06
130,884.00 BERKSHIRE HATHAWAY -B- 28,023,573.24 1.01 15,518.00 COMMSCOPE HOLDINGS INC 477,333.68 0.02
19,252.00 STANLEY BLCK DECK 2,819,262.88 0.10 68,064.00 TWITTER INC 1,937,101.44 0.07
20,567.00 SS C TECHNOLOGIERS HOLDINGS 1,168,822.61 0.04 61,695.00 INTERCONEXCH GR INC WI 4,620,338.55 0.17
9,340.00 CIT GROUP 482,037.40 0.02 189,687.00 SIRIUS XM HOLDINGS INC 1,198,821.84 0.04
46,734.00 NEXTERA ENERGY 7,832,618.40 0.28 6,993.00 AMERICAN AIRLINES GROUP INC-REGS 289,020.69 0.01
23,922.00 E TRADE FINANCIAL 1,253,273.58 0.05 31,202.00 ARAMARK HOLDING CORP 1,342,310.04 0.05
9,371.00 CBOE HOLDINGS INC 899,241.16 0.03 12,717.00 VOYA FINANCIAL INC 631,653.39 0.02
13,718.00 TESLA MOTORS INC 3,632,114.86 0.13 26,795.00 SABRE 698,813.60 0.03
4,919.00 UNITED CONTINENTAL HOLDINGS INC 438,086.14 0.02 45,905.00 ALLY FINANCIAL INC 1,214,187.25 0.04
133,740.00 GENERAL MOTORS CO 4,503,025.80 0.16 19,960.00 PARSLEY ENERGY INC -A- 583,830.00 0.02
15,527.00 FIRST REPUBLIC BANK 1,490,592.00 0.05 4,300.00 ARISTA NETWORKS INC 1,143,198.00 0.04
8,603.00 FLEETCOR TECHNOLOGIES 1,960,107.52 0.07 29,371.00 FIDL NAT FINANCL-A FNF GROUP WI 1,155,748.85 0.04
8,129.00 O REILLY AUTO 2,823,364.28 0.10 12,562.00 CDK GLOBAL INC 785,878.72 0.03
17,585.00 MOTOROLA SOLUTIONS INC 2,288,511.90 0.08 15,105.00 KEYSIGHT TECHNOLOGIES INC 1,001,159.40 0.04
207,560.00 KINDER MORGAN 3,680,038.80 0.13 80,947.00 SYNCHRONY FINANCIAL 2,515,832.76 0.09
28,772.00 HCA HEALTHCARE RG REGISTERED SHS 4,002,760.64 0.14 84,698.00 WALGREENS BOOTS ALLIANCE INC 6,174,484.20 0.22
6,731.00 HUNTINGTON INGALLS INDUSTRIESINC 1,723,674.48 0.06 42,073.00 CROWN CASTLE REIT 4,683,987.09 0.17
4,083.00 COSTAR GROUP INC 1,718,289.72 0.06 25,447.00 ANTHEM 6,973,750.35 0.25
260,067.00 CITIGROUP 18,657,206.58 0.67 8,499.00 EQUINIX 3,679,132.11 0.13
32,879.00 MOSAIC 1,067,909.92 0.04 21,988.00 IRON MOUNTAIN REIT INC 759,025.76 0.03
64,197.00 PROLOGIS 4,351,914.63 0.16 47,254.00 CITIZENS FINANCIAL GROUP INC 1,822,586.78 0.07
13,271.00 HOLLYFRONTIER 927,642.90 0.03 10,329.00 QORVO INC 794,196.81 0.03
60,349.00 MARATHON PETROLEUM 4,826,109.53 0.17 32,364.00 EVERSOURCE EN 1,988,444.16 0.07
7,684.00 PVH CORP 1,109,569.60 0.04 39,104.00 MONSTER BEVERAGE CORP 2,278,981.12 0.08
4,083.00 RALPH LAUREN -A- 561,616.65 0.02 34,012.00 WEC ENERGY GR 2,270,641.12 0.08
23,818.00 FORTUNE BRANDS HOME AND SECURITY W.ISS 1,247,110.48 0.05 13,495.00 LIBERTY BROADBAND CORP -C- 1,137,628.50 0.04
28,643.00 CBRE GROUP 1,263,156.30 0.05 12,642.00 THE CHEMOURS WHEN ISSUED 498,600.48 0.02
24,815.00 XYLEM WHEN ISSUED 1,981,974.05 0.07 25,662.00 WESTROCK 1,371,377.28 0.05
10,897.00 EXPEDIA GROUP 1,421,840.56 0.05 114,894.00 PAYPAL HOLDINGS INC WI 10,092,288.96 0.36
6,087.00 TRIPADVISOR INC WHEN ISSUED 310,863.09 0.01 58,508.00 THE KRAFT HEINZ 3,224,375.88 0.12

The accompanying notes form an integral part of these financial statements

71
AMUNDI INDEX MSCI NORTH AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
125,994.00 VEREIT 914,716.44 0.03 35,336.00 VISTRA ENERGY CORP 879,159.68 0.03
9,555.00 ZILLOW GROUP -C- 422,808.75 0.02 14,647.00 QUINTILES IMS HOLDING INC 1,900,301.78 0.07
36,447.00 WELLTOWER INC 2,344,271.04 0.08 5,026.00 BOOKING HLDG 9,971,584.00 0.36
30,508.00 ALPHABET INC 36,825,596.64 1.33 28,545.00 WORLDPAY - REGISTERED SHS -A- 2,890,752.15 0.10
32,070.00 ALPHABET -C- 38,274,582.90 1.38 42,772.00 BROADCOM - REGISTERED SHS 10,553,135.56 0.38
46,977.00 FIRST DATA -A- 1,149,527.19 0.04 32,480.00 EVERGY 1,783,801.60 0.06
146,067.00 HEWLETT PACKARD WHEN ISSUED 2,382,352.77 0.09 43,220.00 QURATE RTL GRP -REGISTERED SHS 959,916.20 0.03
168,001.00 HP INC 4,329,385.77 0.16 33,394.00 JEFFER FINL GRP --- REGISTERED SHS 733,332.24 0.03
432,465.00 EXXON MOBIL CORP 36,768,174.30 1.33 37,561.00 GGP INC 786,151.73 0.03
25,999.00 TYSON FOODS INC -A- 1,547,720.47 0.06
Total securities portfolio 2,756,260,523.04 99.49
60,141.00 3M CO 12,672,310.11 0.46
30,372.00 PRAXAIR INC 4,881,691.56 0.18
156,778.00 FREEPORT MCMORAN COPPER AND GOLD INC 2,182,349.76 0.08
58,525.00 EOG RESOURCES INC 7,466,034.25 0.27
122,296.00 CONOCOPHILLIPS CO 9,465,710.40 0.34
79,051.00 HONEYWELL INTERNATIONAL INC 13,154,086.40 0.47
70,956.00 EMERSON ELECTRIC CO 5,433,810.48 0.20
53,493.00 ANADARKO PETROLEUM CORP 3,605,963.13 0.13
7,907.00 DIAMONDBACK ENERGY 1,068,947.33 0.04
91,081.00 HALLIBURTON 3,691,512.93 0.13
77,811.00 OCCIDENTAL PETROLEUM CORP 6,393,729.87 0.23
16,692.00 DENTSPLY SIRONA INC 629,956.08 0.02
94,571.00 MARATHON OIL CORP 2,201,612.88 0.08
38,011.00 CABOT OIL AND GAS CORP -A- 856,007.72 0.03
41,375.00 NOBLE ENERGY INC 1,290,486.25 0.05
28,093.00 HESS CORP 2,010,896.94 0.07
9,175.00 HELMERICH PAINE 630,964.75 0.02
21,150.00 CONCHO RES 3,230,662.50 0.12
12,081.00 CONTINENTAL RESOURCES 824,890.68 0.03
31,073.00 SQUARE -A- 3,076,537.73 0.11
38,312.00 INTERNATIONAL PAPER CO 1,883,034.80 0.07
14,495.00 NEWFIELD EXPLORATION CO 417,890.85 0.02
26,216.00 S&P GLOBAL 5,122,344.24 0.18
10,675.00 UNDER ARMOUR WHEN ISSUED 207,735.50 0.01
4,907.00 LIBERTY MEDIA -A- SIRIUS XM GROUP 213,160.08 0.01
17,006.00 CHARTER COMM -A- 5,541,915.28 0.20
14,405.00 LIBERTY MEDIA -C- SIRIUS XM 625,897.25 0.02
15,438.00 GODADDY -A- 1,287,374.82 0.05
22,535.00 DELL TECHNOLOGIES INC -V- 2,188,599.20 0.08
37,558.00 FORTIVE WHEN ISSUED 3,162,383.60 0.11
53,338.00 AGNC INVESTMENT CORP 993,686.94 0.04
66,024.00 ARCONIC REGISTERED SHD 1,453,188.24 0.05
8,371.00 PLAINS GP REGISTERED SHS -A- 205,340.63 0.01
29,328.00 ZAYO GROUP HOLDINGS INC 1,018,268.16 0.04
12,689.00 SBA COMMUNICATIONS -A 2,038,234.07 0.07
31,801.00 HILTON WORLDWIDE HLDGS INC REG SHS 2,568,884.78 0.09
6,986.00 L3 TECHNOLOGIES INC 1,485,363.32 0.05
21,289.00 INVITATION HOMS REGISTERED 487,730.99 0.02
17,025.00 TRANSUNION 1,252,699.50 0.05
28,063.00 DXC TECHNOLOGY WI 2,624,451.76 0.09
32,979.00 XEROX - REGISTERED 889,773.42 0.03
39,856.00 BAKER HUGHES-A RG REGISTERED SHS -A 1,348,328.48 0.05
5,245.00 BRIGHTHOUSE - REGISTERED 232,038.80 0.01
8,400.00 KNIGHT SWIFT TRANSPORTATION HLDG 289,632.00 0.01
239,227.00 DOWDUPONT 15,384,688.37 0.56
13,781.00 LIBERTY MEDIA -C- MEDIA GROUP 512,515.39 0.02
33,921.00 TAPESTRY REG 1,705,208.67 0.06

The accompanying notes form an integral part of these financial statements

72
AMUNDI INDEX MSCI PACIFIC EX JAPAN

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
385,413.00 GOODMAN GROUP - STAPLED SECURITY 2,487,309.96 0.71
Long positions 344,338,908.68 98.61
76,088.00 MACQUARIE GROUP 5,974,043.18 1.71
Other transferable securities 0.21 0.00 90,050.00 CROWN RESORTS 767,946.49 0.22
241,898.00 DEXUS - STAPLED SECURITY 1,591,255.77 0.46
Shares 0.21 0.00
418,730.00 GPT GROUP STAPLED SECURITY 1,358,987.92 0.39
Malta 0.21 0.00 565,839.00 STOCKLAND 1,462,799.38 0.42
206,362.00 BGP HOLDINGS 0.21 0.00 76,748.00 SEEK LTD 992,517.58 0.28
166,621.00 TREASURY WINE ESTATES LTD 1,815,362.42 0.52
Transferable securities admitted to an official stock exchange 344,338,908.47 98.61
listing 265,421.00 SYDNEY AIRPORT STAPLED SECURITY 1,139,195.60 0.33
Shares 344,334,944.10 98.61 12,529.00 REA GROUP LTD 670,664.03 0.19
Australia 194,671,547.96 55.76 90,576.00 TPG TELECOM LTD 481,853.26 0.14
458,020.00 AURIZON HOLDINGS LTD 1,172,654.46 0.34
277,152.00 BORAL LTD 1,192,998.39 0.34 14,211.00 DOMINO S PIZZA ENTERPRISES LTD 470,955.71 0.13
413,910.00 ORIGIN ENERGY LTD 2,129,755.56 0.61 1,252,821.00 SCENTRE GRP - STAPLED SECURITY 3,098,298.99 0.89
305,541.00 SUNCORP GROUP 2,752,210.09 0.79 429,761.00 AUSNET SVCS - STAPLED SECURITY 435,034.97 0.12
557,085.00 INSURANCE AUSTRALIA GROUP LIMITED 2,540,249.30 0.73 413,716.00 HEALTHSCOPE LTD 541,209.49 0.15
309,029.00 WOOLWORTHS GRP - REGISTERED 5,405,553.06 1.55 636,239.00 MEDIBANK PRIVATE LTD 1,153,339.25 0.33
12,277.00 FLIGHT CENTRE LIMITED 406,556.61 0.12 22,036.00 CIMIC GROUP 705,020.22 0.20
13,748.00 COCHLEAR 1,718,307.31 0.49 1,206,731.00 SOUTH 32 LTD 2,946,729.91 0.84
135,290.00 HARVEY NORMAN HOLDINGS 296,655.33 0.08 762,243.00 VICINITY CENTRES 1,244,051.98 0.36
96,215.00 SONIC HEALTHCARE LTD 1,493,001.71 0.43
Bermuda 9,816,609.34 2.81
106,342.00 COMPUTERSHARE LIMITED 1,321,574.10 0.38
106,451.00 CSL LTD 13,336,049.72 3.82 78,300.00 DAIRY FARM INTERNATIONAL HOLDING 606,715.45 0.17
457,723.00 TABCORP HOLDINGS LTD 1,388,594.66 0.40 299,834.00 SHANGRI - LA ASIA LTD 384,002.88 0.11
617,044.00 TRANSURBAN GROUP 4,312,735.11 1.24 151,500.00 KERRY PROPERTIES 442,565.73 0.13
134,841.00 ARISTOCRAT LEISURE 2,388,885.59 0.68 51,900.00 JARDINE MATHESON HLD 2,803,895.82 0.81
97,042.00 RIO TINTO 4,761,121.24 1.36 52,700.00 JARDINE STRATEGIC HOLDINGS 1,647,016.79 0.47
682,579.00 ANZ BANKING GROUP LTD 11,982,231.49 3.43 270,800.00 HONG KONG LAND HOLDINGS LTD 1,543,431.77 0.44
271,500.00 AMCOR LTD 2,313,660.99 0.66 369,492.00 NWS HOLDINGS LTD 629,327.37 0.18
755,720.00 BHP BILLITON LTD 16,302,612.35 4.68 162,500.00 YUE YUEN INDUSTRIAL HOLDINGS 388,877.89 0.11
60,141.00 CALTEX AUSTRALIA LTD 1,120,174.36 0.32 1,486,000.00 LI FUNG 286,126.10 0.08
133,671.00 LEND GRP - STAPLED SECURITIES 1,637,059.65 0.47 159,000.00 CK INFRASTRUCTURE HOLDINGS LTD 1,084,649.54 0.31
640,718.00 NAT. AUSTRALIA BANK 11,099,711.95 3.18 Cayman Islands 19,808,326.91 5.67
319,110.00 QBE INSURANCE GROUP 2,210,492.24 0.63
416,619.00 SANTOS LTD 1,884,167.41 0.54 180,000.00 MINTH GROUP LTD 639,698.97 0.18
807,094.00 WESTPAC BANKING CORP 14,042,319.45 4.02 59,100.00 MELCO PBL ENTERTAINMENT (MACAU) LTD 1,076,164.44 0.31
266,796.00 WESFARMERS 8,284,919.08 2.37 72,000.00 ASM PACIFIC TECHNOLOGY 631,380.90 0.18
221,472.00 WOODSIDE PETROLEUM 5,322,612.45 1.52 368,400.00 WYNN MACAU LTD 729,613.31 0.21
32,487.00 RAMSAY HEALTH CARE LTD 1,111,637.03 0.32 573,600.00 SANDS CHINA LTD 2,237,309.18 0.64
414,703.00 COMMONWEALTH BANK OF AUSTRALIA 18,447,605.58 5.29 222,400.00 MGM CHINA HOLDINGS LTD 303,429.00 0.09
120,521.00 COCA-COLA AMATIL LTD 732,750.86 0.21 905,800.00 HKT LTD - STAPLED SECURITY 1,072,371.36 0.31
179,717.00 NEWCREST MINING LTD 2,172,993.81 0.62 2,094,000.00 WH GROUP 144A/REGS 1,269,488.87 0.36
965,864.00 TELSTRA CORP 1,919,333.56 0.55 635,464.00 CK HUTCHISON 6,306,641.01 1.80
859,946.00 MIRVAC GROUP STAPLED SECURITIES 1,291,017.17 0.37 608,964.00 CK ASSET HOLDINGS LTD 3,936,408.05 1.13
90,340.00 ORICA LIMITED 958,381.73 0.27 289,005.00 WHARF REIC - REGISTERED 1,605,821.82 0.46
699,425.00 AMP LIMITED 1,389,874.63 0.40 Hong Kong 73,533,408.62 21.06
45,194.00 ASX LTD 1,792,219.55 0.51
351,371.00 MTR CORP LTD 1,592,809.18 0.46
131,465.00 BLUESCOPE STEEL 1,390,566.06 0.40
188,000.00 WHEELOCK COMPANY LTD 971,167.34 0.28
114,576.00 BENDIGO AND ADELAIDE BANK 767,265.93 0.22
481,000.00 HANG LUNG PROPERTIES LTD 809,724.22 0.23
582,124.00 ALUMINA 1,004,474.85 0.29
288,680.00 BANK OF EAST ASIA LTD 927,470.64 0.27
371,935.00 FORTESCUE METALS GROUP LTD 908,232.23 0.26
304,681.00 HENDERSON LAND DEVLOPMENT CO LTD 1,319,139.51 0.38
131,337.00 CHALLENGER 916,323.68 0.26
330,000.00 POWER ASSETS HOLDINGS 1,978,841.74 0.57
379,901.00 INCITEC PIVOT LTD 941,883.75 0.27
179,900.00 HANG SENG BANK LTD 4,208,187.13 1.21
374,571.00 BRAMBLES 2,543,340.12 0.73
291,005.00 WHARF HOLDINGS 681,994.19 0.20
154,317.00 AGL ENERGY LTD 1,874,529.06 0.54
209,000.00 HANG LUNG GROUP LTD 478,310.86 0.14
95,740.00 BANK OF QUEENSLAND LTD 657,232.17 0.19
2,171,974.00 HONG KONG CHINA GAS 3,713,695.21 1.06
273,198.00 APA GROUP STAPLED SECURITY 1,698,446.42 0.49
1,464,063.00 NEW WORLD DEVELOPMENT 1,720,408.72 0.49

The accompanying notes form an integral part of these financial statements

73
AMUNDI INDEX MSCI PACIFIC EX JAPAN

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
118,000.00 SWIRE PACIFIC LTD SIE A 1,113,311.66 0.32 Warrants, Rights 3,964.37 0.00
375,000.00 SUN HUNG KAI PROPERTIES LTD 4,703,668.87 1.34 Australia 3,964.37 0.00
147,000.00 HYSAN DEVELOPMENT 639,682.46 0.18
7,955.00 HARVEY NORMAN HOLDINGS 15.10.18 RIGHT 3,964.37 0.00
788,844.00 SINO LAND 1,164,780.96 0.33
384,000.00 CHINA L&P HLDGS 3,872,258.26 1.11 Total securities portfolio 344,338,908.68 98.61
870,500.00 BOC HONG KONG (HOLDINGS) LTD 3,562,971.40 1.02
1,004,000.00 PCCW LTD 503,731.58 0.14
323,500.00 TECHTRONIC INDUSTRIES CO LTD 1,779,692.25 0.51
554,000.00 GALAXY ENTERTAINMENT GROUP LTD 3,026,423.07 0.87
275,612.00 HONG KONG EXCHANGES AND CLEARING LTD 6,792,767.69 1.94
506,137.00 THE LINK REIT UNITS 4,290,830.41 1.23
469,000.00 SJM HOLDINGS LTD 373,604.44 0.11
278,600.00 SWIRE PROPERTIES LTD 908,879.76 0.26
2,841,600.00 AIA GROUP LTD 21,854,493.24 6.25
626,500.00 HKE AND HKE LTD STAPLED SEC 544,563.83 0.16
Ireland 1,362,876.57 0.39

104,381.00 JAMES HARDIES IND/CHESS UNITS OF FOR SEC 1,362,876.57 0.39


Mauritius 219,717.72 0.06

1,394,812.00 GOLDEN AGRI-RESOURCES 219,717.72 0.06


New Zealand 6,232,764.60 1.78

202,933.00 FLETCHER BUILDING LTD 757,523.87 0.22


135,876.00 FISCHER AND PAYKEL INDUSTRIES LTD 1,167,199.66 0.33
421,286.00 SPARK NEW 973,863.18 0.28
95,123.00 RYMAN HEALTHCARE GROUP LTD 760,115.30 0.22
220,046.00 AUCKLAND INTERNATIONAL AIRPORT LTD 916,858.33 0.26
285,890.00 MERIDIAN ENERGY LTD 536,043.75 0.15
174,447.00 THE A2 MILK CO LTD 1,121,160.51 0.32
Papua New Guinea 1,815,017.06 0.52

322,663.00 OIL SEARCH 1,815,017.06 0.52


Singapore 36,874,675.32 10.56

191,300.00 SINGAPORE EXCHANGE LTD 888,365.84 0.25


609,900.00 CAPITALAND LTD 1,295,083.96 0.37
369,100.00 SINGAPORE TECHNOLOGIES ENGINEERING 827,948.71 0.24
420,610.00 DBS GROUP HOLDINGS 6,914,536.34 1.99
99,800.00 CITY DEVELOPMENT 572,872.94 0.16
23,100.00 JARDINE CYCLE & CARRIAGE LTD 465,624.27 0.13
313,040.00 UNITED OVERSEAS BANK 5,341,434.23 1.54
120,343.00 UOL GROUP LTD 522,455.67 0.15
63,400.00 VENTURE CORPORATION LIMITED 704,289.09 0.20
596,600.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 992,422.42 0.28
161,100.00 SATS 529,877.45 0.15
509,300.00 COMFORTDELGRO CORP 779,810.97 0.22
390,300.00 S'PORE PRESS HOLDINGS LTD 705,813.30 0.20
519,100.00 SUNTEC REAL ESTATE INVESTMENT TRUST 631,273.75 0.18
228,100.00 SEMBCORP INDUSTRIES LTD 444,112.66 0.13
721,221.00 OVERSEA-CHINESE BANKING CORPORATION LTD 5,198,808.00 1.49
1,921,100.00 SINGAPORE TELECOM - SH BOARD LOT 1000 3,921,970.95 1.12
530,400.00 YANGZIJIANG SHIPBUILDING (HOLDINGS) LTD 414,414.16 0.12
345,900.00 KEPPEL CORPORATION LTD 1,516,942.76 0.43
129,000.00 SINGAPORE AIRLINES LTD 791,695.28 0.23
460,400.00 WILMAR INTERNATIONAL LTD 934,115.50 0.27
593,400.00 CAPITAMALL REAL ESTATE INVESTMENT TRUST 830,060.80 0.24
615,887.00 CAPITACOMMERCIAL REAL ESTATE INV TRUST 690,765.17 0.20
1,437,300.00 GENTING SPORE -REGISTERED SHS 959,981.10 0.27

The accompanying notes form an integral part of these financial statements

74
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
9,211.00 INCITEC PIVOT LTD 26,524.85 0.00
Long positions 605,678,273.29 99.25
23,131.00 BRAMBLES 182,424.82 0.03
Other transferable securities 117,018.00 0.02 13,896.00 AGL ENERGY LTD 196,059.29 0.03
12,385.00 BANK OF QUEENSLAND LTD 98,750.80 0.02
Shares 117,018.00 0.02
13,691.00 APA GROUP STAPLED SECURITY 98,861.85 0.02
Canada 117,018.00 0.02 26,030.00 GOODMAN GROUP - STAPLED SECURITY 195,117.82 0.03
3,177.00 TELUS CORP 117,018.00 0.02 5,361.00 MACQUARIE GROUP 488,896.82 0.08
2,428.00 CROWN RESORTS 24,050.00 0.00
Shares/Units of UCITS/UCIS 61,331.72 0.01
12,373.00 DEXUS - STAPLED SECURITY 94,537.03 0.02
Shares/Units in investment funds 61,331.72 0.01 22,715.00 GPT GROUP STAPLED SECURITY 85,627.54 0.01
Canada 61,331.72 0.01 54,340.00 STOCKLAND 163,166.40 0.03
5,884.00 SEEK LTD 88,381.84 0.01
4,012.00 H&R REAL ESTATE 61,331.72 0.01 12,000.00 TREASURY WINE ESTATES LTD 151,856.73 0.02
Transferable securities admitted to an official stock exchange 605,499,923.57 99.22 12,812.00 SYDNEY AIRPORT STAPLED SECURITY 63,870.33 0.01
listing 1,609.00 REA GROUP LTD 100,037.74 0.02
Shares 605,449,095.72 99.21
7,902.00 TPG TELECOM LTD 48,826.76 0.01
Australia 14,259,985.51 2.34 19,508.00 AURIZON HOLDINGS LTD 58,011.97 0.01
12,589.00 BORAL LTD 62,940.80 0.01 799.00 DOMINO S PIZZA ENTERPRISES LTD 30,755.40 0.01
24,600.00 ORIGIN ENERGY LTD 147,020.59 0.02 85,979.00 SCENTRE GRP - STAPLED SECURITY 246,970.97 0.04
14,362.00 SUNCORP GROUP 150,260.98 0.02 27,856.00 AUSNET SVCS - STAPLED SECURITY 32,751.80 0.01
26,524.00 INSURANCE AUSTRALIA GROUP LIMITED 140,479.55 0.02 8,840.00 HEALTHSCOPE LTD 13,431.81 0.00
18,780.00 WOOLWORTHS GRP - REGISTERED 381,553.72 0.06 54,136.00 MEDIBANK PRIVATE LTD 113,983.55 0.02
1,645.00 FLIGHT CENTRE LIMITED 63,272.34 0.01 2,172.00 CIMIC GROUP 80,713.81 0.01
937.00 COCHLEAR 136,025.43 0.02 96,310.00 SOUTH 32 LTD 273,162.11 0.04
26,565.00 HARVEY NORMAN HOLDINGS 67,657.43 0.01 68,979.00 VICINITY CENTRES 130,761.90 0.02
4,956.00 SONIC HEALTHCARE LTD 89,323.97 0.01 Austria 647,424.86 0.11
4,849.00 COMPUTERSHARE LIMITED 69,993.56 0.01
1,785.00 ANDRITZ AG 104,182.19 0.02
6,856.00 CSL LTD 997,625.37 0.17
2,117.00 VOESTALPINE AG 96,880.48 0.02
13,567.00 TABCORP HOLDINGS LTD 47,805.28 0.01
4,720.00 ERSTE GROUP BANK AG 196,155.98 0.03
36,536.00 TRANSURBAN GROUP 296,603.90 0.05
4,093.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 117,899.68 0.02
9,708.00 ARISTOCRAT LEISURE 199,766.37 0.03
2,354.00 OMV AG 132,306.53 0.02
5,727.00 RIO TINTO 326,359.23 0.05
40,779.00 ANZ BANKING GROUP LTD 831,458.49 0.14 Belgium 2,270,807.17 0.37
16,184.00 AMCOR LTD 160,189.85 0.03 1,298.00 GROUPE BRUXELLES LAMBERT GBL 136,138.72 0.02
47,261.00 BHP BILLITON LTD 1,184,181.86 0.20 3,847.00 KBC GROUPE SA 286,417.42 0.05
3,759.00 CALTEX AUSTRALIA LTD 81,321.72 0.01 1,193.00 SOLVAY 160,044.83 0.03
8,439.00 LEND GRP - STAPLED SECURITIES 120,043.19 0.02 1,798.00 UCB 161,640.38 0.03
38,599.00 NAT. AUSTRALIA BANK 776,676.30 0.13 3,825.00 PROXIMUS SA 91,431.54 0.01
25,571.00 QBE INSURANCE GROUP 205,738.47 0.03 1,580.00 TELENET GROUP HOLDING NV 87,023.77 0.01
28,566.00 SANTOS LTD 150,054.51 0.02 576.00 COLRUYT 32,614.93 0.01
50,531.00 WESTPAC BANKING CORP 1,021,155.40 0.18 2,137.00 AGEAS NOM 114,947.23 0.02
15,706.00 WESFARMERS 566,491.98 0.09 60,533.00 AB INBEV 981,841.93 0.15
14,590.00 WOODSIDE PETROLEUM 407,268.22 0.07 3,909.00 UMICORE SA 218,706.42 0.04
2,987.00 RAMSAY HEALTH CARE LTD 118,715.61 0.02
Bermuda 2,379,873.36 0.39
24,628.00 COMMONWEALTH BANK OF AUSTRALIA 1,272,480.65 0.22
2,244.00 COCA-COLA AMATIL LTD 15,846.58 0.00 474.00 EVEREST REINSURANCE GROUP 108,294.78 0.02
9,813.00 NEWCREST MINING LTD 137,813.05 0.02 7,573.00 MARVELL TECHNOLOGY GROUP LTD 146,158.90 0.02
46,040.00 TELSTRA CORP 106,264.70 0.02 6,000.00 SHANGRI - LA ASIA LTD 8,925.33 0.00
60,961.00 MIRVAC GROUP STAPLED SECURITIES 106,299.72 0.02 955.00 RENAISSANCERE HOLDINGS LTD 127,568.90 0.02
2,087.00 ORICA LIMITED 25,715.81 0.00 4,200.00 JARDINE MATHESON HLD 263,550.00 0.04
40,295.00 AMP LIMITED 93,004.68 0.02 4,600.00 JARDINE STRATEGIC HOLDINGS 166,980.00 0.03
2,690.00 ASX LTD 123,903.03 0.02 19,000.00 HONG KONG LAND HOLDINGS LTD 125,780.00 0.02
7,674.00 BLUESCOPE STEEL 94,280.63 0.02 1,732.00 BUNGE LTD 119,005.72 0.02
8,851.00 BENDIGO AND ADELAIDE BANK 68,843.64 0.01 36,932.00 NWS HOLDINGS LTD 73,062.35 0.01
64,120.00 ALUMINA 128,509.81 0.02 7,500.00 YUE YUEN INDUSTRIAL HOLDINGS 20,846.85 0.00
25,489.00 FORTESCUE METALS GROUP LTD 72,293.94 0.01 6,576.00 ARCH CAPITAL GROUP LTD 196,030.56 0.03
15,698.00 CHALLENGER 127,211.21 0.02 439.00 AXIS CAPITAL HOLDINGS LTD 25,334.69 0.00

The accompanying notes form an integral part of these financial statements

75
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
8,540.00 INVESCO LTD 195,395.20 0.03 4,753.00 GILDAN ACTIVEWEAR 144,509.91 0.02
138,000.00 LI FUNG 30,862.91 0.01 1,502.00 IGM FINANCIAL INC 41,251.10 0.01
3,117.00 NORVERGIAN CRUISE LINE LTD 179,009.31 0.03 28,211.00 KINROSS GOLD CORP 76,824.26 0.01
3,494.00 AXALTA COATING SYSTEMS 101,885.04 0.02 232.00 LINAMAR CORP 10,681.08 0.00
6,008.00 IHS MARKIT 324,191.68 0.06 12,372.00 BROOKFIELD ASSET MANAGEMENT INC -A- 550,261.95 0.09
2,619.00 ATHENE HOLDING REG A 135,297.54 0.02 10,120.00 FIRST QUANTUM MINERALS LTD 115,167.64 0.02
4,000.00 CK INFRASTRUCTURE HOLDINGS LTD 31,693.60 0.01 7,264.00 ALIMENTATION COUCHE - TARD INC SUB VTG B 363,088.79 0.06
British Virgin Islands 196,150.16 0.03 2,222.00 BCE INC 89,956.40 0.01
4,249.00 RIOCAN REIT (UNITS) 81,127.70 0.01
2,861.00 MICHAEL KORS HOLDINGS LTD 196,150.16 0.03 798.00 EMERA 24,793.27 0.00
Canada 20,532,608.84 3.36 3,836.00 CI FINANCIAL 60,866.95 0.01
600.00 METHANEX CORP 47,328.02 0.01 2,448.00 INTACT FINANCIAL CORP 203,400.94 0.03
28,321.00 MANULIFE FINANCIAL REGISTERED 505,905.94 0.08 8,026.00 CRESCENT POINT ENERGY CORP 51,039.71 0.01
9,522.00 SUN LIFE FINANCIAL INC 378,273.48 0.06 5,630.00 DOLLARAMA INC 177,228.41 0.03
8,586.00 HUSKY ENERGY 150,650.72 0.02 12,625.00 CENOVUS ENERGY INC 126,680.17 0.02
3,246.00 METRO -A- SUB VTG 100,901.06 0.02 5,689.00 ALTAGAS 90,445.10 0.01
10,061.00 GOLDCORP 102,431.68 0.02 600.00 VERMILION ENERGY INC 19,755.60 0.00
560.00 INDUSTRIAL ALLIANCE INSURANCE AND FIN. 22,376.68 0.00 358.00 CONSTELLATION SOFTWARE 263,077.96 0.04
4,372.00 OPEN TEXT 166,242.07 0.03 1,200.00 ARC RESOURCES 13,368.45 0.00
1,953.00 CANADIAN PACIFIC RAILWAY 412,826.81 0.07 900.00 TOURMALINE OIL CORP 15,833.26 0.00
2,951.00 ENBRIDGE 95,287.79 0.02 5,873.00 PEMBINA PIPELINE CORP 199,417.31 0.03
3,659.00 CGI GROUP SUB.VTG SHS -A- 235,743.86 0.04 971.00 KEYERA 25,999.09 0.00
10,307.00 CANADIAN NATIONAL RAILWAY 924,172.36 0.16 5,493.00 TURQUOISE HILL 11,686.37 0.00
22,275.00 BARRICK GOLD 246,256.22 0.04 4,996.00 FIRST CAP REALTY 75,369.27 0.01
3,213.00 AGNICO EAGLE MINES 109,668.90 0.02 8,944.00 BLACKBERRY LTD 101,161.77 0.02
2,711.00 ATCO CLASS 1 NON VOTING 79,174.21 0.01 3,576.00 INTER PIPELINE 61,970.19 0.01
9,869.00 BANK OF MONTREAL 813,435.47 0.14 2,422.00 WSP GLOBAL 132,455.31 0.02
16,712.00 BANK OF NOVA SCOTIA 995,405.45 0.17 808.00 PRAIRIESKY ROYALTY LTD 14,183.49 0.00
27,220.00 BOMBARDIER INC B 96,868.64 0.02 850.00 SEVEN GENERATIONS ENERGY LTD 10,126.91 0.00
3,623.00 CAE INC 73,491.70 0.01 3,430.00 RESTAURANT BRANDS INTERNATIONAL INC 202,945.42 0.03
2,100.00 CAMECO CORP 23,930.92 0.00 3,153.00 SMART REIT TRUST UNITS VARIABLE VOTING 74,422.36 0.01
6,669.00 CANADIAN IMPERIAL BANK OF COMMERCE 624,440.43 0.11 6,931.00 HYDRO ONE LTD 105,311.22 0.02
597.00 CANADIAN TIRE CORP -A- NON VOTING 69,898.09 0.01 23,732.00 SUNCOR ENERGY INC 917,630.54 0.16
1,572.00 CANADIAN UTILITIES -A- NON VOTING 38,625.16 0.01 1,766.00 FRANCO-NEVADA CORP 110,392.44 0.02
1,709.00 CCL INDUSTRIES INC -B- NON-VOTING 76,975.32 0.01 14,464.00 TRANSCANADA CORP 584,783.47 0.10
2,244.00 EMPIRE -A- NON VOTING 40,866.42 0.01 23,116.00 ENBRIDGE INC 745,379.87 0.13
391.00 FAIRFAX FINANCIAL HOLDINGS SUB.VTG 212,270.80 0.03 9,982.00 LUNDIN MINING CORP 52,821.52 0.01
2,736.00 FINNING INTERNATIONAL 66,780.97 0.01 1,611.00 WEST FRASER TIMBER CO 91,617.67 0.02
3,671.00 GREAT WEST LIFECO INC 89,006.28 0.01 16,665.00 CANADIAN NATURAL RESOURCES 544,070.32 0.09
4,514.00 IMPERIAL OIL 145,973.86 0.02 4,461.00 WASTE CONNECTIONS INC 355,853.97 0.06
2,165.00 LOBLAW COMPANIES 111,147.97 0.02 1,271.00 SHOPIFY -A- SUBORD VOTING 208,753.04 0.03
5,258.00 NATIONAL BK CANADA COMMON 262,412.72 0.04 4,724.00 WHEATON PRECIOUS METAL - REGISTERED 82,595.35 0.01
1,388.00 ONEX CORP SUB.VOTING 94,849.48 0.02 8,279.00 NUTRIEN - REGISTERED 477,680.52 0.08
1,300.00 POWER FINANCIAL 29,759.50 0.00 5,479.00 BAUSCH HEALTH -REGISTERED SHS 140,599.58 0.02
3,788.00 POWER CORP DU CANADA SUB. 82,230.87 0.01 16,425.00 AURORA CANNABIS 157,693.73 0.03
5,272.00 ROGERS COMMUNICATIONS -B- NON VOTING 270,942.37 0.04 Cayman Islands 1,302,927.69 0.21
20,792.00 ROYAL BANK OF CANADA 1,665,488.71 0.28
22,000.00 MINTH GROUP LTD 90,812.37 0.01
6,653.00 SHAW COMMUNICATIONS -B- NON.VOTING 129,550.18 0.02
2,900.00 MELCO PBL ENTERTAINMENT (MACAU) LTD 61,335.00 0.01
6,063.00 TECK RESOURSES LTD -B- 146,017.18 0.02
700.00 ASM PACIFIC TECHNOLOGY 7,129.78 0.00
5,297.00 THOMSON REUTERS 241,533.50 0.04
28,400.00 WYNN MACAU LTD 65,329.70 0.01
27,332.00 TORONTO DOMINION BANK 1,659,674.83 0.28
40,000.00 SANDS CHINA LTD 181,215.80 0.03
1,469.00 GEORGE WESTON 111,112.95 0.02
17,600.00 MGM CHINA HOLDINGS LTD 27,890.36 0.00
2,695.00 SAPUTO 80,103.85 0.01
14,000.00 HKT LTD - STAPLED SECURITY 19,251.30 0.00
3,978.00 MAGNA INTERNATIONAL SHS -A- SUB.VTG 208,810.29 0.03
99,500.00 WH GROUP 144A/REGS 70,063.93 0.01
12,116.00 ENCANA CORP 158,691.44 0.03
35,972.00 CK HUTCHISON 414,658.87 0.08
6,428.00 FORTIS INC 208,266.69 0.03
37,472.00 CK ASSET HOLDINGS LTD 281,342.01 0.05
3,007.00 SNC-LAVALIN GROUP 122,527.62 0.02

The accompanying notes form an integral part of these financial statements

76
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
13,000.00 WHARF REIC - REGISTERED 83,898.57 0.01 2,968.00 MICHELIN SA REG SHS 354,902.83 0.06
Denmark 3,663,693.10 0.60 304.00 INGENICO GROUP 23,106.60 0.00
51.00 DASSAULT AVIATION SA 94,422.98 0.02
2,313.00 VESTAS WIND SYSTEMS AS 156,496.98 0.03
2,818.00 ESSILOR INTERNATIONAL SA 417,157.49 0.07
1,206.00 GENMAB AS 189,718.29 0.03
2,158.00 CASINO GUICHARD PERRACHON SA 90,786.05 0.01
11,448.00 DANSKE BANK 300,805.11 0.05
436.00 REMY COINTREAU 56,819.65 0.01
1,246.00 H. LUNDBECK 76,987.60 0.01
730.00 IMERYS SA 53,926.12 0.01
2,059.00 CARLSBERG AS -B- 247,066.08 0.04
5,017.00 AIR LIQUIDE SA 660,226.92 0.11
105.00 A.P. MOELLER-MAERSK -B- A/S 147,515.06 0.02
2,471.00 L'OREAL SA 596,112.81 0.10
21.00 A.P. MOELLER-MAERSK -A- 27,556.86 0.00
157.00 WENDEL SA 23,377.98 0.00
3,064.00 DSV 278,703.31 0.05
4,043.00 LVMH 1,430,384.69 0.24
1,826.00 CHRISTIAN HANSEN 185,433.79 0.03
3,320.00 PERNOD RICARD SA 544,878.23 0.09
2,268.00 PANDORA 141,689.03 0.02
7,755.00 PEUGEOT SA 209,242.66 0.03
2,484.00 NOVOZYMES -B- 136,418.86 0.02
8,002.00 VINCI SA 762,320.37 0.12
1,392.00 COLOPLAST -B- 142,400.96 0.02
522.00 SEB SA 88,884.02 0.01
25,689.00 NOVO NORDISK 1,209,955.78 0.21
975.00 SODEXHO SA 103,439.13 0.02
2,655.00 ISS A/S 93,457.35 0.02
7,664.00 SCHNEIDER ELECTRIC SE 616,890.30 0.10
1,556.00 TRYG A/S 38,752.40 0.01
113.00 BIC(SOCIETE) - ACT PORTEUR/NOM 10,349.03 0.00
2,117.00 WILLIAM DEMANT HOLDINGS A/S 79,597.36 0.01
840.00 EURAZEO 66,198.53 0.01
3,107.00 ORSTED 211,138.28 0.03
10,134.00 SOCIETE GENERALE SA 435,160.60 0.07
Finland 2,380,154.78 0.39 806.00 TELEPERFORMANCE SA 152,127.46 0.02
9,777.00 STORA ENSO -R- 187,089.87 0.03 1,230.00 THALES 174,794.72 0.03
6,574.00 UPM KYMMENE CORP 258,086.69 0.04 33,588.00 TOTAL SA 2,178,455.88 0.37
2,652.00 NOKIAN TYRES PLC 108,703.72 0.02 16,312.00 SANOFI 1,450,535.47 0.25
851,502.00 NOKIA OYJ 483,839.03 0.08 82.00 EUROFINS SCIENTIFIC 46,573.83 0.01
7,478.00 SAMPO OYJ -A- 387,382.09 0.06 27,993.00 ORANGE 446,578.00 0.07
6,438.00 WARTSILA CORPORATION -B- 125,551.20 0.02 4,893.00 SAFRAN 685,964.59 0.11
3,248.00 ELISA CORPORATION -A- 137,811.32 0.02 2,705.00 CNP ASSURANCES 65,224.96 0.01
1,278.00 METSO CORP 45,333.48 0.01 416.00 GECINA SA REG SHS 69,481.86 0.01
5,468.00 FORTUM CORP 137,119.87 0.02 155.00 ILIAD SA 20,253.66 0.00
5,186.00 KONE -B- 277,203.26 0.05 193.00 COVIVIO SA 20,119.21 0.00
2,256.00 NESTE 186,568.49 0.03 35,523.00 ENGIE 246,708.08 0.04
1,200.00 ORION CORPORATION (NEW) -B- 45,465.76 0.01 1,988.00 ALSTOM SA 88,875.80 0.01
4,183.00 EDF SA 73,485.64 0.01
France 21,306,487.93 3.49
717.00 EUTELSAT COMMUNICATIONS SA 16,955.72 0.00
6,301.00 VEOLIA ENVIRONNEMENT SA 125,806.93 0.02 793.00 IPSEN 133,370.86 0.02
16,987.00 VIVENDI SA 437,422.98 0.07 4,571.00 LEGRAND SA 333,312.61 0.05
1,043.00 KERING 559,323.93 0.09 1,163.00 ARKEMA SA 144,132.97 0.02
15,578.00 CREDIT AGRICOLE SA 224,110.39 0.04 324.00 AEROPORTS DE PARIS-ADP- 72,969.61 0.01
965.00 EIFFAGE 107,780.70 0.02 2,131.00 SCOR SE ACT PROV REGROUPEMENT 99,006.26 0.02
545.00 HERMES INTERNATIONAL SA 361,199.79 0.06 5,929.00 REXEL SA 89,077.32 0.01
15,969.00 BNP PARIBAS SA 977,664.74 0.17 3,691.00 BUREAU VERITAS SA 95,302.16 0.02
1,528.00 ATOS 181,914.13 0.03 5,312.00 GETLINK ACT 67,868.77 0.01
2,862.00 PUBLICIS GROUPE 171,130.49 0.03 411.00 ICADE SA 37,999.17 0.01
2,259.00 RENAULT SA 195,475.22 0.03 1,783.00 SUEZ ACT. 25,348.48 0.00
1,715.00 DASSAULT SYSTEMES SA 256,466.46 0.04 2,898.00 EDENRED SA 110,506.67 0.02
3,109.00 ACCOR SA 159,683.00 0.03 631.00 AMUNDI SA 47,301.79 0.01
3,581.00 BOLLORE INVESTISSEMENT 15,472.71 0.00 2,413.00 VALEO SA 104,820.96 0.02
4,068.00 KLEPIERRE SA 144,253.70 0.02 1,460.00 FAURECIA 87,909.75 0.01
28,682.00 AXA SA 771,222.41 0.14 369.00 SODEXO PRIME DE FIDELITE 2021 39,147.73 0.01
2,849.00 BOUYGUES 123,198.30 0.02 5,726.00 ENGIE (ACT NOM PRIME DE FIDELITE) 84,231.74 0.01
9,737.00 DANONE 754,345.35 0.12 993.00 L OREAL (ACT NOM PRIME DE FIDELITE 2019) 239,554.85 0.04
2,096.00 CAPGEMINI SE 263,900.23 0.04 1,070.00 EDF (ACT NOM PRIME DE FIDELITE 2016) 18,797.43 0.00
6,805.00 CARREFOUR SA 130,416.12 0.02 1,578.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 207,661.57 0.03
45,361.00 NATIXIS SA 76,831.18 0.01 617.00 BIOMERIEUX SA 51,455.15 0.01
6,802.00 CIE DE SAINT-GOBAIN 293,464.93 0.05 2,020.00 UNIBAIL RODAMCO 406,413.96 0.07
963.00 UBISOFT ENTERTAINMENT 104,492.56 0.02

The accompanying notes form an integral part of these financial statements

77
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Germany 19,855,321.02 3.25 5,095.00 PROSIEBENSAT.1 NAMEN-AKT 132,382.14 0.02
45,994.00 DEUTSCHE TELEKOM AG REG SHS 741,764.90 0.12 2,250.00 ZALANDO SE 87,574.20 0.01
15,179.00 INFINEON TECHNOLOGIES REG SHS 345,027.09 0.06 5,025.00 TUI AG REG SHS 96,527.48 0.02
1,792.00 UNITED INTERNET AG REG SHS 84,817.38 0.01 3,319.00 COVESTRO AG 269,311.59 0.04
2,541.00 DEUTSCHE BOERSE AG REG SHS 340,588.27 0.06 2,479.00 SCHAEFFLER 31,701.74 0.01
15,037.00 DEUTSCHE POST AG REG SHS 536,364.76 0.09 4,348.00 UNIPER NAMEN-AKT. 133,880.86 0.02
7,637.00 RWE AG 188,495.48 0.03 2,475.00 DELIVERY HERO SE 119,070.59 0.02
1,068.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 150,966.66 0.02 6,201.00 METRO WHOLESALE AND FOOD SPECIALIST AG 97,233.23 0.02
730.00 FRAPORT AG 64,524.81 0.01 2,623.00 LINDE AG 620,595.37 0.10
6,670.00 ALLIANZ SE REG SHS 1,487,463.36 0.24 1,701.00 SIEMENS HEALTHINEERS 74,830.08 0.01
5,212.00 BMW AG 470,435.98 0.08 2,444.00 INNOGY SE 103,754.70 0.02
688.00 BMW VORZUG - STIMMRECHTSLOS 54,099.88 0.01 Hong Kong 4,832,225.94 0.79
1,072.00 BEIERSDORF AG 121,001.54 0.02
21,776.00 MTR CORP LTD 114,655.57 0.02
1,589.00 CONTINENTAL AG 276,751.24 0.05
9,000.00 WHEELOCK COMPANY LTD 54,000.52 0.01
6,436.00 FRESENIUS SE & CO KGAA 472,745.18 0.08
12,000.00 HANG LUNG PROPERTIES LTD 23,463.48 0.00
597.00 FUCHS PETROLUB AG 33,367.15 0.01
24,842.00 BANK OF EAST ASIA LTD 92,702.03 0.02
2,554.00 HEIDELBERGCEMENT AG 199,702.83 0.03
15,900.00 HENDERSON LAND DEVLOPMENT CO LTD 79,957.96 0.01
3,089.00 HENKEL AG & CO KGAA 362,554.62 0.06
20,000.00 POWER ASSETS HOLDINGS 139,298.47 0.02
1,166.00 HENKEL KGAA 123,851.56 0.02
10,000.00 HANG SENG BANK LTD 271,695.91 0.04
590.00 HOCHTIEF AG 97,858.70 0.02
6,000.00 WHARF HOLDINGS 16,332.43 0.00
444.00 MAN SE 48,295.87 0.01
3,000.00 HANG LUNG GROUP LTD 7,974.52 0.00
2,139.00 MUENCHENER RUECKVERSICHERUNGS AG REG 473,908.55 0.08
111,646.00 HONG KONG CHINA GAS 221,724.67 0.04
SHS
13,904.00 SAP AG 1,711,846.58 0.28 57,924.00 NEW WORLD DEVELOPMENT 79,058.70 0.01
402.00 SARTORIUS VORZ.OHNE STIMMRECHT. 65,275.84 0.01 2,000.00 SWIRE PACIFIC LTD SIE A 21,917.14 0.00
324.00 VOLKSWAGEN AG 56,486.53 0.01 26,062.00 SUN HUNG KAI PROPERTIES LTD 379,692.86 0.06
2,290.00 GEA GROUP AG 81,603.73 0.01 8,000.00 HYSAN DEVELOPMENT 40,434.89 0.01
4,889.00 THYSSENKRUPP AG 123,452.19 0.02 16,636.00 SINO LAND 28,531.28 0.00
1,591.00 MERCK KGAA 164,467.24 0.03 23,500.00 CHINA L&P HLDGS 275,245.46 0.05
244.00 PUMA AG 120,447.55 0.02 52,500.00 BOC HONG KONG (HOLDINGS) LTD 249,587.07 0.04
3,100.00 FRESENIUS MEDICAL CARE AG & CO KGAA 318,945.58 0.05 14,500.00 TECHTRONIC INDUSTRIES CO LTD 92,652.65 0.02
2,901.00 DEUTSCHE LUFTHANSA AG REG SHS 71,298.86 0.01 36,000.00 GALAXY ENTERTAINMENT GROUP LTD 228,423.92 0.04
10,886.00 SIEMENS AG REG 1,395,148.78 0.23 17,424.00 HONG KONG EXCHANGES AND CLEARING LTD 498,787.68 0.08
33,154.00 DEUTSCHE BANK AG REG SHS 378,460.27 0.06 29,000.00 THE LINK REIT UNITS 285,555.46 0.05
1,128.00 1&1 DRILLISCH AKTIENGESELLSCHAFT 54,896.21 0.01 11,000.00 SJM HOLDINGS LTD 10,177.73 0.00
13,556.00 DAIMLER NAMEN-AKT 855,756.74 0.14 4,600.00 SWIRE PROPERTIES LTD 17,430.20 0.00
891.00 AXEL SPRINGER NAMEN AKT VINKULIERT 59,972.25 0.01 177,800.00 AIA GROUP LTD 1,588,286.22 0.27
809.00 LANXESS AG 59,273.34 0.01 14,500.00 HKE AND HKE LTD STAPLED SEC 14,639.12 0.00
875.00 MTU AERO ENGINES HOLDING AG 197,266.26 0.03 Ireland 8,197,135.91 1.34
4,116.00 DEUTSCHE WOHNEN AG 197,539.93 0.03
5,045.00 JAMES HARDIES IND/CHESS UNITS OF FOR SEC 76,509.52 0.01
1,437.00 SYMRISE AG 131,222.71 0.02
11,078.00 CRH PLC 362,594.79 0.06
1,594.00 WIRECARD AG 345,662.17 0.06
1,888.00 KERRY GROUP -A- 208,874.87 0.03
27,605.00 E.ON AG REG SHS 281,514.97 0.05
2,546.00 SMURFIT KAPPA PLC 100,721.52 0.02
1,599.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 107,719.83 0.02
4,199.00 INGERSOLL-RAND 429,557.70 0.07
2,366.00 VOLKSWAGEN VORZ.AKT 416,613.32 0.07
9,286.00 ACCENTURE - SHS CLASS A 1,580,477.20 0.26
13,373.00 BAYER AG REG SHS 1,188,409.90 0.19
5,123.00 SEAGATE TECHNOLOGY PLC 242,574.05 0.04
2,229.00 BRENNTAG - NAMEN AKT 137,630.36 0.02
2,317.00 ALKERMES 98,333.48 0.02
13,992.00 BASF SE REG SHS 1,244,068.25 0.20
922.00 JAZZ PHARMACEUTICALS PLC 155,015.86 0.03
2,857.00 ADIDAS NAMEN AKT 699,851.72 0.11
6,754.00 EATON CORPORATION PUBLIC LIMITED COMPANY 585,774.42 0.10
3,279.00 K+S 68,858.74 0.01
953.00 DCC PLC 86,561.78 0.01
1,153.00 HUGO BOSS AG 88,816.38 0.01
2,061.00 ALLEGION PLC WI 186,664.77 0.03
8,507.00 TELEFONICA NAMEN AKT 35,976.29 0.01
2,364.00 PERRIGO COMPANY PLC 167,371.20 0.03
19,099.00 COMMERZBK 199,096.82 0.03
3,851.00 PENTAIR PLC 166,940.85 0.03
1,590.00 EVONIK INDUSTRIES AG 56,973.32 0.01
19,438.00 MEDTRONIC HLD 1,912,116.06 0.31
723.00 KION GROUP 44,457.14 0.01
636.00 PADDY POWER 54,295.48 0.01
1,574.00 OSRAM LICHT 62,634.17 0.01
4,634.00 ALLERGAN 882,684.32 0.14
8,025.00 VONOVIA SE 392,229.26 0.06
2,219.00 WILLIS TOWERS 312,745.86 0.05

The accompanying notes form an integral part of these financial statements

78
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
14,372.00 JOHNSON CONTROLS INTERNATIONAL PLC 503,020.00 0.08 25,400.00 KDDI CORP 701,946.44 0.12
8,346.00 BANK OF IRELAND - REGISTERED 63,931.13 0.01 2,200.00 SUZUKEN CO 104,397.57 0.02
3,977.00 AIB GRP - REGISTERED 20,371.05 0.00 2,100.00 SUNDRUG CO LTD 74,970.27 0.01
Isle of Man 71,893.11 0.01 16,500.00 JAPAN TOBACCO 430,857.87 0.07
1,300.00 AEON FINANCIAL SERVICE CO LTD 26,930.49 0.00
6,002.00 GVC HOLDINGS PLC 71,893.11 0.01 6,600.00 NTT DATA CORP 91,401.14 0.01
Israel 1,037,566.07 0.17 200.00 RYOHIN KEIKAKU CO LTD 59,514.89 0.01
8,128.00 BEZEQ THE ISRAEL TELECOMMUNICATION 9,350.25 0.00 1,100.00 BENESSE HOLDINGS INC 31,328.96 0.01
684.00 NICE SYSTEMS LTD (IL273011) 77,406.57 0.01 200.00 HIKARI TSUSHIN 39,547.47 0.01
1,360.00 CHECK POINT SOFTWARE TECHNOLOGIES 160,031.20 0.03 5,400.00 DENSO CORP 285,201.34 0.05
13,949.00 BANK HAPOALIM (IL662577) 102,194.88 0.02 11,000.00 OJI HOLDINGS 79,896.10 0.01
95.00 ELBIT SYSTEMS LTD 12,049.38 0.00 600.00 KOBAYASHI PHARMACEUTICAL CO 44,160.75 0.01
22,965.00 BANK LEUMI LE-ISRAEL (IL604611) 151,512.53 0.02 1,900.00 WEST JAPAN RAILWAY COMPANY 132,498.98 0.02
13,964.00 TEVA PHARMA ADR SPONS REPR 1 SH 300,784.56 0.06 1,400.00 COCA-COLA WEST SHS 37,469.73 0.01
19,818.00 ISRAEL CHEMICALS LTD 120,994.23 0.02 1,400.00 MITSUI CHEMICALS 35,016.94 0.01
882.00 FRUTAROM INDUSTRIES LTD 91,324.10 0.01 1,700.00 DON QUIJOTE HLD 86,058.88 0.01
232.00 AZRIELI GROUP 11,918.37 0.00 3,200.00 ORIENTAL LAND CO LTD 334,692.02 0.05
3,700.00 PARK24 CO 111,894.16 0.02
Italy 3,567,792.54 0.58
1,600.00 JSR CORP 29,877.18 0.00
39,092.00 ENI SPA 739,290.03 0.13 2,000.00 CENTRAL JAPAN RAILWAY CO 416,604.23 0.07
117,947.00 ENEL SPA 604,423.88 0.11 400.00 OBIC 37,857.10 0.01
29,466.00 SNAM SPA 122,832.66 0.02 58,500.00 YAHOO JAPAN CORP 210,648.38 0.03
1,762.00 LUXOTTICA GROUP SPA 119,764.87 0.02 2,200.00 AISIN SEIKI CO LTD 107,109.20 0.02
13,795.00 ASSICURAZIONI GENERALI SPA 238,420.64 0.04 5,100.00 AJINOMOTO CO INC 87,578.01 0.01
9,016.00 MEDIOBANCA SPA 90,101.81 0.01 2,100.00 ANA HD 73,398.76 0.01
227,832.00 INTESA SANPAOLO SPA 582,443.73 0.10 2,000.00 ALPS ELECTRIC CO LTD 50,816.56 0.01
25,868.00 TELECOM ITALIA SPA RISP NON CONV 13,923.17 0.00 6,100.00 AMADA HLDG SHS 65,143.27 0.01
100,398.00 TELECOM ITALIA SPA 60,988.22 0.01 17,800.00 ASAHI KASEI CORPORATION 270,012.72 0.04
6,099.00 ATLANTIA SPA 126,590.87 0.02 2,900.00 AGC INC. 120,381.19 0.02
17,372.00 TERNA SPA 92,837.03 0.02 5,600.00 ASAHI GROUP HD 242,813.71 0.04
470.00 RECORDATI SPA 15,918.59 0.00 600.00 ASICS CORP KOBE 8,948.36 0.00
1,586.00 LEONARDO S.P.A. 19,121.41 0.00 7,600.00 BRIDGESTONE CORP 287,245.63 0.05
2,931.00 PRYSMIAN SPA 68,291.39 0.01 1,000.00 BROTHER INDUSTRIES 19,756.13 0.00
2,021.00 MONCLER SPA 87,088.22 0.01 9,000.00 CHIBA BANK 61,486.99 0.01
2,198.00 POSTE ITALIANE SPA 17,569.59 0.00 1,000.00 CASIO COMPUTER CO LTD 16,348.99 0.00
30,075.00 UNICREDIT -REGISTERD SHARE 452,859.91 0.07 16,200.00 CANON INC 514,874.24 0.08
2,837.00 CAMPARI 24,170.12 0.00 6,900.00 CHUBU ELECTRIC POWER CO INC 104,394.49 0.02
10,858.00 PIRELLI & C.SPA 91,156.40 0.01 2,100.00 CHUGOKU ELECTRIC POWER CO 26,993.00 0.00
Japan 51,814,714.12 8.50 3,700.00 CHUGAI PHARMACEUTICAL 237,795.44 0.04
1,100.00 DAICEL CORP 12,783.38 0.00
1,100.00 CYBER AGENT 58,590.47 0.01 1,300.00 DAIFUKU CO 66,267.54 0.01
18,900.00 RAKUTEN 144,896.92 0.02 3,500.00 DAIKIN INDUSTRIES LTD 466,060.58 0.08
600.00 AIR WATER 11,013.78 0.00 1,700.00 SUMI DAI PHARMA 39,048.28 0.01
600.00 OTSUKA CORP 22,397.32 0.00 3,500.00 DAI NIPPON PRINTING CO LTD 81,410.38 0.01
400.00 LAWSON INC 24,369.41 0.00 8,700.00 DAIWA HOUSE INDUSTRY CO LTD 257,970.64 0.04
5,300.00 SBI HOLDING 164,713.63 0.03 32,600.00 DAIWA SECURITIES GROUP INC 198,381.09 0.03
181,200.00 MITSUBISHI UFJ FINANCIAL GROUP INC 1,131,213.61 0.19 3,200.00 EISAI 311,590.39 0.05
800.00 KOSE CORP 152,484.90 0.02 2,900.00 FANUC CORP SHS 546,885.50 0.09
1,000.00 MC DONALD'S CO (JAPAN) 43,931.85 0.01 1,600.00 FUJI ELECTRIC SHS 64,092.96 0.01
35,300.00 RESONA HOLDINGS INC 198,371.14 0.03 9,900.00 SUBARU CORPORATION 303,314.65 0.05
2,300.00 DENTSU 106,713.02 0.02 6,400.00 FUJIFILM HOLDINGS CORP 288,207.02 0.05
1,828.00 NOMURA RESEARCH INSTITUTE 92,377.67 0.02 3,400.00 FUJITSU LTD 242,341.82 0.04
5,800.00 SUMITOMO MITSUI TRUST - SHS 238,770.92 0.04 2,700.00 HANKYU HANSHIN HOLDINGS INC 95,796.08 0.02
1,600.00 ACOM CO LTD 6,451.56 0.00 4,200.00 HINO MOTORS LTD 45,999.02 0.01
3,800.00 MISUMI GROUP 98,358.04 0.02 13,200.00 HITACHI LTD 448,580.28 0.07
11,800.00 SOFTBANK GROUP 1,191,583.19 0.21 220.00 HIROSE ELECTRIC CO 24,055.99 0.00
800.00 FAST RETAILING CO LTD 407,941.12 0.07 1,500.00 HITACHI CHEMICAL CO LTD 30,545.40 0.01

The accompanying notes form an integral part of these financial statements

79
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
300.00 HISAMITSU PHARMACEUTICAL CO INC 23,004.79 0.00 500.00 NIPPON EXPRESS 32,838.84 0.01
2,800.00 HAMATSU PHOTONICS 111,546.40 0.02 7,200.00 MINEBEA MITSUMI 130,580.60 0.02
2,500.00 HITACHI METALS LTD 30,967.99 0.01 500.00 NH FOODS LTD 18,466.34 0.00
23,700.00 HONDA MOTOR CO LTD 717,562.06 0.12 1,700.00 NIPPON PAINT HOLDINGS CO LTD 63,459.07 0.01
6,300.00 HOYA CORP 374,389.16 0.06 13,500.00 NIPPON STEEL AND SUMITOMO CORP 285,664.88 0.05
9,800.00 AEON CO LTD 236,188.72 0.04 1,400.00 ROHM CO LTD 102,055.71 0.02
2,700.00 IHI CORP 102,333.04 0.02 1,400.00 NISSAN CHEMICAL CORP 73,953.42 0.01
3,000.00 JGC CORP 68,829.50 0.01 37,700.00 NISSAN MOTOR CO LTD 352,986.25 0.06
11,800.00 ISUZU MOTORS LTD 186,061.51 0.03 2,600.00 NITTO DENKO CORP 194,934.16 0.03
500.00 JAPAN AIRLINES CO LTD 17,977.72 0.00 4,000.00 ODAKYU ELECTRIC RAILWAY CO LTD 94,660.37 0.02
6,500.00 KAJIMA CORP 94,479.89 0.02 300.00 NISSHIN FOODS 20,627.72 0.00
9,700.00 KANSAI ELECTRIC POWER 146,287.78 0.02 1,900.00 NISSHIN FLOUR MILL. 41,651.62 0.01
1,000.00 NIPPON YUSEN KK 18,814.10 0.00 46,500.00 NOMURA HOLDINGS INC 222,173.22 0.04
1,700.00 KAMIGUMI CO LTD 37,476.77 0.01 300.00 RINNAI CORP 22,872.73 0.00
7,600.00 KAO CORP 613,834.47 0.10 18,800.00 ORIX CORP 304,878.23 0.05
3,000.00 KAWASAKI HEAVY INDUSTRIES 84,650.25 0.01 8,500.00 OBAYASHI CORP 80,521.18 0.01
3,300.00 KEISEI ELECTRIC RAILWAY CO LTD 116,212.51 0.02 3,900.00 OSAKA GAS CY 76,087.50 0.01
1,700.00 KEIO 93,093.26 0.02 9,900.00 RICOH CO LTD 106,334.45 0.02
2,600.00 KINTETSU HLDG SHS 104,608.87 0.02 3,900.00 OLYMPUS CORP 152,278.00 0.02
2,800.00 KIKKOMAN CORP 166,641.69 0.03 2,500.00 OMRON CORP 105,647.73 0.02
1,700.00 KOBE STEEL 15,116.43 0.00 3,600.00 ONO PHARMACEUTICAL CO LTD 101,897.24 0.02
1,500.00 KEIKYU CORP 27,349.56 0.00 2,600.00 SECOM CO LTD 212,010.35 0.03
1,300.00 KOITO MANUFACTURING 85,380.98 0.01 6,300.00 SEKISUI CHEMICAL CO LTD 116,254.77 0.02
14,100.00 KOMATSU LTD 429,014.32 0.07 7,200.00 SEKISUI HOUSE LTD 109,820.82 0.02
3,000.00 KONICA MINOLTA HOLDINGS INC 31,905.62 0.01 800.00 SHARP CORP 16,262.71 0.00
3,400.00 JTEKT CORP 49,779.45 0.01 9,300.00 SHIMIZU CORP 84,906.44 0.01
4,800.00 KURARAY CO LTD 72,178.53 0.01 5,700.00 SHIN-ETSU CHEM. CO LTD 505,088.61 0.08
1,200.00 MABUCHI MOTOR CO LTD 48,439.49 0.01 4,600.00 SHINOGI CO LTD 300,659.37 0.05
13,500.00 KIRIN HOLDINGS CO LTD 345,983.13 0.06 5,600.00 SHISEIDO 433,810.73 0.07
14,400.00 KUBOTA CORP 244,806.93 0.04 3,000.00 SHIZUOKA BANK LTD 26,940.17 0.00
1,000.00 KYOWA HAKKO KIRIN CO LTD 18,743.67 0.00 19,100.00 SONY CORP 1,171,374.54 0.19
9,300.00 KYUSHU ELECTRIC POWER CO INC 112,253.36 0.02 2,900.00 SHOWA DENKO KK 160,082.73 0.03
1,600.00 KURITA WATER INDUSTRIES LTD 46,625.87 0.01 4,000.00 SHIMADZU CORPORATION 125,368.65 0.02
2,300.00 MARUI GROUP CO LTD 56,778.61 0.01 1,100.00 CREDIT SAISON CO LTD 17,945.15 0.00
4,600.00 LION CORP 102,217.71 0.02 3,300.00 STANLEY ELECTRIC CO LTD 112,871.40 0.02
24,000.00 MARUBENI CORP 219,747.29 0.04 20,000.00 SUMITOMO CHEMICAL CO LTD 117,092.91 0.02
1,200.00 SHINSEI BANK LTD 19,618.78 0.00 6,700.00 SANTEN PHARMACEUTICAL CO LTD 106,234.96 0.02
33,600.00 PANASONIC CORP 391,509.38 0.06 9,800.00 SUMITOMO ELECTRIC INDUSTRIES LTD 153,749.15 0.03
5,300.00 KYOCERA CORP 318,228.58 0.05 1,600.00 SUMITOMO RUBBER INDUSTRIES LTD 24,017.25 0.00
6,400.00 MAZDA MOTOR CORP 76,855.21 0.01 2,100.00 SUMITOMO METAL MINING CO LTD 73,694.58 0.01
1,500.00 KEYENCE CORP 871,329.69 0.14 18,200.00 SUMITOMO CORP 303,560.28 0.05
30,500.00 MITSUBISHI ELECTRIC CORP 417,953.44 0.07 5,600.00 SUZUKI MOTOR CORP 320,859.21 0.05
20,300.00 MITSUBISHI ESTATE 345,288.50 0.06 1,600.00 SUMITOMO HEAVY INDUSTRIES 57,120.21 0.01
1,500.00 MITSUBISHI GAS CHEM. 31,945.23 0.01 5,000.00 SUMITOMO REALTY & DEVELOPMENT CO LTD 179,601.15 0.03
4,500.00 MITSUBISHI HEAVY INDUSTRIES LTD 173,803.73 0.03 4,300.00 TAISEI 196,099.80 0.03
19,200.00 MITSUBISHI CORP 591,796.35 0.10 2,500.00 TAKASHIMAYA CO LTD 42,237.08 0.01
600.00 FAMILYMART UNY HOLDINGS 62,490.64 0.01 5,100.00 SHOWA SHELL SEKIYU KK 108,074.99 0.02
25,100.00 MITSUI AND CO LTD 446,489.78 0.07 11,500.00 TAKEDA PHARMA CO LTD 492,155.57 0.08
2,000.00 NIKON CORP 37,592.98 0.01 900.00 MITSUBISHI TANABE PHARMA CORP 15,054.80 0.00
2,300.00 MURATA MANUFACTURING CO LTD 353,651.39 0.06 800.00 BANK OF KYOTO 41,766.07 0.01
5,000.00 NAGOYA RAIL ROAD CO. LTD. 123,871.97 0.02 5,100.00 TERUMO CORP. 302,178.93 0.05
4,700.00 NGK INSULATORS LTD 77,543.68 0.01 2,200.00 TDK CORP 239,978.83 0.04
1,000.00 NGK SPARK PLUG CO LTD 29,141.17 0.00 700.00 TEIJIN LTD 13,428.71 0.00
1,700.00 NINTENDO CO LTD 620,521.97 0.10 400.00 TOHO GAS 15,195.67 0.00
200.00 HITACHI HIGH-TECHNOLOGIES 6,893.51 0.00 2,300.00 TOHO CO 72,188.22 0.01
5,600.00 NEC CORP 154,809.15 0.03 7,300.00 TOHOKU ELECTRIC POWER 99,102.86 0.02
800.00 NIPPON ELECTRIC GLASS CO LTD 25,179.38 0.00 16,300.00 TOKYO EL HLDG 80,075.70 0.01

The accompanying notes form an integral part of these financial statements

80
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
4,500.00 TOBU RAILWAY CO LTD 133,116.15 0.02 19,400.00 SUMITOMO MITSUI FINANCIAL GROUP INC 783,275.83 0.13
4,500.00 TOKYO GAS CO LTD 110,632.99 0.02 1,200.00 KANSAI PAINT CO LTD 22,122.64 0.00
1,600.00 HITACHI CONST MACH. 53,528.18 0.01 339,700.00 MIZUHO FINANCIAL GROUP INC 592,758.98 0.10
2,400.00 TOKYO ELECTRON LTD 329,832.23 0.05 2,400.00 AEON MALL CO LTD 41,244.88 0.01
10,300.00 TOKYU CORP 188,435.06 0.03 3,300.00 SEIKO EPSON CORP 56,304.96 0.01
9,400.00 TOSHIBA CORP 271,858.03 0.04 11,200.00 RENESAS ELECTRONICS 70,009.23 0.01
3,100.00 TOKYO TATEMONO CO 37,827.17 0.01 1,400.00 CENTURY TOKYO LEASING 87,018.52 0.01
16,600.00 TORAY INDUSTRIES INC 124,735.63 0.02 2,100.00 ALFRESA HOLDINGS CORP 56,204.59 0.01
1,500.00 TOPPAN PRINTING 24,100.89 0.00 600.00 KAKAKU.COM 11,737.46 0.00
4,700.00 TOYOTA TSUSHO CORP 177,514.61 0.03 7,100.00 OSAKA SECURITIES EXCHANGE 123,766.32 0.02
2,100.00 TOTO LTD 87,172.59 0.01 11,100.00 T AND D HOLDING INC 183,232.79 0.03
2,200.00 THK CO LTD 56,014.43 0.01 4,800.00 HULIC CO LTD 47,118.89 0.01
1,900.00 TOYO SEIKAN KAISHA 39,426.85 0.01 1,600.00 NABTESCO CORP 42,540.82 0.01
2,900.00 TOSOH CORP 44,680.19 0.01 1,200.00 SEGA SAMMY HOLDINGS INC 17,696.00 0.00
700.00 TOYO SUISAN KAISHA 27,147.07 0.00 1,800.00 ELECTRIC POWER DEVELOPMENT CO 49,839.32 0.01
1,800.00 TOYOTA INDUSTRIES CORP 106,492.92 0.02 4,500.00 HAKUHODO DY HOLDINGS INC 78,958.48 0.01
34,200.00 TOYOTA MOTOR CORP 2,136,276.44 0.36 400.00 DENA CO LTD 7,067.83 0.00
2,900.00 YAMAHA MOTOR CO LTD 81,317.94 0.01 7,400.00 DAIICHI SANKYO CO LTD 320,860.98 0.05
5,000.00 UNI CHARM 165,426.74 0.03 10,900.00 SEVEN & I HOLDINGS CO LTD 485,574.60 0.08
1,400.00 YAKULT HONSHA CO LTD 114,751.05 0.02 6,400.00 SO-NET M3 145,258.59 0.02
30,800.00 ASTELLAS PHARMA 537,444.11 0.09 22,500.00 MITSUBISHI CHEMICAL HOLDINGS CORP 215,422.33 0.04
4,200.00 YAMATO HOLDINGS CO LTD 128,974.75 0.02 2,000.00 BANDAI NAMCO HOLDINGS INC 77,739.12 0.01
1,400.00 YAMAZAKI BAKING CO 28,028.34 0.00 700.00 TSURUHA HOLDINGS INC 86,217.36 0.01
9,400.00 NIPPON TELEGRAPH AND TELEPHONE CORP 424,710.94 0.07 4,600.00 SUMCO CORP 66,741.20 0.01
1,600.00 YOKOGAWA ELECTRIC CORP 33,849.53 0.01 13,500.00 INPEX 168,415.70 0.03
1,600.00 YOKOHAMA RUBBER CO 34,497.51 0.01 2,700.00 NOMURA REAL ESTATE HOLDINGS INC 54,530.08 0.01
900.00 SMC CORP 288,101.37 0.05 3,000.00 IDEMITSU KOSAN 158,735.72 0.03
1,900.00 YAMAHA CORP. 100,699.90 0.02 600.00 FUKUOKA FINANCIAL GROUP 16,507.46 0.00
15,600.00 MITSUBISHI MOTORS CORP 110,148.33 0.02 43.00 UNITED URBAN INVESTMENT CORP 67,499.22 0.01
3,500.00 NIDEC CORP 503,653.57 0.08 3,000.00 AOZORA BANK SHS 107,232.45 0.02
1,100.00 DAITO TRUST CONSTRUCTION CO LTD 141,537.15 0.02 1,500.00 J.FRONT RETAILING CO LTD 23,282.12 0.00
6,100.00 YAMADA DENKI CO LTD 30,879.95 0.01 2,000.00 SONY FINANCIAL HOLDINGS 44,090.32 0.01
500.00 DISCO CO LTD 83,725.83 0.01 2,300.00 ZOZO INC 69,657.07 0.01
1,100.00 NITORI 157,806.90 0.03 7,500.00 ISETAN MITSUKOSHI 92,111.62 0.02
700.00 MITSUBISHI MATERIAL 20,922.66 0.00 7,500.00 MS&AD INSURANCE GROUP HOLDING 250,517.19 0.04
1,300.00 SHIMANO INC 209,561.09 0.03 3,200.00 TEMP HOLDINGS 75,080.32 0.01
4,400.00 MAKITA CORP 220,416.39 0.04 62.00 JAPAN RETAIL FUND INVESTMENT CORP 112,498.99 0.02
1,100.00 KONAMI HLDS SHS 43,095.47 0.01 19.00 JP REAL ESTATE INVESTMENT 99,696.25 0.02
2,700.00 YASKAWA ELECTRIC CORP 80,226.25 0.01 19.00 NIPPON BUILDING FD 109,900.06 0.02
6,300.00 NSK LTD 72,215.51 0.01 900.00 HOSHIZAKI 93,181.30 0.02
15,400.00 MITSUI FUDOSAN CO LTD 364,578.01 0.06 1,400.00 MEIJI HLDGS 94,044.09 0.02
200.00 KANEKA CORP 9,244.18 0.00 4,500.00 SOMPO HOLDINGS INC 191,711.02 0.03
4,100.00 LIXIL GROUP CORPORATION 78,978.72 0.01 14,100.00 DAI-ICHI LIFE INSURANCE CO LT 293,643.92 0.05
22,100.00 ITOCHU CORP 404,701.26 0.07 49,300.00 JX HOLDINGS INC 372,533.19 0.06
4,800.00 EAST JAPAN RAILWAY CO 446,044.73 0.07 4,500.00 OTSUKA HOLDINGS 226,891.72 0.04
4,300.00 MEDICEO HOLDINGS CORP 89,759.20 0.01 1,900.00 POLA ORBIS HOLDINGS 69,419.37 0.01
1,200.00 USS 22,281.11 0.00 400.00 CALBEE 13,170.75 0.00
1,400.00 TAIHEIYO CEMENT CORP 43,940.65 0.01 1,700.00 KEIHAN EL RWY 64,955.75 0.01
2,900.00 SYSMEX 249,698.42 0.04 300.00 TAISHO PHARMACEUTICAL HOLDINGS CO LTD 36,686.18 0.01
700.00 MITSUI OSK LINES LTD 20,429.63 0.00 6,000.00 NEXON CO LTD 78,443.44 0.01
2,300.00 TREND MICRO INC 148,021.28 0.02 32.00 DAIWA HOUSE REIT INV SHS 73,220.92 0.01
21,500.00 NTT DOCOMO INC 578,267.28 0.09 40.00 PROLOGIS REIT 79,200.59 0.01
400.00 ORACLE CORP JAPAN 32,257.78 0.01 2,200.00 SUNTORY 93,163.69 0.02
10,600.00 TOKIO MARINE HOLDINGS INC 526,057.05 0.09 7,700.00 TOKYU FUDOSAN HOLDINGS CORP 53,690.18 0.01
3,300.00 MITSUBISHI UFJ LEASE AND FINANCE CO LTD 19,436.54 0.00 1,900.00 LIDA GROUP HOLDINGS CO LTD 33,806.39 0.01
7,600.00 JFE HOLDINGS INC 174,434.98 0.03 3,700.00 ASHIKAGA HOLDINGS CO LTD 12,801.86 0.00
900.00 SOHGO SECURITY SERVICES CO 39,578.28 0.01 1,900.00 CYBERDYNE INC 15,004.62 0.00

The accompanying notes form an integral part of these financial statements

81
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
3,200.00 SEIBU HOLDINGS INC 57,556.89 0.01 New Zealand 635,782.79 0.10
17,200.00 RECRUIT HOLDINGS CO LTD 574,216.57 0.09 23,258.00 FLETCHER BUILDING LTD 100,840.55 0.02
21,300.00 JAPAN POST HOLDINGS CO 253,533.43 0.04 8,049.00 FISCHER AND PAYKEL INDUSTRIES LTD 80,308.87 0.01
5,600.00 JAPAN POST BANK 66,212.96 0.01 37,972.00 SPARK NEW 101,953.84 0.02
85.00 NOMURA REAL ESTATE MASTER FUND 116,142.08 0.02 5,187.00 RYMAN HEALTHCARE GROUP LTD 48,142.58 0.01
13,800.00 CONCORDIA FIN GRP 67,672.65 0.01 22,907.00 AUCKLAND INTERNATIONAL AIRPORT LTD 110,860.34 0.01
2,700.00 KYUSHU RAILWAY 82,246.76 0.01 40,536.00 MERIDIAN ENERGY LTD 88,279.81 0.01
Jersey Island 2,799,169.41 0.46 14,119.00 THE A2 MILK CO LTD 105,396.80 0.02
11,409.00 EXPERIAN GROUP 293,181.24 0.05 Norway 1,745,466.11 0.29
1,434.00 RANDGOLD RESSOURCES LTD 101,919.62 0.02 13,660.00 DNB 287,265.07 0.04
14,056.00 SHIRE 847,509.85 0.13 9,241.00 TELENOR ASA 180,547.17 0.03
4,152.00 APTIV - REGISTERED 348,352.80 0.06 7,607.00 MARINE HARVEST 176,133.31 0.03
14,736.00 WPP 2012 PLC 216,098.23 0.04 15,421.00 NORSK HYDRO ASA 92,526.80 0.02
167,776.00 GLENCORE PLC 725,750.67 0.12 12,926.00 ORKLA ASA 109,144.42 0.02
3,135.00 FERGUSON 266,357.00 0.04 1,556.00 YARA INTERNATIONAL ASA 76,373.95 0.01
Liberia 380,854.14 0.06 2,539.00 AKER BP SHS 107,692.78 0.02
5,890.00 GJENSIDIGE FORSIKRING ASA 99,236.39 0.02
2,931.00 ROYAL CARIBBEAN CRUISES 380,854.14 0.06
2,722.00 SCHIBSTED -B- 94,262.46 0.02
Luxembourg 718,832.07 0.12
18,532.00 EQUINOR 522,283.76 0.08
7,615.00 TENARIS SA - REG.SHS 127,630.79 0.02 Panama 416,099.25 0.07
1,558.00 MILLICOM INTERNATIONAL CELLULAR SA-SDR- 89,434.09 0.01
4,131.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 90,685.16 0.01 6,525.00 CARNIVAL CORP 416,099.25 0.07
1,284.00 RTL GROUP 91,644.44 0.02 Papua New Guinea 132,304.86 0.02
10,262.00 ARCELORMITTAL - REGISTERED 319,437.59 0.06 20,250.00 OIL SEARCH 132,304.86 0.02
Mauritius 10,977.92 0.00 Portugal 441,811.25 0.07
60,000.00 GOLDEN AGRI-RESOURCES 10,977.92 0.00 7,299.00 JERONIMO MARTINS SGPS SA 107,540.75 0.02
Netherlands 9,967,098.85 1.63 583,184.00 EDP-ENERGIAS REG.SHS 150,876.03 0.02
9,239.00 GALP ENERGIA SA REG SHS -B- 183,394.47 0.03
39,016.00 KONINKLIJKE KPN NV 102,960.42 0.02
12,406.00 ROYAL PHILIPS ELECTRONIC 565,359.44 0.09 Singapore 2,422,940.86 0.40
1,625.00 STMICROELECTRONICS NV 29,576.15 0.00 16,500.00 SINGAPORE EXCHANGE LTD 88,997.96 0.01
8,705.00 AIRBUS GROUP 1,093,792.56 0.18 15,000.00 CAPITALAND LTD 36,995.57 0.01
1,382.00 RANDSTAD BR 73,806.77 0.01 4,725.00 FLEXTRONICS INTERNATIONAL LTD 61,992.00 0.01
4,233.00 AKZO NOBEL NV 395,985.34 0.06 10,000.00 SINGAPORE TECHNOLOGIES ENGINEERING 26,054.25 0.00
3,418.00 HEINEKEN NV 320,617.77 0.05 24,282.00 DBS GROUP HOLDINGS 463,646.66 0.09
2,028.00 HEINEKEN HOLDING 183,730.72 0.03 4,300.00 CITY DEVELOPMENT 28,669.19 0.00
10,217.00 STMICROELECTRONICS NV 186,015.94 0.03 745.00 JARDINE CYCLE & CARRIAGE LTD 17,442.11 0.00
3,200.00 DSM KONINKLIJKE 339,120.83 0.06 21,597.00 UNITED OVERSEAS BANK 428,026.53 0.08
31,643.00 AEGON NV 205,377.68 0.03 3,100.00 VENTURE CORPORATION LIMITED 39,998.40 0.01
23,525.00 UNILEVER NV 1,310,609.46 0.22 8,900.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 17,195.81 0.00
4,865.00 WOLTERS KLUWER 303,329.44 0.05 9,800.00 SATS 37,439.08 0.01
2,393.00 AERCAP HOLDINGS 137,645.36 0.02 10,000.00 COMFORTDELGRO CORP 17,784.22 0.00
1,395.00 KONINKLIJKE VOPAK 68,765.22 0.01 8,700.00 S'PORE PRESS HOLDINGS LTD 18,273.84 0.00
4,635.00 LYONDELLBASELL -A- 475,133.85 0.08 25,700.00 SUNTEC REAL ESTATE INVESTMENT TRUST 36,301.04 0.01
5,562.00 NXP SEMICONDUCTORS 475,551.00 0.08 49,827.00 OVERSEA-CHINESE BANKING CORPORATION LTD 417,176.05 0.07
5,760.00 ASML HLDG 1,076,459.62 0.18 131,100.00 SINGAPORE TELECOM - SH BOARD LOT 1000 310,868.21 0.05
10,683.00 CNH INDUSTRIAL NV 128,425.95 0.02 59,400.00 YANGZIJIANG SHIPBUILDING (HOLDINGS) LTD 53,905.95 0.01
3,478.00 NN GROUP NV 155,245.56 0.03 17,000.00 KEPPEL CORPORATION LTD 86,593.79 0.01
17,618.00 FIAT CHRYSLER AUTOMOBILES -A- 309,896.32 0.05 2,100.00 SINGAPORE AIRLINES LTD 14,969.48 0.00
7,779.00 MYLAN NV. 284,711.40 0.05 49,300.00 WILMAR INTERNATIONAL LTD 116,180.01 0.02
4,417.00 ABN AMRO GROUP DEP RECEIPT 120,306.59 0.02 9,700.00 CAPITAMALL REAL ESTATE INVESTMENT TRUST 15,759.89 0.00
2,170.00 FERRARI 298,925.96 0.05 114,300.00 GENTING SPORE -REGISTERED SHS 88,670.82 0.01
18,151.00 KONINKLIJKE AHOLD NV 416,377.13 0.07
Spain 6,385,421.51 1.05
58,553.00 ING GROEP 760,616.12 0.12
1,137.00 EXOR REG 76,358.56 0.01 3,755.00 ENDESA 81,166.26 0.01
1,912.00 QIAGEN REGD EUR 72,397.69 0.01 227,025.00 BANCO SANTANDER SA REG SHS 1,143,225.99 0.18

The accompanying notes form an integral part of these financial statements

82
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
7,287.00 NATURGY ENERGY GROUP SA 198,985.13 0.03 10,466.00 ROCHE HOLDING AG GENUSSSCHEIN 2,547,398.16 0.42
72,239.00 TELEFONICA S A 572,068.37 0.09 32,236.00 NOVARTIS AG REG SHS 2,785,346.10 0.46
103,462.00 BANCO BILBAO VIZCAYA ARGENT SA REG 659,739.41 0.11 28,494.00 ABB LTD REG SHS 676,471.87 0.11
4,377.00 ENAGAS 118,200.34 0.02 2,964.00 ADECCO REG.SHS 156,393.32 0.03
3,901.00 GAMESA CORPORACION TECNOLOGICA SA 49,388.03 0.01 3,646.00 CLARIANT NAMEN AKT 95,330.78 0.02
4,055.00 ACS 172,758.49 0.03 7,988.00 LAFARGEHOLCIM N NAMEN-AKT. 396,211.80 0.06
7,455.00 FERROVIAL SA 154,736.02 0.03 1,037.00 TEMENOS AG NAM.AKT 169,011.94 0.03
32,264.00 MAPFRE REG-SHS 101,256.47 0.02 170.00 STRAUMANN HOLDING REG 128,440.17 0.02
59,019.00 BANCO SABADELL REG.SHS 91,789.21 0.02 549.00 BALOISE HOLDING REG.SHS 84,137.52 0.01
10,512.00 BANKINTER REG.SHS 96,847.24 0.02 897.00 SONOVA HOLDING NAM-AKT 179,345.41 0.03
83,485.00 IBERDROLA S A 614,582.09 0.10 489.00 THE SWATCH GROUP REG 38,297.10 0.01
228,509.00 CAIXABANK 264,051.69 0.04 530.00 THE SWATCH GROUP 211,772.71 0.03
6,622.00 AMADEUS IT -A- 615,470.07 0.10 35,337.00 CREDIT SUISSE GROUP AG REG SHS 533,601.78 0.09
13,691.00 INTL CONS AIRLINES GROUP 117,707.32 0.02 92.00 SGS SA REG SHS 243,374.97 0.04
17,790.00 INDITEX SHARE FROM SPLIT 539,513.15 0.09 457.00 SWISSCOM SHS NOM 208,382.86 0.03
1,103.00 AENA 191,529.61 0.03 46.00 BARRY CALLEBAUT - NAMEN-AKT 87,592.38 0.01
4,264.00 GRIFOLS SA -A- 120,150.95 0.02 1,050.00 LONZA GROUP (CHF) 360,105.44 0.06
17,990.00 REPSOL SA 358,669.28 0.06 463.00 SWISS LIFE HOLDING N-NAMEN REGISTERED 176,327.28 0.03
5,023.00 RED ELECTRICA 105,249.23 0.02 78.00 EMS-CHEM HOLDINGS-NAMEN ACT. 46,713.89 0.01
4,675.00 BANKIA BEARER SHS 18,337.16 0.00 1,726.00 SWISS PRIME SITE AG-NAMEN AKT 147,809.49 0.02
Sweden 5,743,124.59 0.94 355.00 PARGESA HOLDING SA 28,656.66 0.00
922.00 DUFRY GROUP 104,442.66 0.02
15,539.00 SANDVIK AB 275,633.72 0.05 462.00 SCHINDLER HOLDING SA 115,689.52 0.02
39,092.00 TELIA COMPANY AB 179,432.37 0.03 281.00 SCHINDLER HOLDING NAMEN AKT 68,121.40 0.01
3,461.00 LUNDIN PETROL 132,396.29 0.02 251.00 PARTNERS GROUP HLDG NAMEN AKT 200,045.10 0.03
15,013.00 SWEDBANK -A- 371,896.33 0.06 757.00 KUEHNE + NAGEL INTERNATIONAL AG 120,509.65 0.02
2,047.00 SWEDISH MATCH 104,729.53 0.02 506.00 GEBERIT AG 235,802.47 0.04
3,573.00 HEXAGON -B- 209,319.97 0.03 44,697.00 NESTLE SA REG SHS 3,743,979.17 0.61
5,503.00 ELECTROLUX -B- FREE 121,281.76 0.02 6,543.00 CHUBB - NAMEN AKT 874,406.52 0.14
7,760.00 SKANSKA -B- FREE 152,307.58 0.02 4,672.00 TE CONNECTIVITY LTD REG SHS 410,808.96 0.07
4,424.00 INDUSTRIVAERDEN -C- FREE 98,247.64 0.02 2,450.00 JULIUS BAER GROUP NAMEN AKT 123,177.56 0.02
3,789.00 SKF AB -B- 74,708.54 0.01 1,298.00 GARMIN 90,924.90 0.01
21,929.00 VOLVO AB -B- 387,377.98 0.06 4,438.00 SWISS RE NAMEN AKT 411,633.84 0.07
10,604.00 HENNES AND MAURITZ AB 195,834.22 0.03 2,739.00 COCA COLA HBC NAMEN 93,334.80 0.02
6,006.00 INVESTOR -B- FREE 277,363.91 0.05 7,380.00 CIE FINANCIERE RICHEMONT NAMEN AKT 604,424.31 0.10
938.00 LUNDBERGFOERETAGEN -B- FREE 31,599.82 0.01 59,734.00 UBS GROUP NAMEN-AKT 947,870.20 0.16
25,103.00 SKANDINAVISKA ENSKILDA BANKEN -A- 280,125.27 0.05 553.00 VIFOR PHARMA - REGISTERED 96,328.02 0.02
48,390.00 TELEFON AB L.M.ERICSSON 429,202.69 0.07 1,620.00 SIKA - REGISTERED SHS 236,996.98 0.04
7,024.00 SECURITAS -B- FREE 122,223.60 0.02
The Netherlands Antilles 1,183,127.32 0.19
40,568.00 NORDEA BANK 441,843.00 0.08
6,019.00 ALFA LAVAL 163,110.27 0.03 19,421.00 SCHLUMBERGER LTD 1,183,127.32 0.19
9,409.00 HUSQVARNA -B- 80,090.18 0.01 United Kingdom 34,925,547.84 5.72
7,413.00 TELE2 AB 89,190.31 0.01
298,361.00 HSBC HOLDINGS PLC 2,606,149.59 0.43
20,409.00 SHB -A- 257,601.26 0.04
1,340.00 SCHRODERS 54,085.09 0.01
14,171.00 ASSA ABLOY -B- NEW I 284,671.13 0.05
71,914.00 GLAXOSMITHKLINE PLC 1,441,262.01 0.24
2,796.00 KINNEVIK AB -B- 84,603.98 0.01
16,060.00 SMITH AND NEPHEW PLC 293,109.97 0.05
9,805.00 ESSITY REGISTERED -B- 246,303.56 0.04
46,152.00 STANDARD CHARTERED PLC 383,030.04 0.06
10,785.00 ATLAS COPCO --- REGISTERED SHS -A- 310,698.52 0.05
134,707.00 BT GROUP PLC 395,788.80 0.06
4,826.00 EPIROC -REGISTERED SHS 49,653.32 0.01
992,860.00 LLOYDS BANKING GROUP PLC 767,423.48 0.13
7,467.00 EPIROC- REGISTERED SHS 83,374.90 0.01
36,689.00 MARKS AND SPENCER GROUP PLC 138,180.01 0.02
4,826.00 ATLAS COPCO --- REGISTERED SHS -B- 128,691.65 0.02
2,003.00 WEIR GROUP PLC 46,051.67 0.01
2,856.00 BOLIDEN -REGISTERED SHS 79,611.29 0.01
11,257.00 HAMMERSON PLC 67,044.91 0.01
Switzerland 19,079,161.58 3.13 13,560.00 BRITISH SKY BROADCASTING GROUP 305,750.25 0.05
144.00 GIVAUDAN SA REG.SHS 355,725.82 0.06 6,584.00 ASHTEAD GROUP 209,246.16 0.03
1.00 CHOCOLADEFABRIKEN LINDT.SPRUENGLI NOM. 82,412.19 0.01 15,382.00 BARRATT DEVELOPMENTS PLC 113,738.63 0.02
21.00 CHOCOLADEFAB.LINDT.SPRUENGLI PARTIZIPSCH 147,911.97 0.02 7,781.00 BRITISH LAND CO PLC REIT 62,588.12 0.01
2,248.00 ZURICH INSURANCE GROUP NAMEN AKT 713,893.91 0.12 57,006.00 AVIVA PLC 363,902.81 0.06

The accompanying notes form an integral part of these financial statements

83
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
14,549.00 SSE PLC 217,435.23 0.04 365,788.00 VODAFONE GROUP 784,706.95 0.13
8,975.00 MEGGITT PLC 66,293.33 0.01 21,381.00 RSA INSURANCE GROUP PLC 160,327.49 0.03
26,430.00 MORRISON SUPERMARKETS PLC 89,408.60 0.01 14,514.00 INFORMA PLC 144,267.40 0.02
16,563.00 PEARSON PLC 192,238.84 0.03 44,837.00 STANDARD LIFE NEW 178,866.15 0.03
4,419.00 PERSIMMON PLC 136,291.03 0.02 16,077.00 AUTO TRADER GROUP PLC 93,634.49 0.02
35,629.00 PRUDENTIAL PLC 817,532.54 0.13 14,419.00 DIRECT LINE INS GR PLC NI 60,905.74 0.01
39,690.00 TAYLOR WIMPEY PLC 88,923.47 0.01 7,251.00 NIELSEN HOLDINGS PLC 200,562.66 0.03
147,799.00 TESCO PLC 462,203.06 0.08 78,118.00 MELROSE INDUSTRIES PLC 203,646.08 0.03
2,437.00 TRAVIS PERKINS 33,862.67 0.01 2,379.00 JOHNSON MATTHEY 110,509.73 0.02
98,312.00 LEGAL GENERAL GROUP PLC 336,164.12 0.06 52,956.00 ROYAL DUTCH SHELL PLC -B- 1,857,026.57 0.30
10,348.00 ST JAME'S PLACE CAPITAL 154,381.26 0.03 282,066.00 BP PLC 2,167,700.73 0.36
12,505.00 IMPERIAL BRANDS - REGISTERED 435,581.80 0.07 18,042.00 RIO TINTO PLC 912,911.22 0.15
6,739.00 ASSOCIATED BRITISH FOODS PLC 201,253.33 0.03 32,279.00 BHP BILLITON PLC 703,494.40 0.12
36,468.00 DIAGEO PLC 1,293,103.52 0.21 68,624.00 ROYAL DUTCH SHELL PLC 2,359,478.08 0.39
39,229.00 BAE SYSTEMS PLC 322,197.40 0.05 17,985.00 ANGLO AMERICAN PLC 404,117.70 0.07
33,983.00 BRITISH AMERICAN TOBACCO PLC 1,588,555.69 0.26 2,153.00 ANTOFAGASTA PLC 24,006.13 0.00
18,395.00 ASTRAZENECA PLC 1,430,463.38 0.23 2,658.00 CRODA INTERNATIONAL PLC 180,317.33 0.03
248,717.00 BARCLAYS PLC 557,173.19 0.09 2,454.00 COCA COLA EUROPEAN PARTNERS PLC 111,583.38 0.02
1,927.00 INTERTEK GROUP PLC 125,449.36 0.02 15,889.00 CONVATEC GROUP REGD 48,155.39 0.01
6,147.00 BURBERRY GROUP PLC 161,528.96 0.03 1,200.00 TECHNIPFMC LTD 37,771.98 0.01
2,278.00 NEXT PLC 163,212.91 0.03 4,605.00 TECHNIPFMC USD 143,906.25 0.02
1,765.00 CARNIVAL PLC 109,655.04 0.02 47,452.00 NATIONAL GRID PLC 489,736.77 0.08
25,073.00 KINGFISHER PLC 84,360.30 0.01 2,382.00 INTERCONT HOTELS GR PLC 148,484.73 0.02
54,482.00 ITV PLC 112,152.71 0.02 22,051.00 COMPASS GROUP 490,590.87 0.08
13,184.00 J SAINSBURY PLC 55,328.05 0.01 4,901.00 MICRO FOCUS INTL PLC 91,365.24 0.01
19,525.00 GROUP 4 SECURICOR 61,619.55 0.01 10,389.00 LAND SEC R.E.I.T 119,685.99 0.02
829.00 ADMIRAL GROUP PLC 22,486.92 0.00 3,693.00 SENSATA TECH(S) -REGISTERED SHS 182,988.15 0.03
92,080.00 CENTRICA PLC NEW 186,006.82 0.03 United States of America 360,144,613.26 59.03
5,686.00 BUNZL PLC 178,927.18 0.03
1,376.00 BABCOCK INTERNATIONAL GROUP PLC 12,973.85 0.00 604.00 UNITED THERAPEUTICS CORP 77,239.52 0.01
4,129.00 LSE GROUP 246,939.79 0.04 10,054.00 UNITED PARCEL SERVICE INC 1,173,804.50 0.19
17,319.00 UNILEVER PLC 952,216.18 0.16 3,856.00 FEDEX CORP 928,486.24 0.15
2,762.00 INVESTEC 19,436.04 0.00 9,682.00 DOMINION RESOURCES - REGSITERED 680,450.96 0.11
1,716.00 SEVERN TRENT PLC 41,377.70 0.01 1,788.00 PACKAGING CORP OF AMERICA 196,125.72 0.03
2,307.00 WHITBREAD 141,914.12 0.02 7,687.00 TARGET CORP 678,070.27 0.11
6,078.00 HARGREAVES LANS - REGISTERED SHS 177,153.76 0.03 11,350.00 PPL CORP 332,101.00 0.05
6,301.00 SMITHS GROUP -SHS- 122,887.60 0.02 3,215.00 EDWARDS LIFESCIENCES CORP 559,731.50 0.09
11,186.00 3I GROUP PLC 137,299.47 0.02 11,833.00 METLIFE INC 552,837.76 0.09
4,057.00 MONDI PLC 111,317.36 0.02 13,807.00 UNITEDHEALTH GROUP INC 3,673,214.28 0.60
10,224.00 RECKITT BENCKISER GROUP PLC 935,454.27 0.15 61,212.00 VERIZON COMMUNICATIONS INC 3,268,108.68 0.54
28,129.00 RELX PLC 592,799.45 0.10 1,428.00 KANSAS CITY SOUTHERN INDUSTRIES INC 161,763.84 0.03
954.00 FRESNILLO PLC 10,219.17 0.00 2,167.00 ILLUMINA INC 795,419.02 0.13
9,456.00 UNITED UTILITIES GROUP PLC 86,814.50 0.01 49,229.00 FORD MOTOR 455,368.25 0.07
11,618.00 SEGRO (REIT) 96,633.57 0.02 2,313.00 MOODY S CORP 386,733.60 0.06
20,498.00 ROLLS ROYCE HOLDINGS 263,947.01 0.04 4,829.00 ON SEMICONDUCTOR CORP 88,998.47 0.01
6,252.00 JOHN WOOD GROUP 62,910.53 0.01 1,182.00 LABORATORY CORP OF AMERICA HOLDINGS 205,289.76 0.03
2,019.00 THE BERKELEY GR 96,867.54 0.02 7,864.00 XCEL ENERGY INC 371,259.44 0.06
1,276.00 EASYJET PLC 21,865.44 0.00 1,724.00 BLACKROCK INC 812,572.92 0.13
3,232.00 AON 497,016.96 0.08 2,529.00 DAVITA 181,152.27 0.03
67,840.00 ROYAL BANK OF SCOTLAND 221,176.00 0.04 14,962.00 EXELON CORP 653,240.92 0.11
2,890.00 NMC HEALTH PLC 127,915.10 0.02 4,912.00 AETNA INC 996,399.20 0.16
16,330.00 SAGE GROUP 124,879.83 0.02 3,074.00 FLUOR CORP WHEN ISSUED 178,599.40 0.03
9,656.00 LIBERTY GLOBAL -C- 271,912.96 0.04 50,025.00 JPMORGAN CHASE CO 5,644,821.00 0.94
1,116.00 LIBERTY GLOBAL -A- 32,285.88 0.01 2,743.00 GLOBAL PAYMENTS INC 349,458.20 0.06
9,429.00 MEDICLINIC INTERNATIONAL PLC 52,751.53 0.01 23,376.00 US BANCORP 1,234,486.56 0.20
7,528.00 ROYAL MAIL 46,838.31 0.01 5,107.00 NEW YORK COMMUNITY BANCORP INC 52,959.59 0.01
14,910.00 MERLIN ENTERTAINMENTS PLC 77,854.52 0.01 1,004.00 ALIGN TECHNOLOGY INC 392,784.88 0.06

The accompanying notes form an integral part of these financial statements

84
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
4,390.00 RAYTHEON CO 907,237.40 0.15 7,212.00 PG AND E CORP 331,824.12 0.05
2,261.00 CONSTELLATION BRANDS INC -A- 487,516.82 0.08 3,154.00 OGE ENERGY CO (HOLDING CO) 114,553.28 0.02
1,724.00 REGENCY CENTERS 111,491.08 0.02 1,408.00 TAKE TWO INTERACTIVE SOFTWARE INC 194,289.92 0.03
2,821.00 ROCKWELL COLLINS WHEN ISSUED 396,265.87 0.06 4,894.00 STATE STREET CORP 410,019.32 0.07
2,515.00 BIOMARIN PHARMACEUTICAL INC 243,879.55 0.04 1,074.00 AUTOLIV 93,094.32 0.02
2,501.00 ZIMMER BIOMET HLDGS SHS 328,806.47 0.05 12,537.00 BB AND T CORP 608,545.98 0.10
1,948.00 AMERISOURCEBERGEN CORP 179,644.56 0.03 6,300.00 HARTFORD FINANCIAL SERVICES GROUP INC 314,748.00 0.05
28,281.00 CHEVRON CORP 3,458,200.68 0.57 6,028.00 AMAZON.COM INC 12,074,084.00 1.99
3,057.00 SCANA 118,886.73 0.02 4,361.00 AMPHENOL -A- 410,021.22 0.07
5,204.00 PRINCIPAL FINANCIAL GROUP INC 304,902.36 0.05 1,880.00 ALEXANDRIA REAL ESTATE 236,485.20 0.04
938.00 ACUITY BRANDS 147,453.60 0.02 18,897.00 MORGAN STANLEY 880,033.29 0.14
6,698.00 CENTERPOINT ENERGY 185,199.70 0.03 1,875.00 BOSTON PROPERTIES INC 230,793.75 0.04
5,616.00 PRUDENTIAL FINANCIAL INC 569,013.12 0.09 2,890.00 FLOWSERVE 158,054.10 0.03
27,978.00 ALTRIA GROUP 1,687,353.18 0.28 6,364.00 VALERO ENERGY 723,905.00 0.12
901.00 ALLIANCE DATA SYSTEMS CORP 212,780.16 0.03 3,403.00 NISOURCE 84,802.76 0.01
1,489.00 SEATTLE GENETICS INC 114,831.68 0.02 1,222.00 SL GREEN REALTY CORPORATION 119,181.66 0.02
3,645.00 INTUIT 828,873.00 0.14 5,384.00 GOLDMAN SACHS GROUP INC 1,207,308.16 0.20
3,720.00 MICROCHIP TECHNOLOGY 293,545.20 0.05 22,160.00 ANNALY CAPITAL MANAGEMENT 226,696.80 0.04
4,814.00 ALLSTATE CORP 475,141.80 0.08 6,229.00 ONEOK INC (NEW) 422,263.91 0.07
2,128.00 HENRY SCHEIN INC 180,943.84 0.03 138,124.00 BANK OF AMERICA CORP 4,069,133.04 0.67
2,151.00 FLIR SYSTEMS INC 132,221.97 0.02 7,548.00 FIRSTENERGY CORP 280,559.16 0.05
6,274.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 415,715.24 0.07 632.00 AFFILIATED MANAGERS GROUP 86,407.04 0.01
3,464.00 PULTEGROUP 85,803.28 0.01 1,485.00 AMERICAN FINANCIAL GROUP 164,790.45 0.03
1,456.00 CAMDEN PROPERTY SBI 136,237.92 0.02 5,019.00 JUNIPER NETWORKS INC 150,419.43 0.02
3,620.00 ESTEE LAUDER COMPANIES INC -A- 526,058.40 0.09 15,482.00 CENTURYLINK SHS 328,218.40 0.05
2,931.00 BORG WARNER 125,388.18 0.02 3,910.00 ALLIANT ENERGY CORP 166,448.70 0.03
890.00 WATERS 173,265.20 0.03 7,957.00 DEVON ENERGY CORP 317,802.58 0.05
5,097.00 DUKE REALTY 144,601.89 0.02 1,097.00 F5 NETWORKS 218,763.74 0.04
1,112.00 GARTNER GROUP INC -A- 176,252.00 0.03 4,743.00 UNUM SHS 185,309.01 0.03
40.00 NVR INC 98,832.00 0.02 296.00 METTLER TOLEDO INTERNATIONAL 180,258.08 0.03
2,530.00 INCYTE CORP 174,772.40 0.03 4,078.00 AMEREN CORPORATION 257,811.16 0.04
2,058.00 MID-AMER APARTMENT COMMUNITIES INC 206,170.44 0.03 5,312.00 CONSOLIDATED EDISON INC 404,721.28 0.07
1,259.00 MACERICH CO 69,610.11 0.01 2,852.00 RED HAT 388,670.56 0.06
1,773.00 EASTMAN CHEMICAL CO 169,711.56 0.03 1,519.00 UNITED RENTALS INC 248,508.40 0.04
1,065.00 MARTIN MARIETTA 193,776.75 0.03 4,039.00 SEMPRA ENERGY 459,436.25 0.08
3,038.00 ENTERGY CORP 246,472.94 0.04 769.00 LENNOX INTL 167,949.60 0.03
1,582.00 CITRIX SYSTEMS 175,855.12 0.03 1,421.00 VERISIGN INC 227,530.52 0.04
2,359.00 COPART INC 121,559.27 0.02 2,840.00 SEALED AIR 114,026.00 0.02
3,823.00 CARDINAL HEALTH INC 206,442.00 0.03 4,744.00 MARRIOTT INTERNATIONAL -A- 626,350.32 0.10
1,684.00 ALBERMARLE CORPORATION 168,029.52 0.03 5,633.00 VENTAS INC 306,322.54 0.05
18,129.00 KEYCORP 360,585.81 0.06 2,082.00 AKAMAI TECHNOLOGIES 152,298.30 0.02
831.00 ESSEX PROPERTY TRUST 205,016.01 0.03 4,556.00 AGILENT TECHNOLOGIES 321,380.24 0.05
2,875.00 LIBERTY PROPERTY TRUST 121,468.75 0.02 25,255.00 ABBOTT LABORATORIES LTD 1,852,706.80 0.30
1,872.00 RESMED 215,916.48 0.04 475.00 ABIOMED INC 213,631.25 0.04
6,774.00 CAPITAL ONE FINANCIAL CORP 643,055.82 0.11 7,068.00 ADOBE SYSTEMS INC 1,908,006.60 0.31
1,778.00 DARDEN RESTAURANTS INC 197,695.82 0.03 14,720.00 ADVANCED MICRO DEVICES INC 454,700.80 0.07
2,188.00 DTE ENERGY COMPANY 238,776.44 0.04 7,489.00 AES CORP 104,846.00 0.02
587.00 COOPER COMPANIES INC 162,687.05 0.03 6,641.00 COSTCO WHOLESALE CORP 1,559,838.08 0.26
5,107.00 EDISON INTERNATIONAL 345,641.76 0.06 1,932.00 AGCO CORP 117,446.28 0.02
2,788.00 ALEXION PHARMACEUTICALS 387,559.88 0.06 11,760.00 AFLAC INC 553,543.20 0.09
973.00 ANSYS INC 181,639.64 0.03 3,269.00 AIR PRODUCTS CHEMICALS INC 546,086.45 0.09
5,115.00 NEWELL BRANDS 103,834.50 0.02 269.00 ALLEGHANY (DEL) 175,530.57 0.03
5,353.00 NATIONAL OILWELL VARCO INC 230,607.24 0.04 6,859.00 AMERICAN ELECTRIC POWER CO INC 486,165.92 0.08
14,136.00 CVS HEALTH 1,112,785.92 0.18 10,155.00 AMERICAN EXPRESS CO COM. 1,081,405.95 0.18
1,966.00 ROCKWELL AUTOMATION 368,664.32 0.06 9,643.00 AMGEN INC 1,998,897.47 0.33
2,817.00 STEEL DYNAMICS 127,300.23 0.02 6,033.00 ANALOG DEVICES INC 557,811.18 0.09
1,620.00 QUEST DIAGNOSTICS 174,814.20 0.03 4,290.00 APACHE CORP 204,504.30 0.03

The accompanying notes form an integral part of these financial statements

85
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
71,739.00 APPLE INC 16,194,361.86 2.66 2,849.00 GAP INC 82,193.65 0.01
16,212.00 APPLIED MATERIALS INC 626,593.80 0.10 128,700.00 GENERAL ELECTRIC CO 1,453,023.00 0.24
8,595.00 ARCHER-DANIELS MIDLAND CO 432,070.65 0.07 9,282.00 GENERAL MILLS INC 398,383.44 0.07
1,026.00 ARROW ELECTRONICS INC 75,636.72 0.01 5,978.00 WASTE MANAGEMENT INC 540,172.08 0.09
3,244.00 AUTODESK INC 506,420.84 0.08 1,865.00 GENUINE PARTS CO 185,381.00 0.03
6,228.00 AUTOMATIC DATA PROCESSING INC 938,310.48 0.15 4,345.00 GOODYEAR TIRE RUBBER CO 101,629.55 0.02
378.00 AUTOZONE INC 293,214.60 0.05 756.00 WW GRAINGER INC 270,201.96 0.04
1,438.00 AVERY DENNISON CORP 155,807.30 0.03 19,382.00 GILEAD SCIENCES INC 1,496,484.22 0.25
2,681.00 AVNET INC 120,028.37 0.02 3,455.00 HARLEY DAVIDSON INC 156,511.50 0.03
5,782.00 BALL CORP 254,350.18 0.04 1,848.00 HARRIS CORP 312,700.08 0.05
7,695.00 BAXTER INTERNATIONAL INC 593,207.55 0.10 2,047.00 HASBRO INC 215,180.64 0.04
3,737.00 BECTON DICKINSON 975,357.00 0.16 951.00 HENRY JACK AND ASSOCIATES INC 152,236.08 0.02
4,330.00 BEST BUY CO 343,628.80 0.06 1,794.00 HERSHEY 182,988.00 0.03
4,966.00 H & R BLOCK INC 127,874.50 0.02 16,588.00 HOME DEPOT INC 3,436,204.20 0.56
8,071.00 BOEING CO COM. 3,001,604.90 0.49 2,143.00 HUMANA INC 725,448.36 0.12
19,230.00 BOSTON SCIENTIFIC CORP 740,355.00 0.12 1,271.00 J.B. HUNT TRANSPORT SERVICES INC 151,172.74 0.02
2,318.00 M&T BANK CORPORATION 381,403.72 0.06 13,569.00 HUNTINGTON BANCSHARES INC 202,449.48 0.03
24,309.00 BRISTOL-MYERS SQUIBB CO 1,509,102.72 0.25 1,131.00 IDEXX LABS CORP 282,365.46 0.05
3,992.00 BROWN-FORMAN CORP -B- NON VOTING 201,795.60 0.03 4,643.00 ILLINOIS TOOL WORKS 655,220.16 0.11
2,261.00 CAMPBELL SOUP CO 82,820.43 0.01 2,155.00 EAST WEST BANCORP INC 130,097.35 0.02
4,601.00 CADENCE DESIGN SYSTEMS INC 208,517.32 0.03 69,051.00 INTEL CORP 3,265,421.79 0.54
8,943.00 CATERPILLAR - REGISTERED 1,363,718.07 0.22 13,752.00 IBM CORP 2,079,439.92 0.34
10,726.00 CELGENE CORP 959,869.74 0.16 1,275.00 INTERNATIONAL FLAVORS FRAGRANCES 177,378.00 0.03
5,295.00 CERNER CORP 341,050.95 0.06 3,740.00 INTERPUBLIC GROUP OF COMPANIES INC 85,533.80 0.01
3,952.00 CHURCH AND DWIGHT CO 234,630.24 0.04 39,430.00 JOHNSON AND JOHNSON 5,448,043.10 0.90
3,741.00 CIGNA CORP 779,063.25 0.13 4,389.00 KELLOGG 307,317.78 0.05
2,212.00 CINCINNATI FINANCIAL CORP 169,903.72 0.03 5,082.00 KIMBERLY CLARK 577,518.48 0.09
1,240.00 CINTAS 245,284.40 0.04 8,230.00 KIMCO REALTY 137,770.20 0.02
69,633.00 CISCO SYSTEMS INC 3,387,645.45 0.56 1,902.00 KLA-TENCOR CORP 193,452.42 0.03
1,874.00 CLOROX CO 281,868.34 0.05 2,986.00 ZOHL'S CORP 222,606.30 0.04
3,113.00 CMS ENERGY CORP 152,537.00 0.02 9,800.00 KROGER CO 285,278.00 0.05
57,497.00 COCA-COLA CO 2,655,786.43 0.44 2,025.00 LAM RESEARCH CORP 307,192.50 0.05
3,455.00 COGNEX CORP 192,858.10 0.03 2,498.00 LEGGETT PLATT INC 109,387.42 0.02
11,934.00 COLGATE-PALMOLIVE CO 798,981.30 0.13 3,735.00 LENNAR CORP -A- 174,387.15 0.03
2,078.00 COMERICA INC 187,435.60 0.03 14,779.00 ELI LILLY AND CO 1,585,934.49 0.26
6,100.00 CONAGRA BRANDS INC 207,217.00 0.03 2,568.00 LINCOLN NATIONAL CORP 173,750.88 0.03
10,521.00 CORNING INC 371,391.30 0.06 3,336.00 LOEWS CORP 167,567.28 0.03
8,575.00 COGNIZANT TECHNOLOGY SOLUTIONS -A- 661,561.25 0.11 12,139.00 LOWE'S COMPANIES INC 1,393,799.98 0.23
12,921.00 CSX CORP 956,800.05 0.16 1,458.00 MANPOWER INC 125,329.68 0.02
2,684.00 CUMMINS - REGISTERED 392,051.88 0.06 7,722.00 MARSH MC-LENNAN COS. INC. 638,763.84 0.10
4,396.00 DR HORTON 185,423.28 0.03 5,825.00 MASCO 213,195.00 0.03
8,596.00 DANAHER CORP 934,041.36 0.15 6,742.00 MATTEL 105,849.40 0.02
4,796.00 DEERE AND CO 720,982.68 0.12 4,569.00 MAXIM INTEGRATED PRODUCTS INC 257,645.91 0.04
2,684.00 DOVER CORP 237,614.52 0.04 1,732.00 MCCORMICK & CO INC NON VOTING 228,191.00 0.04
3,837.00 REPUBLIC SERVICES -A- 278,796.42 0.05 11,588.00 MCDONALD'S CORP 1,938,556.52 0.32
1,918.00 EATON VANCE NON-VOTING 100,810.08 0.02 6,078.00 MGM RESORTS INTL 169,636.98 0.03
3,593.00 ECOLAB INC 563,310.54 0.09 17,917.00 MICRON TECHNOLOGY 810,385.91 0.13
4,338.00 ELECTRONIC ARTS - REGISTERED 522,685.62 0.09 106,655.00 MICROSOFT CORP 12,198,132.35 2.01
1,808.00 EQUIFAX INC 236,070.56 0.04 1,193.00 MIDDLEBY CORP 154,314.55 0.03
2,431.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 178,751.43 0.03 733.00 MOHAWK INDUSTRIES INC 128,531.55 0.02
5,236.00 FASTENAL CO 303,792.72 0.05 4,530.00 SIMON PROPERTY GROUP - REGISTERED 800,677.50 0.13
1,298.00 FED RLTY INV TR / SHS.OF BENEF.INTEREST 164,158.06 0.03 15,210.00 EBAY 502,234.20 0.08
8,498.00 FIFTH THIRD BANCORP 237,264.16 0.04 7,006.00 NEWMONT MINING CORP 211,581.20 0.03
6,086.00 FISERV INC 501,364.68 0.08 19,029.00 NIKE INC 1,612,136.88 0.26
1,647.00 FMC CORP 143,585.46 0.02 1,885.00 NORDSTROM INC 112,741.85 0.02
5,538.00 FRANKLIN RESOURCES INC 168,410.58 0.03 4,103.00 NORFOLK SOUTHERN CORP 740,591.50 0.12
2,233.00 ARTHUR J.GALLAGHER AN CO 166,224.52 0.03 3,235.00 NORTHERN TRUST CORP 330,390.55 0.05

The accompanying notes form an integral part of these financial statements

86
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
4,015.00 NUCOR CORP 254,751.75 0.04 8,611.00 HOST HOTELS & RESORTS - SHS 181,692.10 0.03
3,209.00 OMNICOM GROUP INC 218,276.18 0.04 18,831.00 WILLIAMS COS INC 512,014.89 0.08
44,480.00 ORACLE CORP 2,293,388.80 0.38 3,279.00 XILINX INC 262,877.43 0.04
5,709.00 PACCAR INC 389,296.71 0.06 4,038.00 ZIONS BANCORP 202,505.70 0.03
1,622.00 ROPER TECHNOLOGIES 480,452.62 0.08 3,248.00 MCKESSON CORP 430,847.20 0.07
2,190.00 AVALONBAY COMMUN 396,718.50 0.07 8,613.00 NVIDIA CORP 2,420,425.26 0.40
2,254.00 PARKER-HANNIFIN CORP 414,578.22 0.07 1,871.00 VARIAN MEDICAL SYTEMS 209,421.03 0.03
4,212.00 PAYCHEX INC 310,213.80 0.05 832.00 ADVANCE AUTO PARTS 140,050.56 0.02
21,157.00 PEPSICO INC 2,365,352.60 0.39 4,777.00 YUM BRANDS INC 434,277.07 0.07
84,066.00 PFIZER INC 3,704,788.62 0.61 1,216.00 J.M. SMUCKER CO SHS/WHEN ISSUED 124,773.76 0.02
1,501.00 PINNACLE WEST CAPITAL CORP 118,849.18 0.02 2,487.00 SKYWORKS SOLUTIONS INC 225,595.77 0.04
7,257.00 PNC FINANCIAL SERVICES GROUP INC 988,330.83 0.16 1,540.00 TRACTOR SUPPLY CO 139,955.20 0.02
973.00 POLARIS INDUSTRIES INC 98,224.35 0.02 1,299.00 W.R.BERKLEY CORP 103,829.07 0.02
3,586.00 PPG INDUSTRIES INC 391,340.18 0.06 3,243.00 T ROWE PRICE GROUP INC 354,070.74 0.06
37,283.00 PROCTER AND GAMBLE CO 3,103,064.09 0.51 1,620.00 CIMAREX ENERGY CO 150,562.80 0.02
8,945.00 PROGRESSIVE CORP 635,452.80 0.10 3,280.00 CARMAX INC 244,917.60 0.04
7,950.00 PUBLIC SERVICE ENTERPRISE GROUP INC 419,680.50 0.07 2,666.00 PIONER NATURAL RESOURCES COMPANY 464,390.54 0.08
19,812.00 QUALCOMM INC 1,427,058.36 0.23 67,189.00 COMCAST CORP 2,379,162.49 0.39
1,126.00 REGENERON PHARMACEUTICALS INC 454,949.04 0.07 1,818.00 NEKTAR THERAPEUTICS 110,825.28 0.02
66,512.00 WELLS FARGO AND CO 3,495,870.72 0.57 6,213.00 NETFLIX INC 2,324,469.69 0.38
1,463.00 RAYMOND JAMES FINANCIAL INC 134,669.15 0.02 3,156.00 CROWN HOLDINGS INC 151,488.00 0.02
1,530.00 ROBERT HALF INTERNATIONAL INC 107,681.40 0.02 1,189.00 STERICYCLE INC 69,770.52 0.01
5,661.00 ROSS STORES INC 561,005.10 0.09 243.00 AMERCO 86,665.95 0.01
17,078.00 CHARLES SCHWAB CORP/THE 839,383.70 0.14 1,281.00 OLD DOMINION FREIGHT LINES INC 206,574.06 0.03
1,985.00 SEI INVESTMENTS COMPANY 121,283.50 0.02 2,653.00 VORNADO REALTY TRUST SHS OF BENEF.INT 193,669.00 0.03
1,270.00 SHERWIN WILLIAMS CO 578,116.70 0.09 1,706.00 INTUITIVE SURGICAL 979,244.00 0.16
3,156.00 A.O.SMITH CORP 168,435.72 0.03 245.00 MARKEL CORP 291,180.05 0.05
1,150.00 SNAP ON INC 211,140.00 0.03 2,998.00 CENTENE 434,050.44 0.07
15,362.00 SOUTHERN CO 669,783.20 0.11 3,401.00 HORMEL FOODS CORP 133,999.40 0.02
2,610.00 SOUTHWEST AIRLINES - REGISTERED 162,994.50 0.03 3,155.00 BIOGEN IDEC INC 1,114,693.05 0.18
20,241.00 STARBUCKS CORP 1,150,498.44 0.19 778.00 JONES LANG LASALLE INC 112,280.96 0.02
5,236.00 STRYKER CORP 930,332.48 0.15 4,531.00 HOLOGIC INC 185,680.38 0.03
6,237.00 SUNTRUST BANKS INC 416,569.23 0.07 284.00 ASSURANT INC 30,657.80 0.01
6,417.00 SYMANTEC CORP 136,553.76 0.02 574.00 SIGNATURE BANK 65,918.16 0.01
6,370.00 SYSCO CORP 466,602.50 0.08 1,085.00 WYNN RESORTS LTD 137,860.10 0.02
2,153.00 SYNOPSYS 212,307.33 0.03 2,495.00 PUBLIC STORAGE INC 503,066.85 0.08
531.00 TELEFLEX INC 141,293.79 0.02 10,184.00 SALESFORCE COM.INC 1,619,561.52 0.27
14,551.00 TEXAS INSTRUMENTS INC 1,561,176.79 0.26 14,478.00 REGIONS FINANCIAL CORP 265,671.30 0.04
4,233.00 TEXTRON INC 302,532.51 0.05 2,401.00 TOTAL SYSTEM SERVICES INC 237,074.74 0.04
5,839.00 THERMO FISHER SCIEN SHS 1,425,183.12 0.23 839.00 WESTLAKE CHEMICAL CORP 69,729.29 0.01
1,434.00 TIFFANY CO 184,942.98 0.03 406.00 DOMINO PIZZA INC 119,688.80 0.02
8,915.00 TJX COS INC 998,658.30 0.16 5,096.00 LAS VEGAS SANDS CORP 302,345.68 0.05
1,348.00 TOLL BROTHERS INC 44,524.44 0.01 1,219.00 NASDAQ 104,590.20 0.02
1,238.00 TORCHMARK CORP 107,322.22 0.02 2,893.00 MOLSON COORS BREWING CO -B- NON VOTING 177,919.50 0.03
3,069.00 TRIMBLE 133,378.74 0.02 3,669.00 CHENIERE ENERGY INC 254,958.81 0.04
2,765.00 UGI CORP 153,402.20 0.03 4,250.00 REALTY INCOME CORP 241,782.50 0.04
10,950.00 UNION PACIFIC CORP 1,782,988.50 0.29 517.00 VAIL RESORTS INC 141,875.14 0.02
11,285.00 UNITED TECHNOLOGIES CORP 1,577,755.85 0.26 804.00 SVB FINANCIAL GROUP 249,907.32 0.04
1,079.00 UNIVERSAL HEALTH SERVICES INC 137,939.36 0.02 3,161.00 DIGITAL REALTY TRUST INC 355,549.28 0.06
3,722.00 VERTEX PHARMACEUTICALS INC 717,378.28 0.12 2,872.00 CF INDUSTRIES HOLDINGS INC 156,351.68 0.03
5,189.00 VF REGISTERED 484,912.05 0.08 2,146.00 AMERIPRISE FINANCIAL INC 316,878.36 0.05
2,453.00 VULCAN MATERIALS CO 272,773.60 0.04 2,142.00 C.H.ROBINSON WORLWIDE INC 209,744.64 0.03
21,708.00 WALMART INC 2,038,598.28 0.33 1,366.00 ATMOS ENERGY CORP 128,281.06 0.02
22,156.00 WALT DISNEY CO 2,590,922.64 0.42 107,375.00 AT AND T INC 3,605,652.50 0.59
4,353.00 WESTERN DIGITAL CORP 254,824.62 0.04 3,712.00 LKQ CORP 117,559.04 0.02
9,428.00 WEYERHAEUSER CO 304,241.56 0.05 5,111.00 UNDER ARMOUR INC -A- 108,455.42 0.02
771.00 WHIRLPOOL CORP 91,556.25 0.02 5,012.00 CBS -B- 287,939.40 0.05

The accompanying notes form an integral part of these financial statements

87
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
5,990.00 VIACOM -B- 202,222.40 0.03 2,229.00 SS C TECHNOLOGIERS HOLDINGS 126,674.07 0.02
1,630.00 LIVE NATION 88,786.10 0.01 1,700.00 CIT GROUP 87,737.00 0.01
4,565.00 TD AMERITRADE HOLDING CORP 241,168.95 0.04 6,892.00 NEXTERA ENERGY 1,155,099.20 0.19
262.00 CHIPOTLE MEXICAN GRILL -A- 119,084.24 0.02 3,967.00 E TRADE FINANCIAL 207,831.13 0.03
4,873.00 FIDELITY NATIONAL 531,498.11 0.09 1,308.00 CBOE HOLDINGS INC 125,515.68 0.02
3,849.00 CA INC 169,933.35 0.03 1,798.00 TESLA MOTORS INC 476,056.46 0.08
1,836.00 WESTINGHOUSE AIR BRAKE TECHNOLOGIES 192,559.68 0.03 797.00 UNITED CONTINENTAL HOLDINGS INC 70,980.82 0.01
CORP 17,749.00 GENERAL MOTORS CO 597,608.83 0.10
3,666.00 AMETEK INC 290,053.92 0.05
2,410.00 FIRST REPUBLIC BANK 231,360.00 0.04
996.00 ALNYLAM PHARMACEUTICALS INC 87,169.92 0.01
1,509.00 FLEETCOR TECHNOLOGIES 343,810.56 0.06
1,598.00 CELANESE RG REGISTERED SHS 182,172.00 0.03
1,150.00 O REILLY AUTO 399,418.00 0.07
13,378.00 MASTERCARD INC -A- 2,978,076.58 0.49
2,568.00 MOTOROLA SOLUTIONS INC 334,199.52 0.05
755.00 TRANSDIGM GROUP 281,086.50 0.05
30,848.00 KINDER MORGAN 546,935.04 0.09
3,498.00 HANESBRANDS 64,468.14 0.01
3,989.00 HCA HEALTHCARE RG REGISTERED SHS 554,949.68 0.09
5,697.00 THE WESTERN UNION COMPANY 108,584.82 0.02
766.00 HUNTINGTON INGALLS INDUSTRIESINC 196,157.28 0.03
2,654.00 NATIONAL RETAIL PROPERTIES INC 118,952.28 0.02
472.00 COSTAR GROUP INC 198,636.48 0.03
2,204.00 SPIRIT AEROSYSTEMS HOLDINGS INC -A- 202,040.68 0.03
36,884.00 CITIGROUP 2,646,058.16 0.43
399.00 IPG PHOTONICS CORP 62,271.93 0.01
5,890.00 MOSAIC 191,307.20 0.03
1,413.00 IDEX CORP 212,882.58 0.03
8,640.00 PROLOGIS 585,705.60 0.10
2,478.00 OWENS CORNING SHS 134,481.06 0.02
2,188.00 HOLLYFRONTIER 152,941.20 0.03
3,677.00 TRAVELERS COS INC/THE 476,943.67 0.08
7,300.00 MARATHON PETROLEUM 583,781.00 0.10
3,379.00 UDR 136,612.97 0.02
1,166.00 PVH CORP 168,370.40 0.03
1,060.00 ROLLINS 64,331.40 0.01
519.00 RALPH LAUREN -A- 71,388.45 0.01
1,322.00 BROADRIDGE FINANCIAL SOL -W/I 174,437.90 0.03
3,236.00 FORTUNE BRANDS HOME AND SECURITY W.ISS 169,436.96 0.03
1,460.00 EXTRA SPACE STORAGE INC 126,494.40 0.02
3,896.00 CBRE GROUP 171,813.60 0.03
4,443.00 PEOPLES UNITED FINANCIAL 76,064.16 0.01
3,087.00 XYLEM WHEN ISSUED 246,558.69 0.04
3,261.00 DELTA AIR LINES 188,583.63 0.03
1,551.00 EXPEDIA GROUP 202,374.48 0.03
2,962.00 MACYS 102,870.26 0.02
1,278.00 TRIPADVISOR INC WHEN ISSUED 65,267.46 0.01
4,487.00 DISCOVER FINANCIAL SERVICES - SHS WI 343,031.15 0.06
6,193.00 AMERICAN TOWER CORP 899,842.90 0.15
15,160.00 BANK OF NEW YORK MELLON CORP 773,008.40 0.13
2,819.00 TARGA RESOURCES CORP 158,737.89 0.03
4,970.00 CME GROUP -A- 845,943.70 0.14
8,581.00 EXPRESS SCRIPTS 815,280.81 0.13
1,295.00 WABCO HOLDINGS WHEN ISSUED 152,732.30 0.03
6,399.00 PHILLIPS 66 721,295.28 0.12
1,759.00 LULULEMON ATHLETICA INC SHS WHEN ISSUED 285,819.91 0.05
1,641.00 SPLUNK 198,413.31 0.03
552.00 MERCADOLIBRE 187,939.44 0.03
35,242.00 FACEBOOK -A- 5,795,899.32 0.96
1,149.00 WMWARE 179,312.94 0.03
901.00 INGREDION 94,568.96 0.02
6,366.00 HCP 167,553.12 0.03
10,082.00 DUKE ENERGY CORP 806,761.64 0.13
654.00 ULTA BEAUTY RG REGISTERED 184,506.48 0.03
2,541.00 SERVICENOW INC 497,095.83 0.08
1,035.00 MSCI 183,619.35 0.03
1,217.00 PALO ALTO NET 274,141.42 0.04
3,247.00 DISH NETWORK -A- 116,112.72 0.02
21,075.00 MONDELEZ INTERNATIONAL INC 905,382.00 0.15
3,618.00 DOLLAR TREE INC 295,047.90 0.05
2,226.00 WORKDAY -A- 324,951.48 0.05
26,378.00 VISA INC -A- 3,959,074.02 0.65
22,701.00 ABBVIE INC WI 2,147,060.58 0.35
4,470.00 NETAPP 383,928.30 0.06
2,187.00 XPO LOGISTICS INC 249,689.79 0.04
21,933.00 PHILIP MORRIS INTERNATIONAL INC 1,788,416.82 0.29
7,228.00 ZOETIS INC -A- 661,795.68 0.11
2,880.00 AMERCIAN WATER WORKS CO INC 253,353.60 0.04
2,604.00 L BRANDS 78,901.20 0.01
10,275.00 ACTIVISION BLIZZARD 854,777.25 0.14
5,641.00 T MOBILE US INC 395,885.38 0.06
924.00 IAC/INTERACTIVE CORP (WHEN ISSUED) 200,249.28 0.03
3,953.00 COTY INC -A- 49,649.68 0.01
5,280.00 DISCOVERY C 156,182.40 0.03
3,592.00 NEWS CORP -A- 47,378.48 0.01
3,964.00 DISCOVERY-A 126,848.00 0.02
7,020.00 21ST CENTURY -B- 321,656.40 0.05
794.00 REINSURANCE GR AMER 114,780.64 0.02
13,991.00 21ST CENTURY -A- WHEN ISSUED 648,203.03 0.11
3,069.00 EQT 135,741.87 0.02
1,736.00 CDW 154,365.12 0.03
14,165.00 AMERICAN INTERNATIONAL GROUP INC 754,144.60 0.12
3,926.00 HD SUPPLY HLDGS 167,993.54 0.03
1,814.00 VERISK ANALYTICS INC 218,677.70 0.04
20,759.00 SPRINT SERIES -1- 135,763.86 0.02
38,260.00 MERCK AND CO 2,714,164.40 0.44
2,674.00 LEIDOS HOLDINGS WI 184,933.84 0.03
2,277.00 FORTINET 210,098.79 0.03
4,633.00 ANTERO RESOURCES 82,050.43 0.01
1,052.00 LEAR 152,540.00 0.02
1,434.00 VEEVA SYSTEMS -A- 156,119.58 0.03
4,457.00 DOLLAR GENERAL 487,150.10 0.08
2,233.00 COMMSCOPE HOLDINGS INC 68,687.08 0.01
18,872.00 BERKSHIRE HATHAWAY -B- 4,040,683.92 0.66
10,644.00 TWITTER INC 302,928.24 0.05
2,645.00 STANLEY BLCK DECK 387,333.80 0.06

The accompanying notes form an integral part of these financial statements

88
AMUNDI INDEX MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
8,156.00 INTERCONEXCH GR INC WI 610,802.84 0.10 4,203.00 SQUARE -A- 416,139.03 0.07
19,642.00 SIRIUS XM HOLDINGS INC 124,137.44 0.02 5,776.00 INTERNATIONAL PAPER CO 283,890.40 0.05
1,708.00 AMERICAN AIRLINES GROUP INC-REGS 70,591.64 0.01 3,078.00 NEWFIELD EXPLORATION CO 88,738.74 0.01
4,817.00 ARAMARK HOLDING CORP 207,227.34 0.03 3,771.00 S&P GLOBAL 736,815.69 0.12
2,569.00 VOYA FINANCIAL INC 127,602.23 0.02 1,328.00 UNDER ARMOUR WHEN ISSUED 25,842.88 0.00
5,755.00 SABRE 150,090.40 0.02 400.00 LIBERTY MEDIA -A- SIRIUS XM GROUP 17,376.00 0.00
6,051.00 ALLY FINANCIAL INC 160,048.95 0.03 2,409.00 CHARTER COMM -A- 785,044.92 0.13
4,425.00 PARSLEY ENERGY INC -A- 129,431.25 0.02 1,811.00 LIBERTY MEDIA -C- SIRIUS XM 78,687.95 0.01
637.00 ARISTA NETWORKS INC 169,352.82 0.03 1,685.00 GODADDY -A- 140,512.15 0.02
4,697.00 FIDL NAT FINANCL-A FNF GROUP WI 184,826.95 0.03 2,558.00 DELL TECHNOLOGIES INC -V- 248,432.96 0.04
1,673.00 CDK GLOBAL INC 104,662.88 0.02 5,038.00 FORTIVE WHEN ISSUED 424,199.60 0.07
2,119.00 KEYSIGHT TECHNOLOGIES INC 140,447.32 0.02 7,826.00 AGNC INVESTMENT CORP 145,798.38 0.02
9,236.00 SYNCHRONY FINANCIAL 287,054.88 0.05 9,132.00 ARCONIC REGISTERED SHD 200,995.32 0.03
12,094.00 WALGREENS BOOTS ALLIANCE INC 881,652.60 0.14 3,887.00 PLAINS GP REGISTERED SHS -A- 95,348.11 0.02
5,794.00 CROWN CASTLE REIT 645,046.02 0.11 2,639.00 ZAYO GROUP HOLDINGS INC 91,626.08 0.02
3,571.00 ANTHEM 978,632.55 0.16 1,351.00 SBA COMMUNICATIONS -A 217,011.13 0.04
1,192.00 EQUINIX 516,004.88 0.08 4,774.00 HILTON WORLDWIDE HLDGS INC REG SHS 385,643.72 0.06
3,021.00 IRON MOUNTAIN REIT INC 104,284.92 0.02 1,258.00 L3 TECHNOLOGIES INC 267,475.96 0.04
5,571.00 CITIZENS FINANCIAL GROUP INC 214,873.47 0.04 5,126.00 INVITATION HOMS REGISTERED 117,436.66 0.02
2,530.00 QORVO INC 194,531.70 0.03 2,068.00 TRANSUNION 152,163.44 0.02
3,794.00 EVERSOURCE EN 233,103.36 0.04 4,656.00 DXC TECHNOLOGY WI 435,429.12 0.07
6,534.00 MONSTER BEVERAGE CORP 380,801.52 0.06 2,821.00 XEROX - REGISTERED 76,110.58 0.01
5,306.00 WEC ENERGY GR 354,228.56 0.06 4,613.00 BAKER HUGHES-A RG REGISTERED SHS -A 156,057.79 0.03
1,266.00 LIBERTY BROADBAND CORP -C- 106,723.80 0.02 451.00 BRIGHTHOUSE - REGISTERED 19,952.24 0.00
3,016.00 THE CHEMOURS WHEN ISSUED 118,951.04 0.02 1,531.00 KNIGHT SWIFT TRANSPORTATION HLDG 52,788.88 0.01
3,556.00 WESTROCK 190,032.64 0.03 34,635.00 DOWDUPONT 2,227,376.85 0.37
16,028.00 PAYPAL HOLDINGS INC WI 1,407,899.52 0.23 3,211.00 LIBERTY MEDIA -C- MEDIA GROUP 119,417.09 0.02
9,599.00 THE KRAFT HEINZ 529,000.89 0.09 3,272.00 TAPESTRY REG 164,483.44 0.03
14,596.00 VEREIT 105,966.96 0.02 3,932.00 VISTRA ENERGY CORP 97,828.16 0.02
1,334.00 ZILLOW GROUP -C- 59,029.50 0.01 2,482.00 QUINTILES IMS HOLDING INC 322,014.68 0.05
5,906.00 WELLTOWER INC 379,873.92 0.06 712.00 BOOKING HLDG 1,412,608.00 0.23
4,394.00 ALPHABET INC 5,303,909.52 0.88 4,176.00 WORLDPAY - REGISTERED SHS -A- 422,903.52 0.07
4,618.00 ALPHABET -C- 5,511,444.46 0.91 6,055.00 BROADCOM - REGISTERED SHS 1,493,950.15 0.24
7,157.00 FIRST DATA -A- 175,131.79 0.03 3,954.00 EVERGY 217,153.68 0.04
19,716.00 HEWLETT PACKARD WHEN ISSUED 321,567.96 0.05 8,440.00 QURATE RTL GRP -REGISTERED SHS 187,452.40 0.03
24,671.00 HP INC 635,771.67 0.10 5,026.00 JEFFER FINL GRP --- REGISTERED SHS 110,370.96 0.02
62,260.00 EXXON MOBIL CORP 5,293,345.20 0.87 6,211.00 GGP INC 129,996.23 0.02
3,814.00 TYSON FOODS INC -A- 227,047.42 0.04 Shares/Units in investment funds 49,918.55 0.01
8,761.00 3M CO 1,846,030.31 0.30
Japan 49,918.55 0.01
4,364.00 PRAXAIR INC 701,425.72 0.11
17,182.00 FREEPORT MCMORAN COPPER AND GOLD INC 239,173.44 0.04 14.00 JAPAN PRIME REALTY INVESTMENT CORP 49,918.55 0.01
8,386.00 EOG RESOURCES INC 1,069,802.02 0.18 Warrants, Rights 909.30 0.00
17,802.00 CONOCOPHILLIPS CO 1,377,874.80 0.23
Australia 904.14 0.00
11,025.00 HONEYWELL INTERNATIONAL INC 1,834,560.00 0.30
9,757.00 EMERSON ELECTRIC CO 747,191.06 0.12 1,562.00 HARVEY NORMAN HOLDINGS 15.10.18 RIGHT 904.14 0.00
6,754.00 ANADARKO PETROLEUM CORP 455,287.14 0.07 Switzerland 5.16 0.00
1,891.00 DIAMONDBACK ENERGY 255,644.29 0.04
9.00 SWISS PRIME SITE AG 26.09.18 RIGHT 5.16 0.00
14,033.00 HALLIBURTON 568,757.49 0.09
0.16 Total securities portfolio
605,678,273.29 99.25
11,588.00 OCCIDENTAL PETROLEUM CORP 952,185.96
3,057.00 DENTSPLY SIRONA INC 115,371.18 0.02
9,792.00 MARATHON OIL CORP 227,957.76 0.04
8,886.00 CABOT OIL AND GAS CORP -A- 200,112.72 0.03
5,875.00 NOBLE ENERGY INC 183,241.25 0.03
3,915.00 HESS CORP 280,235.70 0.05
2,414.00 HELMERICH PAINE 166,010.78 0.03
3,323.00 CONCHO RES 507,588.25 0.08
1,660.00 CONTINENTAL RESOURCES 113,344.80 0.02

The accompanying notes form an integral part of these financial statements

89
AMUNDI INDEX S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
United States of America 1,100,901,688.55 95.61
Long positions 1,142,796,005.55 99.26
4,709.00 PERKINELMER 458,044.43 0.04
Other transferable securities 0.19 0.00 32,236.00 UNITED PARCEL SERVICE INC 3,763,553.00 0.33
Shares 0.19 0.00 11,802.00 FEDEX CORP 2,841,803.58 0.25
30,395.00 DOMINION RESOURCES - REGSITERED 2,136,160.60 0.19
United States of America 0.19 0.00
4,398.00 PACKAGING CORP OF AMERICA 482,416.62 0.04
188,996.00 FIRST HORIZON NATIONAL CORP (ROMPU) 0.19 0.00 24,839.00 TARGET CORP 2,191,048.19 0.19
1,109.00 MARRIOT INTL 0.00 0.00 31,734.00 PPL CORP 928,536.84 0.08
Transferable securities admitted to an official stock exchange 1,142,796,005.36 99.26 9,568.00 EDWARDS LIFESCIENCES CORP 1,665,788.80 0.14
listing 48,134.00 METLIFE INC 2,248,820.48 0.20
Shares 1,142,796,005.36 99.26 44,722.00 UNITEDHEALTH GROUP INC 11,897,840.88 1.03
Bermuda 2,171,424.90 0.19 193,393.00 VERIZON COMMUNICATIONS INC 10,325,252.27 0.90
4,343.00 KANSAS CITY SOUTHERN INDUSTRIES INC 491,975.04 0.04
1,744.00 EVEREST REINSURANCE GROUP 398,451.68 0.03
6,833.00 ILLUMINA INC 2,508,120.98 0.22
17,386.00 INVESCO LTD 397,791.68 0.03
183,501.00 FORD MOTOR 1,697,384.25 0.15
8,898.00 NORVERGIAN CRUISE LINE LTD 511,012.14 0.04
7,579.00 MOODY S CORP 1,267,208.80 0.11
16,015.00 IHS MARKIT 864,169.40 0.09
5,020.00 LABORATORY CORP OF AMERICA HOLDINGS 871,873.60 0.08
British Virgin Islands 435,013.20 0.04 23,100.00 XCEL ENERGY INC 1,090,551.00 0.09
6,345.00 MICHAEL KORS HOLDINGS LTD 435,013.20 0.04 5,839.00 BLACKROCK INC 2,752,095.87 0.24
5,942.00 DAVITA 425,625.46 0.04
Ireland 22,178,687.27 1.93
45,073.00 EXELON CORP 1,967,887.18 0.17
13,414.00 INGERSOLL-RAND 1,372,252.20 0.12 15,120.00 AETNA INC 3,067,092.00 0.27
30,154.00 ACCENTURE - SHS CLASS A 5,132,210.80 0.45 10,240.00 FLUOR CORP WHEN ISSUED 594,944.00 0.05
12,151.00 SEAGATE TECHNOLOGY PLC 575,349.85 0.05 157,410.00 JPMORGAN CHASE CO 17,762,144.40 1.54
22,403.00 EATON CORPORATION PUBLIC LIMITED COMPANY 1,943,012.19 0.17 7,680.00 GLOBAL PAYMENTS INC 978,432.00 0.08
6,812.00 ALLEGION PLC WI 616,962.84 0.05 70,832.00 US BANCORP 3,740,637.92 0.32
5,481.00 PERRIGO COMPANY PLC 388,054.80 0.03 3,275.00 ALIGN TECHNOLOGY INC 1,281,245.50 0.11
12,380.00 PENTAIR PLC 536,673.00 0.05 14,392.00 RAYTHEON CO 2,974,250.72 0.26
62,857.00 MEDTRONIC HLD 6,183,243.09 0.53 7,889.00 CONSTELLATION BRANDS INC -A- 1,701,026.18 0.15
14,980.00 ALLERGAN 2,853,390.40 0.25 7,798.00 REGENCY CENTERS 504,296.66 0.04
6,365.00 WILLIS TOWERS 897,083.10 0.08 9,047.00 ROCKWELL COLLINS WHEN ISSUED 1,270,832.09 0.11
48,013.00 JOHNSON CONTROLS INTERNATIONAL PLC 1,680,455.00 0.15 9,228.00 ZIMMER BIOMET HLDGS SHS 1,213,205.16 0.11
Jersey Island 1,063,194.27 0.09 6,885.00 AMERISOURCEBERGEN CORP 634,934.70 0.06
89,137.00 CHEVRON CORP 10,899,672.36 0.95
1.00 SHIRE REPR 3 SHS - ADR 181.27 0.00
6,050.00 SCANA 235,284.50 0.02
12,670.00 APTIV - REGISTERED 1,063,013.00 0.09
12,325.00 PRINCIPAL FINANCIAL GROUP INC 722,121.75 0.06
Liberia 999,238.60 0.09 5,362.00 FOOT LOCKER INC 273,354.76 0.02
7,690.00 ROYAL CARIBBEAN CRUISES 999,238.60 0.09 18,263.00 CENTERPOINT ENERGY 504,971.95 0.04
19,121.00 PRUDENTIAL FINANCIAL INC 1,937,339.72 0.17
Netherlands 2,493,475.11 0.22
87,743.00 ALTRIA GROUP 5,291,780.33 0.46
15,781.00 LYONDELLBASELL -A- 1,617,710.31 0.14 2,188.00 ALLIANCE DATA SYSTEMS CORP 516,718.08 0.04
23,928.00 MYLAN NV. 875,764.80 0.08 11,905.00 INTUIT 2,707,197.00 0.24
Panama 1,229,931.99 0.11 10,670.00 MICROCHIP TECHNOLOGY 841,969.70 0.07
15,956.00 ALLSTATE CORP 1,574,857.20 0.14
19,287.00 CARNIVAL CORP 1,229,931.99 0.11
6,519.00 HENRY SCHEIN INC 554,310.57 0.05
Switzerland 4,732,945.82 0.41 5,891.00 FLIR SYSTEMS INC 362,119.77 0.03
21,949.00 CHUBB - NAMEN AKT 2,933,264.36 0.26 16,715.00 EQTY RESIDENTIAL PPTYS TR SHS BEN.INT. 1,107,535.90 0.10
16,037.00 TE CONNECTIVITY LTD REG SHS 1,410,133.41 0.12 11,119.00 PULTEGROUP 275,417.63 0.02
5,561.00 GARMIN 389,548.05 0.03 10,168.00 ESTEE LAUDER COMPANIES INC -A- 1,477,613.76 0.13
9,613.00 BORG WARNER 411,244.14 0.04
The Netherlands Antilles 3,886,086.80 0.34
3,316.00 WATERS 645,558.88 0.06
63,790.00 SCHLUMBERGER LTD 3,886,086.80 0.34 15,112.00 DUKE REALTY 428,727.44 0.04
United Kingdom 2,704,318.85 0.23 4,142.00 GARTNER GROUP INC -A- 656,507.00 0.06
7,447.00 INCYTE CORP 514,438.76 0.04
11,100.00 AON 1,706,958.00 0.14
4,816.00 MID-AMER APARTMENT COMMUNITIES INC 482,466.88 0.04
15,185.00 NIELSEN HOLDINGS PLC 420,017.10 0.04
4,661.00 MACERICH CO 257,706.69 0.02
18,475.00 TECHNIPFMC USD 577,343.75 0.05
6,043.00 EASTMAN CHEMICAL CO 578,435.96 0.05

The accompanying notes form an integral part of these financial statements

90
AMUNDI INDEX S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
2,665.00 MARTIN MARIETTA 484,896.75 0.04 17,127.00 VENTAS INC 931,366.26 0.08
9,845.00 ENTERGY CORP 798,724.85 0.07 7,222.00 AKAMAI TECHNOLOGIES 528,289.30 0.05
5,998.00 CITRIX SYSTEMS 666,737.68 0.06 14,524.00 AGILENT TECHNOLOGIES 1,024,522.96 0.09
8,554.00 COPART INC 440,787.62 0.04 81,652.00 ABBOTT LABORATORIES LTD 5,989,990.72 0.52
15,244.00 CARDINAL HEALTH INC 823,176.00 0.07 2,214.00 ABIOMED INC 995,746.50 0.09
4,715.00 ALBERMARLE CORPORATION 470,462.70 0.04 23,218.00 ADOBE SYSTEMS INC 6,267,699.10 0.54
48,194.00 KEYCORP 958,578.66 0.08 39,482.00 ADVANCED MICRO DEVICES INC 1,219,598.98 0.11
3,040.00 ESSEX PROPERTY TRUST 749,998.40 0.07 28,397.00 AES CORP 397,558.00 0.03
6,756.00 APARTMENT INVESTMENT AND MANAGEMENT -A- 298,142.28 0.03 20,669.00 COSTCO WHOLESALE CORP 4,854,734.72 0.42
6,569.00 RESMED 757,668.46 0.07 35,143.00 AFLAC INC 1,654,181.01 0.14
22,654.00 CAPITAL ONE FINANCIAL CORP 2,150,544.22 0.19 9,950.00 AIR PRODUCTS CHEMICALS INC 1,662,147.50 0.14
5,315.00 DARDEN RESTAURANTS INC 590,974.85 0.05 5,217.00 ALASKA AIR GROUP INC 359,242.62 0.03
8,887.00 DTE ENERGY COMPANY 969,838.31 0.08 22,358.00 AMERICAN ELECTRIC POWER CO INC 1,584,735.04 0.14
2,087.00 COOPER COMPANIES INC 578,412.05 0.05 32,926.00 AMERICAN EXPRESS CO COM. 3,506,289.74 0.30
14,790.00 EDISON INTERNATIONAL 1,000,987.20 0.09 30,233.00 AMGEN INC 6,266,998.57 0.54
10,100.00 ALEXION PHARMACEUTICALS 1,404,001.00 0.12 17,105.00 ANALOG DEVICES INC 1,581,528.30 0.14
3,880.00 ANSYS INC 724,318.40 0.06 17,603.00 APACHE CORP 839,135.01 0.07
20,558.00 NEWELL BRANDS 417,327.40 0.04 214,076.00 APPLE INC 48,325,516.24 4.21
17,609.00 NATIONAL OILWELL VARCO INC 758,595.72 0.07 45,760.00 APPLIED MATERIALS INC 1,768,624.00 0.15
46,862.00 CVS HEALTH 3,688,976.64 0.32 26,501.00 ARCHER-DANIELS MIDLAND CO 1,332,205.27 0.12
6,862.00 ROCKWELL AUTOMATION 1,286,762.24 0.11 9,946.00 AUTODESK INC 1,552,670.06 0.13
6,290.00 QUEST DIAGNOSTICS 678,753.90 0.06 21,159.00 AUTOMATIC DATA PROCESSING INC 3,187,814.94 0.28
23,443.00 PG AND E CORP 1,078,612.43 0.09 1,285.00 AUTOZONE INC 996,774.50 0.09
5,298.00 TAKE TWO INTERACTIVE SOFTWARE INC 731,071.02 0.06 3,747.00 AVERY DENNISON CORP 405,987.45 0.04
17,235.00 STATE STREET CORP 1,443,948.30 0.13 14,782.00 BALL CORP 650,260.18 0.06
36,503.00 BB AND T CORP 1,771,855.62 0.15 24,603.00 BAXTER INTERNATIONAL INC 1,896,645.27 0.16
17,376.00 HARTFORD FINANCIAL SERVICES GROUP INC 868,104.96 0.08 12,346.00 BECTON DICKINSON 3,222,306.00 0.28
19,127.00 AMAZON.COM INC 38,311,381.00 3.33 11,133.00 BEST BUY CO 883,514.88 0.08
14,262.00 AMPHENOL -A- 1,340,913.24 0.12 8,996.00 H & R BLOCK INC 231,647.00 0.02
4,867.00 ALEXANDRIA REAL ESTATE 612,219.93 0.05 25,491.00 BOEING CO COM. 9,480,102.90 0.82
61,878.00 MORGAN STANLEY 2,881,658.46 0.25 67,330.00 BOSTON SCIENTIFIC CORP 2,592,205.00 0.23
7,445.00 BOSTON PROPERTIES INC 916,405.05 0.08 6,593.00 M&T BANK CORPORATION 1,084,812.22 0.09
10,273.00 FLOWSERVE 561,830.37 0.05 76,879.00 BRISTOL-MYERS SQUIBB CO 4,772,648.32 0.41
20,043.00 VALERO ENERGY 2,279,891.25 0.20 7,756.00 BROWN-FORMAN CORP -B- NON VOTING 392,065.80 0.03
16,708.00 NISOURCE 416,363.36 0.04 8,190.00 CAMPBELL SOUP CO 299,999.70 0.03
3,764.00 SL GREEN REALTY CORPORATION 367,102.92 0.03 11,932.00 CADENCE DESIGN SYSTEMS INC 540,758.24 0.05
16,190.00 GOLDMAN SACHS GROUP INC 3,630,445.60 0.32 29,147.00 CATERPILLAR - REGISTERED 4,444,626.03 0.39
18,661.00 ONEOK INC (NEW) 1,265,029.19 0.11 32,087.00 CELGENE CORP 2,871,465.63 0.25
436,077.00 BANK OF AMERICA CORP 12,846,828.42 1.12 15,175.00 CERNER CORP 977,421.75 0.08
22,368.00 FIRSTENERGY CORP 831,418.56 0.07 11,422.00 CHURCH AND DWIGHT CO 678,124.14 0.06
2,312.00 AFFILIATED MANAGERS GROUP 316,096.64 0.03 11,895.00 CIGNA CORP 2,477,133.75 0.22
14,779.00 JUNIPER NETWORKS INC 442,926.63 0.04 6,323.00 CINCINNATI FINANCIAL CORP 485,669.63 0.04
43,744.00 CENTURYLINK SHS 927,372.80 0.08 4,007.00 CINTAS 792,624.67 0.07
9,853.00 ALLIANT ENERGY CORP 419,442.21 0.04 215,127.00 CISCO SYSTEMS INC 10,465,928.55 0.91
23,416.00 DEVON ENERGY CORP 935,235.04 0.08 6,245.00 CLOROX CO 939,310.45 0.08
2,774.00 F5 NETWORKS 553,191.08 0.05 14,367.00 CMS ENERGY CORP 703,983.00 0.06
9,416.00 UNUM SHS 367,883.12 0.03 178,151.00 COCA-COLA CO 8,228,794.69 0.71
1,174.00 METTLER TOLEDO INTERNATIONAL 714,942.52 0.06 39,599.00 COLGATE-PALMOLIVE CO 2,651,153.05 0.23
11,231.00 AMEREN CORPORATION 710,023.82 0.06 7,978.00 COMERICA INC 719,615.60 0.06
14,106.00 CONSOLIDATED EDISON INC 1,074,736.14 0.09 16,657.00 CONAGRA BRANDS INC 565,838.29 0.05
8,065.00 RED HAT 1,099,098.20 0.10 37,279.00 CORNING INC 1,315,948.70 0.11
4,802.00 UNITED RENTALS INC 785,607.20 0.07 27,329.00 COGNIZANT TECHNOLOGY SOLUTIONS -A- 2,108,432.35 0.18
13,580.00 SEMPRA ENERGY 1,544,725.00 0.13 39,105.00 CSX CORP 2,895,725.25 0.25
4,938.00 VERISIGN INC 790,672.56 0.07 8,570.00 CUMMINS - REGISTERED 1,251,819.90 0.11
13,720.00 QUANTA SERVICES - REGISTERED 457,973.60 0.04 15,971.00 DR HORTON 673,656.78 0.06
6,919.00 SEALED AIR 277,797.85 0.02 28,661.00 DANAHER CORP 3,114,304.26 0.27
13,685.00 MARRIOTT INTERNATIONAL -A- 1,806,830.55 0.16 16,212.00 DEERE AND CO 2,437,149.96 0.21

The accompanying notes form an integral part of these financial statements

91
AMUNDI INDEX S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
9,533.00 DOVER CORP 843,956.49 0.07 2,684.00 MOHAWK INDUSTRIES INC 470,639.40 0.04
10,133.00 REPUBLIC SERVICES -A- 736,263.78 0.06 14,361.00 SIMON PROPERTY GROUP - REGISTERED 2,538,306.75 0.22
12,415.00 ECOLAB INC 1,946,423.70 0.17 41,963.00 EBAY 1,385,618.26 0.12
13,929.00 ELECTRONIC ARTS - REGISTERED 1,678,305.21 0.15 24,548.00 NEWMONT MINING CORP 741,349.60 0.06
5,542.00 EQUIFAX INC 723,618.94 0.06 59,563.00 NIKE INC 5,046,177.36 0.44
7,394.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 543,680.82 0.05 4,727.00 NORDSTROM INC 282,721.87 0.02
16,910.00 FASTENAL CO 981,118.20 0.09 13,136.00 NORFOLK SOUTHERN CORP 2,371,048.00 0.21
3,117.00 FED RLTY INV TR / SHS.OF BENEF.INTEREST 394,206.99 0.03 10,809.00 NORTHERN TRUST CORP 1,103,923.17 0.10
30,667.00 FIFTH THIRD BANCORP 856,222.64 0.07 14,559.00 NUCOR CORP 923,768.55 0.08
18,586.00 FISERV INC 1,531,114.68 0.13 10,443.00 OMNICOM GROUP INC 710,332.86 0.06
5,694.00 FMC CORP 496,402.92 0.04 131,215.00 ORACLE CORP 6,765,445.40 0.59
13,491.00 FRANKLIN RESOURCES INC 410,261.31 0.04 19,118.00 PACCAR INC 1,303,656.42 0.11
8,499.00 ARTHUR J.GALLAGHER AN CO 632,665.56 0.05 5,491.00 ROPER TECHNOLOGIES 1,626,489.11 0.14
9,236.00 GAP INC 266,458.60 0.02 6,575.00 AVALONBAY COMMUN 1,191,061.25 0.10
424,822.00 GENERAL ELECTRIC CO 4,796,240.38 0.42 7,222.00 PARKER-HANNIFIN CORP 1,328,342.46 0.12
30,352.00 GENERAL MILLS INC 1,302,707.84 0.11 14,515.00 PAYCHEX INC 1,069,029.75 0.09
17,961.00 WASTE MANAGEMENT INC 1,622,955.96 0.14 65,827.00 PEPSICO INC 7,359,458.60 0.64
6,830.00 GENUINE PARTS CO 678,902.00 0.06 272,387.00 PFIZER INC 12,004,095.09 1.04
10,431.00 GOODYEAR TIRE RUBBER CO 243,981.09 0.02 4,806.00 PINNACLE WEST CAPITAL CORP 380,539.08 0.03
2,733.00 WW GRAINGER INC 976,801.53 0.08 21,313.00 PNC FINANCIAL SERVICES GROUP INC 2,902,617.47 0.25
61,099.00 GILEAD SCIENCES INC 4,717,453.79 0.41 11,318.00 PPG INDUSTRIES INC 1,235,133.34 0.11
7,085.00 HARLEY DAVIDSON INC 320,950.50 0.03 117,231.00 PROCTER AND GAMBLE CO 9,757,136.13 0.85
6,725.00 HARRIS CORP 1,137,937.25 0.10 26,437.00 PROGRESSIVE CORP 1,878,084.48 0.16
5,906.00 HASBRO INC 620,838.72 0.05 22,934.00 PUBLIC SERVICE ENTERPRISE GROUP INC 1,210,685.86 0.11
6,505.00 HERSHEY 663,510.00 0.06 64,726.00 QUALCOMM INC 4,662,213.78 0.40
53,804.00 HOME DEPOT INC 11,145,498.60 0.97 3,511.00 REGENERON PHARMACEUTICALS INC 1,418,584.44 0.12
6,250.00 HUMANA INC 2,115,750.00 0.18 202,799.00 WELLS FARGO AND CO 10,659,115.44 0.93
4,340.00 J.B. HUNT TRANSPORT SERVICES INC 516,199.60 0.04 6,111.00 RAYMOND JAMES FINANCIAL INC 562,517.55 0.05
50,819.00 HUNTINGTON BANCSHARES INC 758,219.48 0.07 5,230.00 ROBERT HALF INTERNATIONAL INC 368,087.40 0.03
3,943.00 IDEXX LABS CORP 984,409.38 0.09 17,766.00 ROSS STORES INC 1,760,610.60 0.15
15,736.00 ILLINOIS TOOL WORKS 2,220,664.32 0.19 58,183.00 CHARLES SCHWAB CORP/THE 2,859,694.45 0.25
217,105.00 INTEL CORP 10,266,895.45 0.89 3,855.00 SHERWIN WILLIAMS CO 1,754,834.55 0.15
42,384.00 IBM CORP 6,408,884.64 0.56 10,829.00 A.O.SMITH CORP 577,943.73 0.05
3,990.00 INTERNATIONAL FLAVORS FRAGRANCES 555,088.80 0.05 3,760.00 SNAP ON INC 690,336.00 0.06
16,318.00 INTERPUBLIC GROUP OF COMPANIES INC 373,192.66 0.03 47,175.00 SOUTHERN CO 2,056,830.00 0.18
125,277.00 JOHNSON AND JOHNSON 17,309,523.09 1.50 24,367.00 SOUTHWEST AIRLINES - REGISTERED 1,521,719.15 0.13
12,081.00 KELLOGG 845,911.62 0.07 63,664.00 STARBUCKS CORP 3,618,661.76 0.31
15,858.00 KIMBERLY CLARK 1,802,103.12 0.16 14,917.00 STRYKER CORP 2,650,452.56 0.23
18,087.00 KIMCO REALTY 302,776.38 0.03 21,101.00 SUNTRUST BANKS INC 1,409,335.79 0.12
7,185.00 KLA-TENCOR CORP 730,786.35 0.06 26,457.00 SYMANTEC CORP 563,004.96 0.05
7,121.00 ZOHL'S CORP 530,870.55 0.05 21,758.00 SYSCO CORP 1,593,773.50 0.14
36,899.00 KROGER CO 1,074,129.89 0.09 6,916.00 SYNOPSYS 681,986.76 0.06
7,447.00 LAM RESEARCH CORP 1,129,709.90 0.10 46,313.00 TEXAS INSTRUMENTS INC 4,968,921.77 0.43
6,167.00 LEGGETT PLATT INC 270,052.93 0.02 14,758.00 TEXTRON INC 1,054,754.26 0.09
14,547.00 LENNAR CORP -A- 679,199.43 0.06 18,772.00 THERMO FISHER SCIEN SHS 4,581,869.76 0.40
44,527.00 ELI LILLY AND CO 4,778,192.37 0.42 5,014.00 TIFFANY CO 646,655.58 0.06
9,257.00 LINCOLN NATIONAL CORP 626,328.62 0.05 28,981.00 TJX COS INC 3,246,451.62 0.28
12,797.00 LOEWS CORP 642,793.31 0.06 4,470.00 TORCHMARK CORP 387,504.30 0.03
37,803.00 LOWE'S COMPANIES INC 4,340,540.46 0.38 34,727.00 UNION PACIFIC CORP 5,654,597.41 0.49
23,033.00 MARSH MC-LENNAN COS. INC. 1,905,289.76 0.17 36,643.00 UNITED TECHNOLOGIES CORP 5,123,057.83 0.44
19,896.00 MASCO 728,193.60 0.06 3,710.00 UNIVERSAL HEALTH SERVICES INC 474,286.40 0.04
14,770.00 MATTEL 231,889.00 0.02 12,521.00 VERTEX PHARMACEUTICALS INC 2,413,297.54 0.21
6,019.00 MCCORMICK & CO INC NON VOTING 793,003.25 0.07 16,389.00 VF REGISTERED 1,531,552.05 0.13
35,995.00 MCDONALD'S CORP 6,021,603.55 0.52 6,663.00 VULCAN MATERIALS CO 740,925.60 0.06
23,518.00 MGM RESORTS INTL 656,387.38 0.06 67,746.00 WALMART INC 6,362,026.86 0.55
53,923.00 MICRON TECHNOLOGY 2,438,937.29 0.21 68,956.00 WALT DISNEY CO 8,063,714.64 0.70
357,905.00 MICROSOFT CORP 40,933,594.85 3.56 12,666.00 WESTERN DIGITAL CORP 741,467.64 0.06

The accompanying notes form an integral part of these financial statements

92
AMUNDI INDEX S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
36,001.00 WEYERHAEUSER CO 1,161,752.27 0.10 1,614.00 IPG PHOTONICS CORP 251,896.98 0.02
2,731.00 WHIRLPOOL CORP 324,306.25 0.03 12,269.00 TRAVELERS COS INC/THE 1,591,411.99 0.14
34,134.00 HOST HOTELS & RESORTS - SHS 720,227.40 0.06 11,327.00 UDR 457,950.61 0.04
60,486.00 WILLIAMS COS INC 1,644,614.34 0.14 4,991.00 BROADRIDGE FINANCIAL SOL -W/I 658,562.45 0.06
12,228.00 XILINX INC 980,318.76 0.09 5,338.00 EXTRA SPACE STORAGE INC 462,484.32 0.04
8,153.00 ZIONS BANCORP 408,872.95 0.04 14,808.00 PEOPLES UNITED FINANCIAL 253,512.96 0.02
9,172.00 MCKESSON CORP 1,216,665.80 0.11 30,910.00 DELTA AIR LINES 1,787,525.30 0.16
28,195.00 NVIDIA CORP 7,923,358.90 0.69 12,968.00 MACYS 450,378.64 0.04
3,932.00 VARIAN MEDICAL SYTEMS 440,108.76 0.04 15,842.00 DISCOVER FINANCIAL SERVICES - SHS WI 1,211,120.90 0.11
3,134.00 ADVANCE AUTO PARTS 527,546.22 0.05 43,405.00 BANK OF NEW YORK MELLON CORP 2,213,220.95 0.19
15,306.00 YUM BRANDS INC 1,391,468.46 0.12 16,511.00 CME GROUP -A- 2,810,337.31 0.24
4,808.00 J.M. SMUCKER CO SHS/WHEN ISSUED 493,348.88 0.04 19,885.00 HCP 523,373.20 0.05
7,750.00 SKYWORKS SOLUTIONS INC 703,002.50 0.06 2,643.00 ULTA BEAUTY RG REGISTERED 745,643.16 0.06
5,166.00 TRACTOR SUPPLY CO 469,486.08 0.04 4,135.00 MSCI 733,590.35 0.06
10,992.00 T ROWE PRICE GROUP INC 1,200,106.56 0.10 9,691.00 DISH NETWORK -A- 346,550.16 0.03
4,062.00 CIMAREX ENERGY CO 377,522.28 0.03 11,444.00 DOLLAR TREE INC 933,258.20 0.08
8,084.00 CARMAX INC 603,632.28 0.05 83,457.00 VISA INC -A- 12,526,061.13 1.09
7,737.00 PIONER NATURAL RESOURCES COMPANY 1,347,708.03 0.12 12,162.00 NETAPP 1,044,594.18 0.09
212,819.00 COMCAST CORP 7,535,920.79 0.65 72,352.00 PHILIP MORRIS INTERNATIONAL INC 5,899,582.08 0.51
7,937.00 NEKTAR THERAPEUTICS 483,839.52 0.04 8,307.00 AMERCIAN WATER WORKS CO INC 730,766.79 0.06
20,268.00 NETFLIX INC 7,582,866.84 0.66 35,485.00 ACTIVISION BLIZZARD 2,951,997.15 0.26
3,622.00 STERICYCLE INC 212,538.96 0.02 16,553.00 DISCOVERY C 489,637.74 0.04
7,325.00 VORNADO REALTY TRUST SHS OF BENEF.INT 534,725.00 0.05 6,643.00 DISCOVERY-A 212,576.00 0.02
5,294.00 INTUITIVE SURGICAL 3,038,756.00 0.26 12,150.00 EQT 537,394.50 0.05
9,314.00 CENTENE 1,348,480.92 0.12 41,793.00 AMERICAN INTERNATIONAL GROUP INC 2,225,059.32 0.19
11,496.00 HORMEL FOODS CORP 452,942.40 0.04 7,757.00 VERISK ANALYTICS INC 935,106.35 0.08
9,438.00 BIOGEN IDEC INC 3,334,539.78 0.29 124,593.00 MERCK AND CO 8,838,627.42 0.77
13,799.00 HOLOGIC INC 565,483.02 0.05 13,258.00 DOLLAR GENERAL 1,449,099.40 0.13
12,734.00 NRG ENERGY - REGISTERED 476,251.60 0.04 90,996.00 BERKSHIRE HATHAWAY -B- 19,483,153.56 1.69
2,406.00 ASSURANT INC 259,727.70 0.02 8,495.00 STANLEY BLCK DECK 1,244,007.80 0.11
4,500.00 WYNN RESORTS LTD 571,770.00 0.05 21,721.00 NEXTERA ENERGY 3,640,439.60 0.32
7,069.00 PUBLIC STORAGE INC 1,425,322.47 0.12 11,171.00 E TRADE FINANCIAL 585,248.69 0.05
35,191.00 SALESFORCE COM.INC 5,596,424.73 0.49 4,761.00 CBOE HOLDINGS INC 456,865.56 0.04
50,986.00 REGIONS FINANCIAL CORP 935,593.10 0.08 10,538.00 UNITED CONTINENTAL HOLDINGS INC 938,514.28 0.08
7,724.00 TOTAL SYSTEM SERVICES INC 762,667.76 0.07 64,482.00 GENERAL MOTORS CO 2,171,108.94 0.19
4,947.00 NASDAQ 424,452.60 0.04 4,323.00 FLEETCOR TECHNOLOGIES 984,952.32 0.09
7,877.00 MOLSON COORS BREWING CO -B- NON VOTING 484,435.50 0.04 3,617.00 O REILLY AUTO 1,256,256.44 0.11
2,326.00 WELLCARE HEALTH PLANS INC 745,459.74 0.06 7,360.00 MOTOROLA SOLUTIONS INC 957,830.40 0.08
13,348.00 REALTY INCOME CORP 759,367.72 0.07 86,125.00 KINDER MORGAN 1,526,996.25 0.13
2,449.00 SVB FINANCIAL GROUP 761,222.67 0.07 12,685.00 HCA HEALTHCARE RG REGISTERED SHS 1,764,737.20 0.15
9,349.00 DIGITAL REALTY TRUST INC 1,051,575.52 0.09 2,883.00 HUNTINGTON INGALLS INDUSTRIESINC 738,278.64 0.06
9,878.00 CF INDUSTRIES HOLDINGS INC 537,758.32 0.05 117,910.00 CITIGROUP 8,458,863.40 0.73
6,565.00 AMERIPRISE FINANCIAL INC 969,387.90 0.08 14,929.00 MOSAIC 484,893.92 0.04
5,894.00 C.H.ROBINSON WORLWIDE INC 577,140.48 0.05 29,390.00 PROLOGIS 1,992,348.10 0.17
339,693.00 AT AND T INC 11,406,890.94 0.99 7,473.00 HOLLYFRONTIER 522,362.70 0.05
13,109.00 LKQ CORP 415,162.03 0.04 32,832.00 MARATHON PETROLEUM 2,625,575.04 0.23
7,872.00 UNDER ARMOUR INC -A- 167,043.84 0.01 3,262.00 PVH CORP 471,032.80 0.04
16,489.00 CBS -B- 947,293.05 0.08 2,356.00 RALPH LAUREN -A- 324,067.80 0.03
14,940.00 VIACOM -B- 504,374.40 0.04 9,650.00 FORTUNE BRANDS HOME AND SECURITY W.ISS 505,274.00 0.04
1,035.00 CHIPOTLE MEXICAN GRILL -A- 470,428.20 0.04 14,544.00 CBRE GROUP 641,390.40 0.06
15,534.00 FIDELITY NATIONAL 1,694,293.38 0.15 10,894.00 XYLEM WHEN ISSUED 870,103.78 0.08
14,184.00 CA INC 626,223.60 0.05 5,116.00 EXPEDIA GROUP 667,535.68 0.06
13,264.00 AMETEK INC 1,049,447.68 0.09 4,561.00 TRIPADVISOR INC WHEN ISSUED 232,930.27 0.02
42,243.00 MASTERCARD INC -A- 9,403,714.23 0.82 21,053.00 AMERICAN TOWER CORP 3,059,000.90 0.27
2,817.00 TRANSDIGM GROUP 1,048,769.10 0.09 27,385.00 EXPRESS SCRIPTS 2,601,848.85 0.23
15,253.00 HANESBRANDS 281,112.79 0.02 20,688.00 PHILLIPS 66 2,331,951.36 0.20
19,612.00 THE WESTERN UNION COMPANY 373,804.72 0.03 112,595.00 FACEBOOK -A- 18,517,373.70 1.61

The accompanying notes form an integral part of these financial statements

93
AMUNDI INDEX S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
32,499.00 DUKE ENERGY CORP 2,600,569.98 0.23 16,476.00 FORTIVE WHEN ISSUED 1,387,279.20 0.12
66,961.00 MONDELEZ INTERNATIONAL INC 2,876,644.56 0.25 29,073.00 ARCONIC REGISTERED SHD 639,896.73 0.06
70,304.00 ABBVIE INC WI 6,649,352.32 0.58 5,156.00 ENVISION HEALTHCARE REG 235,783.88 0.02
21,965.00 ZOETIS INC -A- 2,011,115.40 0.17 5,285.00 SBA COMMUNICATIONS -A 848,929.55 0.07
10,267.00 L BRANDS 311,090.10 0.03 13,723.00 HILTON WORLDWIDE HLDGS INC REG SHS 1,108,543.94 0.10
20,127.00 COTY INC -A- 252,795.12 0.02 4,588.00 L3 TECHNOLOGIES INC 975,500.56 0.08
21,928.00 NEWS CORP -A- 289,230.32 0.03 12,928.00 DXC TECHNOLOGY WI 1,209,026.56 0.11
25,225.00 21ST CENTURY -B- 1,155,809.50 0.10 9,142.00 XEROX - REGISTERED 246,651.16 0.02
49,091.00 21ST CENTURY -A- WHEN ISSUED 2,274,386.03 0.20 19,381.00 BAKER HUGHES-A RG REGISTERED SHS -A 655,659.23 0.06
3,635.00 NEW -B- 49,436.00 0.00 4,675.00 BRIGHTHOUSE - REGISTERED 206,822.00 0.02
31,651.00 TWITTER INC 900,787.46 0.08 106,968.00 DOWDUPONT 6,879,112.08 0.60
27,011.00 INTERCONEXCH GR INC WI 2,022,853.79 0.18 13,406.00 TAPESTRY REG 673,919.62 0.06
18,862.00 AMERICAN AIRLINES GROUP INC-REGS 779,566.46 0.07 7,792.00 QUINTILES IMS HOLDING INC 1,010,934.08 0.09
2,376.00 ARISTA NETWORKS INC 631,683.36 0.05 2,243.00 BOOKING HLDG 4,450,112.00 0.39
32,207.00 SYNCHRONY FINANCIAL 1,000,993.56 0.09 19,867.00 BROADCOM - REGISTERED SHS 4,901,784.91 0.43
38,714.00 WALGREENS BOOTS ALLIANCE INC 2,822,250.60 0.25 13,275.00 EVERGY 729,063.00 0.06
19,324.00 CROWN CASTLE REIT 2,151,340.92 0.19 12,906.00 JEFFER FINL GRP --- REGISTERED SHS 283,415.76 0.02
12,099.00 ANTHEM 3,315,730.95 0.29
Total securities portfolio 1,142,796,005.55 99.26
3,915.00 EQUINIX 1,694,764.35 0.15
11,912.00 IRON MOUNTAIN REIT INC 411,202.24 0.04
21,904.00 CITIZENS FINANCIAL GROUP INC 844,837.28 0.07
5,431.00 QORVO INC 417,589.59 0.04
15,257.00 EVERSOURCE EN 937,390.08 0.08
18,646.00 MONSTER BEVERAGE CORP 1,086,688.88 0.09
14,324.00 WEC ENERGY GR 956,270.24 0.08
10,855.00 WESTROCK 580,091.20 0.05
55,103.00 PAYPAL HOLDINGS INC WI 4,840,247.52 0.42
30,593.00 THE KRAFT HEINZ 1,685,980.23 0.15
16,886.00 WELLTOWER INC 1,086,107.52 0.09
13,912.00 ALPHABET INC 16,792,896.96 1.46
14,379.00 ALPHABET -C- 17,160,905.13 1.49
69,318.00 HEWLETT PACKARD WHEN ISSUED 1,130,576.58 0.10
72,826.00 HP INC 1,876,726.02 0.16
197,718.00 EXXON MOBIL CORP 16,809,984.36 1.46
14,391.00 TYSON FOODS INC -A- 856,696.23 0.07
28,390.00 3M CO 5,982,056.90 0.52
13,397.00 PRAXAIR INC 2,153,299.81 0.19
69,266.00 FREEPORT MCMORAN COPPER AND GOLD INC 964,182.72 0.08
27,413.00 EOG RESOURCES INC 3,497,076.41 0.30
53,864.00 CONOCOPHILLIPS CO 4,169,073.60 0.36
35,946.00 HONEYWELL INTERNATIONAL INC 5,981,414.40 0.52
31,826.00 EMERSON ELECTRIC CO 2,437,235.08 0.21
23,382.00 ANADARKO PETROLEUM CORP 1,576,180.62 0.14
39,765.00 HALLIBURTON 1,611,675.45 0.14
35,593.00 OCCIDENTAL PETROLEUM CORP 2,924,676.81 0.25
8,872.00 DENTSPLY SIRONA INC 334,829.28 0.03
41,394.00 MARATHON OIL CORP 963,652.32 0.08
20,304.00 CABOT OIL AND GAS CORP -A- 457,246.08 0.04
22,486.00 NOBLE ENERGY INC 701,338.34 0.06
11,083.00 HESS CORP 793,321.14 0.07
4,635.00 HELMERICH PAINE 318,748.95 0.03
9,615.00 CONCHO RES 1,468,691.25 0.13
18,798.00 INTERNATIONAL PAPER CO 923,921.70 0.08
9,467.00 NEWFIELD EXPLORATION CO 272,933.61 0.02
11,842.00 S&P GLOBAL 2,313,808.38 0.20
8,017.00 UNDER ARMOUR WHEN ISSUED 156,010.82 0.01
8,408.00 CHARTER COMM -A- 2,739,999.04 0.24

The accompanying notes form an integral part of these financial statements

94
AMUNDI CAC 40

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Luxembourg 22,500,315.20 1.46
Long positions 1,531,894,456.15 99.56
839,564.00 ARCELORMITTAL - REGISTERED 22,500,315.20 1.46
Other transferable securities 26,425,920.50 1.72
Netherlands 93,136,217.83 6.05
Shares 26,425,920.50 1.72 751,864.00 STMICROELECTRONICS NV 11,781,708.88 0.77
France 26,425,920.50 1.72 735,900.00 AIRBUS GROUP 79,609,662.00 5.17
111,314.00 STMICROELECTRONICS NV 1,744,846.95 0.11
224,302.00 AIR LIQUIDE - REGISTERED SHS 25,413,416.60 1.65
11,085.00 SODEXO - REGISTERED SHS FROM PREMIUM O 1,012,503.90 0.07 United Kingdom 15,203,614.90 0.99

Transferable securities admitted to an official stock exchange 1,505,468,535.65 97.84 561,019.00 TECHNIPFMC LTD 15,203,614.90 0.99
listing
Shares 1,505,468,535.65 97.84
Total securities portfolio 1,531,894,456.15 99.56

France 1,374,628,387.72 89.34

640,860.00 VEOLIA ENVIRONNEMENT SA 11,016,383.40 0.72


1,154,824.00 VIVENDI SA 25,602,448.08 1.66
95,767.00 KERING 44,215,623.90 2.87
1,449,216.00 CREDIT AGRICOLE SA 17,949,989.38 1.17
33,359.00 HERMES INTERNATIONAL SA 19,034,645.40 1.24
1,421,717.00 BNP PARIBAS SA 74,938,703.07 4.87
121,334.00 ATOS 12,436,735.00 0.81
267,610.00 PUBLICIS GROUPE 13,776,562.80 0.90
242,956.00 RENAULT SA 18,100,222.00 1.18
259,131.00 AIR LIQUIDE NOM. PRIME FIDELITE 29,359,542.30 1.91
165,288.00 DASSAULT SYSTEMES SA 21,280,830.00 1.38
256,764.00 ACCOR SA 11,354,104.08 0.74
2,450,439.00 AXA SA 56,727,662.85 3.69
300,755.00 BOUYGUES 11,197,108.65 0.73
822,583.00 DANONE 54,866,286.10 3.57
202,708.00 CAPGEMINI SE 21,973,547.20 1.43
748,183.00 CARREFOUR SA 12,345,019.50 0.80
663,540.00 CIE DE SAINT-GOBAIN 24,647,193.30 1.60
214,910.00 MICHELIN SA REG SHS 22,124,984.50 1.44
263,130.00 ESSILOR INTERNATIONAL SA 33,535,918.50 2.18
45,164.00 AIR LIQUIDE SA 5,117,081.20 0.33
27,219.00 L'OREAL SA 5,653,386.30 0.37
351,082.00 LVMH 106,939,577.20 6.95
251,610.00 PERNOD RICARD SA 35,552,493.00 2.31
743,379.00 PEUGEOT SA 17,268,694.17 1.12
603,553.00 VINCI SA 49,503,417.06 3.22
161.00 SODEXHO SA 14,705.74 0.00
658,596.00 SCHNEIDER ELECTRIC SE 45,640,702.80 2.97
970,111.00 SOCIETE GENERALE SA 35,865,003.67 2.33
3,199,186.00 TOTAL SA 178,642,546.24 11.60
1,423,703.00 SANOFI 108,998,701.68 7.07
2,521,638.00 ORANGE 34,634,697.93 2.25
421,684.00 SAFRAN 50,897,258.80 3.31
337,306.00 ENGIE 4,271,980.49 0.28
337,230.00 LEGRAND SA 21,171,299.40 1.38
158,828.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 32,988,575.60 2.14
303,668.00 VALEO SA 11,357,183.20 0.74
45,945.00 SODEXO PRIME DE FIDELITE 2021 4,196,616.30 0.27
998,067.00 ENGIE (ACT NOM PRIME DE FIDELITE) 12,640,518.56 0.82
12,722.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 1,441,402.60 0.09
57,194.00 SODEXO 5,224,099.96 0.34
973,190.00 ENGIE (PF 2020) 12,325,451.35 0.80
132,516.00 L'OREAL SA 27,523,573.20 1.79
174,783.00 UNIBAIL RODAMCO 30,275,911.26 1.97

The accompanying notes form an integral part of these financial statements

95
AMUNDI EURO STOXX 50

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Ireland 20,228,054.88 0.99
Long positions 2,038,569,254.35 99.64
717,816.00 CRH PLC 20,228,054.88 0.99
Other transferable securities 7,972,694.40 0.39
Italy 94,941,816.79 4.64
Shares 7,972,694.40 0.39 2,162,065.00 ENI SPA 35,202,742.33 1.72
France 7,972,694.40 0.39 6,611,712.00 ENEL SPA 29,170,873.34 1.43
13,888,324.00 INTESA SANPAOLO SPA 30,568,201.12 1.49
70,368.00 AIR LIQUIDE - REGISTERED SHS 7,972,694.40 0.39
Transferable securities admitted to an official stock exchange 2,030,596,559.95 99.25 Netherlands 263,205,559.51 12.87
listing 808,929.00 ROYAL PHILIPS ELECTRONIC 31,738,329.32 1.55
Shares 2,030,596,559.95 99.25
486,283.00 AIRBUS GROUP 52,606,094.94 2.57
Belgium 54,482,823.86 2.66 1,287,936.00 UNILEVER NV 61,775,850.24 3.03
724,313.00 AB INBEV 54,482,823.86 2.66 367,223.00 ASML HLDG 59,086,180.70 2.89
Finland 22,896,251.76 1.12 1,061,169.00 KONINKLIJKE AHOLD NV 20,958,087.75 1.02
3,311,965.00 ING GROEP 37,041,016.56 1.81
4,793,019.00 NOKIA OYJ 22,896,251.76 1.12
Spain 203,897,842.88 9.97
France 744,640,832.61 36.39
13,733,606.00 BANCO SANTANDER SA REG SHS 59,542,048.81 2.92
830,058.00 VIVENDI SA 18,402,385.86 0.90
3,969,203.00 TELEFONICA S A 27,062,026.06 1.32
63,541.00 KERING 29,336,879.70 1.43
5,675,090.00 BANCO BILBAO VIZCAYA ARGENT SA REG 31,156,244.10 1.52
981,382.00 BNP PARIBAS SA 51,728,645.22 2.53
4,978,429.00 IBERDROLA S A 31,553,283.01 1.54
287,618.00 AIR LIQUIDE NOM. PRIME FIDELITE 32,587,119.40 1.59
373,485.00 AMADEUS IT -A- 29,886,269.70 1.46
1,771,098.00 AXA SA 41,000,918.70 2.00
945,920.00 INDITEX SHARE FROM SPLIT 24,697,971.20 1.21
553,551.00 DANONE 36,921,851.70 1.80
186,510.00 ESSILOR INTERNATIONAL SA 23,770,699.50 1.16 Total securities portfolio 2,038,569,254.35 99.64
1,298.00 AIR LIQUIDE SA 147,063.40 0.01
215.00 L'OREAL SA 44,655.50 0.00
227,683.00 LVMH 69,352,241.80 3.39
473,473.00 VINCI SA 38,834,255.46 1.90
458,489.00 SCHNEIDER ELECTRIC SE 31,773,287.70 1.55
687,625.00 SOCIETE GENERALE SA 25,421,496.25 1.24
2,267,617.00 TOTAL SA 126,623,733.28 6.19
964,538.00 SANOFI 73,845,029.28 3.61
1,742,370.00 ORANGE 23,931,451.95 1.17
305,246.00 SAFRAN 36,843,192.20 1.80
1,043,239.00 ENGIE (ACT NOM PRIME DE FIDELITE) 13,212,621.94 0.65
159,683.00 L OREAL (ACT NOM PRIME DE FIDELITE 2019) 33,166,159.10 1.62
5,224.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 591,879.20 0.03
529,933.00 ENGIE (PF 2020) 6,711,601.45 0.33
48,177.00 L'OREAL SA 10,006,362.90 0.49
117,696.00 UNIBAIL RODAMCO 20,387,301.12 1.00
Germany 626,303,377.66 30.61

2,760,168.00 DEUTSCHE TELEKOM AG REG SHS 38,324,932.68 1.87


834,286.00 DEUTSCHE POST AG REG SHS 25,620,923.06 1.25
365,871.00 ALLIANZ SE REG SHS 70,247,232.00 3.43
272,731.00 BMW AG 21,193,926.01 1.04
348,819.00 FRESENIUS SE & CO KGAA 22,059,313.56 1.08
127,273.00 MUENCHENER RUECKVERSICHERUNGS AG REG 24,277,324.75 1.19
SHS
919,805.00 SAP AG 97,499,330.00 4.77
723,442.00 SIEMENS AG REG 79,824,590.28 3.90
760,034.00 DAIMLER NAMEN-AKT 41,307,847.90 2.02
155,812.00 VOLKSWAGEN VORZ.AKT 23,621,099.20 1.15
793,702.00 BAYER AG REG SHS 60,726,140.02 2.97
781,724.00 BASF SE REG SHS 59,840,972.20 2.92
152,371.00 ADIDAS NAMEN AKT 32,135,043.90 1.57
145,433.00 LINDE AG 29,624,702.10 1.45

The accompanying notes form an integral part of these financial statements

96
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 361,590,043.10 100.19

Transferable securities admitted to an official stock exchange 361,590,043.10 100.19


listing
Shares 361,590,043.10 100.19
Belgium 19,615,997.44 5.44

39,628.00 KBC GROUPE SA 2,540,154.80 0.70


227,012.00 AB INBEV 17,075,842.64 4.74
Finland 4,654,158.60 1.29

137,697.00 UPM KYMMENE CORP 4,654,158.60 1.29


Germany 173,399,545.96 48.04

205,013.00 DEUTSCHE TELEKOM AG REG SHS 2,846,605.51 0.79


11,962.00 DEUTSCHE BOERSE AG REG SHS 1,380,414.80 0.38
178,893.00 ALLIANZ SE REG SHS 34,347,456.00 9.53
74,053.00 FRESENIUS SE & CO KGAA 4,683,111.72 1.30
15,913.00 MUENCHENER RUECKVERSICHERUNGS AG REG 3,035,404.75 0.84
SHS
371,818.00 DEUTSCHE LUFTHANSA AG REG SHS 7,867,668.88 2.18
294,714.00 SIEMENS AG REG 32,518,742.76 9.01
266,480.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 15,455,840.00 4.28
45,108.00 VOLKSWAGEN VORZ.AKT 6,838,372.80 1.89
411,937.00 BAYER AG REG SHS 31,517,299.87 8.73
221,571.00 BASF SE REG SHS 16,961,260.05 4.70
44,049.00 ADIDAS NAMEN AKT 9,289,934.10 2.57
158,209.00 VONOVIA SE 6,657,434.72 1.84
Luxembourg 26.80 0.00

1.00 ARCELORMITTAL - REGISTERED 26.80 0.00


Netherlands 111,366,737.35 30.85

436,241.00 ROYAL PHILIPS ELECTRONIC 17,115,915.64 4.74


247,433.00 AIRBUS GROUP 26,767,301.94 7.41
106,830.00 DSM KONINKLIJKE 9,747,169.20 2.70
334,657.00 UNILEVER NV 16,051,823.01 4.45
105,328.00 ASML HLDG 16,947,275.20 4.70
413,778.00 KONINKLIJKE AHOLD NV 8,172,115.50 2.26
1,481,146.00 ING GROEP 16,565,136.86 4.59
Spain 38,425,296.87 10.65

3,146,578.00 BANCO SANTANDER SA REG SHS 13,641,988.92 3.78


2,785,339.00 BANCO BILBAO VIZCAYA ARGENT SA REG 15,291,511.11 4.24
2,410,309.00 CAIXABANK 9,491,796.84 2.63
Sweden 5,725,031.18 1.59

1,448,719.00 TELIA COMPANY AB 5,725,031.18 1.59


Switzerland 3,725,785.20 1.03

50,084.00 NOVARTIS AG REG SHS 3,725,785.20 1.03


United Kingdom 4,677,463.70 1.30

158,156.00 ROYAL DUTCH SHELL PLC 4,677,463.70 1.30


Total securities portfolio 361,590,043.10 100.19

The accompanying notes form an integral part of these financial statements

97
AMUNDI FTSE 100

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 30,108,335.47 100.45

Transferable securities admitted to an official stock exchange 30,108,335.47 100.45


listing
Shares 30,108,335.47 100.45
Belgium 2,069,527.86 6.90

27,513.00 AB INBEV 2,069,527.86 6.90


France 1,728,217.50 5.77

1,854.00 LVMH 564,728.40 1.88


13,490.00 TOTAL SA 753,281.60 2.52
1,975.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 410,207.50 1.37
Germany 19,062,618.63 63.60

99,657.00 DEUTSCHE TELEKOM AG REG SHS 1,383,737.45 4.62


43,150.00 DEUTSCHE POST AG REG SHS 1,325,136.50 4.42
6,707.00 ALLIANZ SE REG SHS 1,287,744.00 4.30
18,614.00 BMW AG 1,446,493.94 4.83
22,109.00 FRESENIUS SE & CO KGAA 1,398,173.16 4.66
11,553.00 SIEMENS AG REG 1,274,758.02 4.25
14,954.00 VOLKSWAGEN VORZ.AKT 2,267,026.40 7.56
35,505.00 BAYER AG REG SHS 2,716,487.55 9.06
17,807.00 BASF SE REG SHS 1,363,125.85 4.55
6,622.00 ADIDAS NAMEN AKT 1,396,579.80 4.66
44,457.00 VONOVIA SE 1,870,750.56 6.24
6,542.00 LINDE AG 1,332,605.40 4.45
Netherlands 4,759,859.18 15.88

17,455.00 AKZO NOBEL NV 1,405,825.70 4.69


39,645.00 UNILEVER NV 1,901,572.43 6.34
8,917.00 ASML HLDG 1,434,745.30 4.79
897.00 KONINKLIJKE AHOLD NV 17,715.75 0.06
Spain 1,134,908.17 3.79

261,771.00 BANCO SANTANDER SA REG SHS 1,134,908.17 3.79


United Kingdom 1,353,204.13 4.51

45,755.00 ROYAL DUTCH SHELL -A- 1,353,204.13 4.51


Total securities portfolio 30,108,335.47 100.45

The accompanying notes form an integral part of these financial statements

98
AMUNDI FTSE EPRA EUROPE REAL ESTATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 38,066,115.17 100.34

Transferable securities admitted to an official stock exchange 38,066,115.17 100.34


listing
Shares 38,066,115.17 100.34
Belgium 2,802,697.20 7.39

37,260.00 AB INBEV 2,802,697.20 7.39


France 10,398,152.23 27.41

55,834.00 AXA SA 1,292,557.10 3.41


2,453.00 LVMH 747,183.80 1.97
18,052.00 VINCI SA 1,480,625.04 3.90
14,269.00 SOCIETE GENERALE SA 527,524.93 1.39
20,246.00 TOTAL SA 1,130,536.64 2.98
22,574.00 SANOFI 1,728,265.44 4.56
87,280.00 ORANGE 1,198,790.80 3.16
138,172.00 ENGIE 1,749,948.38 4.61
2,613.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 542,720.10 1.43
Germany 20,965,582.87 55.26

98,116.00 DEUTSCHE TELEKOM AG REG SHS 1,362,340.66 3.59


8,798.00 ALLIANZ SE REG SHS 1,689,216.00 4.45
10,237.00 BMW AG 795,517.27 2.10
31,464.00 FRESENIUS SE & CO KGAA 1,989,783.36 5.24
16,938.00 SAP AG 1,795,428.00 4.73
15,693.00 SIEMENS AG REG 1,731,565.62 4.56
208,711.00 DEUTSCHE BANK AG REG SHS 2,051,211.71 5.41
17,206.00 VOLKSWAGEN VORZ.AKT 2,608,429.60 6.88
21,375.00 BAYER AG REG SHS 1,635,401.25 4.31
32,488.00 BASF SE REG SHS 2,486,956.40 6.56
13,370.00 ADIDAS NAMEN AKT 2,819,733.00 7.43
Netherlands 3,209,708.87 8.46

9,873.00 ASML HLDG 1,588,565.70 4.19


144,952.00 ING GROEP 1,621,143.17 4.27
Switzerland 689,974.00 1.82

9,275.00 NOVARTIS AG REG SHS 689,974.00 1.82


Total securities portfolio 38,066,115.17 100.34

The accompanying notes form an integral part of these financial statements

99
AMUNDI FTSE MIB

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 41,441,711.03 109.05

Transferable securities admitted to an official stock exchange 41,441,711.03 109.05


listing
Shares 41,441,711.03 109.05
Belgium 2,077,125.08 5.47

27,614.00 AB INBEV 2,077,125.08 5.47


France 10,266,455.30 27.01

2,365.00 ACCOR SA 104,580.30 0.28


11,153.00 L'OREAL SA 2,316,478.10 6.09
7,446.00 LVMH 2,268,051.60 5.96
1,925.00 VINCI SA 157,888.50 0.42
44.00 SODEXHO SA 4,018.96 0.01
33,097.00 TOTAL SA 1,848,136.48 4.86
21,982.00 SANOFI 1,682,941.92 4.43
73,786.00 ORANGE 1,013,450.71 2.67
68,765.00 ENGIE 870,908.73 2.29
Germany 20,748,883.98 54.60

188,986.00 DEUTSCHE TELEKOM AG REG SHS 2,624,070.61 6.91


81,632.00 RWE AG 1,734,680.00 4.56
8,809.00 ALLIANZ SE REG SHS 1,691,328.00 4.45
10,000.00 BMW AG 777,100.00 2.04
10,130.00 MUENCHENER RUECKVERSICHERUNGS AG REG 1,932,297.50 5.09
SHS
16,586.00 MERCK KGAA 1,476,154.00 3.88
18,517.00 SIEMENS AG REG 2,043,165.78 5.39
11,941.00 VOLKSWAGEN VORZ.AKT 1,810,255.60 4.77
22,174.00 BAYER AG REG SHS 1,696,532.74 4.46
22,843.00 BASF SE REG SHS 1,748,631.65 4.60
4,566.00 ADIDAS NAMEN AKT 962,969.40 2.53
50,000.00 COMMERZBK 448,750.00 1.18
8,851.00 LINDE AG 1,802,948.70 4.74
Netherlands 6,094,671.11 16.04

44,842.00 UNILEVER NV 2,150,846.53 5.66


12,578.00 ASML HLDG 2,023,800.20 5.33
171,676.00 ING GROEP 1,920,024.38 5.05
Spain 2,254,575.56 5.93

194,501.00 BANCO BILBAO VIZCAYA ARGENT SA REG 1,067,810.49 2.81


886,307.00 BANCO SABADELL REG.SHS 1,186,765.07 3.12
Total securities portfolio 41,441,711.03 109.05

The accompanying notes form an integral part of these financial statements

100
AMUNDI GLOBAL INFRASTRUCTURE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 17,787,798.52 100.29

Transferable securities admitted to an official stock exchange 17,787,798.52 100.29


listing
Shares 17,787,798.52 100.29
Belgium 1,416,142.10 7.98

10,000.00 KBC GROUPE SA 641,000.00 3.61


10,305.00 AB INBEV 775,142.10 4.37
Germany 11,919,777.81 67.21

36,975.00 DEUTSCHE TELEKOM AG REG SHS 513,397.88 2.89


35,000.00 INFINEON TECHNOLOGIES REG SHS 684,950.00 3.86
17,459.00 DEUTSCHE POST AG REG SHS 536,165.89 3.02
23,150.00 RWE AG 491,937.50 2.77
4,867.00 ALLIANZ SE REG SHS 934,464.00 5.27
13,450.00 BMW AG 1,045,199.50 5.90
9,338.00 SAP AG 989,828.00 5.58
7,195.00 SIEMENS AG REG 793,896.30 4.48
73,529.00 DEUTSCHE BANK AG REG SHS 722,643.01 4.07
7,809.00 VOLKSWAGEN VORZ.AKT 1,183,844.40 6.68
9,423.00 BAYER AG REG SHS 720,953.73 4.06
13,034.00 BASF SE REG SHS 997,752.70 5.63
3,671.00 ADIDAS NAMEN AKT 774,213.90 4.37
60,000.00 COMMERZBK 538,500.00 3.04
479.00 VONOVIA SE 20,156.32 0.11
2,263.00 COVESTRO AG 158,093.18 0.89
3,995.00 LINDE AG 813,781.50 4.59
Netherlands 2,830,680.83 15.96

35,258.00 ROYAL PHILIPS ELECTRONIC 1,383,347.63 7.80


3,565.00 UNILEVER NV 170,995.23 0.96
3,605.00 ASML HLDG 580,044.50 3.27
62,258.00 ING GROEP 696,293.47 3.93
Spain 1,621,197.78 9.14

142,264.00 BANCO SANTANDER SA REG SHS 616,785.57 3.48


95,630.00 BANCO BILBAO VIZCAYA ARGENT SA REG 525,008.70 2.96
358,031.00 BANCO SABADELL REG.SHS 479,403.51 2.70
Total securities portfolio 17,787,798.52 100.29

The accompanying notes form an integral part of these financial statements

101
AMUNDI JAPAN TOPIX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
33,031.00 SHISEIDO 2,203,001.38 0.20
Long positions 1,088,604,130.07 99.62
556,991.00 TAKARA SHUZO CO. LTD 7,050,572.43 0.65
Transferable securities admitted to an official stock exchange 1,088,604,130.07 99.62 21,039.00 UNI CHARM 599,296.30 0.05
listing 180,900.00 HOKUGIN FINANCIAL GROUP 2,189,793.75 0.20
Shares 1,088,604,130.07 99.62
240,155.00 OTSUKA HOLDINGS 10,425,059.58 0.95
Belgium 47,608,851.96 4.36 78,600.00 ZENKOKU HOSHO 2,707,797.38 0.25
163,374.00 SOLVAY 18,869,697.00 1.73 Netherlands 200,556,744.74 18.35
382,068.00 AB INBEV 28,739,154.96 2.63
2,755,591.00 KONINKLIJKE KPN NV 6,260,702.75 0.57
Finland 5,488,992.23 0.50 149,954.00 ROYAL PHILIPS ELECTRONIC 5,883,445.19 0.54
333,171.00 STORA ENSO -R- 5,488,992.23 0.50 359,204.00 AIRBUS GROUP 38,858,688.72 3.56
208,876.00 AKZO NOBEL NV 16,822,873.04 1.54
France 331,678,257.70 30.36
60,959.00 HEINEKEN NV 4,923,048.84 0.45
6,145.00 ACCOR SA 271,731.90 0.02 191,642.00 UNILEVER NV 9,192,108.53 0.84
972,222.00 AXA SA 22,506,939.30 2.06 272,353.00 WOLTERS KLUWER 14,619,909.04 1.34
28,000.00 DANONE 1,867,600.00 0.17 451,441.00 ASML HLDG 72,636,856.90 6.64
82,000.00 ESSILOR INTERNATIONAL SA 10,450,900.00 0.96 152,856.00 ABN AMRO GROUP DEP RECEIPT 3,584,473.20 0.33
345,901.00 LVMH 105,361,444.60 9.65 497,166.00 KONINKLIJKE AHOLD NV 9,819,028.50 0.90
505,001.00 VINCI SA 41,420,182.02 3.79 1,605,473.00 ING GROEP 17,955,610.03 1.64
1,123,766.00 TOTAL SA 62,751,093.44 5.74
Spain 75,005,092.12 6.86
377,832.00 SANOFI 28,926,817.92 2.65
557,750.00 ORANGE 7,660,696.25 0.70 6,179,593.00 BANCO SANTANDER SA REG SHS 26,791,625.45 2.45
190,000.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 39,463,000.00 3.61 4,497,564.00 IBERDROLA S A 28,505,560.63 2.61
115.00 SODEXO PRIME DE FIDELITE 2021 10,504.10 0.00 90,252.00 AMADEUS IT -A- 7,221,965.04 0.66
178,701.00 ENGIE (ACT NOM PRIME DE FIDELITE) 2,263,248.17 0.21 83,518.00 AENA 12,485,941.00 1.14
77,000.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 8,724,100.00 0.80 Sweden 12,389,478.31 1.13
Germany 344,255,869.03 31.51 814,622.00 VOLVO AB -B- 12,389,478.31 1.13
421,408.00 DEUTSCHE TELEKOM AG REG SHS 5,851,250.08 0.54 Switzerland 233,810.06 0.02
450,890.00 INFINEON TECHNOLOGIES REG SHS 8,823,917.30 0.81
3,143.00 NOVARTIS AG REG SHS 233,810.06 0.02
93,092.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 11,329,296.40 1.04
5.76 Total securities portfolio
1,088,604,130.07 99.62
328,131.00 ALLIANZ SE REG SHS 63,001,152.00
51,751.00 BMW AG 4,021,570.21 0.37
233,466.00 FRESENIUS SE & CO KGAA 14,764,389.84 1.35
119,410.00 HEIDELBERGCEMENT AG 8,038,681.20 0.74
78,732.00 HENKEL AG & CO KGAA 7,955,868.60 0.73
109,504.00 MAN SE 10,255,049.60 0.94
22,518.00 MUENCHENER RUECKVERSICHERUNGS AG REG 4,295,308.50 0.39
SHS
451,495.00 SAP AG 47,858,470.00 4.38
275,647.00 FRESENIUS MEDICAL CARE AG & CO KGAA 24,416,811.26 2.23
82,524.00 SIEMENS AG REG 9,105,698.16 0.83
32,772.00 WIRECARD AG 6,118,532.40 0.56
3,101.00 VOLKSWAGEN VORZ.AKT 470,111.60 0.04
279,244.00 BAYER AG REG SHS 21,364,958.44 1.96
31,988.00 ADIDAS NAMEN AKT 6,746,269.20 0.62
120,309.00 VONOVIA SE 5,062,602.72 0.46
387,687.00 COVESTRO AG 27,083,813.82 2.48
283,221.00 LINDE AG 57,692,117.70 5.28
Japan 71,387,033.92 6.53

84,400.00 MARUHA CORP 2,680,502.39 0.25


252,338.00 JAPAN TOBACCO 5,673,009.79 0.52
35,834.00 KOBAYASHI PHARMACEUTICAL CO 2,270,708.03 0.21
7,222.00 COCA-COLA WEST SHS 166,414.36 0.02
189,752.00 ASAHI GROUP HD 7,083,572.22 0.65
530,693.00 BRIDGESTONE CORP 17,268,872.26 1.57
122,207.00 EBARA CORPORATION 3,631,130.68 0.33
106,954.00 KAO CORP 7,437,303.37 0.68

The accompanying notes form an integral part of these financial statements

102
AMUNDI JPX-NIKKEI 400

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
857,215.00 UNILEVER NV 41,116,317.48 7.60
Long positions 541,814,719.57 100.17
159,289.00 ASML HLDG 25,629,600.10 4.74
Transferable securities admitted to an official stock exchange 541,814,719.57 100.17 Spain 83,386,948.12 15.42
listing
Shares 541,814,719.57 100.17 9,214,465.00 BANCO SANTANDER SA REG SHS 39,949,313.01 7.39
Belgium 30,759,511.12 5.69 6,853,524.00 IBERDROLA S A 43,437,635.11 8.03

73,919.00 UCB 5,721,330.60 1.06 Total securities portfolio 541,814,719.57 100.17


332,866.00 AB INBEV 25,038,180.52 4.63
Finland 5,866,452.80 1.08

82,394.00 NESTE 5,866,452.80 1.08


France 1,375,659.40 0.25

126.00 LVMH 38,379.60 0.01


23,450.00 TOTAL SA 1,309,448.00 0.23
134.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 27,831.80 0.01
Germany 146,395,265.63 27.07

568,739.00 DEUTSCHE TELEKOM AG REG SHS 7,896,941.02 1.46


49,051.00 DEUTSCHE BOERSE AG REG SHS 5,660,485.40 1.05
626,520.00 DEUTSCHE POST AG REG SHS 19,240,429.20 3.56
112,898.00 ALLIANZ SE REG SHS 21,676,416.00 4.01
233,061.00 SAP AG 24,704,466.00 4.57
103,518.00 SIEMENS AG REG 11,422,176.12 2.11
327,334.00 BASF SE REG SHS 25,057,417.70 4.63
67,015.00 ADIDAS NAMEN AKT 14,133,463.50 2.61
1,414,030.00 TELEFONICA NAMEN AKT 5,148,483.23 0.95
251,398.00 PROSIEBENSAT.1 NAMEN-AKT 5,623,773.26 1.04
83,470.00 COVESTRO AG 5,831,214.20 1.08
Japan 120,887,662.52 22.35

584,172.00 RAKUTEN 3,855,838.96 0.71


35,200.00 OTSUKA CORP 1,131,275.16 0.21
147,498.00 DENTSU 5,891,915.05 1.09
211,948.00 JAPAN TOBACCO 4,764,970.31 0.88
88,470.00 COCA-COLA WEST SHS 2,038,587.42 0.38
467,779.00 AGC INC. 16,717,916.34 3.09
134,493.00 EBARA CORPORATION 3,996,184.01 0.74
16,507.00 KAO CORP 1,147,853.91 0.21
112,900.00 KINTETSU HLDG SHS 3,910,838.41 0.72
466,889.00 KIRIN HOLDINGS CO LTD 10,301,858.42 1.90
95,300.00 NAGOYA RAIL ROAD CO. LTD. 2,032,716.08 0.38
154,500.00 NEC CORP 3,677,205.16 0.68
292,049.00 SHISEIDO 19,478,197.75 3.60
707,300.00 TOKYO EL HLDG 2,991,559.10 0.55
332,518.00 TOSHIBA CORP 8,279,617.29 1.53
74,500.00 THK CO LTD 1,633,105.69 0.30
255,761.00 UNI CHARM 7,285,356.81 1.35
57,300.00 TREND MICRO INC 3,174,912.26 0.59
240,200.00 SO-NET M3 4,693,703.43 0.87
37,600.00 HOSHIZAKI 3,351,620.95 0.62
215,817.00 OTSUKA HOLDINGS 9,368,553.99 1.73
103,400.00 NEXON CO LTD 1,163,876.02 0.22
Netherlands 153,143,219.98 28.31

9,031,844.00 KONINKLIJKE KPN NV 20,520,349.57 3.79


1,024,190.00 ROYAL PHILIPS ELECTRONIC 40,184,094.65 7.43
237,501.00 AIRBUS GROUP 25,692,858.18 4.75

The accompanying notes form an integral part of these financial statements

103
AMUNDI MSCI BRAZIL

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD

Long positions 17,282,145.69 100.94

Transferable securities admitted to an official stock exchange 17,282,145.69 100.94


listing
Shares 17,282,145.69 100.94
Belgium 805,620.60 4.71

9,221.00 AB INBEV 805,620.60 4.71


France 1,406,624.91 8.22

11,886.00 TOTAL SA 770,904.09 4.51


7,149.00 SANOFI 635,720.82 3.71
Germany 11,011,270.11 64.31

52,680.00 DEUTSCHE TELEKOM AG REG SHS 849,592.88 4.96


19,726.00 DEUTSCHE POST AG REG SHS 703,619.81 4.11
27,929.00 RWE AG 689,340.09 4.03
5,642.00 ALLIANZ SE REG SHS 1,258,211.14 7.35
12,700.00 BMW AG 1,146,304.10 6.70
6,654.00 SAP AG 819,233.83 4.78
5,185.00 MERCK KGAA 535,991.60 3.13
5,575.00 SIEMENS AG REG 714,491.50 4.17
6,359.00 VOLKSWAGEN VORZ.AKT 1,119,714.34 6.54
12,500.00 BAYER AG REG SHS 1,110,829.56 6.49
8,625.00 BASF SE REG SHS 766,873.12 4.48
3,028.00 ADIDAS NAMEN AKT 741,739.94 4.33
11,362.00 VONOVIA SE 555,328.20 3.24
Netherlands 2,101,232.48 12.27

10,000.00 AIRBUS GROUP 1,256,510.70 7.34


4,520.00 ASML HLDG 844,721.78 4.93
Spain 1,144,094.73 6.68

130,939.00 BANCO SANTANDER SA REG SHS 659,367.32 3.85


311,672.00 BANCO SABADELL REG.SHS 484,727.41 2.83
United Kingdom 813,302.86 4.75

23,676.00 ROYAL DUTCH SHELL -A- 813,302.86 4.75


Total securities portfolio 17,282,145.69 100.94

The accompanying notes form an integral part of these financial statements

104
AMUNDI MSCI CHINA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 154,366,542.34 100.54

Transferable securities admitted to an official stock exchange 154,366,542.34 100.54


listing
Shares 154,366,542.34 100.54
Belgium 11,038,196.86 7.19

15,000.00 KBC GROUPE SA 961,500.00 0.63


133,963.00 AB INBEV 10,076,696.86 6.56
France 21,738,775.49 14.16

118,538.00 VIVENDI SA 2,627,987.46 1.71


22,752.00 RENAULT SA 1,695,024.00 1.10
3,777.00 ACCOR SA 167,018.94 0.11
108,078.00 AXA SA 2,502,005.70 1.63
76,402.00 CARREFOUR SA 1,260,633.00 0.82
3,074.00 VINCI SA 252,129.48 0.16
36,130.00 SOCIETE GENERALE SA 1,335,726.10 0.87
53,111.00 TOTAL SA 2,965,718.24 1.93
23,797.00 SANOFI 1,821,898.32 1.19
110,837.00 ORANGE 1,522,346.20 0.99
20,178.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 4,190,970.60 2.74
71.00 SODEXO PRIME DE FIDELITE 2021 6,485.14 0.00
109,817.00 ENGIE (ACT NOM PRIME DE FIDELITE) 1,390,832.31 0.91
Germany 68,188,753.86 44.42

566,896.00 DEUTSCHE TELEKOM AG REG SHS 7,871,350.96 5.13


26,362.00 ALLIANZ SE REG SHS 5,061,504.00 3.30
56,961.00 BMW AG 4,426,439.31 2.88
15,000.00 MUENCHENER RUECKVERSICHERUNGS AG REG 2,861,250.00 1.86
SHS
63,180.00 SIEMENS AG REG 6,971,281.20 4.54
57,459.00 VOLKSWAGEN VORZ.AKT 8,710,784.40 5.68
114,785.00 BAYER AG REG SHS 8,782,200.35 5.73
81,246.00 BASF SE REG SHS 6,219,381.30 4.05
23,386.00 ADIDAS NAMEN AKT 4,932,107.40 3.21
111,349.00 VONOVIA SE 4,685,565.92 3.05
70,097.00 COVESTRO AG 4,896,976.42 3.19
13,598.00 LINDE AG 2,769,912.60 1.80
Japan 2,525,186.58 1.64

65,839.00 SEVEN & I HOLDINGS CO LTD 2,525,186.58 1.64


Netherlands 36,608,445.47 23.84

318,272.00 ROYAL PHILIPS ELECTRONIC 12,487,401.92 8.12


48,332.00 AIRBUS GROUP 5,228,555.76 3.41
137,643.00 UNILEVER NV 6,602,046.50 4.30
40,000.00 WOLTERS KLUWER 2,147,200.00 1.40
48,730.00 ASML HLDG 7,840,657.00 5.11
205,882.00 ING GROEP 2,302,584.29 1.50
Spain 14,267,184.08 9.29

1,634,527.00 BANCO SANTANDER SA REG SHS 7,086,491.81 4.61


921,545.00 BANCO BILBAO VIZCAYA ARGENT SA REG 5,059,282.05 3.30
26,511.00 AMADEUS IT -A- 2,121,410.22 1.38
Total securities portfolio 154,366,542.34 100.54

The accompanying notes form an integral part of these financial statements

105
AMUNDI MSCI EASTERN EUROPE EX RUSSIA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 35,201,875.44 99.51

Transferable securities admitted to an official stock exchange 35,201,875.44 99.51


listing
Shares 35,201,875.44 99.51
Belgium 2,391,770.34 6.76

31,797.00 AB INBEV 2,391,770.34 6.76


France 2,455,156.46 6.94

2,663.00 LVMH 811,149.80 2.29


18,889.00 TOTAL SA 1,054,761.76 2.98
2,837.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 589,244.90 1.67
Germany 19,004,473.77 53.73

54,288.00 DEUTSCHE POST AG REG SHS 1,667,184.48 4.71


78,480.00 RWE AG 1,667,700.00 4.71
1,647.00 ALLIANZ SE REG SHS 316,224.00 0.89
22,118.00 BMW AG 1,718,789.78 4.86
15,292.00 SIEMENS AG REG 1,687,319.28 4.77
17,787.00 VOLKSWAGEN VORZ.AKT 2,696,509.20 7.62
21,847.00 BAYER AG REG SHS 1,671,513.97 4.73
21,844.00 BASF SE REG SHS 1,672,158.20 4.73
7,285.00 ADIDAS NAMEN AKT 1,536,406.50 4.34
65,705.00 VONOVIA SE 2,764,866.40 7.83
22,986.00 COVESTRO AG 1,605,801.96 4.54
Netherlands 8,186,768.94 23.14

78,825.00 ROYAL PHILIPS ELECTRONIC 3,092,698.88 8.73


21,150.00 AKZO NOBEL NV 1,703,421.00 4.82
35,387.00 UNILEVER NV 1,697,337.46 4.80
10,524.00 ASML HLDG 1,693,311.60 4.79
Spain 3,163,705.93 8.94

60,736.00 BANCO SANTANDER SA REG SHS 263,320.93 0.74


306,630.00 BANCO BILBAO VIZCAYA ARGENT SA REG 1,683,398.70 4.76
908,877.00 BANCO SABADELL REG.SHS 1,216,986.30 3.44
Total securities portfolio 35,201,875.44 99.51

The accompanying notes form an integral part of these financial statements

106
AMUNDI MSCI EM ASIA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
198,613.00 KAO CORP 13,811,032.16 0.72
Long positions 1,981,976,826.77 104.04
120,148.00 SHISEIDO 8,013,266.62 0.42
Transferable securities admitted to an official stock exchange 1,981,976,826.77 104.04 29,312.00 TOKYO EL HLDG 123,976.50 0.01
listing 564,293.00 UNI CHARM 16,073,896.52 0.85
Shares 1,981,976,826.77 104.04
175,159.00 YAMAZAKI BAKING CO 3,019,135.79 0.16
Belgium 130,483,253.35 6.85 50,815.00 NABTESCO CORP 1,163,211.27 0.06
258,435.00 KBC GROUPE SA 16,565,683.50 0.87 337,690.00 OTSUKA HOLDINGS 14,659,025.92 0.77
241,843.00 UCB 18,718,648.20 0.98 Netherlands 476,097,544.33 24.99
186,831.00 AGEAS NOM 8,652,143.61 0.45
1,327,781.00 KONINKLIJKE KPN NV 3,016,718.43 0.16
1,150,582.00 AB INBEV 86,546,778.04 4.55
3,849,116.00 ROYAL PHILIPS ELECTRONIC 151,020,066.26 7.92
Denmark 2,292,692.88 0.12 1,093,162.00 AIRBUS GROUP 118,258,265.16 6.20
29,276.00 DSV 2,292,692.88 0.12 241,662.00 AKZO NOBEL NV 19,463,457.48 1.02
20,158.00 HEINEKEN NV 1,627,960.08 0.09
Finland 3,071,066.80 0.16
1,312,757.00 UNILEVER NV 62,966,389.51 3.31
68,858.00 SAMPO OYJ -A- 3,071,066.80 0.16 531,235.00 ASML HLDG 85,475,711.50 4.49
France 256,562,406.01 13.47 451,148.00 KONINKLIJKE AHOLD NV 8,910,173.00 0.47
2,267,418.00 ING GROEP 25,358,802.91 1.33
250,000.00 VIVENDI SA 5,542,500.00 0.29
200,000.00 RENAULT SA 14,900,000.00 0.78 Spain 349,974,567.55 18.37
562,013.00 AXA SA 13,010,600.95 0.68 37,639,474.00 BANCO SANTANDER SA REG SHS 163,185,939.53 8.56
111,100.00 AIR LIQUIDE SA 12,587,630.00 0.66 17,008,378.00 IBERDROLA S A 107,799,099.76 5.66
38,291.00 L'OREAL SA 7,953,040.70 0.42 3,029,212.00 CAIXABANK 11,929,036.86 0.63
149,874.00 LVMH 45,651,620.40 2.40 461,077.00 AMADEUS IT -A- 36,895,381.54 1.94
218,000.00 VINCI SA 17,880,360.00 0.94 68,777.00 AENA 10,282,161.50 0.54
190,000.00 SCHNEIDER ELECTRIC SE 13,167,000.00 0.69 1,102,159.00 RED ELECTRICA 19,882,948.36 1.04
624,916.00 SOCIETE GENERALE SA 23,103,144.52 1.21
United Kingdom 10,587,258.50 0.56
851,331.00 TOTAL SA 47,538,323.04 2.51
334,190.00 SANOFI 25,585,586.40 1.34 357,980.00 ROYAL DUTCH SHELL PLC 10,587,258.50 0.56
1,150,000.00 ORANGE 15,795,250.00 0.83 Total securities portfolio 1,981,976,826.77 104.04
78,000.00 SAFRAN 9,414,600.00 0.49
350,000.00 ENGIE 4,432,750.00 0.23
Germany 692,994,976.48 36.37

1,077,116.00 DEUTSCHE TELEKOM AG REG SHS 14,955,755.66 0.79


5,280.00 DEUTSCHE POST AG REG SHS 162,148.80 0.01
130,613.00 ALLIANZ SE REG SHS 25,077,696.00 1.32
218,809.00 BEIERSDORF AG 21,263,858.62 1.12
205,762.00 CONTINENTAL AG 30,854,011.90 1.62
808,586.00 FRESENIUS SE & CO KGAA 51,134,978.64 2.68
45,009.00 MUENCHENER RUECKVERSICHERUNGS AG REG 8,585,466.75 0.45
SHS
41,511.00 RHEINMETALL AG 3,738,480.66 0.20
215,658.00 SAP AG 22,859,748.00 1.20
16,620.00 FRESENIUS MEDICAL CARE AG & CO KGAA 1,472,199.60 0.08
1,905,315.00 DEUTSCHE LUFTHANSA AG REG SHS 40,316,465.40 2.12
757,985.00 SIEMENS AG REG 83,636,064.90 4.39
95,703.00 VOLKSWAGEN VORZ.AKT 14,508,574.80 0.76
1,074,356.00 BAYER AG REG SHS 82,198,977.56 4.31
1,792,003.00 BASF SE REG SHS 137,177,829.65 7.19
10,145.00 ADIDAS NAMEN AKT 2,139,580.50 0.11
247,857.00 VONOVIA SE 10,429,822.56 0.55
160,994.00 COVESTRO AG 11,247,040.84 0.59
3,437,624.00 UNIPER NAMEN-AKT. 91,131,412.24 4.77
196,882.00 LINDE AG 40,104,863.40 2.11
Japan 59,913,060.87 3.15

89,568.00 JAPAN TOBACCO 2,013,648.92 0.11


16,347.00 KOBAYASHI PHARMACEUTICAL CO 1,035,867.17 0.05

The accompanying notes form an integral part of these financial statements

107
AMUNDI MSCI EM LATIN AMERICA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 227,461,010.29 100.47

Transferable securities admitted to an official stock exchange 227,461,010.29 100.47


listing
Shares 227,461,010.29 100.47
Belgium 16,203,379.86 7.16

73,460.00 KBC GROUPE SA 4,708,786.00 2.08


152,813.00 AB INBEV 11,494,593.86 5.08
France 54,683,467.52 24.15

100,000.00 DANONE 6,670,000.00 2.95


4,421.00 LVMH 1,346,636.60 0.59
100,000.00 VINCI SA 8,202,000.00 3.62
100,000.00 SCHNEIDER ELECTRIC SE 6,930,000.00 3.06
230,128.00 SOCIETE GENERALE SA 8,507,832.16 3.76
183,653.00 TOTAL SA 10,255,183.52 4.53
18,829.00 SANOFI 1,441,548.24 0.64
300,000.00 ORANGE 4,120,500.00 1.82
4,710.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 978,267.00 0.43
55,000.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 6,231,500.00 2.75
Germany 90,747,424.78 40.08

792,754.00 DEUTSCHE TELEKOM AG REG SHS 11,007,389.29 4.86


445,072.00 RWE AG 9,457,780.00 4.18
76,002.00 ALLIANZ SE REG SHS 14,592,384.00 6.44
24,423.00 BMW AG 1,897,911.33 0.84
46,656.00 CONTINENTAL AG 6,996,067.20 3.09
78,879.00 SAP AG 8,361,174.00 3.69
13,133.00 FRESENIUS MEDICAL CARE AG & CO KGAA 1,163,321.14 0.51
127,345.00 SIEMENS AG REG 14,051,247.30 6.21
176,932.00 BAYER AG REG SHS 13,537,067.32 5.98
47,536.00 LINDE AG 9,683,083.20 4.28
Luxembourg 5,426,437.20 2.40

202,479.00 ARCELORMITTAL - REGISTERED 5,426,437.20 2.40


Netherlands 46,200,167.92 20.41

267,753.00 ROYAL PHILIPS ELECTRONIC 10,505,288.96 4.64


361,379.00 UNILEVER NV 17,333,543.74 7.66
12,553.00 ASML HLDG 2,019,777.70 0.89
1,461,155.00 ING GROEP 16,341,557.52 7.22
Spain 14,200,133.01 6.27

1,642,144.00 BANCO SANTANDER SA REG SHS 7,119,515.31 3.14


1,289,730.00 BANCO BILBAO VIZCAYA ARGENT SA REG 7,080,617.70 3.13
Total securities portfolio 227,461,010.29 100.47

The accompanying notes form an integral part of these financial statements

108
AMUNDI MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
225,652.00 FRESENIUS MEDICAL CARE AG & CO KGAA 19,988,254.16 0.38
Long positions 5,211,266,054.57 99.92
2,357,167.00 DEUTSCHE LUFTHANSA AG REG SHS 49,877,653.72 0.96
Transferable securities admitted to an official stock exchange 5,211,266,054.57 99.92 376,966.00 SIEMENS AG REG 41,594,428.44 0.80
listing 1,043,242.00 DEUTSCHE BANK AG REG SHS 10,252,982.38 0.20
Shares 5,211,266,054.57 99.92
102,071.00 DEUTSCHE WOHNEN AG 4,217,573.72 0.08
Austria 72,055,663.32 1.38 205,613.00 WIRECARD AG 38,387,947.10 0.74
157,410.00 RAIFFEISEN BANK INTERNATIONAL-HOLDING AG 3,903,768.00 0.07 55,953.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 3,245,274.00 0.06
1,408,388.00 OMV AG 68,151,895.32 1.31 80,729.00 VOLKSWAGEN VORZ.AKT 12,238,516.40 0.23
1,117,789.00 BAYER AG REG SHS 85,522,036.39 1.64
Belgium 252,564,087.86 4.84
2,416,581.00 BASF SE REG SHS 184,989,275.55 3.54
178,423.00 GROUPE BRUXELLES LAMBERT GBL 16,111,596.90 0.31 135,350.00 ADIDAS NAMEN AKT 28,545,315.00 0.55
873,495.00 KBC GROUPE SA 55,991,029.50 1.07 1,425,818.00 TELEFONICA NAMEN AKT 5,191,403.34 0.10
43,214.00 SOLVAY 4,991,217.00 0.10 96,440.00 COMMERZBK 865,549.00 0.02
140,081.00 UCB 10,842,269.40 0.21 640,392.00 VONOVIA SE 26,947,695.36 0.52
45,663.00 GALAPAGOS GENOMICS NV 4,448,489.46 0.09 1,255,787.00 PROSIEBENSAT.1 NAMEN-AKT 28,091,955.19 0.54
2,129,480.00 AB INBEV 160,179,485.60 3.06 463,933.00 COVESTRO AG 32,410,359.38 0.62
Denmark 11,392,376.77 0.22 492,982.00 UNIPER NAMEN-AKT. 13,068,952.82 0.25
62,390.00 INNOGY 2,401,391.10 0.05
503,591.00 DANSKE BANK 11,392,376.77 0.22 577,763.00 LINDE AG 117,690,323.10 2.25
Finland 100,349,240.79 1.92
Japan 283,369,710.39 5.43
969,165.00 STORA ENSO -R- 15,966,993.38 0.31
278,963.00 DENTSU 11,143,380.23 0.21
307,418.00 UPM KYMMENE CORP 10,390,728.40 0.20
891,136.00 JAPAN TOBACCO 20,034,331.92 0.38
408,064.00 KESKO CORP 19,093,314.56 0.37
17,705.00 KOBAYASHI PHARMACEUTICAL CO 1,121,920.12 0.02
10,400,874.00 NOKIA OYJ 49,684,975.10 0.94
108,016.00 COCA-COLA WEST SHS 2,488,979.98 0.05
241,465.00 FORTUM CORP 5,213,229.35 0.10
324,900.00 DON QUIJOTE HLD 14,160,457.52 0.27
France 695,395,232.40 13.33 35,000.00 AGC INC. 1,250,862.21 0.02
552,899.00 VIVENDI SA 12,257,770.83 0.24 58,648.00 ASAHI GROUP HD 2,189,370.04 0.04
10,903.00 ACCOR SA 482,130.66 0.01 793,201.00 BRIDGESTONE CORP 25,810,942.95 0.49
694,444.00 AXA SA 16,076,378.60 0.31 332,400.00 CHUGAI PHARMACEUTICAL 18,392,620.27 0.35
933,000.00 DANONE 62,231,100.00 1.19 92,305.00 KAO CORP 6,418,649.96 0.12
100,000.00 MICHELIN SA REG SHS 10,295,000.00 0.20 121,500.00 KINTETSU HLDG SHS 4,208,741.07 0.08
100,000.00 ESSILOR INTERNATIONAL SA 12,745,000.00 0.24 630,136.00 KIRIN HOLDINGS CO LTD 13,903,886.91 0.27
182,000.00 LVMH 55,437,200.00 1.06 636,899.00 KUBOTA CORP 9,322,074.52 0.18
558,874.00 VINCI SA 45,838,845.48 0.88 550,900.00 LION CORP 10,539,544.76 0.20
100,000.00 SCHNEIDER ELECTRIC SE 6,930,000.00 0.13 687,955.00 SHISEIDO 45,883,134.45 0.89
1,349,080.00 SOCIETE GENERALE SA 49,875,487.60 0.96 175,568.00 TOKYO EL HLDG 742,573.23 0.01
3,504,433.00 TOTAL SA 195,687,538.72 3.75 598,852.00 TOSHIBA CORP 14,911,269.09 0.29
1,560,381.00 SANOFI 119,462,769.36 2.29 1,506,592.00 YAMAHA MOTOR CO LTD 36,371,802.41 0.70
4,840,196.00 ORANGE 66,480,092.06 1.27 306,707.00 UNI CHARM 8,736,554.56 0.17
80,000.00 SAFRAN 9,656,000.00 0.19 45,205.00 YAMAZAKI BAKING CO 779,177.97 0.01
43,864.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 9,110,552.80 0.17 134,509.00 NABTESCO CORP 3,079,059.04 0.06
203.00 SODEXO PRIME DE FIDELITE 2021 18,542.02 0.00 170,168.00 SEVEN & I HOLDINGS CO LTD 6,526,617.20 0.13
817,041.00 ENGIE (ACT NOM PRIME DE FIDELITE) 10,347,824.27 0.20 144,488.00 POLA ORBIS HOLDINGS 4,545,059.84 0.09
110,000.00 AIR LIQUIDE (ACT PRIME DE FIDELITE 2019) 12,463,000.00 0.24 595,800.00 NEXON CO LTD 6,706,357.21 0.13
386,800.00 SUNTORY 14,102,342.93 0.27
Germany 1,130,987,837.67 21.69
Luxembourg 43,986,170.00 0.84
4,652,103.00 DEUTSCHE TELEKOM AG REG SHS 64,594,450.16 1.24
94,264.00 DEUTSCHE BOERSE AG REG SHS 10,878,065.60 0.21 1,641,275.00 ARCELORMITTAL - REGISTERED 43,986,170.00 0.84
714,828.00 DEUTSCHE POST AG REG SHS 21,952,367.88 0.42 Netherlands 1,329,736,896.44 25.51
22,070.00 HANNOVER RUECKVERSICHERUNG AG REG SHS 2,685,919.00 0.05 579,000.00 KONINKLIJKE KPN NV 1,315,488.00 0.03
584,452.00 ALLIANZ SE REG SHS 112,214,784.00 2.15 3,998,244.00 ROYAL PHILIPS ELECTRONIC 156,871,103.34 3.01
30,423.00 CONTINENTAL AG 4,561,928.85 0.09 989,858.00 AIRBUS GROUP 107,082,838.44 2.05
780,117.00 FRESENIUS SE & CO KGAA 49,334,599.08 0.95 999,590.00 AKZO NOBEL NV 80,506,978.60 1.54
121,435.00 HEIDELBERGCEMENT AG 8,175,004.20 0.16 100,852.00 HEINEKEN NV 8,144,807.52 0.16
18,873.00 MUENCHENER RUECKVERSICHERUNGS AG REG 3,600,024.75 0.07 102,188.00 GEMALTO NV 5,129,837.60 0.10
SHS
1,391,168.00 SAP AG 147,463,808.00 2.82 762,134.00 DSM KONINKLIJKE 69,537,106.16 1.33

The accompanying notes form an integral part of these financial statements

109
AMUNDI MSCI EMERGING MARKETS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
1,713,862.00 AEGON NV 9,577,060.86 0.18
5,251,472.00 UNILEVER NV 251,886,854.48 4.84
109,502.00 WOLTERS KLUWER 5,878,067.36 0.11
831,213.00 ASML HLDG 133,742,171.70 2.56
531,000.00 NN GROUP NV 20,406,330.00 0.39
3,260,740.00 ABN AMRO GROUP DEP RECEIPT 76,464,353.00 1.47
346,967.00 ASR 14,246,465.02 0.27
341,983.00 KONINKLIJKE AHOLD NV 6,754,164.25 0.13
34,173,218.00 ING GROEP 382,193,270.11 7.34
Portugal 9,015,509.30 0.17

2,836,850.00 EDP-ENERGIAS REG.SHS 9,015,509.30 0.17


Spain 889,174,150.07 17.05

267,052.00 ENDESA 4,969,837.72 0.10


39,893,743.00 BANCO SANTANDER SA REG SHS 172,959,322.78 3.32
38,491,479.00 TELEFONICA S A 262,434,903.82 5.03
21,518,933.00 BANCO BILBAO VIZCAYA ARGENT SA REG 118,138,942.17 2.27
588,663.00 ACS 21,592,158.84 0.41
8,990,845.00 IBERDROLA S A 56,983,975.61 1.09
2,173,694.00 CAIXABANK 8,560,006.97 0.16
1,448,742.00 AMADEUS IT -A- 115,928,334.84 2.22
1,212,894.00 INDITEX SHARE FROM SPLIT 31,668,662.34 0.61
256,372.00 AENA 38,327,614.00 0.73
208,364.00 REPSOL SA 3,576,568.06 0.07
2,995,223.00 RED ELECTRICA 54,033,822.92 1.04
Switzerland 96,380,767.71 1.85

617,000.00 NOVARTIS AG REG SHS 45,899,078.93 0.88


700,000.00 NESTLE SA REG SHS 50,481,688.78 0.97
United Kingdom 296,858,411.85 5.69

10,037,478.00 ROYAL DUTCH SHELL PLC 296,858,411.85 5.69


Total securities portfolio 5,211,266,054.57 99.92

The accompanying notes form an integral part of these financial statements

110
AMUNDI MSCI EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
575,026.00 TREND MICRO INC 31,861,380.44 1.60
Long positions 1,991,861,216.59 100.18
1,109,204.00 SEVEN & I HOLDINGS CO LTD 42,542,369.30 2.14
Transferable securities admitted to an official stock exchange 1,991,861,216.59 100.18 33,402.00 HOSHIZAKI 2,977,416.03 0.15
listing
Shares 1,991,861,216.59 100.18 Netherlands 515,863,738.95 25.95

Belgium 78,381,059.02 3.94 1,014,190.00 AIRBUS GROUP 109,715,074.20 5.51


509,309.00 DSM KONINKLIJKE 46,469,353.16 2.34
125,000.00 KBC GROUPE SA 8,012,500.00 0.40
6,692,000.00 AEGON NV 37,394,896.00 1.88
178,452.00 SOLVAY 20,611,206.00 1.04
2,054,171.00 UNILEVER NV 98,528,312.02 4.96
661,491.00 AB INBEV 49,757,353.02 2.50
571,692.00 ASML HLDG 91,985,242.80 4.63
Finland 70,405,475.36 3.54 911,000.00 NN GROUP NV 35,009,730.00 1.76
99,540.00 UPM KYMMENE CORP 3,364,452.00 0.17 117,059.00 KONINKLIJKE AHOLD NV 2,311,915.25 0.12
633,798.00 SAMPO OYJ -A- 28,267,390.80 1.42 8,445,030.00 ING GROEP 94,449,215.52 4.75
282,104.00 FORTUM CORP 6,090,625.36 0.31 Spain 149,765,013.41 7.53
459,031.00 NESTE 32,683,007.20 1.64
29,148,750.00 BANCO SANTANDER SA REG SHS 126,374,405.63 6.35
France 156,470,528.31 7.87 1,840,792.00 BANCO BILBAO VIZCAYA ARGENT SA REG 10,105,948.08 0.51
1,695,199.00 VIVENDI SA 37,582,561.83 1.90 193,496.00 ACS 7,097,433.28 0.36
10,121.00 ACCOR SA 447,550.62 0.02 77,321.00 AMADEUS IT -A- 6,187,226.42 0.31
200,756.00 DANONE 13,390,425.20 0.67 Switzerland 181,624,171.26 9.13
575,426.00 CARREFOUR SA 9,494,529.00 0.48
3,000,000.00 CREDIT SUISSE GROUP AG REG SHS 39,002,247.59 1.96
50,032.00 CIE DE SAINT-GOBAIN 1,858,438.64 0.09
350,000.00 NESTLE SA REG SHS 25,240,844.39 1.27
16,130.00 ESSILOR INTERNATIONAL SA 2,055,768.50 0.10
782,690.00 VIFOR PHARMA - REGISTERED 117,381,079.28 5.90
99,744.00 LVMH 30,382,022.40 1.54
8,237.00 VINCI SA 675,598.74 0.03 United Kingdom 155,050,309.06 7.80
385,306.00 TOTAL SA 21,515,487.04 1.08 4,601,841.00 ROYAL DUTCH SHELL PLC 136,099,447.58 6.85
385,451.00 SANOFI 29,510,128.56 1.48 640,773.00 ROYAL DUTCH SHELL -A- 18,950,861.48 0.95
315,075.00 ORANGE 4,327,555.13 0.22
Total securities portfolio 1,991,861,216.59 100.18
35,213.00 SCOR SE ACT PROV REGROUPEMENT 1,408,520.00 0.07
190.00 SODEXO PRIME DE FIDELITE 2021 17,354.60 0.00
294,298.00 ENGIE (ACT NOM PRIME DE FIDELITE) 3,727,284.17 0.19
4,779.00 EDF ACT PRIME DE FIDELITE 72,282.38 0.00
332.00 EDF PRIME FID 2020 5,021.50 0.00
Germany 519,185,591.59 26.12

5,337,204.00 DEUTSCHE TELEKOM AG REG SHS 74,107,077.54 3.73


46,815.00 DEUTSCHE BOERSE AG REG SHS 5,402,451.00 0.27
169,805.00 ALLIANZ SE REG SHS 32,602,560.00 1.64
8,039.00 FRESENIUS SE & CO KGAA 508,386.36 0.03
84,248.00 MUENCHENER RUECKVERSICHERUNGS AG REG 16,070,306.00 0.81
SHS
1,024,783.00 DEUTSCHE LUFTHANSA AG REG SHS 21,684,408.28 1.09
2,365,317.00 BAYER AG REG SHS 180,970,403.67 9.10
1,178,842.00 BASF SE REG SHS 90,240,355.10 4.54
44,783.00 ADIDAS NAMEN AKT 9,444,734.70 0.48
233,758.00 VONOVIA SE 9,836,536.64 0.49
384,479.00 LINDE AG 78,318,372.30 3.94
Japan 165,115,329.63 8.30

139,692.00 DENTSU 5,580,098.69 0.28


103,832.00 JAPAN TOBACCO 2,334,329.16 0.12
141,200.00 AGC INC. 5,046,335.53 0.25
563,961.00 BRIDGESTONE CORP 18,351,420.64 0.92
275,514.00 KAO CORP 19,158,527.97 0.96
212,375.00 KIRIN HOLDINGS CO LTD 4,686,032.83 0.24
122,055.00 KYOWA HAKKO KIRIN CO LTD 1,969,658.64 0.10
845,384.00 TOSHIBA CORP 21,049,855.91 1.06
909,787.00 TOKYO TATEMONO CO 9,557,904.49 0.48

The accompanying notes form an integral part of these financial statements

111
AMUNDI MSCI EUROPE EX SWITZERLAND

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 25,799,414.24 100.22

Transferable securities admitted to an official stock exchange 25,799,414.24 100.22


listing
Shares 25,799,414.24 100.22
Belgium 1,213,449.04 4.71

16,132.00 AB INBEV 1,213,449.04 4.71


France 7,442,931.76 28.91

13,846.00 AIR LIQUIDE NOM. PRIME FIDELITE 1,568,751.80 6.09


7,226.00 L'OREAL SA 1,500,840.20 5.83
4,828.00 LVMH 1,470,608.80 5.71
36,368.00 TOTAL SA 2,030,789.12 7.89
11,389.00 SANOFI 871,941.84 3.39
Germany 14,206,774.14 55.19

75,580.00 DEUTSCHE TELEKOM AG REG SHS 1,049,428.30 4.08


57,535.00 RWE AG 1,222,618.75 4.75
5,667.00 ALLIANZ SE REG SHS 1,088,064.00 4.23
15,823.00 BMW AG 1,229,605.33 4.78
11,535.00 SAP AG 1,222,710.00 4.75
11,150.00 SIEMENS AG REG 1,230,291.00 4.78
7,227.00 VOLKSWAGEN VORZ.AKT 1,095,613.20 4.26
14,062.00 BAYER AG REG SHS 1,075,883.62 4.18
19,884.00 BASF SE REG SHS 1,522,120.20 5.90
5,972.00 ADIDAS NAMEN AKT 1,259,494.80 4.89
23,308.00 VONOVIA SE 980,800.64 3.81
6,039.00 LINDE AG 1,230,144.30 4.78
Netherlands 2,746,537.82 10.67

13,648.00 AKZO NOBEL NV 1,099,209.92 4.27


2,776.00 ASML HLDG 446,658.40 1.73
107,356.00 ING GROEP 1,200,669.50 4.67
Spain 189,721.48 0.74

43,760.00 BANCO SANTANDER SA REG SHS 189,721.48 0.74


Total securities portfolio 25,799,414.24 100.22

The accompanying notes form an integral part of these financial statements

112
AMUNDI MSCI EUROPE EX UK

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 53,364,836.25 100.10

Transferable securities admitted to an official stock exchange 53,364,836.25 100.10


listing
Shares 53,364,836.25 100.10
Belgium 647,568.98 1.21

8,609.00 AB INBEV 647,568.98 1.21


France 790,255.56 1.48

546.00 LVMH 166,311.60 0.31


9,009.00 TOTAL SA 503,062.56 0.94
582.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 120,881.40 0.23
Germany 37,031,050.17 69.47

165,089.00 DEUTSCHE TELEKOM AG REG SHS 2,292,260.77 4.30


17,872.00 DEUTSCHE BOERSE AG REG SHS 2,062,428.80 3.87
75,000.00 DEUTSCHE POST AG REG SHS 2,303,250.00 4.32
76,764.00 RWE AG 1,631,235.00 3.06
6,165.00 ALLIANZ SE REG SHS 1,183,680.00 2.22
33,873.00 FRESENIUS SE & CO KGAA 2,142,128.52 4.02
22,981.00 SAP AG 2,435,986.00 4.57
30,346.00 SIEMENS AG REG 3,348,377.64 6.28
33,262.00 VOLKSWAGEN VORZ.AKT 5,042,519.20 9.46
66,903.00 BAYER AG REG SHS 5,118,748.53 9.60
35,453.00 BASF SE REG SHS 2,713,927.15 5.09
11,801.00 ADIDAS NAMEN AKT 2,488,830.90 4.67
61,682.00 VONOVIA SE 2,595,578.56 4.87
23,935.00 COVESTRO AG 1,672,099.10 3.14
Netherlands 8,716,170.27 16.35

89,023.00 ROYAL PHILIPS ELECTRONIC 3,492,817.41 6.55


18,947.00 AKZO NOBEL NV 1,525,991.38 2.86
49,191.00 UNILEVER NV 2,359,446.32 4.43
4,171.00 ASML HLDG 671,113.90 1.26
59,621.00 ING GROEP 666,801.26 1.25
Spain 6,179,791.27 11.59

574,124.00 BANCO SANTANDER SA REG SHS 2,489,114.60 4.67


383,716.00 BANCO BILBAO VIZCAYA ARGENT SA REG 2,106,600.84 3.95
1,183,029.00 BANCO SABADELL REG.SHS 1,584,075.83 2.97
Total securities portfolio 53,364,836.25 100.10

The accompanying notes form an integral part of these financial statements

113
AMUNDI MSCI EUROPE GROWTH

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 10,125,697.86 100.34

Transferable securities admitted to an official stock exchange 10,125,697.86 100.34


listing
Shares 10,125,697.86 100.34
Belgium 329,764.48 3.27

4,384.00 AB INBEV 329,764.48 3.27


France 1,505,986.08 14.92

1,977.00 LVMH 602,194.20 5.97


8,352.00 TOTAL SA 466,375.68 4.62
2,106.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 437,416.20 4.33
Germany 5,860,062.24 58.07

23,300.00 DEUTSCHE TELEKOM AG REG SHS 323,520.50 3.21


14,148.00 DEUTSCHE POST AG REG SHS 434,485.08 4.31
14,866.00 RWE AG 315,902.50 3.13
2,280.00 ALLIANZ SE REG SHS 437,760.00 4.34
4,449.00 BMW AG 345,731.79 3.43
1,554.00 MUENCHENER RUECKVERSICHERUNGS AG REG 296,425.50 2.94
SHS
4,022.00 SAP AG 426,332.00 4.22
6,723.00 SIEMENS AG REG 741,815.82 7.34
5,372.00 VOLKSWAGEN VORZ.AKT 814,395.20 8.06
7,525.00 BASF SE REG SHS 576,038.75 5.71
1,884.00 ADIDAS NAMEN AKT 397,335.60 3.94
6,075.00 COVESTRO AG 424,399.50 4.21
1,600.00 LINDE AG 325,920.00 3.23
Netherlands 1,387,726.84 13.75

8,116.00 ROYAL PHILIPS ELECTRONIC 318,431.26 3.16


2,078.00 ASML HLDG 334,350.20 3.31
65,714.00 ING GROEP 734,945.38 7.28
Spain 1,042,158.22 10.33

74,834.00 BANCO SANTANDER SA REG SHS 324,442.81 3.21


72,611.00 BANCO BILBAO VIZCAYA ARGENT SA REG 398,634.39 3.96
238,298.00 BANCO SABADELL REG.SHS 319,081.02 3.16
Total securities portfolio 10,125,697.86 100.34

The accompanying notes form an integral part of these financial statements

114
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 24,756,252.74 100.23

Transferable securities admitted to an official stock exchange 24,756,252.74 100.23


listing
Shares 24,756,252.74 100.23
Belgium 1,058,947.16 4.29

14,078.00 AB INBEV 1,058,947.16 4.29


France 5,201,151.68 21.06

7,609.00 LVMH 2,317,701.40 9.38


21,487.00 TOTAL SA 1,199,834.08 4.86
8,106.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 1,683,616.20 6.82
Germany 11,938,222.16 48.33

138,935.00 DEUTSCHE TELEKOM AG REG SHS 1,929,112.48 7.81


34,193.00 DEUTSCHE POST AG REG SHS 1,050,067.03 4.25
9,667.00 RWE AG 205,423.75 0.83
5,707.00 ALLIANZ SE REG SHS 1,095,744.00 4.44
13,735.00 BMW AG 1,067,346.85 4.32
9,914.00 SIEMENS AG REG 1,093,910.76 4.43
8,100.00 VOLKSWAGEN VORZ.AKT 1,227,960.00 4.97
14,924.00 BAYER AG REG SHS 1,141,835.24 4.62
14,161.00 BASF SE REG SHS 1,084,024.55 4.39
5,247.00 ADIDAS NAMEN AKT 1,106,592.30 4.48
4,596.00 LINDE AG 936,205.20 3.79
Netherlands 5,573,382.45 22.56

29,614.00 ROYAL PHILIPS ELECTRONIC 1,161,905.29 4.70


24,944.00 UNILEVER NV 1,196,438.96 4.84
7,218.00 ASML HLDG 1,161,376.20 4.70
183,625.00 ING GROEP 2,053,662.00 8.32
Spain 984,549.29 3.99

735,287.00 BANCO SABADELL REG.SHS 984,549.29 3.99


Total securities portfolio 24,756,252.74 100.23

The accompanying notes form an integral part of these financial statements

115
AMUNDI MSCI EUROPE LOW SIZE FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 25,387,091.25 100.18

Transferable securities admitted to an official stock exchange 25,387,091.25 100.18


listing
Shares 25,387,091.25 100.18
Belgium 2,055,612.16 8.11

27,328.00 AB INBEV 2,055,612.16 8.11


France 1,600,254.16 6.31

1,459.00 LVMH 444,411.40 1.75


14,919.00 TOTAL SA 833,076.96 3.29
1,554.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 322,765.80 1.27
Germany 16,390,855.07 64.69

85,604.00 DEUTSCHE TELEKOM AG REG SHS 1,188,611.54 4.69


38,512.00 DEUTSCHE POST AG REG SHS 1,182,703.52 4.67
47,758.00 RWE AG 1,014,857.50 4.00
6,251.00 ALLIANZ SE REG SHS 1,200,192.00 4.74
15,000.00 BMW AG 1,165,650.00 4.60
7,207.00 SAP AG 763,942.00 3.01
5.00 MERCK KGAA 445.00 0.00
10,256.00 SIEMENS AG REG 1,131,647.04 4.47
8,067.00 VOLKSWAGEN VORZ.AKT 1,222,957.20 4.83
16,010.00 BAYER AG REG SHS 1,224,925.10 4.83
26,597.00 BASF SE REG SHS 2,036,000.35 8.04
11,516.00 ADIDAS NAMEN AKT 2,428,724.40 9.59
14,042.00 COVESTRO AG 980,974.12 3.87
4,169.00 LINDE AG 849,225.30 3.35
Netherlands 3,626,605.73 14.31

40,190.00 UNILEVER NV 1,927,713.35 7.60


7,190.00 ASML HLDG 1,156,871.00 4.57
48,464.00 ING GROEP 542,021.38 2.14
Spain 1,713,764.13 6.76

176,317.00 BANCO SANTANDER SA REG SHS 764,422.35 3.02


172,922.00 BANCO BILBAO VIZCAYA ARGENT SA REG 949,341.78 3.74
Total securities portfolio 25,387,091.25 100.18

The accompanying notes form an integral part of these financial statements

116
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 353,635,773.95 100.22

Transferable securities admitted to an official stock exchange 353,635,773.95 100.22


listing
Shares 353,635,773.95 100.22
Belgium 28,832,563.58 8.17

135,837.00 KBC GROUPE SA 8,707,151.70 2.47


267,554.00 AB INBEV 20,125,411.88 5.70
Finland 4,664,580.20 1.32

104,587.00 SAMPO OYJ -A- 4,664,580.20 1.32


France 31,785,218.83 9.01

7,327.00 LVMH 2,231,804.20 0.63


141,283.00 SOCIETE GENERALE SA 5,223,232.51 1.48
187,232.00 TOTAL SA 10,455,034.88 2.96
80,037.00 SANOFI 6,127,632.72 1.74
446,029.00 ORANGE 6,126,208.32 1.74
7,806.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 1,621,306.20 0.46
Germany 156,891,777.98 44.46

1,141,612.00 DEUTSCHE TELEKOM AG REG SHS 15,851,282.62 4.49


560,170.00 RWE AG 11,903,612.50 3.37
186,586.00 MAN SE 17,473,778.90 4.95
5,507.00 MUENCHENER RUECKVERSICHERUNGS AG REG 1,050,460.25 0.30
SHS
137,215.00 SAP AG 14,544,790.00 4.12
205,605.00 SIEMENS AG REG 22,686,455.70 6.43
111,386.00 VOLKSWAGEN VORZ.AKT 16,886,117.60 4.79
436,660.00 BAYER AG REG SHS 33,408,856.60 9.47
208,267.00 BASF SE REG SHS 15,942,838.85 4.52
169,762.00 VONOVIA SE 7,143,584.96 2.02
Luxembourg 9,278,562.00 2.63

346,215.00 ARCELORMITTAL - REGISTERED 9,278,562.00 2.63


Netherlands 59,726,178.83 16.93

680,829.00 ROYAL PHILIPS ELECTRONIC 26,712,325.82 7.57


99,240.00 ASML HLDG 15,967,716.00 4.53
78,579.00 KONINKLIJKE AHOLD NV 1,551,935.25 0.44
1,385,390.00 ING GROEP 15,494,201.76 4.39
Spain 62,456,892.53 17.70

4,356,091.00 BANCO SANTANDER SA REG SHS 18,885,832.53 5.36


1,866,000.00 BANCO BILBAO VIZCAYA ARGENT SA REG 10,244,340.00 2.90
1,500,000.00 CAIXABANK 5,907,000.00 1.67
172,000.00 AMADEUS IT -A- 13,763,440.00 3.90
757,000.00 RED ELECTRICA 13,656,280.00 3.87
Total securities portfolio 353,635,773.95 100.22

The accompanying notes form an integral part of these financial statements

117
AMUNDI MSCI EUROPE MOMENTUM FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 167,542,920.42 100.25

Transferable securities admitted to an official stock exchange 167,542,920.42 100.25


listing
Shares 167,542,920.42 100.25
Belgium 7,729,908.08 4.63

102,764.00 AB INBEV 7,729,908.08 4.63


Germany 102,832,989.92 61.53

593,480.00 DEUTSCHE TELEKOM AG REG SHS 8,240,469.80 4.93


339,076.00 RWE AG 7,205,365.00 4.31
38,484.00 ALLIANZ SE REG SHS 7,388,928.00 4.42
22,628.00 MUENCHENER RUECKVERSICHERUNGS AG REG 4,316,291.00 2.58
SHS
90,231.00 SAP AG 9,564,486.00 5.72
264,452.00 DEUTSCHE LUFTHANSA AG REG SHS 5,595,804.32 3.35
72,526.00 SIEMENS AG REG 8,002,518.84 4.79
52,337.00 VOLKSWAGEN VORZ.AKT 7,934,289.20 4.75
139,367.00 BAYER AG REG SHS 10,662,969.17 6.38
99,311.00 BASF SE REG SHS 7,602,257.05 4.55
35,318.00 ADIDAS NAMEN AKT 7,448,566.20 4.46
277,543.00 VONOVIA SE 11,679,009.44 6.99
35,307.00 LINDE AG 7,192,035.90 4.30
Netherlands 40,232,860.06 24.07

2,788,427.00 KONINKLIJKE KPN NV 6,335,306.14 3.79


199,194.00 ROYAL PHILIPS ELECTRONIC 7,815,376.59 4.68
214,985.00 UNILEVER NV 10,311,755.53 6.16
51,407.00 ASML HLDG 8,271,386.30 4.95
379,698.00 KONINKLIJKE AHOLD NV 7,499,035.50 4.49
Spain 16,747,162.36 10.02

1,794,238.00 BANCO SANTANDER SA REG SHS 7,778,918.85 4.65


1,320,657.00 BANCO BILBAO VIZCAYA ARGENT SA REG 7,250,406.93 4.34
1,282,925.00 BANCO SABADELL REG.SHS 1,717,836.58 1.03
Total securities portfolio 167,542,920.42 100.25

The accompanying notes form an integral part of these financial statements

118
AMUNDI MSCI EUROPE QUALITY FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 99,563,773.92 100.31

Transferable securities admitted to an official stock exchange 99,563,773.92 100.31


listing
Shares 99,563,773.92 100.31
Belgium 7,765,955.04 7.82

57,232.00 KBC GROUPE SA 3,668,571.20 3.70


54,472.00 AB INBEV 4,097,383.84 4.12
Germany 64,289,015.75 64.77

342,670.00 DEUTSCHE TELEKOM AG REG SHS 4,757,972.95 4.79


37,385.00 DEUTSCHE BOERSE AG REG SHS 4,314,229.00 4.35
175,599.00 RWE AG 3,731,478.75 3.76
22,739.00 ALLIANZ SE REG SHS 4,365,888.00 4.40
22,962.00 HENKEL AG & CO KGAA 2,320,310.10 2.34
69,488.00 SAP AG 7,365,728.00 7.41
110.00 MERCK KGAA 9,790.00 0.01
40,441.00 SIEMENS AG REG 4,462,259.94 4.50
36,447.00 VOLKSWAGEN VORZ.AKT 5,525,365.20 5.57
55,031.00 BAYER AG REG SHS 4,210,421.81 4.24
74,100.00 BASF SE REG SHS 5,672,355.00 5.72
21,777.00 ADIDAS NAMEN AKT 4,592,769.30 4.63
200,990.00 VONOVIA SE 8,457,659.20 8.51
22,105.00 LINDE AG 4,502,788.50 4.54
Netherlands 19,916,804.14 20.07

186,073.00 ROYAL PHILIPS ELECTRONIC 7,300,574.16 7.36


46,184.00 AKZO NOBEL NV 3,719,659.36 3.75
95,408.00 UNILEVER NV 4,576,244.72 4.61
26,851.00 ASML HLDG 4,320,325.90 4.35
Spain 4,389,478.17 4.42

290,042.00 BANCO SANTANDER SA REG SHS 1,257,477.09 1.27


570,492.00 BANCO BILBAO VIZCAYA ARGENT SA REG 3,132,001.08 3.15
Switzerland 3,202,520.82 3.23

43,050.00 NOVARTIS AG REG SHS 3,202,520.82 3.23


Total securities portfolio 99,563,773.92 100.31

The accompanying notes form an integral part of these financial statements

119
AMUNDI MSCI EUROPE VALUE FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 623,714,345.56 100.71

Transferable securities admitted to an official stock exchange 623,714,345.56 100.71


listing
Shares 623,714,345.56 100.71
Belgium 41,677,485.58 6.73

223,465.00 KBC GROUPE SA 14,324,106.50 2.31


1.00 UCB 77.40 0.00
363,644.00 AB INBEV 27,353,301.68 4.42
France 48,406,175.40 7.82

100,000.00 DANONE 6,670,000.00 1.08


1,196.00 LVMH 364,301.60 0.06
150,000.00 VINCI SA 12,303,000.00 1.98
100,000.00 SCHNEIDER ELECTRIC SE 6,930,000.00 1.12
150,000.00 SOCIETE GENERALE SA 5,545,500.00 0.90
105,225.00 TOTAL SA 5,875,764.00 0.95
300,000.00 ORANGE 4,120,500.00 0.67
1,274.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 264,609.80 0.04
500,000.00 ENGIE (ACT NOM PRIME DE FIDELITE) 6,332,500.00 1.02
Germany 382,752,680.91 61.80

1,888,807.00 DEUTSCHE TELEKOM AG REG SHS 26,226,085.20 4.23


83,769.00 DEUTSCHE POST AG REG SHS 2,572,545.99 0.42
284,588.00 ALLIANZ SE REG SHS 54,640,896.00 8.82
430,001.00 FRESENIUS SE & CO KGAA 27,193,263.24 4.39
9,648.00 HENKEL AG & CO KGAA 974,930.40 0.16
75,481.00 MAN SE 7,068,795.65 1.14
40,446.00 MUENCHENER RUECKVERSICHERUNGS AG REG 7,715,074.50 1.25
SHS
216,541.00 SAP AG 22,953,346.00 3.71
239,661.00 DEUTSCHE LUFTHANSA AG REG SHS 5,071,226.76 0.82
271,545.00 SIEMENS AG REG 29,962,275.30 4.84
193,691.00 VOLKSWAGEN VORZ.AKT 29,363,555.60 4.74
389,579.00 BAYER AG REG SHS 29,806,689.29 4.81
367,752.00 BASF SE REG SHS 28,151,415.60 4.55
6,284.00 ADIDAS NAMEN AKT 1,325,295.60 0.21
1,233,421.00 VONOVIA SE 51,902,355.68 8.38
283,873.00 LINDE AG 57,824,930.10 9.33
Netherlands 109,104,512.33 17.62

335,347.00 ROYAL PHILIPS ELECTRONIC 13,157,339.55 2.12


99,768.00 UNILEVER NV 4,785,372.12 0.77
170,481.00 WOLTERS KLUWER 9,151,420.08 1.48
324,427.00 ASML HLDG 52,200,304.30 8.43
945,626.00 KONINKLIJKE AHOLD NV 18,676,113.50 3.02
995,526.00 ING GROEP 11,133,962.78 1.80
Spain 27,874,066.96 4.50

4,977,781.00 BANCO SANTANDER SA REG SHS 21,581,169.53 3.48


1,078,934.00 BANCO BILBAO VIZCAYA ARGENT SA REG 5,923,347.66 0.96
58,307.00 IBERDROLA S A 369,549.77 0.06
Sweden 13,899,424.38 2.24

3,517,249.00 TELIA COMPANY AB 13,899,424.38 2.24


Total securities portfolio 623,714,345.56 100.71

The accompanying notes form an integral part of these financial statements

120
AMUNDI MSCI INDIA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 160,209,297.99 100.57

Transferable securities admitted to an official stock exchange 160,209,297.99 100.57


listing
Shares 160,209,297.99 100.57
Belgium 10,295,812.72 6.46

136,876.00 AB INBEV 10,295,812.72 6.46


France 56,879,817.96 35.71

231,481.00 AXA SA 5,358,785.15 3.36


100,000.00 DANONE 6,670,000.00 4.19
6,702.00 LVMH 2,041,429.20 1.28
127,311.00 VINCI SA 10,442,048.22 6.56
166,891.00 SOCIETE GENERALE SA 6,169,960.27 3.87
279,569.00 TOTAL SA 15,611,132.96 9.80
65,086.00 SANOFI 4,982,984.16 3.13
300,000.00 ORANGE 4,120,500.00 2.59
7,140.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 1,482,978.00 0.93
Germany 40,531,830.77 25.44

282,352.00 DEUTSCHE TELEKOM AG REG SHS 3,920,457.52 2.46


11,277.00 ALLIANZ SE REG SHS 2,165,184.00 1.36
24,904.00 MUENCHENER RUECKVERSICHERUNGS AG REG 4,750,438.00 2.98
SHS
60,205.00 SAP AG 6,381,730.00 4.01
130,763.00 DEUTSCHE LUFTHANSA AG REG SHS 2,766,945.08 1.74
121,388.00 SIEMENS AG REG 13,393,951.92 8.40
34,160.00 BAYER AG REG SHS 2,613,581.60 1.64
34,367.00 BASF SE REG SHS 2,630,793.85 1.65
45,360.00 VONOVIA SE 1,908,748.80 1.20
Japan 8,888,839.30 5.58

37,097.00 KAO CORP 2,579,629.03 1.62


94,598.00 SHISEIDO 6,309,210.27 3.96
Netherlands 22,092,018.39 13.87

174,765.00 ROYAL PHILIPS ELECTRONIC 6,856,904.78 4.30


33,947.00 AIRBUS GROUP 3,672,386.46 2.31
146,173.00 UNILEVER NV 7,011,187.95 4.40
28,288.00 ASML HLDG 4,551,539.20 2.86
Spain 17,441,078.02 10.95

1,135,509.00 BANCO SANTANDER SA REG SHS 4,922,999.27 3.09


1,818,375.00 BANCO BILBAO VIZCAYA ARGENT SA REG 9,982,878.75 6.27
400,000.00 IBERDROLA S A 2,535,200.00 1.59
United Kingdom 4,079,900.83 2.56

137,951.00 ROYAL DUTCH SHELL PLC 4,079,900.83 2.56


Total securities portfolio 160,209,297.99 100.57

The accompanying notes form an integral part of these financial statements

121
AMUNDI MSCI NETHERLANDS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 14,173,482.12 100.16

Transferable securities admitted to an official stock exchange 14,173,482.12 100.16


listing
Shares 14,173,482.12 100.16
Belgium 507,735.00 3.59

6,750.00 AB INBEV 507,735.00 3.59


France 3,642,604.00 25.74

6,135.00 AIR LIQUIDE NOM. PRIME FIDELITE 695,095.50 4.91


3,037.00 LVMH 925,070.20 6.53
13,985.00 TOTAL SA 780,922.40 5.52
7,440.00 SANOFI 569,606.40 4.03
3,235.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 671,909.50 4.75
Germany 8,084,372.31 57.13

45,332.00 DEUTSCHE TELEKOM AG REG SHS 629,434.82 4.45


34,969.00 DEUTSCHE POST AG REG SHS 1,073,897.99 7.59
27,780.00 RWE AG 590,325.00 4.17
3,388.00 ALLIANZ SE REG SHS 650,496.00 4.60
5,040.00 BMW AG 391,658.40 2.77
4,896.00 SAP AG 518,976.00 3.67
8,943.00 SIEMENS AG REG 986,770.62 6.97
6,460.00 VOLKSWAGEN VORZ.AKT 979,336.00 6.92
2,833.00 BAYER AG REG SHS 216,752.83 1.53
4,667.00 BASF SE REG SHS 357,258.85 2.52
3,908.00 ADIDAS NAMEN AKT 824,197.20 5.82
9,190.00 COVESTRO AG 642,013.40 4.54
1,096.00 LINDE AG 223,255.20 1.58
Netherlands 800,951.82 5.66

15,489.00 ROYAL PHILIPS ELECTRONIC 607,710.92 4.29


1,201.00 ASML HLDG 193,240.90 1.37
Spain 1,137,818.99 8.04

139,079.00 BANCO SANTANDER SA REG SHS 602,977.00 4.26


70,906.00 BANCO BILBAO VIZCAYA ARGENT SA REG 389,273.94 2.75
108,714.00 BANCO SABADELL REG.SHS 145,568.05 1.03
Total securities portfolio 14,173,482.12 100.16

The accompanying notes form an integral part of these financial statements

122
AMUNDI MSCI NORDIC

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 321,463,296.38 100.11

Transferable securities admitted to an official stock exchange 321,463,296.38 100.11


listing
Shares 321,463,296.38 100.11
Belgium 34,395,215.38 10.71

101,949.00 KBC GROUPE SA 6,534,930.90 2.04


370,384.00 AB INBEV 27,860,284.48 8.67
France 92,161,818.36 28.70

3,931.00 ACCOR SA 173,828.82 0.05


217,561.00 CARREFOUR SA 3,589,756.50 1.12
457,310.00 CIE DE SAINT-GOBAIN 16,986,779.95 5.29
54,998.00 LVMH 16,752,390.80 5.22
3,199.00 VINCI SA 262,381.98 0.08
74.00 SODEXHO SA 6,759.16 0.00
240,573.00 TOTAL SA 13,433,596.32 4.18
174,068.00 SANOFI 13,326,646.08 4.15
122,644.00 ORANGE 1,684,515.34 0.52
114,297.00 ENGIE 1,447,571.51 0.45
117,947.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 24,497,591.90 7.64
Germany 72,684,169.15 22.64

549,302.00 RWE AG 11,672,667.50 3.64


4,958.00 HENKEL AG & CO KGAA 501,005.90 0.16
55,008.00 SAP AG 5,830,848.00 1.82
24,972.00 DEUTSCHE LUFTHANSA AG REG SHS 528,407.52 0.16
127,207.00 SIEMENS AG REG 14,036,020.38 4.37
4,958.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 287,564.00 0.09
189,924.00 BASF SE REG SHS 14,538,682.20 4.53
20,064.00 ADIDAS NAMEN AKT 4,231,497.60 1.32
1,291,525.00 TELEFONICA NAMEN AKT 4,702,442.53 1.46
194,124.00 VONOVIA SE 8,168,737.92 2.54
40,188.00 LINDE AG 8,186,295.60 2.55
Japan 5,889,094.39 1.83

8,127.00 JAPAN TOBACCO 182,709.50 0.06


175,364.00 BRIDGESTONE CORP 5,706,384.89 1.77
Netherlands 85,405,671.55 26.60

1,453,240.00 KONINKLIJKE KPN NV 3,301,761.28 1.03


586,290.00 ROYAL PHILIPS ELECTRONIC 23,003,088.15 7.16
170,695.00 AIRBUS GROUP 18,465,785.10 5.75
324,401.00 UNILEVER NV 15,559,893.97 4.85
88,806.00 ASML HLDG 14,288,885.40 4.45
480,000.00 KONINKLIJKE AHOLD NV 9,480,000.00 2.95
116,797.00 ING GROEP 1,306,257.65 0.41
Portugal 13,672,000.00 4.26

800,000.00 GALP ENERGIA SA REG SHS -B- 13,672,000.00 4.26


Spain 17,255,327.55 5.37

277,962.00 BANCO SANTANDER SA REG SHS 1,205,104.25 0.38


674,208.00 IBERDROLA S A 4,273,130.30 1.33
50,000.00 AMADEUS IT -A- 4,001,000.00 1.25
52,014.00 AENA 7,776,093.00 2.41
Total securities portfolio 321,463,296.38 100.11

The accompanying notes form an integral part of these financial statements

123
AMUNDI MSCI SWITZERLAND

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 159,598,334.60 100.17

Transferable securities admitted to an official stock exchange 159,598,334.60 100.17


listing
Shares 159,598,334.60 100.17
Belgium 8,918,921.70 5.60

96,608.00 KBC GROUPE SA 6,192,572.80 3.89


36,245.00 AB INBEV 2,726,348.90 1.71
France 47,478,877.84 29.80

67,758.00 AIR LIQUIDE NOM. PRIME FIDELITE 7,676,981.40 4.82


3,937.00 ACCOR SA 174,094.14 0.11
30,922.00 LVMH 9,418,841.20 5.91
3,204.00 VINCI SA 262,792.08 0.16
74.00 SODEXHO SA 6,759.16 0.00
247,149.00 TOTAL SA 13,800,800.16 8.67
80,450.00 SANOFI 6,159,252.00 3.87
122,840.00 ORANGE 1,687,207.40 1.06
114,480.00 ENGIE 1,449,889.20 0.91
32,943.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 6,842,261.10 4.29
Germany 67,827,402.71 42.56

527,805.00 DEUTSCHE TELEKOM AG REG SHS 7,328,572.43 4.60


172,339.00 RWE AG 3,662,203.75 2.30
121,759.00 MAN SE 11,402,730.35 7.15
57,435.00 SAP AG 6,088,110.00 3.82
229,538.00 DEUTSCHE LUFTHANSA AG REG SHS 4,857,024.08 3.05
81,647.00 SIEMENS AG REG 9,008,929.98 5.65
18,444.00 VOLKSWAGEN VORZ.AKT 2,796,110.40 1.76
84,722.00 BASF SE REG SHS 6,485,469.10 4.07
27,391.00 ADIDAS NAMEN AKT 5,776,761.90 3.63
247,659.00 VONOVIA SE 10,421,490.72 6.53
Japan 1,968,035.02 1.24

29,508.00 SHISEIDO 1,968,035.02 1.24


Netherlands 16,548,031.34 10.39

70,417.00 AIRBUS GROUP 7,617,711.06 4.79


157,242.00 UNILEVER NV 7,542,112.53 4.73
70,289.00 KONINKLIJKE AHOLD NV 1,388,207.75 0.87
Spain 16,857,065.99 10.58

1,527,311.00 BANCO SANTANDER SA REG SHS 6,621,656.84 4.16


1,667,968.00 BANCO SABADELL REG.SHS 2,233,409.15 1.40
100,000.00 AMADEUS IT -A- 8,002,000.00 5.02
Total securities portfolio 159,598,334.60 100.17

The accompanying notes form an integral part of these financial statements

124
AMUNDI MSCI USA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,209,596.00 UNILEVER NV 58,018,272.14 3.92
Long positions 1,485,431,231.10 100.27
367,851.00 WOLTERS KLUWER 19,746,241.68 1.33
Transferable securities admitted to an official stock exchange 1,485,431,231.10 100.27 109,800.00 ASML HLDG 17,666,820.00 1.19
listing 602,351.00 KONINKLIJKE AHOLD NV 11,896,432.25 0.80
Shares 1,485,431,231.10 100.27
8,086,149.00 ING GROEP 90,435,490.42 6.11
Belgium 18,122,854.72 1.22
Spain 234,524,646.44 15.83
108,816.00 GALAPAGOS GENOMICS NV 10,600,854.72 0.71
546,140.00 ENDESA 10,163,665.40 0.69
100,000.00 AB INBEV 7,522,000.00 0.51
30,988,241.00 BANCO SANTANDER SA REG SHS 134,349,518.86 9.07
France 397,941,066.01 26.86 2,953,974.00 BANCO BILBAO VIZCAYA ARGENT SA REG 16,217,317.26 1.09
2,220,000.00 VIVENDI SA 49,217,400.00 3.32 2,541,226.00 IBERDROLA S A 16,106,290.39 1.09
27,000.00 RENAULT SA 2,011,500.00 0.14 713,636.00 CAIXABANK 2,810,298.57 0.19
241,587.00 AIR LIQUIDE NOM. PRIME FIDELITE 27,371,807.10 1.85 685,798.00 AMADEUS IT -A- 54,877,555.96 3.70
8,370.00 ACCOR SA 370,121.40 0.02 Sweden 15,208,867.81 1.03
1,000,000.00 AXA SA 23,150,000.00 1.56
1,000,000.00 VOLVO AB -B- 15,208,867.81 1.03
114,092.00 DANONE 7,609,936.40 0.51
Switzerland 4,249,942.27 0.29
55,056.00 MICHELIN SA REG SHS 5,668,015.20 0.38
132,159.00 ESSILOR INTERNATIONAL SA 16,843,664.55 1.14 57,130.00 NOVARTIS AG REG SHS 4,249,942.27 0.29
289,296.00 LVMH 88,119,561.60 5.96 United Kingdom 60,710,495.30 4.10
6,812.00 VINCI SA 558,720.24 0.04
2,052,764.00 ROYAL DUTCH SHELL PLC 60,710,495.30 4.10
490,000.00 SCHNEIDER ELECTRIC SE 33,957,000.00 2.29
825,623.00 TOTAL SA 46,102,788.32 3.11 Total securities portfolio 1,485,431,231.10 100.27
478,822.00 SANOFI 36,658,612.32 2.47
261,167.00 ORANGE 3,587,128.75 0.24
227,662.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 47,285,397.40 3.19
157.00 SODEXO PRIME DE FIDELITE 2021 14,340.38 0.00
743,393.00 ENGIE (ACT NOM PRIME DE FIDELITE) 9,415,072.35 0.64
Germany 434,454,646.60 29.33

21,499.00 DEUTSCHE TELEKOM AG REG SHS 298,513.62 0.02


1,226,541.00 INFINEON TECHNOLOGIES REG SHS 24,003,407.37 1.62
124,632.00 DEUTSCHE BOERSE AG REG SHS 14,382,532.80 0.97
1,866,732.00 RWE AG 39,668,055.00 2.68
332,831.00 ALLIANZ SE REG SHS 63,903,552.00 4.31
8,608.00 BMW AG 668,927.68 0.05
111,466.00 CONTINENTAL AG 16,714,326.70 1.13
2,571.00 HENKEL AG & CO KGAA 259,799.55 0.02
380,108.00 SAP AG 40,291,448.00 2.72
150,435.00 SIEMENS AG REG 16,598,997.90 1.12
181,375.00 VOLKSWAGEN VORZ.AKT 27,496,450.00 1.86
916,271.00 BAYER AG REG SHS 70,103,894.21 4.72
677,111.00 BASF SE REG SHS 51,832,847.05 3.50
148,818.00 ADIDAS NAMEN AKT 31,385,716.20 2.12
389,269.00 VONOVIA SE 16,380,439.52 1.11
100,470.00 LINDE AG 20,465,739.00 1.38
Japan 44,960,962.63 3.03

327,105.00 DENTSU 13,066,447.48 0.88


200,000.00 ANA HD 6,018,388.68 0.41
359,000.00 CANON INC 9,823,389.85 0.66
180,924.00 KAO CORP 12,580,985.04 0.85
31,096.00 SEVEN & I HOLDINGS CO LTD 1,192,654.84 0.08
52,502.00 OTSUKA HOLDINGS 2,279,096.74 0.15
Netherlands 275,257,749.32 18.58

754,371.00 ROYAL PHILIPS ELECTRONIC 29,597,746.19 2.00


340,888.00 AIRBUS GROUP 36,877,263.84 2.49
136,820.00 AKZO NOBEL NV 11,019,482.80 0.74

The accompanying notes form an integral part of these financial statements

125
AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD

Long positions 24,113,930.14 100.06

Transferable securities admitted to an official stock exchange 24,113,930.14 100.06


listing
Shares 24,113,930.14 100.06
Belgium 716,068.37 2.97

8,196.00 AB INBEV 716,068.37 2.97


Germany 16,795,634.78 69.70

129,261.00 DEUTSCHE TELEKOM AG REG SHS 2,084,647.41 8.66


34,440.00 RWE AG 850,043.78 3.53
6,145.00 ALLIANZ SE REG SHS 1,370,384.16 5.69
18,615.00 BMW AG 1,680,192.97 6.97
14,003.00 FRESENIUS SE & CO KGAA 1,028,566.00 4.27
3,031.00 MUENCHENER RUECKVERSICHERUNGS AG REG 671,536.61 2.79
SHS
5,696.00 SAP AG 701,285.82 2.91
9,400.00 MERCK KGAA 971,710.90 4.03
14,601.00 SIEMENS AG REG 1,871,262.85 7.76
5,850.00 VOLKSWAGEN VORZ.AKT 1,030,087.89 4.27
12,614.00 BAYER AG REG SHS 1,120,960.33 4.65
11,923.00 BASF SE REG SHS 1,060,107.61 4.40
4,323.00 ADIDAS NAMEN AKT 1,058,963.59 4.39
12,795.00 VONOVIA SE 625,367.40 2.60
2,834.00 LINDE AG 670,517.46 2.78
Netherlands 5,273,473.49 21.88

28,055.00 ROYAL PHILIPS ELECTRONIC 1,278,507.11 5.31


7,036.00 AKZO NOBEL NV 658,198.17 2.73
19,140.00 UNILEVER NV 1,066,315.19 4.42
6,476.00 ASML HLDG 1,210,269.53 5.02
81,614.00 ING GROEP 1,060,183.49 4.40
Spain 1,328,753.50 5.51

123,642.00 BANCO SANTANDER SA REG SHS 622,621.95 2.58


71,440.00 BANCO BILBAO VIZCAYA ARGENT SA REG 455,546.80 1.89
161,122.00 BANCO SABADELL REG.SHS 250,584.75 1.04
Total securities portfolio 24,113,930.14 100.06

The accompanying notes form an integral part of these financial statements

126
AMUNDI MSCI WORLD

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Netherlands 287,307,869.90 32.84
Long positions 877,796,357.04 100.31
10,000,000.00 KONINKLIJKE KPN NV 22,720,000.00 2.60
Transferable securities admitted to an official stock exchange 877,796,357.04 100.31 939,480.00 ROYAL PHILIPS ELECTRONIC 36,860,497.80 4.21
listing
Shares 877,796,357.04 100.31 685,741.00 AIRBUS GROUP 74,183,461.38 8.48
122,814.00 UNILEVER NV 5,890,773.51 0.67
Austria 10,766,562.20 1.23
535,425.00 ASML HLDG 86,149,882.50 9.85
273,263.00 VOESTALPINE AG 10,766,562.20 1.23 324,797.00 ASR 13,336,164.82 1.52
Belgium 12,771,761.10 1.46 420,363.00 KONINKLIJKE AHOLD NV 8,302,169.25 0.95
3,564,460.00 ING GROEP 39,864,920.64 4.56
141,437.00 GROUPE BRUXELLES LAMBERT GBL 12,771,761.10 1.46
Spain 102,076,688.36 11.66
Finland 20,483,252.18 2.34
7,355,841.00 BANCO SANTANDER SA REG SHS 31,891,248.66 3.64
1,243,293.00 STORA ENSO -R- 20,483,252.18 2.34
11,835,158.00 BANCO BILBAO VIZCAYA ARGENT SA REG 64,975,017.42 7.42
France 163,791,612.51 18.72
65,114.00 AMADEUS IT -A- 5,210,422.28 0.60
350,000.00 VIVENDI SA 7,759,500.00 0.89 United Kingdom 13,689,350.68 1.56
6,056.00 LAGARDERE GROUPE SCA NOM 160,544.56 0.02
67,155.00 AIR LIQUIDE NOM. PRIME FIDELITE 7,608,661.50 0.87 462,869.00 ROYAL DUTCH SHELL PLC 13,689,350.68 1.56
2,768.00 ACCOR SA 122,400.96 0.01 Total securities portfolio 877,796,357.04 100.31
450,000.00 AXA SA 10,417,500.00 1.19
229,000.00 DANONE 15,274,300.00 1.75
50,246.00 LVMH 15,304,931.60 1.75
75,252.00 VINCI SA 6,172,169.04 0.71
361,806.00 SOCIETE GENERALE SA 13,375,967.82 1.53
652,668.00 TOTAL SA 36,444,981.12 4.16
275,151.00 SANOFI 21,065,560.56 2.41
855,358.00 ORANGE 11,748,342.13 1.34
124,293.00 LEGRAND SA 7,803,114.54 0.89
10,787.00 SCOR SE ACT PROV REGROUPEMENT 431,480.00 0.05
52.00 SODEXO PRIME DE FIDELITE 2021 4,749.68 0.00
795,481.00 ENGIE (ACT NOM PRIME DE FIDELITE) 10,074,766.87 1.15
1,401.00 EDF ACT PRIME DE FIDELITE 21,190.13 0.00
96.00 EDF PRIME FID 2020 1,452.00 0.00
Germany 254,839,322.92 29.12

2,711,071.00 DEUTSCHE TELEKOM AG REG SHS 37,643,220.84 4.30


324,151.00 ALLIANZ SE REG SHS 62,236,992.00 7.10
2,921.00 CONTINENTAL AG 438,003.95 0.05
125,426.00 FRESENIUS SE & CO KGAA 7,931,940.24 0.91
12,250.00 MUENCHENER RUECKVERSICHERUNGS AG REG 2,336,687.50 0.27
SHS
47,370.00 RHEINMETALL AG 4,266,142.20 0.49
120,000.00 SAP AG 12,720,000.00 1.45
20,845.00 DEUTSCHE LUFTHANSA AG REG SHS 441,080.20 0.05
201,735.00 SIEMENS AG REG 22,259,439.90 2.54
1,579.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 91,582.00 0.01
292,454.00 VOLKSWAGEN VORZ.AKT 44,336,026.40 5.07
58,179.00 BAYER AG REG SHS 4,451,275.29 0.51
479,666.00 BASF SE REG SHS 36,718,432.30 4.20
96,224.00 COMMERZBK 863,610.40 0.10
179,336.00 VONOVIA SE 7,546,458.88 0.86
151,137.00 COVESTRO AG 10,558,430.82 1.21
Japan 12,069,937.19 1.38

10,035.00 BRIDGESTONE CORP 326,541.21 0.04


133,152.00 SHISEIDO 8,880,567.94 1.01
118,584.00 YAMAHA MOTOR CO LTD 2,862,828.04 0.33

The accompanying notes form an integral part of these financial statements

127
AMUNDI MSCI WORLD ENERGY

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 104,926,791.99 96.98

Transferable securities admitted to an official stock exchange 104,926,791.99 96.98


listing
Shares 104,926,791.99 96.98
Belgium 3,661,032.62 3.38

48,671.00 AB INBEV 3,661,032.62 3.38


Finland 5,516,752.40 5.10

123,694.00 SAMPO OYJ -A- 5,516,752.40 5.10


France 24,359,260.50 22.52

219,096.00 VIVENDI SA 4,857,358.32 4.50


2,496.00 ACCOR SA 110,373.12 0.10
194,000.00 AXA SA 4,491,100.00 4.15
35,000.00 DANONE 2,334,500.00 2.16
168,267.00 CARREFOUR SA 2,776,405.50 2.57
2,031.00 VINCI SA 166,582.62 0.15
58,740.00 TOTAL SA 3,280,041.60 3.03
56,812.00 SANOFI 4,349,526.72 4.02
77,887.00 ORANGE 1,069,777.95 0.99
47.00 SODEXO PRIME DE FIDELITE 2021 4,292.98 0.00
72,586.00 ENGIE (ACT NOM PRIME DE FIDELITE) 919,301.69 0.85
Germany 32,909,308.15 30.42

347,318.00 DEUTSCHE TELEKOM AG REG SHS 4,822,510.43 4.46


6,181.00 ALLIANZ SE REG SHS 1,186,752.00 1.10
1,417.00 BMW AG 110,115.07 0.10
39,583.00 SAP AG 4,195,798.00 3.88
194,530.00 DEUTSCHE LUFTHANSA AG REG SHS 4,116,254.80 3.80
46,909.00 SIEMENS AG REG 5,175,939.06 4.78
5,394.00 VOLKSWAGEN VORZ.AKT 817,730.40 0.76
72,829.00 BAYER AG REG SHS 5,572,146.79 5.15
46,350.00 BASF SE REG SHS 3,548,092.50 3.28
12,391.00 ADIDAS NAMEN AKT 2,613,261.90 2.42
17,840.00 VONOVIA SE 750,707.20 0.69
Japan 9,122,552.01 8.43

214,224.00 YAMAHA MOTOR CO LTD 5,171,747.23 4.78


91,012.00 OTSUKA HOLDINGS 3,950,804.78 3.65
Netherlands 24,207,044.51 22.37

71,953.00 ROYAL PHILIPS ELECTRONIC 2,823,075.96 2.61


73,985.00 AIRBUS GROUP 8,003,697.30 7.40
175,710.00 UNILEVER NV 8,427,930.15 7.78
30,779.00 ASML HLDG 4,952,341.10 4.58
Spain 3,776,669.00 3.49

25,262.00 AENA 3,776,669.00 3.49


United Kingdom 1,374,172.80 1.27

46,464.00 ROYAL DUTCH SHELL PLC 1,374,172.80 1.27


Total securities portfolio 104,926,791.99 96.98

The accompanying notes form an integral part of these financial statements

128
AMUNDI MSCI WORLD EX EUROPE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 178,054,083.43 100.41

Transferable securities admitted to an official stock exchange 178,054,083.43 100.41


listing
Shares 178,054,083.43 100.41
Belgium 12,303,659.18 6.94

68,361.00 KBC GROUPE SA 4,381,940.10 2.47


105,314.00 AB INBEV 7,921,719.08 4.47
France 6,915,614.39 3.90

2,096.00 ACCOR SA 92,685.12 0.05


1,706.00 VINCI SA 139,926.12 0.08
39.00 SODEXHO SA 3,562.26 0.00
50,913.00 TOTAL SA 2,842,981.92 1.61
28,384.00 SANOFI 2,173,079.04 1.23
65,133.00 ORANGE 894,601.76 0.50
60,701.00 ENGIE 768,778.17 0.43
Germany 95,525,942.16 53.87

593,529.00 DEUTSCHE TELEKOM AG REG SHS 8,241,150.17 4.65


70,723.00 ALLIANZ SE REG SHS 13,578,816.00 7.66
81,516.00 BMW AG 6,334,608.36 3.57
78,594.00 SAP AG 8,330,964.00 4.70
75,420.00 SIEMENS AG REG 8,321,842.80 4.69
56,282.00 VOLKSWAGEN VORZ.AKT 8,532,351.20 4.81
123,366.00 BAYER AG REG SHS 9,438,732.66 5.32
93,699.00 BASF SE REG SHS 7,172,658.45 4.04
36,649.00 ADIDAS NAMEN AKT 7,729,274.10 4.36
88,654.00 VONOVIA SE 3,730,560.32 2.10
69,293.00 LINDE AG 14,114,984.10 7.97
Netherlands 34,972,142.50 19.72

1,000,000.00 KONINKLIJKE KPN NV 2,272,000.00 1.28


311,022.00 ROYAL PHILIPS ELECTRONIC 12,202,948.17 6.88
36,544.00 AIRBUS GROUP 3,953,329.92 2.23
166,394.00 UNILEVER NV 7,981,088.21 4.50
53,218.00 ASML HLDG 8,562,776.20 4.83
Spain 28,336,725.20 15.98

1,577,318.00 BANCO SANTANDER SA REG SHS 6,838,462.19 3.86


1,460,967.00 BANCO BILBAO VIZCAYA ARGENT SA REG 8,020,708.83 4.52
2,126,468.00 IBERDROLA S A 13,477,554.18 7.60
Total securities portfolio 178,054,083.43 100.41

The accompanying notes form an integral part of these financial statements

129
AMUNDI MSCI WORLD FINANCIALS

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 91,485,237.51 100.45

Transferable securities admitted to an official stock exchange 91,485,237.51 100.45


listing
Shares 91,485,237.51 100.45
Belgium 3,965,598.40 4.35

52,720.00 AB INBEV 3,965,598.40 4.35


Finland 4,050,036.80 4.45

90,808.00 SAMPO OYJ -A- 4,050,036.80 4.45


France 12,602,967.04 13.84

92,593.00 AXA SA 2,143,527.95 2.35


5,523.00 LVMH 1,682,305.80 1.85
64,871.00 SOCIETE GENERALE SA 2,398,280.87 2.63
55,414.00 TOTAL SA 3,094,317.76 3.41
26,936.00 SANOFI 2,062,220.16 2.26
5,885.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 1,222,314.50 1.34
Germany 50,208,278.25 55.13

632,120.00 DEUTSCHE TELEKOM AG REG SHS 8,776,986.20 9.65


36,919.00 DEUTSCHE BOERSE AG REG SHS 4,260,452.60 4.68
21,134.00 ALLIANZ SE REG SHS 4,057,728.00 4.46
40,760.00 SAP AG 4,320,560.00 4.74
16,123.00 SIEMENS AG REG 1,779,011.82 1.95
5,013.00 VOLKSWAGEN VORZ.AKT 759,970.80 0.83
86,881.00 BAYER AG REG SHS 6,647,265.31 7.30
54,376.00 BASF SE REG SHS 4,162,482.80 4.57
33,828.00 ADIDAS NAMEN AKT 7,134,325.20 7.83
197,469.00 VONOVIA SE 8,309,495.52 9.12
Japan 4,856,110.33 5.33

126,613.00 SEVEN & I HOLDINGS CO LTD 4,856,110.33 5.33


Netherlands 12,088,890.94 13.27

98,815.00 ROYAL PHILIPS ELECTRONIC 3,877,006.53 4.26


30,173.00 AIRBUS GROUP 3,264,115.14 3.58
87,421.00 UNILEVER NV 4,193,148.27 4.60
4,690.00 ASML HLDG 754,621.00 0.83
Spain 3,713,355.75 4.08

856,500.00 BANCO SANTANDER SA REG SHS 3,713,355.75 4.08


Total securities portfolio 91,485,237.51 100.45

The accompanying notes form an integral part of these financial statements

130
AMUNDI NASDAQ-100

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Portugal 12,756,288.61 1.96
Long positions 658,725,806.56 100.99
4,013,936.00 EDP-ENERGIAS REG.SHS 12,756,288.61 1.96
Transferable securities admitted to an official stock exchange 658,725,806.56 100.99
Spain 93,266,201.09 14.30
listing
Shares 658,725,806.56 100.99 7,796,019.00 BANCO SANTANDER SA REG SHS 33,799,640.37 5.18
Belgium 18,795,769.70 2.88 3,535,668.00 BANCO BILBAO VIZCAYA ARGENT SA REG 19,410,817.32 2.98
727,005.00 ACS 26,666,543.40 4.09
63,516.00 KBC GROUPE SA 4,071,375.60 0.62
3,400,000.00 CAIXABANK 13,389,200.00 2.05
365,921.00 PROXIMUS SA 7,530,654.18 1.16
95,636.00 AB INBEV 7,193,739.92 1.10 Total securities portfolio 658,725,806.56 100.99
Finland 18,991,086.00 2.91

465,000.00 UPM KYMMENE CORP 15,717,000.00 2.41


73,410.00 SAMPO OYJ -A- 3,274,086.00 0.50
France 66,890,927.82 10.25

100,000.00 DANONE 6,670,000.00 1.02


5,239.00 L'OREAL SA 1,088,140.30 0.17
18,875.00 LVMH 5,749,325.00 0.88
200,000.00 VINCI SA 16,404,000.00 2.52
100,000.00 SCHNEIDER ELECTRIC SE 6,930,000.00 1.06
240,461.00 TOTAL SA 13,427,342.24 2.06
40,238.00 SANOFI 3,080,621.28 0.47
300,000.00 ORANGE 4,120,500.00 0.63
500,000.00 ENGIE 6,332,500.00 0.97
14,870.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 3,088,499.00 0.47
Germany 277,982,305.76 42.62

2,101,737.00 DEUTSCHE TELEKOM AG REG SHS 29,182,618.25 4.47


133,938.00 ALLIANZ SE REG SHS 25,716,096.00 3.94
369,794.00 CONTINENTAL AG 55,450,610.30 8.51
330,287.00 FRESENIUS SE & CO KGAA 20,887,349.88 3.20
278,925.00 HEIDELBERGCEMENT AG 18,777,231.00 2.88
16,546.00 MUENCHENER RUECKVERSICHERUNGS AG REG 3,156,149.50 0.48
SHS
142,588.00 SAP AG 15,114,328.00 2.32
23,586.00 FRESENIUS MEDICAL CARE AG & CO KGAA 2,089,247.88 0.32
321,664.00 DEUTSCHE LUFTHANSA AG REG SHS 6,806,410.24 1.04
25,000.00 SIEMENS AG REG 2,758,500.00 0.42
69,917.00 VOLKSWAGEN VORZ.AKT 10,599,417.20 1.62
749,411.00 BAYER AG REG SHS 57,337,435.61 8.80
379,230.00 BASF SE REG SHS 29,030,056.50 4.45
5,106.00 ADIDAS NAMEN AKT 1,076,855.40 0.17
Japan 31,289,644.67 4.80

280,000.00 CANON INC 7,661,696.82 1.18


226,744.00 NEC CORP 5,396,661.54 0.83
61,240.00 SHISEIDO 4,084,399.64 0.63
313,900.00 THK CO LTD 6,880,964.76 1.05
81,236.00 YAMAZAKI BAKING CO 1,400,227.88 0.21
135,124.00 OTSUKA HOLDINGS 5,865,694.03 0.90
Netherlands 138,753,582.91 21.27

825,420.00 ROYAL PHILIPS ELECTRONIC 32,385,353.70 4.96


50,000.00 AIRBUS GROUP 5,409,000.00 0.83
699,936.00 UNILEVER NV 33,572,430.24 5.15
95,444.00 WOLTERS KLUWER 5,123,433.92 0.79
79,698.00 ASML HLDG 12,823,408.20 1.97
4,420,597.00 ING GROEP 49,439,956.85 7.57

The accompanying notes form an integral part of these financial statements

131
AMUNDI RUSSELL 2000

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 173,667,032.97 100.24

Transferable securities admitted to an official stock exchange 173,667,032.97 100.24


listing
Shares 173,667,032.97 100.24
Belgium 14,345,275.84 8.28

100,959.00 KBC GROUPE SA 6,471,471.90 3.74


104,677.00 AB INBEV 7,873,803.94 4.54
Finland 7,134,260.60 4.12

159,961.00 SAMPO OYJ -A- 7,134,260.60 4.12


France 2,935,919.66 1.69

2,603.00 LVMH 792,873.80 0.46


28,064.00 TOTAL SA 1,567,093.76 0.90
2,773.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 575,952.10 0.33
Germany 102,342,248.75 59.08

594,456.00 DEUTSCHE TELEKOM AG REG SHS 8,254,021.56 4.76


439,284.00 RWE AG 9,334,785.00 5.39
39,895.00 ALLIANZ SE REG SHS 7,659,840.00 4.42
109,641.00 FRESENIUS SE & CO KGAA 6,933,696.84 4.00
40,088.00 HENKEL AG & CO KGAA 4,050,892.40 2.34
94,668.00 SAP AG 10,034,808.00 5.80
75,233.00 SIEMENS AG REG 8,301,209.22 4.79
54,540.00 VOLKSWAGEN VORZ.AKT 8,268,264.00 4.77
141,400.00 BAYER AG REG SHS 10,818,514.00 6.25
102,502.00 BASF SE REG SHS 7,846,528.10 4.53
38,323.00 ADIDAS NAMEN AKT 8,082,320.70 4.67
222,067.00 VONOVIA SE 9,344,579.36 5.39
152,561.00 PROSIEBENSAT.1 NAMEN-AKT 3,412,789.57 1.97
Netherlands 38,278,998.71 22.09

277,074.00 ROYAL PHILIPS ELECTRONIC 10,870,998.39 6.27


35,173.00 HEINEKEN NV 2,840,571.48 1.64
154,271.00 UNILEVER NV 7,399,608.52 4.27
59,422.00 ASML HLDG 9,560,999.80 5.52
14,580.00 KONINKLIJKE AHOLD NV 287,955.00 0.17
654,405.00 ING GROEP 7,318,865.52 4.22
Spain 8,630,329.41 4.98

1,572,009.00 BANCO BILBAO VIZCAYA ARGENT SA REG 8,630,329.41 4.98


Total securities portfolio 173,667,032.97 100.24

The accompanying notes form an integral part of these financial statements

132
AMUNDI S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,295,104.00 BAYER AG REG SHS 99,088,407.04 2.37
Long positions 4,187,141,312.68 100.26
552,115.00 BASF SE REG SHS 42,264,403.25 1.01
Transferable securities admitted to an official stock exchange 4,187,141,312.68 100.26 26,037.00 ADIDAS NAMEN AKT 5,491,203.30 0.13
listing 2,014,409.00 VONOVIA SE 84,766,330.72 2.03
Shares 4,187,141,312.68 100.26
83,348.00 COVESTRO AG 5,822,691.28 0.14
Belgium 199,225,715.72 4.77 1,045,525.00 UNIPER NAMEN-AKT. 27,716,867.75 0.66
255,012.00 KBC GROUPE SA 16,346,269.20 0.39 302,773.00 LINDE AG 61,674,860.10 1.48
61,412.00 SOLVAY 7,093,086.00 0.17 Japan 156,431,012.84 3.75
346,373.00 UCB 26,809,270.20 0.64
177,742.00 DENTSU 7,100,033.65 0.17
870,927.00 PROXIMUS SA 17,923,677.66 0.43
665,513.00 JAPAN TOBACCO 14,961,923.14 0.36
250,000.00 AGEAS NOM 11,577,500.00 0.28
76,014.00 KOBAYASHI PHARMACEUTICAL CO 4,816,810.86 0.12
1,588,353.00 AB INBEV 119,475,912.66 2.86
18,900.00 ANA HD 568,737.73 0.01
Denmark 17,346,922.91 0.42 478,046.00 BRIDGESTONE CORP 15,555,726.78 0.37
766,807.00 DANSKE BANK 17,346,922.91 0.42 50,000.00 HISAMITSU PHARMACEUTICAL CO INC 3,301,017.97 0.08
119,187.00 KAO CORP 8,287,954.41 0.20
Finland 45,405,804.09 1.09
34,300.00 KINTETSU HLDG SHS 1,188,146.65 0.03
398,780.00 STORA ENSO -R- 6,569,900.50 0.16 38,900.00 KURARAY CO LTD 503,613.31 0.01
500,161.00 UPM KYMMENE CORP 16,905,441.80 0.40 338,145.00 KYOWA HAKKO KIRIN CO LTD 5,456,804.08 0.13
4,590,844.00 NOKIA OYJ 21,930,461.79 0.53 354,056.00 NEC CORP 8,426,773.80 0.20
France 552,500,057.04 13.23 374,008.00 SHISEIDO 24,944,450.36 0.59
502,123.00 TOSHIBA CORP 12,502,740.53 0.30
119,590.00 VIVENDI SA 2,651,310.30 0.06
2,713.00 TOKYO TATEMONO CO 28,501.83 0.00
37,273.00 KERING 17,208,944.10 0.41
77,174.00 TREND MICRO INC 4,276,102.60 0.10
490,291.00 AIR LIQUIDE NOM. PRIME FIDELITE 55,549,970.30 1.33
74,066.00 SEVEN & I HOLDINGS CO LTD 2,840,724.63 0.07
92,258.00 ACCOR SA 4,079,648.76 0.10
979,000.00 J.FRONT RETAILING CO LTD 13,082,620.20 0.31
3,250,000.00 AXA SA 75,237,500.00 1.80
56,698.00 HOSHIZAKI 5,053,994.80 0.12
1,228,318.00 CIE DE SAINT-GOBAIN 45,625,872.11 1.09
665,500.00 DAI-ICHI LIFE INSURANCE CO LT 11,932,480.73 0.29
322,408.00 ESSILOR INTERNATIONAL SA 41,090,899.60 0.98
228,300.00 OTSUKA HOLDINGS 9,910,437.43 0.24
295,883.00 LVMH 90,125,961.80 2.16
46,900.00 POLA ORBIS HOLDINGS 1,475,301.11 0.04
11,072.00 VINCI SA 908,125.44 0.02
19,200.00 NEXON CO LTD 216,116.24 0.01
411,893.00 SCHNEIDER ELECTRIC SE 28,544,184.90 0.68
1,860,674.00 TOTAL SA 103,900,036.16 2.50 Luxembourg 22,423,452.80 0.54
760,101.00 SANOFI 58,193,332.56 1.39 836,696.00 ARCELORMITTAL - REGISTERED 22,423,452.80 0.54
424,495.00 ORANGE 5,830,438.83 0.14 Netherlands 1,129,108,818.46 27.03
79,661.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 16,545,589.70 0.40
21,873.00 SODEXO PRIME DE FIDELITE 2021 1,997,879.82 0.05 3,224,959.00 ROYAL PHILIPS ELECTRONIC 126,531,266.37 3.03
395,607.00 ENGIE (ACT NOM PRIME DE FIDELITE) 5,010,362.66 0.12 1,839,013.00 AIRBUS GROUP 198,944,426.34 4.76
230,159.00 AKZO NOBEL NV 18,537,005.86 0.44
Germany 1,083,989,479.94 25.96
1,030,000.00 GEMALTO NV 51,706,000.00 1.24
7,597,134.00 DEUTSCHE TELEKOM AG REG SHS 105,486,205.59 2.54 6,197,029.00 UNILEVER NV 297,240,495.99 7.12
162,476.00 DEUTSCHE BOERSE AG REG SHS 18,749,730.40 0.45 1,244,961.00 WOLTERS KLUWER 66,829,506.48 1.60
105,288.00 DEUTSCHE POST AG REG SHS 3,233,394.48 0.08 1,049,692.00 ASML HLDG 168,895,442.80 4.04
813,048.00 RWE AG 17,277,270.00 0.41 39,936.00 ABN AMRO GROUP DEP RECEIPT 936,499.20 0.02
448,249.00 ALLIANZ SE REG SHS 86,063,808.00 2.06 780,474.00 KONINKLIJKE AHOLD NV 15,414,361.50 0.37
48,374.00 CONTINENTAL AG 7,253,681.30 0.17 15,540,756.00 ING GROEP 173,807,815.10 4.16
555,749.00 FRESENIUS SE & CO KGAA 35,145,566.76 0.84 177,551.00 EXOR REG 10,265,998.82 0.25
193,554.00 HENKEL AG & CO KGAA 19,558,631.70 0.47 Spain 603,592,688.49 14.45
470,318.00 MAN SE 44,045,280.70 1.05
215,183.00 MUENCHENER RUECKVERSICHERUNGS AG REG 41,046,157.25 0.98 48,119,779.00 BANCO SANTANDER SA REG SHS 208,623,301.85 4.99
SHS 8,278,754.00 TELEFONICA S A 56,444,544.77 1.35
202,224.00 RHEINMETALL AG 18,212,293.44 0.44 29,427,529.00 BANCO BILBAO VIZCAYA ARGENT SA REG 161,557,134.21 3.87
751,226.00 SAP AG 79,629,956.00 1.91 969,155.00 ACS 35,548,605.40 0.85
3,921,144.00 DEUTSCHE LUFTHANSA AG REG SHS 82,971,407.04 1.99 11,639,229.00 IBERDROLA S A 73,769,433.40 1.77
444,550.00 SIEMENS AG REG 49,051,647.00 1.17 593,887.00 AMADEUS IT -A- 47,522,837.74 1.14
1,200,602.00 DEUTSCHE WOHNEN AG 49,608,874.64 1.19 1,115,678.00 RED ELECTRICA 20,126,831.12 0.48
11,786.00 WIRECARD AG 2,200,446.20 0.05
Sweden 6,441,655.12 0.15
547,955.00 PORSCHE AUTOMOBIL HLDG - VORZ.AKT-STIMMR 31,781,390.00 0.76
434,360.00 VOLKSWAGEN VORZ.AKT 65,848,976.00 1.58 423,546.00 VOLVO AB -B- 6,441,655.12 0.15

The accompanying notes form an integral part of these financial statements

133
AMUNDI S&P 500

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
Switzerland 59,065,667.89 1.41

500,000.00 CREDIT SUISSE GROUP AG REG SHS 6,500,374.60 0.16


300,000.00 NESTLE SA REG SHS 21,635,009.48 0.52
2,263,997.00 UBS GROUP NAMEN-AKT 30,930,283.81 0.73
United Kingdom 311,610,037.38 7.46

10,536,265.00 ROYAL DUTCH SHELL PLC 311,610,037.38 7.46


Total securities portfolio 4,187,141,312.68 100.26

The accompanying notes form an integral part of these financial statements

134
AMUNDI S&P 500 BUYBACK

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 57,432,010.23 100.50

Transferable securities admitted to an official stock exchange 57,432,010.23 100.50


listing
Shares 57,432,010.23 100.50
Belgium 1,918,862.20 3.36

25,510.00 AB INBEV 1,918,862.20 3.36


France 2,267,048.16 3.97

40,599.00 TOTAL SA 2,267,048.16 3.97


Germany 36,863,952.61 64.50

157,421.00 DEUTSCHE TELEKOM AG REG SHS 2,185,790.59 3.82


72,067.00 DEUTSCHE POST AG REG SHS 2,213,177.57 3.87
117,380.00 RWE AG 2,494,325.00 4.36
12,830.00 ALLIANZ SE REG SHS 2,463,360.00 4.31
49,990.00 BMW AG 3,884,722.90 6.80
20,000.00 FRESENIUS SE & CO KGAA 1,264,800.00 2.21
12,896.00 MUENCHENER RUECKVERSICHERUNGS AG REG 2,459,912.00 4.30
SHS
27,299.00 SIEMENS AG REG 3,012,171.66 5.27
26,947.00 VOLKSWAGEN VORZ.AKT 4,085,165.20 7.16
11,695.00 BAYER AG REG SHS 894,784.45 1.57
49,946.00 BASF SE REG SHS 3,823,366.30 6.69
9,102.00 ADIDAS NAMEN AKT 1,919,611.80 3.36
45,108.00 VONOVIA SE 1,898,144.64 3.32
28,420.00 COVESTRO AG 1,985,421.20 3.47
11,189.00 LINDE AG 2,279,199.30 3.99
Netherlands 13,851,098.26 24.24

120,563.00 ROYAL PHILIPS ELECTRONIC 4,730,289.31 8.27


29,421.00 AKZO NOBEL NV 2,369,567.34 4.15
45,767.00 UNILEVER NV 2,195,214.16 3.84
13,593.00 ASML HLDG 2,187,113.70 3.83
119,945.00 KONINKLIJKE AHOLD NV 2,368,913.75 4.15
Spain 2,531,049.00 4.43

334,402.00 BANCO BILBAO VIZCAYA ARGENT SA REG 1,835,866.98 3.21


519,180.00 BANCO SABADELL REG.SHS 695,182.02 1.22
Total securities portfolio 57,432,010.23 100.50

The accompanying notes form an integral part of these financial statements

135
AMUNDI S&P GLOBAL LUXURY

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 73,768,900.87 100.62

Transferable securities admitted to an official stock exchange 73,768,900.87 100.62


listing
Shares 73,768,900.87 100.62
Belgium 3,496,225.60 4.77

46,480.00 AB INBEV 3,496,225.60 4.77


France 1,348,497.94 1.84

1,613.00 L'OREAL SA 335,020.10 0.46


1,514.00 LVMH 461,164.40 0.63
9,891.00 TOTAL SA 552,313.44 0.75
Germany 47,159,346.95 64.32

250,260.00 DEUTSCHE TELEKOM AG REG SHS 3,474,860.10 4.74


112,445.00 DEUTSCHE POST AG REG SHS 3,453,185.95 4.71
16,386.00 ALLIANZ SE REG SHS 3,146,112.00 4.29
23,492.00 CONTINENTAL AG 3,522,625.40 4.80
55,990.00 FRESENIUS SE & CO KGAA 3,540,807.60 4.83
32,317.00 SAP AG 3,425,602.00 4.67
31,753.00 SIEMENS AG REG 3,503,626.02 4.78
25,993.00 VOLKSWAGEN VORZ.AKT 3,940,538.80 5.38
88,542.00 BAYER AG REG SHS 6,774,348.42 9.25
45,246.00 BASF SE REG SHS 3,463,581.30 4.72
15,033.00 ADIDAS NAMEN AKT 3,170,459.70 4.32
84,026.00 VONOVIA SE 3,535,814.08 4.82
31,603.00 COVESTRO AG 2,207,785.58 3.01
Netherlands 14,258,966.54 19.45

98,649.00 ROYAL PHILIPS ELECTRONIC 3,870,493.52 5.29


43,808.00 AKZO NOBEL NV 3,528,296.32 4.81
21,798.00 ASML HLDG 3,507,298.20 4.78
169,766.00 KONINKLIJKE AHOLD NV 3,352,878.50 4.57
Spain 7,505,863.84 10.24

842,093.00 BANCO BILBAO VIZCAYA ARGENT SA REG 4,623,090.57 6.31


2,152,930.00 BANCO SABADELL REG.SHS 2,882,773.27 3.93
Total securities portfolio 73,768,900.87 100.62

The accompanying notes form an integral part of these financial statements

136
AMUNDI STOXX EUROPE 600

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 404,420,151.47 100.20

Transferable securities admitted to an official stock exchange 404,420,151.47 100.20


listing
Shares 404,420,151.47 100.20
Belgium 24,689,487.54 6.12

324,171.00 PROXIMUS SA 6,671,439.18 1.65


239,538.00 AB INBEV 18,018,048.36 4.47
France 52,290,311.51 12.96

30,525.00 AIR LIQUIDE NOM. PRIME FIDELITE 3,458,482.50 0.86


100,000.00 DANONE 6,670,000.00 1.65
15,115.00 LVMH 4,604,029.00 1.14
150,000.00 VINCI SA 12,303,000.00 3.05
18,237.00 SOCIETE GENERALE SA 674,221.89 0.17
237,956.00 TOTAL SA 13,287,463.04 3.29
50,003.00 SANOFI 3,828,229.68 0.95
300,000.00 ORANGE 4,120,500.00 1.02
16,102.00 L OREAL-ACT REG PROV PRIM.FIDELITE 2013 3,344,385.40 0.83
Germany 162,290,060.91 40.21

238,459.00 DEUTSCHE TELEKOM AG REG SHS 3,311,003.22 0.82


8,197.00 DEUTSCHE BOERSE AG REG SHS 945,933.80 0.23
311,473.00 RWE AG 6,618,801.25 1.64
201,339.00 ALLIANZ SE REG SHS 38,657,088.00 9.57
50,177.00 FRESENIUS SE & CO KGAA 3,173,193.48 0.79
192,381.00 HEIDELBERGCEMENT AG 12,951,088.92 3.21
97,320.00 SAP AG 10,315,920.00 2.56
40,539.00 DEUTSCHE LUFTHANSA AG REG SHS 857,805.24 0.21
160,465.00 SIEMENS AG REG 17,705,708.10 4.39
374,035.00 BAYER AG REG SHS 28,617,417.85 7.09
32,581.00 BASF SE REG SHS 2,494,075.55 0.62
21,482.00 ADIDAS NAMEN AKT 4,530,553.80 1.12
157,641.00 LINDE AG 32,111,471.70 7.96
Japan 972,849.15 0.24

27,221.00 AGC INC. 972,849.15 0.24


Netherlands 117,703,662.24 29.16

460,745.00 ROYAL PHILIPS ELECTRONIC 18,077,330.08 4.48


167,689.00 AIRBUS GROUP 18,140,596.02 4.49
149,536.00 UNILEVER NV 7,172,494.24 1.78
214,580.00 ASML HLDG 34,525,922.00 8.55
981,063.00 KONINKLIJKE AHOLD NV 19,375,994.25 4.80
1,825,047.00 ING GROEP 20,411,325.65 5.06
Portugal 11,963,000.00 2.96

700,000.00 GALP ENERGIA SA REG SHS -B- 11,963,000.00 2.96


Spain 34,510,780.12 8.55

1,102,040.00 BANCO SANTANDER SA REG SHS 4,777,894.42 1.18


2,710,538.00 BANCO BILBAO VIZCAYA ARGENT SA REG 14,880,853.62 3.69
185,604.00 AMADEUS IT -A- 14,852,032.08 3.68
Total securities portfolio 404,420,151.47 100.20

The accompanying notes form an integral part of these financial statements

137
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD

Long positions 13,042,201.02 100.39

Transferable securities admitted to an official stock exchange 13,042,201.02 100.39


listing
Shares 13,042,201.02 100.39
Belgium 1,022,817.53 7.87

11,707.00 AB INBEV 1,022,817.53 7.87


Germany 8,790,158.70 67.66

37,338.00 DEUTSCHE TELEKOM AG REG SHS 602,165.89 4.64


24,563.00 RWE AG 606,260.90 4.67
4,722.00 ALLIANZ SE REG SHS 1,053,043.78 8.10
5,737.00 BMW AG 517,822.57 3.99
7,301.00 FRESENIUS SE & CO KGAA 536,282.25 4.13
4,781.00 SAP AG 588,631.94 4.53
5,910.00 MERCK KGAA 610,937.39 4.70
3,522.00 SIEMENS AG REG 451,379.20 3.47
3,491.00 VOLKSWAGEN VORZ.AKT 614,707.15 4.73
6,823.00 BAYER AG REG SHS 606,335.21 4.67
11,179.00 BASF SE REG SHS 993,956.47 7.65
2,791.00 ADIDAS NAMEN AKT 683,684.34 5.26
6,145.00 VONOVIA SE 300,342.53 2.31
2,837.00 COVESTRO AG 230,200.96 1.77
1,667.00 LINDE AG 394,408.12 3.04
Netherlands 1,206,379.02 9.29

3,213.00 ASML HLDG 600,462.63 4.63


632.00 KONINKLIJKE AHOLD NV 14,497.84 0.11
45,528.00 ING GROEP 591,418.55 4.55
Spain 1,329,600.92 10.23

108,557.00 BANCO SANTANDER SA REG SHS 546,658.66 4.20


66,854.00 BANCO BILBAO VIZCAYA ARGENT SA REG 426,303.56 3.28
229,313.00 BANCO SABADELL REG.SHS 356,638.70 2.75
United Kingdom 693,244.85 5.34

20,181.00 ROYAL DUTCH SHELL PLC 693,244.85 5.34


Total securities portfolio 13,042,201.02 100.39

The accompanying notes form an integral part of these financial statements

138
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Japan 99,052.00 0.07
Long positions 128,886,323.09 97.31
100,000.00 ASAHI GROUP HLDS LTD 1.151 17-25 19/09A 99,052.00 0.07
Other transferable securities 10,483,883.12 7.92
Luxembourg 398,396.99 0.30
Bonds 9,175,093.14 6.93 100,000.00 NOVARTIS FINANCE S 0.125 16-23 20/09A 98,600.00 0.07
Australia 298,880.00 0.23 100,000.00 VOLKSWAGEN BK 0.625 18-21 08/09A 100,195.00 0.07
100,000.00 EUROCLEAR INVESTMENTS 1.5 18-30 11/04A 99,481.00 0.08
100,000.00 WESTPAC BANKING 0.875 15-21 16/02A 101,888.00 0.09
100,000.00 ABBOTT IRELAND FIN 0.875 18-23 27/09A 100,120.99 0.08
100,000.00 TRANSURBAN FINANCE 1.75 17-28 29/03A 99,181.00 0.07
100,000.00 COMMONWEALTH BANK 1.125 18-28 18/01A 97,811.00 0.07 Netherlands 1,378,714.00 1.04

Canada 101,802.00 0.08 300,000.00 RABOBANK NEDERLAND 0.125 16-21 11/10A 300,018.00 0.23
100,000.00 NIBC BANK 1.50 17-22 31/01A 101,995.00 0.08
100,000.00 GREAT WEST LIFECO 1.75 16-26 07/12A 101,802.00 0.08
100,000.00 JAB HOLDINGS BV 2 17-28 18/05A 99,526.00 0.08
Denmark 98,456.00 0.07
100,000.00 MADRILENA RED DE GAS 1.375 17-25 11/04A 98,885.00 0.07
100,000.00 CARLSBERG BREW 0.50 17-23 06/09A 98,456.00 0.07 100,000.00 NE PROPERTY COOP 1.75 17-24 23/11A 92,509.00 0.07
Finland 98,782.00 0.07 200,000.00 GAS NAT FENOSA 0.875 17-25 15/05A 194,064.00 0.15
100,000.00 EXOR 1.75 18-28 18/01A 95,981.00 0.07
100,000.00 KOJAMO 1.625 18-25 07/03A 98,782.00 0.07
100,000.00 KONINKIJKE 1.125 18-26 19/03A 98,125.00 0.07
France 3,212,302.17 2.43 200,000.00 BAYER CAPITAL CORP 1.5 18-26 26/06A 199,340.00 0.15
100,000.00 VIVENDI 1.875 16-26 26/05A 104,237.00 0.08 100,000.00 UNILEVER NV 1.375 18-30 04/09A 98,271.00 0.07
100,000.00 TDF INFRASTRUCTURE 2.50 16-26 07/04A 102,661.00 0.08 Spain 297,544.00 0.22
100,000.00 ICADE 1.75 16-26 10/06A 100,700.00 0.08
100,000.00 MERLIN PROPERTIES 1.875 16-26 02/11A 97,229.00 0.07
100,000.00 COMPAGNIE FIN ET IND 0.75 16-28 09/09A 93,446.00 0.07
100,000.00 TELEFONICA EMIS 1.528 17-25 17/01A 101,200.00 0.08
100,000.00 DANONE SA 0.709 16-24 03/11 99,417.00 0.08
100,000.00 IBERDROLA FINANZAS 1.25 18-26 28/10A 99,115.00 0.07
100,000.00 BPCE SA 1.125 17-23 18/01A 100,538.00 0.08
100,000.00 AUTOROUTES DU SUD 1.25 17-27 18/01A 100,029.01 0.08 Sweden 195,975.00 0.15
100,000.00 AUCHAN FRANCE 0.625 17-22 07/02A 99,808.00 0.08 100,000.00 AKELIUS RESIDENTIAL 1.75 17-25 07/02A 98,172.00 0.08
600,000.00 BANQUE FED CRED MU 0.375 17-22 13/01A 600,336.06 0.44 100,000.00 FASTIGHETS AB BALD 1.875 17-26 23/01A 97,803.00 0.07
100,000.00 ENGIE SA 1.50 17-28 27/03A 101,287.00 0.08
United Kingdom 298,249.00 0.23
100,000.00 CREDIT AGRICOLE ASSUR FL.R 18-48 29/01U 91,516.00 0.07
100,000.00 SOCIETE GENERALE 1.125 18-25 23/01A 97,315.00 0.07 100,000.00 VODAFONE GROUP PLC 0.375 17-21 22/11A 100,151.00 0.08
200,000.00 ORANGE SA 1.375 18-30 16/01A 192,994.00 0.14 100,000.00 SSE PLC 0.875 17-25 06/09A 97,340.00 0.07
300,000.00 SANOFI SA 0.5 18-23 21/03A 302,286.00 0.22 100,000.00 CREDIT AGRICOLE 1.00 17-24 16/09A 100,758.00 0.08
100,000.00 BNP PARIBAS 1.25 18-25 19/03A 98,329.00 0.07 United States of America 1,521,368.99 1.15
100,000.00 INFRA PARK SAS 1.6250 18-28 19/04A 98,238.00 0.07
130,000.00 BNP PARIBAS 1.0000 18-24 17/04A 128,020.10 0.10 100,000.00 AT T 2.75 15-23 19/05A 108,559.00 0.07
100,000.00 ENGIE 1.375 18-28 22/06A 99,562.00 0.08 100,000.00 SOUTHERN POWER CO 1.00 16-22 20/06A 101,610.00 0.08
100,000.00 BK FED CRED MUTUEL 0.5 18-22 16/11A 99,742.00 0.08 200,000.00 EASTMAN CHEMICAL 1.50 16-23 26/05S 207,960.00 0.15
100,000.00 TOTAL CAPITAL INTERN 1.491 18-30 04/09A 101,095.00 0.08 100,000.00 3M 0.375 16-22 15/02A 100,661.00 0.08
100,000.00 SANOFI 1.375 18-30 21/03A 100,101.00 0.08 100,000.00 FEDEX CORP 1.625 16-27 11/01A 100,506.00 0.08
300,000.00 SANOFI 0.00 18-20 21/03U 300,645.00 0.22 100,000.00 JOHNSON & JOHNSON 1.65 16-35 20/05A 102,076.00 0.08
100,000.00 PRAXAIR INC 1.20 16-24 12/02A 102,789.00 0.07
Germany 541,619.50 0.41
100,000.00 VERIZON COMM 1.375 16-28 02/11A 96,067.00 0.07
50,000.00 MERCK KGAA FL.R 14-74 12/12A 53,645.00 0.04 100,000.00 COCA-COLA CO/THE 0 17-21 09/03A 99,926.00 0.08
100,000.00 BERTELSMANN SE & C 0.25 17-21 26/05A 100,258.00 0.08 100,000.00 APPLE INC 1.375 17-29 24/05A 101,182.00 0.08
110,000.00 DAIMLER 2.125 17-37 03/07S 109,235.50 0.08 100,000.00 FIDELITY NATIONAL 0.40 17-21 15/01A 100,272.00 0.08
300,000.00 DEUTSCHE BANK 1.750 18-28 17/01A 278,481.00 0.21 100,000.00 PARKER HANNIFIN REGS 1.125 17-25 01/03A 99,804.00 0.08
Ireland 100,152.00 0.08 100,000.00 CHUBB INA HOLDINGS 2.50 18-38 15/03A 100,863.99 0.08
100,000.00 GOLDMAN SACHS GROUP 2.0 18-28 01/11A 99,093.00 0.07
100,000.00 AIB 2.25 18-25 03/07A 100,152.00 0.08
Floating rate bonds 1,308,789.98 0.99
Italy 533,799.49 0.40
Australia 98,297.00 0.07
100,000.00 AEROPORTI DI ROMA SPA 1.625 17-27 08/06A 94,112.00 0.07
100,000.00 IREN SPA 1.50 17-27 24/10A 91,554.00 0.07 100,000.00 COMMONWEALTH BANK AUST FL.R 17-29 03/10A 98,297.00 0.07
100,000.00 ENI SPA 1.00 17-25 14/03A 98,519.00 0.07 Austria 117,646.00 0.09
100,000.00 ESSELUNGA SPA 0.875 17-23 25/10A 99,409.00 0.08 100,000.00 OMV AG SUB FL.R 15-XX 09/12A 117,646.00 0.09
150,000.00 INTESA SAN PAOLO 2.125 18-23 30/08A 150,205.49 0.11

The accompanying notes form an integral part of these financial statements

139
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Luxembourg 95,888.00 0.07 205,000.00 ANHEUSER-BUSCH INB 1.50 16-25 17/03A 211,459.55 0.16
100,000.00 GRAND CITY PROP FL.R 18-XX XX/XXA 95,888.00 0.07 200,000.00 ANHEUSER-BUSCH INB 2.75 16-36 17/03A 207,776.00 0.16
100,000.00 ARGENTA SPAARBANK SUB 3.875 16-26 24/05A 106,170.00 0.08
Netherlands 203,779.00 0.15
100,000.00 KBC GROEP 0.75 16-23 18/10A 99,041.00 0.07
100,000.00 NN GROUP NV FL.R 17-48 13/01A 107,125.00 0.08 300,000.00 ANHEUSER BUSCH 1.875 12-20 20/01S 307,635.00 0.23
100,000.00 ING GROEP FL.R 17-29 26/09A 96,654.00 0.07 100,000.00 KBC GROUP NV 0.75 17-22 01/03M 100,503.99 0.08
Spain 200,692.00 0.15 100,000.00 BELFIUS BANQUE 0.75 17-22 12/09A 99,429.00 0.08
100,000.00 ANHEUSER-BUSCH 2.00 18-35 23/01A 95,144.00 0.07
100,000.00 CAIXABANK SA FL.R 17-27 15/02A 105,640.00 0.08
100,000.00 CAIXABANK SA 2.25 18-30 17/04A 95,052.00 0.07 British Virgin Islands 200,825.00 0.15

Sweden 98,558.00 0.07 100,000.00 TALENT YIELD REGS 1.435 15-20 07/05A 101,015.00 0.07
100,000.00 GLOBAL SWITCH HOLD FL.R 17-24 31/01A 99,810.00 0.08
100,000.00 SWEDBANK AB FL.R 17-27 22/11A 98,558.00 0.07
Canada 824,697.00 0.62
United Kingdom 393,452.99 0.31
200,000.00 TOTAL CAPITAL EMTN 1.875 13-20 09/07A 207,162.00 0.15
100,000.00 NATIONWIDE BUILDING FL.R 17-29 25/07A 97,692.00 0.07
200,000.00 TOTAL CAPITAL 1.125 14-22 18/03A 206,850.00 0.16
100,000.00 ROYAL BK SCOTLND FL.R 18-26 02/03A 97,399.00 0.07
100,000.00 TOTAL CAPITAL CANADA 2.125 14-29 18/09A 108,498.00 0.08
100,000.00 NATIONWIDE BLDG SO FL.R 18-26 08/03A 98,085.00 0.08
200,000.00 TORONTO DOMINION BK 0.625 16-21 08/03A 202,796.00 0.15
100,000.00 ROYAL BK SCOTLN FL.R 18-25 04/03A 100,276.99 0.09
100,000.00 MAGNA INTL 1.500 17-27 25/09A 99,391.00 0.08
United States of America 100,476.99 0.08
Cayman Islands 405,444.00 0.31
100,000.00 JPMORGAN FL.R 18-29 12/06A 100,476.99 0.08
100,000.00 HUTCH WHAMPOA FIN 14 1.375 14-21 31/10A 102,774.00 0.08
Transferable securities admitted to an official stock exchange 111,593,454.35 84.25
200,000.00 CK HUTCHISON FINANCE 1.25 16-23 06/04A 202,766.00 0.15
listing
Bonds 102,388,305.78 77.30 100,000.00 CKE HUTCHISON FINANCE 2.00 16-28 06/04A 99,904.00 0.08
Australia 2,767,230.92 2.09 China 99,831.00 0.08

186,000.00 NATIONAL AUSTRALIA BK 4.625 10-20 10/02A 197,301.36 0.15 100,000.00 SHOUGANG GROUP 1.35 17-20 07/08A 99,831.00 0.08
178,000.00 COMMONW BK AUSTRALIA 4.375 10-20 25/02A 189,326.14 0.14 Denmark 710,460.00 0.54
200,000.00 TELSTRA CORP 4.25 10-20 23/03A 212,826.00 0.16
50,000.00 ISS GLOBAL REGS 2.125 14-24 02/12A 52,708.50 0.04
207,000.00 TELSTRA CORP 3.50 12-22 21/09A 231,864.84 0.18
100,000.00 AP MOELLER-MAERSK 1.50 15-22 24/11A 103,173.00 0.08
200,000.00 ORIGIN ENERGY EMTN 2.875 12-19 11/10A 205,868.00 0.16
100,000.00 AP MOELLER-MAERSK 1.75 16-21 18/03A 103,267.00 0.08
100,000.00 BHP BILLITON FIN REGS 3.125 13-33 29/04A 116,569.00 0.09
200,000.00 DANSKE BANK A/S 0.50 16-21 06/05A 200,944.00 0.15
250,000.00 NAT.AUST.BK 2.00 13-20 12/11A 260,475.00 0.19
150,000.00 DANSKE BANK 0.75 16-23 02/06A 149,290.50 0.11
81,000.00 SYDNEY AIRPORT FIN 2.75 14-24 23/04A 88,507.08 0.07
100,000.00 NYKREDIT REALKREDIT 0.75 16-21 14/07A 101,077.00 0.08
100,000.00 AURIZON NETWORK EMTN 2.00 14-24 18/09A 103,698.00 0.08
200,000.00 NATIONAL AUSTRALIA BK 0.875 15-22 20/01A 203,144.00 0.15 Finland 1,172,304.50 0.89
150,000.00 APT PIPELINES 1.375 15-22 22/03A 153,838.50 0.12 190,000.00 NORDEA BANK EMTN 4.50 10-20 26/03A 202,359.50 0.14
100,000.00 MACQUARIE BANK REGS 1.125 15-22 20/01A 102,219.00 0.08 200,000.00 NORDEA BANK 2.00 14-21 17/02A 209,360.00 0.15
100,000.00 BHP BILLITON 4.75 15-76 22/04A 109,124.00 0.08 100,000.00 POHJOLA BANK 0.75 15-22 03/03A 101,405.00 0.08
100,000.00 WESTPAC BANKING 0.25 16-22 17/01A 99,588.00 0.08 100,000.00 NORDEA BANK 1.125 15-25 12/02A 102,404.00 0.08
100,000.00 ANZ BANKING GROUP 0.75 16-26 29/06A 96,775.00 0.07 150,000.00 NORDEA BANK AB 1.00 16-23 22/02A 153,702.00 0.12
100,000.00 NATIONAL AUSTRALIA BK 0.625 17-24 18/09A 98,020.00 0.07 100,000.00 SAMPO 1.00 16-23 18/09A 100,845.00 0.08
100,000.00 WESTPAC BANKING 1.125 17-27 05/09A 98,985.00 0.07 100,000.00 OP CORPORATE BANK 0.875 16-21 21/06A 101,989.00 0.08
100,000.00 WESTPAC BANKING 1.45 18-28 17/07A 100,296.00 0.08 100,000.00 SAMPO OYJ 1.25 17-25 30/05A 99,485.00 0.08
100,000.00 NATIONAL AUSTRA 1.3750 18-28 30/08A 98,806.00 0.07 100,000.00 NORDEA BANK AB 1.125 17-27 27/09A 100,755.00 0.08
Austria 422,036.51 0.32 France 17,416,253.93 13.14
100,000.00 RAIFFEISEN BANK SUB 6.00 13-23 16/10A 118,868.00 0.09 215,000.00 ORANGE EMTN 8.125 03-33 28/01A 372,887.40 0.27
150,000.00 OMV 1.75 13-19 25/11A 153,097.50 0.11 50,000.00 SUEZ GIE ALLIANCE 5.75 03-23 24/06A 62,376.50 0.05
100,000.00 TELEKOM FINANZMGT 1.50 16-26 07/12A 100,653.01 0.08 100,000.00 VEOLIA ENVIRONNEMENT 6.125 03-33 25/11A 156,422.00 0.12
50,000.00 OMV 1.00 17-26 14/12A 49,418.00 0.04 200,000.00 VEOLIA ENVIRONN. 5.125 07-22 24/05A 234,422.00 0.17
Belgium 2,205,408.04 1.67 200,000.00 ASFFP 5.625 07-22 04/07A 239,710.00 0.17
200,000.00 ORANGE 3.875 10-20 09/04A 211,886.00 0.15
100,000.00 ANHEUSER-BUSCH INBEV 2.00 12-19 16/12A 102,459.00 0.08
145,000.00 CARREFOUR SA EMTN 3.875 10-21 25/04A 158,428.45 0.12
200,000.00 ANHEUSER 2.25 13-20 24/09A 208,810.00 0.16
200,000.00 BNP PARIBAS 3.75 10-20 25/11A 216,128.00 0.15
200,000.00 ANHEUSER BUSCH REGS 1.95 14-21 30/09A 210,600.00 0.16
100,000.00 ORANGE 3.875 10-21 14/01A 108,669.00 0.08
100,000.00 ANHEUSER-BUSCH INBEV 1.50 15-30 18/04A 96,169.00 0.07
200,000.00 SOCIETE GENERALE EMTN 4.75 11-21 02/03A 222,490.00 0.16
150,000.00 ANHEUSER-BU INB REGS 0.80 15-23 20/04A 151,957.50 0.11
100,000.00 BOUYGUES 4.50 12-22 09/02A 113,756.00 0.09
200,000.00 ANHEUSER-BUSCH INB 2.00 16-28 17/03A 208,254.00 0.16

The accompanying notes form an integral part of these financial statements

140
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 ORANGE 3.00 12-22 15/06A 109,692.00 0.08 100,000.00 PERNOD RICARD 1.50 16-26 18/05A 102,053.00 0.08
100,000.00 BOUYGUES 3.625 12-23 16/01A 113,027.00 0.09 100,000.00 VIVENDI 0.75 16-21 26/05A 101,340.00 0.08
100,000.00 AUCHAN SA EMTN 2.375 12-22 12/12A 106,516.00 0.08 100,000.00 AIR LIQUIDE FINANCE 0.50 16-22 13/06A 101,044.00 0.08
100,000.00 AXA SUB 5.125 13-43 04/07A 114,274.00 0.09 150,000.00 BNP PAR 1.50 16-28 25/05A 153,433.50 0.12
148,000.00 BNP PARIBAS 2.875 13-23 26/09A 163,846.36 0.12 100,000.00 STE AUTORPARRHIN 1.125 16-26 09/01A 100,792.00 0.08
200,000.00 THALES 2.25 13-21 19/03A 210,582.00 0.15 200,000.00 SANOFI 0.625 16-24 05/04A 200,896.00 0.15
100,000.00 BFCM 2.00 13-19 19/09A 102,119.00 0.08 100,000.00 SUEZ 1.25 16-28 19/05A 99,044.00 0.07
300,000.00 UNIBAIL RODAMCO 2.50 13-23 12/06A 327,324.00 0.24 100,000.00 BNP PARIBAS REGS 0.75 16-22 11/11A 100,969.00 0.08
100,000.00 BPCE 4.625 13-23 18/07A 115,091.00 0.09 100,000.00 IMERYS 0.875 16-22 31/03A 101,449.00 0.08
100,000.00 SANOFI 2.50 13-23 14/11A 109,971.00 0.08 100,000.00 SANOFI 0.50 16-27 13/01A 95,835.00 0.07
100,000.00 TOTAL CAPITAL 2.125 13-21 19/11A 106,577.00 0.08 100,000.00 TOTAL CAPITAL 0.75 16-28 12/07A 96,365.00 0.07
200,000.00 EUTELSAT S.A. 2.625 13-20 13/01A 204,992.00 0.14 100,000.00 MFINANCE FRANCE 1.398 16-20 26/09A 101,713.00 0.08
100,000.00 BNP PARIBAS 2.25 14-21 13/01A 105,049.00 0.08 200,000.00 CIE DE SAINT GOBAIN 0.00 16-20 27/03U 200,004.00 0.15
100,000.00 AUTOROUTES DU SUD FRA 2.95 14-24 17/01A 111,231.00 0.08 200,000.00 BPCE 0.375 16-23 05/10A 196,924.00 0.15
200,000.00 PERNOD RICARD 2.00 14-20 22/06A 207,062.00 0.15 100,000.00 CNP ASSUR. 1.875 16-22 20/10A 103,029.00 0.08
100,000.00 ESSILOR INTL EMTN 2.375 14-24 09/04A 109,207.00 0.08 100,000.00 SANEF SA 0.95 16-28 19/10A 92,107.00 0.07
100,000.00 ICADE SA 2.25 14-21 16/04A 104,741.00 0.08 100,000.00 TOTAL CAPITAL SA 0.25 16-23 12/07A 99,439.00 0.08
100,000.00 BNP PARIBAS SA EMTN 2.375 14-24 20/05A 108,538.00 0.08 100,000.00 SOCIETE GENERALE 1.00 16-22 01/04A 100,463.00 0.08
200,000.00 ENGIE 2.375 14-26 19/05A 218,306.00 0.15 100,000.00 DANONE SA 1.208 16-28 03/11A 98,534.00 0.07
50,000.00 BFCM SUB 3.00 14-24 21/05A 53,266.50 0.04 100,000.00 DANONE SA 0.167 16-20 03/11A 100,357.01 0.08
100,000.00 AXA SUB FL.R 14-XX 08/10A 104,873.00 0.08 100,000.00 BFCM SUB 1.875 16-26 04/11A 97,376.00 0.07
100,000.00 UNIBAIL RODAMCO 2.50 14-26 04/06A 108,960.00 0.08 100,000.00 SCHNEIDER ELECTRIC SE 0.25 16-24 09/09A 96,786.00 0.07
159,000.00 SODEXHO 2.50 14-26 24/06A 174,337.14 0.13 100,000.00 BNP PARIBAS 0.50 16-22 01/06A 100,453.99 0.08
126,000.00 CARREFOUR 1.75 14-22 15/07A 130,998.42 0.10 100,000.00 SOCIETE GENERALE 0.125 16-21 05/10A 99,720.00 0.08
100,000.00 WPP FINANCE SA EMTN 2.25 14-26 22/09A 102,740.00 0.08 100,000.00 RENAULT SA 1.00 17-23 08/03A 100,480.01 0.08
100,000.00 WENDEL 2.75 14-24 10/02A 106,288.00 0.08 100,000.00 VALEO SA 0.625 16-23 11/01A 99,814.00 0.08
100,000.00 HOLDING INFRASTRUCTUR 2.25 14-25 24/03A 101,422.00 0.08 100,000.00 GROUPAMA SA SUB 6.00 17-27 23/01A 120,140.00 0.09
100,000.00 TOTAL CAPITAL INT 1.375 14-25 19/03A 103,799.00 0.08 100,000.00 TELEPERFORMANCE SE 1.50 17-24 03/04A 99,934.00 0.08
200,000.00 PUBLICIS GROUP 1.125 14-21 16/12A 204,440.00 0.15 100,000.00 RCI BANQUE SA 0.75 17-22 12/01A 100,388.00 0.08
100,000.00 GECINA 1.50 14-25 20/01A 101,853.00 0.08 100,000.00 BFCM 1.625 16-26 19/01A 103,157.00 0.08
100,000.00 DANONE SA EMTN 1.125 15-25 14/01A 101,274.00 0.08 100,000.00 ORANGE SA 0.75 17-23 11/09A 100,842.00 0.08
100,000.00 BNP PAR 2.375 15-25 17/02A 102,807.00 0.08 100,000.00 ACCOR SA 1.25 17-24 25/01A 100,479.00 0.08
100,000.00 SOCIETE GENERALE SUB 2.625 15/25 27/02A 103,773.00 0.08 100,000.00 IMERYS SA 1.50 17-27 15/01A 98,636.00 0.07
150,000.00 CREDIT AGRICOLE 2.625 15-27 17/03A 155,112.00 0.12 100,000.00 BNP PARIBAS SA 1.50 17-25 17/11A 99,340.00 0.07
100,000.00 EDENRED SA 1.375 15-25 10/03A 100,868.00 0.08 100,000.00 LVMH 0.75 17-24 26/05A 100,670.99 0.08
100,000.00 ENGIE 1.00 15-26 13/03A 99,720.00 0.08 100,000.00 ARKEMA SA 1.50 17-27 20/04A 100,116.99 0.08
200,000.00 KLEPIERRE EMTN 1.00 15-23 17/04A 203,898.00 0.15 200,000.00 LVMH 0.00 17-20 26/05A 200,128.00 0.15
100,000.00 UNIBAIL-RODAMCO 1.375 15-30 15/04A 96,403.00 0.07 100,000.00 BANQUE FED CRED MU 1.25 17-27 26/05A 99,428.00 0.08
100,000.00 AIR LIQUIDE FINANCE 1.25 15-25 03/06A 102,891.00 0.08 100,000.00 ENGIE SA 0.875 17-24 27/03A 100,799.00 0.08
100,000.00 RCI BANQUE 1.25 15-22 08/06A 101,917.00 0.08 100,000.00 LEGRAND SA 0.75 17-24 06/07A 99,425.00 0.08
200,000.00 CAPGEMINI SE 1.75 15-20 01/07A 205,334.00 0.15 100,000.00 STE AUTOROUTES PARIS 1.625 17-32 13/01A 99,707.00 0.08
100,000.00 TOTAL INFRASTRUCTURE 2.20 15-25 05/08A 106,134.00 0.08 100,000.00 CIE DE SAINT GOBAIN 1.375 17-27 14/06A 98,113.00 0.07
100,000.00 CARMILA 2.375 15-23 18/09A 105,298.00 0.08 200,000.00 AIR LIQUIDE FINANCE 1.00 17-27 08/03A 199,240.00 0.15
100,000.00 SCHNEIDER ELECTRIC 1.50 15-23 08/09A 104,328.00 0.08 100,000.00 PSA BANQUE FRANCE 0.625 17-22 10/10A 98,849.00 0.07
100,000.00 BNP PARIBAS 2.75 15-26 27/01A 104,509.00 0.08 100,000.00 ENGIE 1.375 17-29 28/02A 98,732.00 0.07
100,000.00 HSBC FRANCE 0.625 15-20 03/12A 101,375.00 0.08 100,000.00 VIVENDI 0.875 17-24 18/09A 98,801.00 0.07
100,000.00 DANONE 1.25 15-24 30/05A 103,123.00 0.08 100,000.00 RCI BANQUE SA 0.75 17-22 26/09A 99,658.00 0.08
100,000.00 BNP PARIBAS 1.125 16-23 15/01A 102,450.00 0.08 200,000.00 VEOLIA ENVIRONNEMENT 0.00 17-20 23/11A 199,748.00 0.15
100,000.00 VALEO SA 1.625 16-26 18/03A 100,544.00 0.08 100,000.00 BNP PARIBAS CARDIF 1.00 17-24 29/11A 94,720.00 0.07
100,000.00 BANQUE FED CRED MU 2.375 16-26 24/03A 101,652.00 0.08 100,000.00 BFCM 1.625 17-27 15/11A 93,830.00 0.07
100,000.00 SANOFI 1.125 16-28 05/04A 100,317.00 0.08 150,000.00 RENAULT 1.00 17-25 28/11A 142,587.00 0.11
100,000.00 BNP PAR 2.875 16-26 01/10A 105,346.00 0.08 100,000.00 SCHNEIDER ELECTRIC 0.875 17-26 13/12A 97,588.00 0.07
100,000.00 BPCE 2.875 16-26 22/04A 105,191.00 0.08 100,000.00 SOCIETE GENERALE 1.375 17-28 13/01A 95,581.00 0.07
100,000.00 FONC DES REGIONS 1.875 16-26 20/05A 100,357.01 0.08 100,000.00 TOTAL CAPITAL 1.375 17-29 04/10A 101,199.00 0.08
100,000.00 JC DECAUX 1.00 16-23 01/06A 101,029.00 0.08 200,000.00 RCI BANQUE 1.625 17-25 11/04A 199,886.00 0.15
100,000.00 KERING 1.25 16-26 10/05A 100,857.99 0.08 100,000.00 ENGIE 0.375 17-23 28/02A 99,396.00 0.08
100,000.00 CARREFOUR SA 0.75 16-24 26/04A 97,745.00 0.07 100,000.00 BFCM EMTN 0.75 18-25 17/07A 97,735.00 0.07

The accompanying notes form an integral part of these financial statements

141
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 HOLDING INFRASTRUCTUR 1.625 17-27 27/11A 92,612.00 0.07 200,000.00 VOLKSWAGEN LEASING 0.25 17-20 05/10A 200,266.00 0.15
103,000.00 BNP PARIBAS SA 1.125 18-26 11/06A 98,558.64 0.07 100,000.00 VOLKSWAGEN LEASING 1.125 17-24 04/04A 98,434.00 0.07
200,000.00 BPCE SA 0.875 18-24 31/01A 196,052.00 0.15 150,000.00 DAIMLER AG 1.00 17-27 15/11A 142,507.50 0.11
200,000.00 LEGRAND SA 0.50 17-23 09/10A 198,588.00 0.15 100,000.00 VOLKSWAGEN BANK 1.25 17-25 15/12A 96,301.00 0.07
100,000.00 BPCE SA 1.375 18-26 23/03A 97,832.00 0.07 50,000.00 BASF SE 1.625 17-37 15/11A 47,526.50 0.04
100,000.00 ORANGE SA 1.375 18-28 20/03A 98,911.00 0.07 100,000.00 BERLIN HYP 1.125 17-27 25/10A 98,320.00 0.07
100,000.00 CAPGEMINI S 1.7500 18-28 18/04A 100,368.00 0.08 100,000.00 HANNOVER RUECK SE 1.125 18-28 18/04A 98,287.00 0.07
200,000.00 UNIBAIL-RODAMCO SE 1.125 18-25 15/09A 200,080.02 0.15 220,000.00 BASF SE 0.875 18-25 22/05A 220,411.37 0.17
100,000.00 SANOFI SA 1.875 18-38 21/03A 100,890.01 0.08 100,000.00 COMMERZBANK AG 1.875 18-28 28/02A 97,291.00 0.07
200,000.00 CIE GENERALE 1.7500 18-30 03/09A 200,408.00 0.15 Guernsey 203,480.00 0.15
300,000.00 HSBC FRANCE 0.60 18-23 20/03Q 300,375.00 0.22
100,000.00 BFCM 1.375 18-28 16/07A 99,754.00 0.08 200,000.00 CREDIT SUISSE GR FDG 1.25 15-22 14/04A 203,480.00 0.15
Iceland 102,025.00 0.08
Germany 6,842,389.94 5.17
100,000.00 ARION BANKI HF 1.625 16-21 01/12A 102,025.00 0.08
100,000.00 COMMERZBANK AG 7.75 11-21 16/03A 116,466.00 0.09
100,000.00 MUNICH RE 6.25 12-42 26/05A 118,701.00 0.09 Ireland 1,508,387.40 1.14
100,000.00 BERTELSMANN 2.625 12-22 02/08A 108,225.00 0.08 84,000.00 GE CAP EUROPEAN FDG 6.025 08-38 01/03A 126,327.60 0.10
134,000.00 DEUTSCHE POST FIN REGS2.875 12-24 11/12A 150,893.38 0.11 100,000.00 FGA CAPITAL IRELAND 2.00 14-19 23/10A 101,945.00 0.08
300,000.00 DEUTSCHE BANK AG 2.375 13-23 11/01A 310,425.00 0.23 200,000.00 GE CAP EURO FDG 0.80 15-22 21/01A 202,550.00 0.15
100,000.00 BASF 1.875 13-14 04/02A 104,556.00 0.08 100,000.00 RYANAIR LTD 1.125 15-23 10/03A 100,602.00 0.08
155,000.00 VIER GAS TRANSPORT 3.125 13-23 10/07A 173,500.80 0.13 100,000.00 BANK OF IRELAND 1.25 15-20 09/04A 101,804.00 0.08
100,000.00 CONTINENTAL AG 3.125 13-20 09/09A 105,809.00 0.08 120,000.00 FCA CAPITAL 1.25 16-21 21/01A 121,510.80 0.09
100,000.00 DVB BANK EMTN 2.375 13-20 02/12A 103,955.00 0.08 100,000.00 EATON CAPITAL UNLI 0.75 16-24 20/09A 98,713.00 0.07
100,000.00 BASF REGS 2.50 14-24 22/01A 109,957.00 0.08 100,000.00 JOHNSON CONTROLS INTL 1.375 16-25 25/02A 100,419.00 0.08
85,000.00 VW LEASING GMBH 2.125 14-22 04/04A 89,034.10 0.07 100,000.00 FRESENIUS FIN IRL 3.00 17-32 30/01A 106,555.00 0.08
100,000.00 TALANX AG 2.50 14-26 23/07A 110,903.00 0.08 150,000.00 FRESENIUS FIN REGS 0.875 17-22 31/01A 152,148.00 0.11
200,000.00 SAP EMTN 1.125 14-23 20/02A 207,250.00 0.16 200,000.00 FCA BANK SPA IRL 0.25 17-20 12/10A 198,628.00 0.15
103,000.00 SAP 1.75 14-27 22/02A 109,808.30 0.08 100,000.00 ROADSTER FINANCE DAC 1.625 17-24 09/12A 97,185.00 0.07
200,000.00 DEUTSCHE BANK AG 1.125 15-25 17/03A 189,180.00 0.14
Italy 4,363,303.20 3.29
150,000.00 VOLKSWAGEN FIN SERV 0.75 15-21 14/10A 150,853.50 0.11
100,000.00 EUROGRID 1.875 15-25 10/06A 104,737.00 0.08 100,000.00 ENEL SOCIETA -EMTN- 5.625 07-27 21/06A 129,075.00 0.10
100,000.00 VOLKSWAGEN LEAS 0.75 15-20 11/08A 101,166.00 0.08 300,000.00 ENI SPA -6- 4.125 09-19 16/09A 311,982.00 0.23
100,000.00 MERCK FIN SERVICES 1.375 15-22 01/09A 103,929.00 0.08 102,000.00 ASSICURAZ GENERALI 5.125 09-24 16/09A 122,622.36 0.09
50,000.00 COMMERZBANK AG 1.50 15-22 21/09A 51,424.50 0.04 133,000.00 SIAS EMTN 4.50 10-20 26/10A 143,448.48 0.11
100,000.00 DAIMLER 0.625 15-20 05/03A 101,014.00 0.08 100,000.00 ASSICURAZ GENERALI 7.75 12-42 12/12A 117,750.00 0.09
200,000.00 DEUTSCHE BOERSE 1.625 15-25 08/10A 214,936.00 0.16 100,000.00 UNICREDIT 3.25 14-21 14/01A 104,480.00 0.08
150,000.00 DAIMLER AG 1.40 16-24 12/01A 153,552.00 0.12 100,000.00 ASSICURAZIONI GENERAL 2.875 14-20 14/01A 103,597.00 0.08
300,000.00 DAIMLER AG 0.875 16-21 12/01 305,250.00 0.23 100,000.00 ENI SPA 3.625 14-29 29/01A 116,107.00 0.09
100,000.00 ALSTRIA OFFICE REIT 2.125 16-23 12/04A 104,082.00 0.08 170,000.00 UBI BANCA 2.875 14-19 18/02A 171,642.20 0.13
200,000.00 DAIMLER EMTN 0.25 16-20 11/05A 200,860.00 0.15 65,000.00 MEDIOBANCA 2.25 14-19 18/03A 65,597.35 0.05
200,000.00 BERTELSMANN 1.125 16-26 27/04A 198,680.00 0.15 200,000.00 INTESA SAN PAOLO 2.00 14-21 18/06A 203,272.00 0.15
100,000.00 DAIMLER 0.75 16-23 11/05A 100,399.00 0.08 200,000.00 INTESA SANPAOLO EMTN 1.125 15-20 14/01A 200,848.00 0.15
150,000.00 DEUTSCHE POST AG 0.375 16-21 01/04A 151,075.51 0.11 100,000.00 ENI 1.50 15-26 02/02A 100,143.01 0.08
100,000.00 DVB BANK EMTN 1.25 16-23 16/06A 99,399.00 0.08 350,000.00 TERNA SPA 0.875 15-22 02/02A 351,690.50 0.26
100,000.00 COVESTRO 1 16-21 07/10A 102,364.00 0.08 100,000.00 AUTOSTRADE 1.875 15-25 04/11A 92,652.00 0.07
100,000.00 LANXESS AG 1.00 16-26 07/10A 96,056.00 0.07 100,000.00 MEDIOBANCA 1.625 16-21 19/01A 101,195.00 0.08
100,000.00 HEIDELBERG CEMENT 1.50 16-25 07/02A 100,783.99 0.08 100,000.00 ENI SPA 0.75 16-22 17/05A 101,165.00 0.08
200,000.00 COMMERZBANK 0.50 16-23 13/09A 193,588.00 0.15 100,000.00 ENI SPA 1.125 16-28 19/09A 93,146.00 0.07
100,000.00 BERLIN HYP AG 0.50 16-23 26/09A 98,798.00 0.07 100,000.00 SNAM 0.875 16-26 25/10A 92,410.00 0.07
100,000.00 DEUTSCHE BANK 1.50 17-22 20/01A 100,448.00 0.08 100,000.00 TERNA SPA 1.00 16-28 11/10U 90,190.00 0.07
100,000.00 COMMERZBANK 4.00 17-27 30/03A 107,399.00 0.08 100,000.00 SNAM 0.00 16-20 25/10A 99,485.00 0.08
100,000.00 BASF SE 0.875 16-31 06/10A 91,331.00 0.07 150,000.00 SNAM SPA 1.25 17-25 25/01A 147,150.00 0.11
100,000.00 DEUTSCHE PFANDBRIEF 0.875 17-21 29/01A 100,573.99 0.08 200,000.00 ATLANTIA SPA 1.625 17-25 03/02A 188,190.00 0.14
100,000.00 ROBERT BOSCH EMTN 1.75 14-24 08/07A 106,796.00 0.08 100,000.00 ITALGAS SPA 1.125 17-24 14/03A 98,861.00 0.07
150,000.00 VOLKSWAGEN LEASING 1.375 17-25 20/01A 147,781.50 0.11 100,000.00 ITALGAS SPA 1.625 17-27 19/01A 96,884.00 0.07
150,000.00 DAIMLER AG 1.50 17-29 03/07A 146,211.00 0.11 100,000.00 INTESA SANPAOLO SP 1.375 17-24 18/01A 95,961.00 0.07
100,000.00 E ON SE 0.875 17-24 22/05A 100,894.00 0.08 100,000.00 ENI SPA 1.50 17-27 17/01A 99,271.00 0.07
100,000.00 INTESA SANPAOLO SPA 0.875 17-22 27/06A 96,974.00 0.07

The accompanying notes form an integral part of these financial statements

142
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 2I RETE GAS SPA 1.75 17-26 28/08A 96,095.00 0.07 200,000.00 RABOBANK NEDERLAND 4.125 11-21 12/01A 218,644.00 0.17
100,000.00 AUTOSTRADE 1.875 17-29 26/09A 87,759.00 0.07 100,000.00 E.ON INTER. FINANCE 5.528 08-23 21/02A 122,176.00 0.09
100,000.00 BENI STABILI SPA 1.625 17-18 17/10A 100,360.00 0.08 300,000.00 ALLIANZ FINANCE II 3.50 12-22 14/02A 332,718.00 0.25
250,000.00 UNICREDIT SPA 1.00 18-23 18/01A 235,667.50 0.18 100,000.00 KPN 4.25 12-22 01/03A 112,722.00 0.09
120,000.00 INTESA SANPAOLO SPA 1.75 18-28 20/03A 107,632.80 0.08 200,000.00 HEINEKEN NV 2.125 12-20 04/08A 207,778.00 0.16
Japan 399,077.00 0.30 400,000.00 SIEMENS FINANCIERING 1.50 12-20 10/03A 409,584.00 0.30
150,000.00 RABOBANK 4.125 12-22 14/09A 168,931.50 0.13
100,000.00 SUMITOMO MITSUI FIN 1.546 16-26 15/06A 101,416.00 0.07 100,000.00 ENEL FINANCE INTL 4.875 12-23 17/04A 118,388.00 0.09
100,000.00 SUMITOMO MITSUI FINL 1.143 17-27 14/06A 99,548.00 0.08 100,000.00 DEUTSCHE TEL.INTL FIN 2.75 12-24 24/10A 111,074.00 0.08
100,000.00 MITSUBISHI UFJ 0.872 17-24 07/09A 98,643.00 0.07 100,000.00 GAS NATURAL 3.875 13-23 17/01A 114,182.00 0.09
100,000.00 MIZUHO FINANCIAL G 0.956 17-24 16/10A 99,470.00 0.08 138,000.00 DEUTSCHE TEL FIN 3.25 13-28 17/01A 158,869.74 0.12
Jersey Island 677,359.62 0.51 50,000.00 WOLTERS KLUWER REGS 2.875 13-23 21/03A 55,040.50 0.04
200,000.00 GAS NATURAL FENOSA 3.875 13-22 11/04A 225,142.00 0.17
100,000.00 HEATHROW FDG 1.875 14-22 23/05A 104,913.00 0.08
200,000.00 REPSOL INTL FIN 2.625 13-20 28/05A 208,650.00 0.16
100,000.00 GLENCORE FINANCE 1.625 14-22 18/01A 101,992.00 0.08
100,000.00 RABOBANK 2.375 13-23 22/05A 108,347.00 0.08
100,000.00 HEATHROW FDG 1.50 15-30 11/05A 96,962.00 0.07
100,000.00 IBERDROLA INTL 2.875 13-20 11/11A 105,987.00 0.08
21,000.00 GLENCORE FINANCE EURO 1.75 15-25 17/03A 20,595.12 0.02
100,000.00 RABOBANK SUB 3.875 13-23 25/07A 112,640.00 0.09
100,000.00 DELPHI AUTOMOTIVE PLC 1.50 15-25 10/03A 99,105.00 0.07
107,000.00 RWE FINANCE EMTN 3.00 13-24 17/01A 118,903.75 0.09
250,000.00 GLENCORE FINANCE 1.875 16-23 13/09A 253,792.50 0.19
100,000.00 EDP FINANCE EMTN 4.125 13-21 20/01A 108,762.00 0.08
Luxembourg 3,022,430.98 2.28 319,000.00 ABN AMRO BANK EMTN 2.125 13-20 26/11A 333,910.06 0.25
19,000.00 SES EMTN 4.75 11-21 11/03A 21,029.96 0.02 50,000.00 BHARTI AIRTEL 4.00 13-18 10/12A 50,348.00 0.04
200,000.00 NESTLE FINANCE 1.25 13-20 04/05U 204,498.00 0.16 100,000.00 ACHMEA BV 2.75 14-21 18/02A 106,025.00 0.08
100,000.00 HOLCIM FINANCE REGS 3.00 14-24 22/01A 109,027.00 0.08 100,000.00 GAS NAT FENOSA FIN 2.875 14-24 11/03A 110,603.00 0.08
125,000.00 PROLOGIS 2.875 14-22 04/04A 135,427.50 0.10 100,000.00 SHELL INTL FINANCE 1.625 14-21 24/03A 104,061.00 0.08
100,000.00 CNH IND FIN 2.875 14-21 27/09A 106,529.00 0.08 100,000.00 EDP FINANCE EMTN 2.625 14-22 18/01A 106,810.00 0.08
100,000.00 NOVARTIS FIN REGS 0.75 14-21 09/11A 102,101.00 0.08 100,000.00 SHELL INT FIN 1.00 14-22 06/04A 102,912.00 0.08
100,000.00 DH EUROPE FINANCE 2.50 15-25 08/07A 109,237.00 0.08 70,000.00 NOMURA EUROPE FIN 1.50 14-21 12/05A 72,399.60 0.05
100,000.00 CNH IND FIN 2.875 16-23 17/05S 107,489.00 0.08 200,000.00 ENEL FINANCE INTL 1.966 15-25 27/01A 205,712.00 0.16
100,000.00 AROUNDTOWN PROP REGS 1.50 16-24 15/07A 99,037.00 0.07 175,000.00 RABOBANK NEDERLAND 1.375 15-27 03/02A 179,630.50 0.14
100,000.00 WHIRLPOOL FINANCE 1.25 06-16 15/06A 96,825.00 0.07 200,000.00 INGREGS 0.70 15-20 16/04A 202,498.00 0.15
100,000.00 SELP FINANCE SARL 1.25 16-23 25/10A 99,576.00 0.08 150,000.00 ROCHE HOLDINGS REGS 0.875 15-25 25/02A 152,419.50 0.12
150,000.00 HEIDELBERG CEMENT FIN 0.50 17-21 18/01A 150,943.50 0.12 100,000.00 ADECCO SA 1.50 15-22 22/11A 103,777.00 0.08
100,000.00 HEIDELBERGCEMENT LUX 1.625 17-26 07/04A 99,936.00 0.08 150,000.00 ABN AMRO BANK NV FL.R 15-25 30/06A 155,875.50 0.12
100,000.00 ALLERGAN FUNDING S FL.R 17-24 01/06A 99,139.00 0.07 100,000.00 IBERDROLA INTL 1.75 15-23 17/09A 105,417.00 0.08
100,000.00 HEIDELBERGCEMENT F 1.5 17-27 14/06A 97,000.00 0.07 100,000.00 SHELL INT FIN 1.875 15-25 15/09A 107,184.00 0.08
100,000.00 HOLCIM FINANCE 1.750 17-29 29/08A 94,339.00 0.07 300,000.00 JAB HOLDINGS BV 2.125 15-22 16/09A 318,747.00 0.24
100,000.00 CPI PROPERTY GROUP 2.125 17-24 04/10A 99,234.00 0.07 100,000.00 EXOR 2.125 15-22 02/12A 104,517.00 0.08
100,000.00 ARCELORMITTAL SA 0.95 17-23 17/01A 98,563.00 0.07 200,000.00 ING 0.75 15-20 24/11A 203,310.00 0.15
100,000.00 AROUNDTOWN SA 1.00 17-25 07/01A 94,905.00 0.07 100,000.00 CRH FUNDING 1.875 15-24 09/01A 105,101.00 0.08
100,000.00 NESTLE FINANCE 1.75 17-37 02/11A 100,845.00 0.08 200,000.00 BMW FINANCE 0.875 15-20 17/11A 203,606.00 0.15
100,000.00 BEVCO LUX SARL 1.75 18-23 09/02A 100,575.00 0.08 100,000.00 SHELL INTERNATIONA 1.25 15-22 15/03A 103,860.00 0.08
200,000.00 NOVARTIS FINANCE SA 0.5 18-23 14/08A 201,186.02 0.16 100,000.00 VONOVIA FINANCE BV 2.25 15-23 15/12A 105,740.00 0.08
100,000.00 NOVARTIS FINANCE 1.70 18-38 14/08A 98,585.00 0.07 100,000.00 ABN AMRO BANK SUB 2.875 16-28 18/01A 105,988.00 0.08
200,000.00 RICHEMONT INTL 1.00 18-26 26/03A 199,902.00 0.16 50,000.00 ROCHE FINANCE REGS 0.50 16-23 27/02A 50,637.00 0.04
100,000.00 SES SA 1.625 18-26 99,137.00 0.07 100,000.00 DEUTSCHE TEL INT FIN 1.50 16-28 03/04A 99,320.00 0.07
100,000.00 RICHEMONT INTERNATION 2.0 18-38 26/03A 98,731.00 0.07 200,000.00 COOP RABOBANK 1.25 16-26 23/03A 203,256.00 0.15
100,000.00 BLACKSTONE PP E 2.2000 18-25 24/07A 98,634.00 0.07 100,000.00 COCA COLA HBC FIN 1.00 16-24 11/11A 105,434.00 0.08
100,000.00 BMW FIN NV 1.00 16-22 15/02A 102,517.00 0.08
Mexico 525,829.00 0.40
100,000.00 REN FINANCE BV 1.75 16-23 01/06A 103,662.00 0.08
200,000.00 AMERICA MOVIL 4.125 11-19 25/10A 208,672.00 0.16 100,000.00 AIRBUS GROUP FIN 1.375 16-31 13/05A 97,898.00 0.07
100,000.00 AMERICAN MOVIL 3.259 13-23 22/07A 111,056.00 0.08 100,000.00 OPEL FINANCE INT 1.168 16-20 18/05A 101,645.00 0.08
100,000.00 FOMENTO ECONOMICO 1.75 16-23 20/03A 103,079.00 0.08 250,000.00 ENEL FINANCE INTL 1.375 16-26 01/06A 243,537.50 0.18
100,000.00 AMERICA MOVIL 2.125 16-28 10/03A 103,022.00 0.08 100,000.00 AIRBUS GROUP FIN 0.875 16-26 13/05A 98,370.00 0.07
Netherlands 17,354,901.99 13.09 100,000.00 IBERDROLA INTL 1.125 16-26 21/04A 99,107.00 0.07
100,000.00 SHELL INTL FIN 0.75 16-24 12/05A 100,991.00 0.08
50,000.00 RWE AG EMTN 5.75 03-33 14/02A 71,303.00 0.05
300,000.00 VONOVIA FINANCE 0.875 16-22 10/06A 303,198.00 0.23
300,000.00 RABOBANK NEDERLAND 4.125 10-20 14/01A 316,476.00 0.24
100,000.00 ABB FINANCE 0.625 16-23 03/05A 100,781.00 0.08
100,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 120,893.00 0.09

The accompanying notes form an integral part of these financial statements

143
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
80,000.00 BMW FINANCE REGS 0.75 16-24 15/04A 79,552.80 0.06 100,000.00 ROYAL PHILIPS NV 0.75 18-24 02/05A 99,626.00 0.08
300,000.00 ING BANK NV 0.75 16-21 22/02A 305,184.00 0.23 100,000.00 INNOGY FINANCE 1.625 18-26 30/05A 101,546.00 0.08
100,000.00 DEUTSCHE TELEKOM 0.25 16-21 19/04A 100,383.01 0.08 400,000.00 DAIMLER INTL 0.25 18-22 11/05A 396,388.00 0.29
100,000.00 BUNGE FIN EUROPE BV 1.850 16-23 16/06A 101,897.00 0.08 50,000.00 DEUTSCHE 2.0 18-29 01/12A 50,914.50 0.04
100,000.00 SHELL INTL FIN 1.25 16-28 12/05U 100,567.01 0.08 100,000.00 JAB HOLDINGS BV 2.5000 18-29 25/06A 102,406.00 0.08
100,000.00 UNILEVER NV 0.50 16-24 29/04A 99,420.00 0.08 180,000.00 SIEMENS FINANCI 1.0000 18-27 06/09A 178,659.00 0.13
100,000.00 HEINEKEN 1.00 16-26 04/05A 98,233.00 0.07 New Zealand 99,657.00 0.08
100,000.00 LINDE FINANCE BV 1.00 16-28 20/04A 98,870.00 0.07
100,000.00 CITYCON TREASURY 1.25 16-26 08/09A 90,368.00 0.07 100,000.00 ANZ NEW ZEALAND 0.40 17-22 01/03A 99,657.00 0.08
100,000.00 EVONIK FINANCE BV 0.75 16-28 07/09A 92,204.00 0.07 Norway 671,505.49 0.51
150,000.00 SHELL INT FIN 0.75 16-28 15/08A 142,855.50 0.11 100,000.00 DNB NOR ASA 3.875 10-20 29/06A 106,937.00 0.08
100,000.00 MYLAN 1.25 16-20 23/11A 101,649.00 0.08 100,000.00 DEN NORSKE BANK 4.375 11-21 24/02S 110,298.00 0.08
100,000.00 ASML HOLDING NV 1.625 16-27 28/05A 102,307.00 0.08 100,000.00 SANTANDER CONSUMER 0.375 17-20 17/02A 100,400.99 0.08
100,000.00 MYLAN NV 3.125 16-28 22/11 102,046.00 0.08 150,000.00 DNB BANK ASA 1.125 16-23 01/03A 154,186.50 0.11
100,000.00 KPN NV 1.125 16-28 11/09A 93,589.00 0.07 100,000.00 SPAREBANK 1 SR BK 0.375 16-22 10/02A 99,709.00 0.08
100,000.00 EDP FINANCE 1.875 17-23 29/09A 104,013.00 0.08 100,000.00 SPAREBANK 1 SMN 0.50 17-22 09/03A 99,974.00 0.08
100,000.00 VW INTL FINANCE 1.125 17-23 02/10A 99,895.00 0.08
Panama 103,348.00 0.08
200,000.00 VW INTL FINANCE 0.50 17-21 30/03A 200,986.00 0.15
100,000.00 VOLKSWAGEN INTL FI 1.875 17-27 30/03A 98,755.00 0.07 100,000.00 CARNIVAL CORP 1.625 16-21 22/02A 103,348.00 0.08
300,000.00 LINDE FINANCE BV 0.25 17-22 18/01A 301,395.00 0.23 Poland 97,936.00 0.07
200,000.00 ENEL FIN INTL 1.00 17-24 16/09A 196,672.00 0.15
100,000.00 TAURON 2.375 17-27 05/07A 97,936.00 0.07
100,000.00 BMW FINANCE NV 0.75 17-24 12/07A 99,245.00 0.07
100,000.00 RELX FINANCE BV 1.00 17-24 22/03A 100,138.00 0.08 Portugal 104,553.00 0.08
100,000.00 WPC EUROBOND 2.25 17-24 19/07A 103,230.00 0.08 100,000.00 BRISA CONCESSAO ROD 2.00 16-23 22/03A 104,553.00 0.08
200,000.00 DEUTSCHE TEL INTL FIN 0.375 17-21 30/10A 201,092.02 0.15 Spain 5,512,051.43 4.16
200,000.00 VONOVIA FINANCE BV 0.75 17-22 25/01A 201,806.00 0.15
150,000.00 DEUTSCHE TELEKOM I 1.375 17-27 30/01A 149,712.00 0.11 100,000.00 IBERDROLA FINANZAS 4.125 10-20 23/03A 106,133.00 0.08
100,000.00 INNOGY FINANCE 1.00 17-25 13/04A 99,131.00 0.07 200,000.00 RED ELECT FINANCE 4.875 11-20 29/04A 215,386.00 0.16
100,000.00 BMW FINANCE NV 0.125 17-21 12/01A 100,150.00 0.08 200,000.00 GAS NATURAL REGS 6.00 12-20 27/01A 216,006.00 0.16
100,000.00 NN GROUP NV FL.R 17-27 01/06A 100,490.00 0.08 100,000.00 SANTANDER INTL DEBT 4.00 13-20 24/01A 105,303.00 0.08
100,000.00 BMW FIN NV 0.875 17-25 03/04A 98,999.00 0.07 100,000.00 ABERTIS INFRAESTRUCT. 3.75 13-23 20/06A 111,786.00 0.08
200,000.00 BMW FINANCE 0.125 17-20 03/07A 200,664.00 0.15 100,000.00 ENAGAS EMTN 2.50 14-22 11/04A 108,023.00 0.08
100,000.00 COMPASS GROUP INTL 0.625 17-24 03/07A 98,634.00 0.07 200,000.00 SANTANDER CONSUM FIN 0.90 15-20 18/02A 202,468.00 0.15
150,000.00 UNILEVER 1.375 17-29 31/07A 149,248.50 0.11 100,000.00 SANTANDER ISSUANCES 2.50 15-25 18/03A 100,716.00 0.08
150,000.00 KONINKIJKE AHOLD 0.875 17-24 19/09A 149,358.00 0.11 100,000.00 RED ELECT FIN REGS 1.125 15-25 24/04A 101,683.00 0.08
200,000.00 LEASEPLAN CORP 0.75 17-22 03103A 197,906.00 0.15 100,000.00 TELEFONICA EMIS REGS 1.477 15-21 14/09A 103,593.00 0.08
100,000.00 EDP FINANCE 1.50 17-27 22/11A 96,081.00 0.07 100,000.00 SANTANDER INTL DEB 1.375 15-22 14/12A 103,065.00 0.08
100,000.00 ING GROEP 1.375 17-28 11/01A 96,304.00 0.07 100,000.00 BBVA 1.00 16-21 20/01A 102,060.00 0.08
150,000.00 DEUTSCHE TELEKOM 0.625 17-24 13/12A 146,940.00 0.11 200,000.00 SANTANDER ISSUANCES 3.25 16-26 04/04A 208,634.00 0.16
100,000.00 ALLIANZ FINANCE 0.875 17-27 06/12A 98,234.00 0.07 100,000.00 TELEFONICA EMISION 1.46 16-26 13/04A 98,682.00 0.07
200,000.00 UNILEVER NV 0.875 17-25 31/07A 201,052.00 0.15 100,000.00 MERLIN PROP SOCIMI 2.225 16-23 25/04A 104,493.00 0.08
50,000.00 INNOGY FINANCE 1.25 17-27 19/10A 48,496.50 0.04 100,000.00 TELEFONICA EMIS SA 0.75 16-22 13/04A 100,695.00 0.08
100,000.00 HEINEKEN 1.50 17-29 03/10A 97,829.00 0.07 100,000.00 ENAGAS FIN EMTN 1.375 16-28 05/05A 99,271.00 0.07
100,000.00 BMW FINANCE NV EMTN 1.125 18-28 10/01A 96,899.00 0.07 100,000.00 SANTANDER CONSUMER 1.00 16-21 26/05A 101,882.00 0.08
100,000.00 VONOVIA FINANCE BV 1.5 18-28 14/01A 95,896.00 0.07 700,000.00 TELEFONICA EMIS 0.318 16-20 17/10A 703,177.93 0.53
100,000.00 ENEL FINANCE INTL 1.125 18-26 16/09A 94,725.00 0.07 100,000.00 BANCO SANTANDER 1.375 17-22 09/02A 101,789.00 0.08
200,000.00 BMW FINANCE NV 0.375 18-23 10/07A 197,164.00 0.15 100,000.00 IBERDROLA FIN 1.00 17-25 07/03A 100,112.00 0.08
300,000.00 UNILEVER NV 0.00 17-21 31/07U 299,187.00 0.23 100,000.00 BBVA 3.50 17-27 10/02A 104,747.00 0.08
50,000.00 SUEDZUCKER INT FIN 1.00 17-25 28/11A 46,310.00 0.03 100,000.00 TELEFONICA EMISION 2.318 17-28 17/10A 101,277.00 0.08
100,000.00 VONOVIA FINANCE BV 0.75 18-24 15/01A 97,987.00 0.07 100,000.00 SANTAN CONSUMER FI 0.875 17-22 24/01A 100,607.00 0.08
100,000.00 GAS NATURAL FENOSA 1.5 18-28 29/01A 97,807.00 0.07 200,000.00 CAIXABANK SA 1.125 17-24 17/05A 197,042.00 0.15
100,000.00 VONOVIA FINANCE BV 2.125 18-30 22/03A 99,060.00 0.07 250,000.00 FCC AQUALIA 1.413 17-22 08/06A 253,342.50 0.19
200,000.00 ING GROUP NV 1.125 18-25 14/02A 195,690.00 0.15 100,000.00 CRITERIA CAIXA SA 1.5 17-23 10/05A 99,424.00 0.08
100,000.00 BAYER CAP 0.625 18-22 16/06A 100,495.00 0.08 100,000.00 IBERDROLA FINANZAS 1.25 17-27 13/09A 98,368.00 0.07
100,000.00 BAYER CAPITAL CORP 2.1250 18-29 15/12A 100,639.00 0.08 200,000.00 BCO BILBAO VIZCAYA 0.75 17-22 11/09A 197,962.00 0.15
170,000.00 DEUTSCHE TELEKOM INT 0.625 18-22 01/12A 170,731.00 0.13 100,000.00 TELEFONICA EMIS 1.715 17-28 12/01A 97,383.00 0.07
300,000.00 ABN AMRO BANK N 0.8750 18-25 22/04A 299,175.00 0.23 100,000.00 NORTEGAS ENERGIA 2.065 17-27 28/09A 97,955.00 0.07

The accompanying notes form an integral part of these financial statements

144
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 INMOBILIARIA COLONIA 1.625 17-25 28/11A 96,504.00 0.07 100,000.00 STD CHARTERED SUB 3.125 14-24 19/11A 106,388.00 0.08
100,000.00 BANCO DE SABADELL SA 0.875 17-23 05/03A 97,794.00 0.07 100,000.00 BRITISH SKY 1.875 14-23 24/11A 105,117.00 0.08
200,000.00 TELEFONICA EMISIONES 1.447 18-27 22/01A 194,282.00 0.15 200,000.00 GSK CAPITAL 0.625 14-19 02/12A 201,736.00 0.15
100,000.00 BANCO SANTANDER 1.125 18-25 17/01A 96,827.00 0.07 100,000.00 ABBEY NATL 1.125 15-22 14/01A 101,937.00 0.08
100,000.00 BANCO SANTANDER SA 2.125 18-28 08/02A 93,843.00 0.07 200,000.00 CREDIT AGRICOLE 0.875 15-22 19/01A 203,668.00 0.15
200,000.00 ACS SERVICIOS C 1.8750 18-26 20/04A 193,768.00 0.15 100,000.00 BP CAPITAL MARKETS 1.109 15-23 16/02A 102,794.00 0.08
100,000.00 INMOBILIARIA CO 2.0000 18-26 17/04A 98,182.00 0.07 100,000.00 BP CAPITAL MARKETS 1.573 15-27 16/02A 102,270.00 0.08
100,000.00 BANCO BILBAO VIZCAYA 1.375 18-25 14/05A 97,786.00 0.07 100,000.00 BAT INTL FIN 2.00 15-45 13/03A 81,207.00 0.06
Sweden 2,040,171.96 1.54 100,000.00 BAT INTERNATIONAL FIN 1.25 15-27 13/03A 95,067.00 0.07
100,000.00 YORKSHIRE BLD EMTN 1.25 15-22 17/03A 101,593.00 0.08
100,000.00 TELIASONERA EMTN 4.00 11-22 22/03A 112,519.00 0.08 100,000.00 SMITHS GROUP PLC 1.25 15-23 28/04A 100,959.00 0.08
200,000.00 AKZO NOBEL EMTN 2.625 12-22 27/07A 217,412.00 0.15 200,000.00 LLOYDS BANK 0.625 15-20 20/04A 202,120.00 0.15
300,000.00 SVENSKA HANDELSBK AB 2.625 12-22 23/08A 326,352.00 0.24 100,000.00 MOTABILITY OPERATI 1.625 15-23 09/06A 104,806.00 0.08
200,000.00 SVENSKA HANDELSBANK 2.25 13-20 27/08A 208,974.00 0.16 400,000.00 UBS AG LONDON 1.125 15-20 30/06 408,256.00 0.30
100,000.00 TELIASONERA EMTN 3.50 13-33 05/09A 116,792.00 0.09 200,000.00 HSBC HOLDINGS PLC 3.00 15-25 30/06U 216,708.00 0.16
149,000.00 SEB EMTN 2.00 14-21 19/02A 156,008.96 0.12 100,000.00 ITV PLC 2.125 15-22 21/09 103,985.00 0.08
100,000.00 SCA 1.125 15-25 05/03A 99,608.00 0.08 200,000.00 CS AG LDN 1.125 15-20 15/09A 204,464.00 0.15
100,000.00 SWEDBANK REGS 0.625 15-21 04/01A 101,384.00 0.08 100,000.00 SSE PLC 1.75 15-23 08/09A 104,690.00 0.08
100,000.00 SKANDINAVISKA ENSK 0.75 16-21 24/08A 101,913.00 0.08 100,000.00 VODAFONE GROUP 0.875 15-20 17/11A 101,738.00 0.08
100,000.00 ORLEN CAPITAL 2.50 16-23 07/06A 106,515.00 0.08 200,000.00 FCE BANK PLC 1.528 15-20 09/11 205,226.00 0.15
100,000.00 ATLAS COPCO AB 0.625 16-26 30/08A 96,142.00 0.07 100,000.00 BAT INTL FINANCE P 1.00 15-22 23/05A 101,172.00 0.08
100,000.00 HEMSO FASTIGHET AB 1.00 16-26 09/09A 95,937.00 0.07 100,000.00 BP CAPITAL MARKETS 1.373 16-22 03/03A 103,848.00 0.08
100,000.00 SCA HYGIENE AB 1.125 17-24 27/03A 101,043.00 0.08 100,000.00 EASYJET PLC 1.75 16-23 09/02A 103,421.00 0.08
100,000.00 SWEDBANK AB 0.30 17-22 06/09A 99,743.00 0.08 100,000.00 VODAFONE GROUP 1.25 16-21 25/08A 102,899.00 0.08
100,000.00 SECURITAS AB 1.125 17-24 20/02A 99,829.00 0.08 100,000.00 VODAFONE GROUP 1.75 16-23 25/08A 104,846.00 0.08
Switzerland 399,330.00 0.30 100,000.00 BRITISH TELECOM 0.625 16-21 10/03A 100,979.00 0.08
100,000.00 RBS 2.50 16-23 22/03A 104,749.00 0.08
200,000.00 UBS GROUP FUNDING 1.25 16-26 01/09A 196,108.00 0.15
200,000.00 HSBC HOLDINGS PLC 1.50 16-22 15/03A 206,448.00 0.16
200,000.00 UBS GROUP FUNDING 1.50 16-24 30/11A 203,222.00 0.15
100,000.00 BARCLAYS PLC 1.875 16-21 23/03A 103,381.00 0.08
United Kingdom 12,353,889.20 9.33 100,000.00 FCE BANK PLC 1.615 16-23 11/05A 100,207.99 0.08
100,000.00 NATIONAL GRID EMTN 4.375 05-20 10/03A 106,257.00 0.08 200,000.00 CREDIT AGRICOLE 1.25 16-26 14/04A 200,998.00 0.15
200,000.00 RBS 5.50 10-20 23/03A 215,736.00 0.16 100,000.00 HAMMERSON PLC 1.75 16-23 15/03A 102,942.00 0.08
259,000.00 LLOYDS TSB 6.50 10-20 24/03A 283,017.07 0.20 100,000.00 CREDIT SUISSE AG L 1.50 16-26 10/04A 103,363.00 0.08
100,000.00 BARCLAYS BANK PLC 6.00 10-21 14/01A 110,902.00 0.08 200,000.00 CREDIT AGRICOLE LDN 0.75 16-22 01/12A 202,056.00 0.15
150,000.00 NATIONWIDE BUILDING 6.75 10-20 22/07A 167,128.50 0.13 100,000.00 BP CAPITAL PLC 1.953 16-25 03/03A 105,969.00 0.08
100,000.00 BARCLAYS BANK SUB 6.625 11-22 30/03A 116,556.00 0.09 100,000.00 CREDIT SUISSE LONDON 1.00 16-23 07/06A 101,716.00 0.08
100,000.00 BAT INTL FINANCE 3.625 11-21 09/11A 109,782.00 0.08 100,000.00 COCA-COLA EUROP PTNR 0.750 16-22 24/02A 101,381.00 0.08
200,000.00 ANGLO AMER CAPITAL 3.50 12-22 28/03A 216,052.00 0.16 200,000.00 ASTRAZENECA PLC 0.75 16-24 12/05A 198,826.00 0.15
100,000.00 BAT INTL FINANCE 2.75 13-25 25/03A 107,874.00 0.08 200,000.00 HSBC HLDGS 0.875 16-24 06/09A 196,636.00 0.15
100,000.00 AVIVA PLC SUB 6.125 13-43 05/07A 116,500.00 0.09 300,000.00 VODAFONE GROUP PLC 1.60 16-31 29/07A 279,354.00 0.21
200,000.00 ABBEY NAT TREAS.SERV 2.625 13-20 16/07A 209,138.00 0.16 100,000.00 SANTANDER UK GROUP 1.125 16-23 08/09A 98,903.00 0.07
100,000.00 CS AG LDN EMTN 3.125 13-23 17/07A 111,738.00 0.08 100,000.00 CREDIT AGRICOLE LDN 1.875 16-26 20/12A 100,913.00 0.08
150,000.00 WPP PLC 3.00 13-23 20/11A 164,455.50 0.12 100,000.00 G4S INTL FINANCE PLC 1.50 16-23 09/01A 101,264.00 0.08
100,000.00 BARCLAYS BANK 2.125 14-21 24/02A 104,571.00 0.08 150,000.00 BP CAPITAL MARKETS 5.56 16-24 25/01A 153,148.50 0.12
200,000.00 BP CAPITAL MKT 2.177 14-21 28/09A 212,322.00 0.16 100,000.00 LLOYDS BANK GRP REGS 1.00 16-23 09/11A 98,201.00 0.07
103,000.00 BP CAPITAL MKTS 2.972 14-26 27/02A 116,254.04 0.09 100,000.00 IMPERIAL BRANDS FIN 1.375 17-25 27/01A 98,719.00 0.07
100,000.00 LEEDS BS 2.625 14-21 01/04A 105,178.00 0.08 50,000.00 BP CAPITAL MARKETS 1.077 17-25 26/06A 50,136.00 0.04
200,000.00 CS AG LONDON 1.375 14-19 29/11A 203,564.00 0.15 100,000.00 CREDIT AGRICOLE LO 1.375 17-27 03/05A 100,602.00 0.08
200,000.00 UBS AG LONDON 1.25 14-21 03/09A 206,136.00 0.16 240,000.00 BRITISH TELECOMMUN 3.22 17-24 23/06A 237,621.60 0.18
100,000.00 BRITISH SKY BROADCAST 1.50 14-21 15/09A 103,412.00 0.08 100,000.00 NATIONWIDE BUILDING 0.625 17-23 19/04A 99,772.00 0.08
70,000.00 B SKY B GROUP 2.50 14-26 15/09A 74,979.80 0.06 100,000.00 BP CAPITAL MARKETS 1.637 17-29 26/06A 101,214.00 0.08
200,000.00 VODAFONE GROUP PLC 1.00 14-20 11/09A 203,204.00 0.15 100,000.00 BAT INTL FIN 2.25 17-30 16/01A 97,561.00 0.07
100,000.00 BARCLAYS BANK 1.50 14-22 01/04A 101,814.00 0.08 100,000.00 GLAXOSMITHKLINE 0.00 17-20 12/09A 99,996.00 0.08
180,000.00 CREDIT SUISSE LONDON 1.375 14-22 31/01A 186,010.20 0.14 100,000.00 VODAFONE GROUP PLC 1.125 17-25 20/11A 98,224.00 0.07
100,000.00 VODAFONE GROUP 1.875 14-25 11/09A 103,585.00 0.08 100,000.00 LLOYDS BANKING 1.50 17-27 12/09A 95,822.00 0.07
50,000.00 BG ENERGY CAP REGS 2.25 14-29 21/11A 53,554.50 0.04 100,000.00 DIAGEO FINANCE 0.50 17-24 19/06A 98,184.00 0.07
100,000.00 LLOYDS BANK 1.00 14-21 19/11A 102,375.00 0.08 200,000.00 BRITISH TELECOM 1.00 17-24 21/11A 196,208.00 0.15

The accompanying notes form an integral part of these financial statements

145
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 GLAXOSMITHKLINE CAP 1.375 17-29 12/09A 99,768.00 0.08 100,000.00 MONDELEZ INTL 1.625 15-27 08/03A 100,960.01 0.08
100,000.00 ROYAL BANK OF SCOT 0.625 18-22 02/03A 98,607.00 0.07 100,000.00 COCA COLA 1.625 15-35 09/09A 97,750.00 0.07
200,000.00 BARCLAYS PLC 1.375 18-26 24/01A 190,538.00 0.14 200,000.00 KINDER MORGAN INC/DEL 1.50 15-22 16/03M 205,846.00 0.16
100,000.00 CREDIT AGRICOLE LDN 1.375 18-25 13/03A 99,258.00 0.07 100,000.00 KELLOGG 1.25 15-25 10/03A 99,912.00 0.08
200,000.00 MONDI FINANCE P 1.6250 18-26 27/04A 198,858.00 0.15 100,000.00 PPG INDUSTRIES 1.40 15-27 13/03A 99,950.00 0.08
150,000.00 ROLLS ROYCE 0.875 18-24 09/05A 148,354.50 0.11 100,000.00 WHIRLPOOL 0.625 15-20 12/03A 100,706.01 0.08
United States of America 19,782,188.67 14.93 100,000.00 COCA COLA ENTERPRISES 1.875 15-30 18/03A 101,560.00 0.08
100,000.00 BERKSHIRE HATHAWAY 1.625 15-35 16/03A 97,537.00 0.07
50,000.00 GECC EMTN SUB 4.125 05-35 19/09A 61,027.00 0.05 100,000.00 BANK OF AMERICA CORP 1.375 15-25 26/03A 100,954.01 0.08
50,000.00 PROCTER GAMBLE 4.875 07-27 11/05A 65,784.50 0.05 100,000.00 ZF NA CAPITAL 2.75 15-23 27/04A 106,690.00 0.08
100,000.00 GOLDMAN SACHS GROUP 5.125 09-19 23/10A 105,531.00 0.08 100,000.00 BRISTOL MYERS SQUIBB 1.00 15-25 15/05A 101,106.00 0.08
200,000.00 MORGAN STANLEY EMTN 5.375 10-20 10/08A 219,856.00 0.16 100,000.00 GENERAL MILLS INC 1.00 15-23 27/04A 101,665.00 0.08
200,000.00 JPMORGAN CHASE AND CO 3.875 10-20 23/09A 215,336.00 0.16 100,000.00 FLOWSERVE 1.25 15-22 17/03A 100,120.01 0.08
100,000.00 PHILIP MORRIS INTL 2.875 12-24 30/05A 110,422.00 0.08 100,000.00 RELAX CAPITAL 1.30 15-25 12/05A 99,993.00 0.08
100,000.00 WELLS FARGO REGS 2.625 12-22 16/08A 108,110.00 0.08 100,000.00 WELLS FARGO CO 1.625 15-25 02/06A 102,052.00 0.08
100,000.00 JPM CHASE 1.875 12-19 21/11A 102,339.00 0.08 200,000.00 MC DONALD S 1.125 15-22 26/05A 204,910.00 0.15
100,000.00 ATT T 3.55 12-32 17/12A 109,226.00 0.08 50,000.00 GENERAL ELECTRIC CO 1.875 15-27 28/05A 50,894.00 0.04
100,000.00 GOLDMAN SACHS GR EMTN 3.25 13-23 01/02A 109,985.00 0.08 100,000.00 EXPEDIA 2.50 15-22 03/06A 104,834.00 0.08
200,000.00 PHILIP MORRIS 1.75 13-20 19/03A 205,238.00 0.15 100,000.00 TIME WARNER 1.95 15-23 15/09A 104,039.00 0.08
100,000.00 PHILIP MORRIS 3.125 13-33 03/06A 112,852.00 0.09 100,000.00 GOLDMAN SACHS GROU 2.00 15-23 27/07A 104,459.00 0.08
140,000.00 ORACLE EMTN 2.25 13-21 10/01A 147,155.40 0.11 100,000.00 WELLS FARGO CO 1.50 15-22 12/09A 103,724.00 0.08
100,000.00 TOYOTA MOTOR CREDIT 1.80 13-20 23/07A 103,373.00 0.08 100,000.00 AMERICAN HONDA FIN 1.375 15-22 10/11A 104,008.00 0.08
200,000.00 BANK OF AMERICA 2.50 13-20 27/07A 209,180.00 0.16 100,000.00 BMW US CAP 1.125 15-21 18/09A 102,754.00 0.08
100,000.00 IBM CORP 2.875 13-25 07/11A 112,824.00 0.09 200,000.00 TOYOTA MOTOR CREDIT 1.00 15-21 09/03A 204,654.00 0.15
200,000.00 AT T 3.50 13-25 17/12A 226,248.00 0.16 400,000.00 JPMORGAN CHASE 1.50 15-22 26/10A 415,660.00 0.30
100,000.00 MICROSOFT 2.125 13-21 06/12S 106,043.00 0.08 100,000.00 PROCTER & GAMBLE C 1.125 15-23 02/11 103,084.00 0.08
168,000.00 MICROSOFT 3.125 13-28 06/12A 200,145.12 0.15 100,000.00 WELLS FARGO CO 2.00 15-26 27/04A 103,711.00 0.08
100,000.00 MONDELEZ INTL 2.375 13-21 26/01A 105,127.00 0.08 150,000.00 MASTERCARD 1.10 15-22 01/12S 154,044.00 0.12
119,000.00 CARGILL REGD EMTN 2.50 14-23 15/02A 129,069.78 0.10 200,000.00 THERMO FISCHER SCIEN 1.50 15-20 01/12A 205,486.00 0.16
100,000.00 VERIZON COMMUNICATION 2.375 14-15 17/02A 106,691.00 0.08 200,000.00 AMGEN 1.25 16-22 25/02A 205,996.00 0.16
100,000.00 PROLOGIS 3.375 14-24 20/02A 112,298.00 0.08 100,000.00 MORGAN STANLEY 1.75 16-24 11/03A 103,264.00 0.08
100,000.00 PHILIP MORRIS INTL 2.875 14-26 03/03A 110,687.00 0.08 150,000.00 IBM 0.5 16-21 07/09A 151,620.00 0.11
100,000.00 DISCOVERY COMM. 2.375 14-22 07/03A 105,812.00 0.08 100,000.00 BERKSHIRE HATHAWAY 1.30 16-24 15/03A 102,897.00 0.08
100,000.00 WAL-MART INC 1.90 14-22 08/04A 105,632.00 0.08 100,000.00 NASDAQ 1.75 16-23 19/05A 103,917.00 0.08
100,000.00 WAL MART INC 2.55 14-26 08/04A 111,144.00 0.08 100,000.00 JOHNSON JOHNSON 0.65 16-24 20/05A 100,991.00 0.08
100,000.00 WELLS FARGO 2.125 14-24 04/06A 105,872.00 0.08 100,000.00 KRAFT HEINZ FOODS 2.25 16-28 25/05A 100,750.01 0.08
100,000.00 MCDONALD'S GROUP 2.625 14-29 11/06A 109,048.00 0.08 100,000.00 LIBERTY MUTUAL GROUP 2.75 16-26 04/05A 106,136.00 0.08
100,000.00 BANK OF AMERICA 2.375 14-24 19/06A 107,402.00 0.08 200,000.00 JPMORGAN CHASE & C 1.50 16-26 29/10A 202,336.00 0.15
100,000.00 BANK OF AMERICA CORP 1.375 14-21 10/09A 103,583.00 0.08 100,000.00 MOLSON COORS 1.25 16-24 15/07A 98,844.00 0.07
400,000.00 CITIGROUP 1.375 14-21 27/10A 413,704.00 0.30 100,000.00 MC DONALD S REGS 1.75 16-28 03/05A 101,557.00 0.08
100,000.00 MERCK & CO 1.125 14-21 15/10A 102,911.00 0.08 100,000.00 WELLS FARGO 1.375 16-26 26/10A 98,579.00 0.07
200,000.00 WELLS FARGO 1.125 14-21 29/10A 205,246.00 0.15 100,000.00 FEDEX CORP 0.50 16-20 09/04A 100,663.99 0.08
100,000.00 AT&T INC 1.45 14-22 01/06A 102,971.00 0.08 200,000.00 JOHNSON & JOHNSON 0.25 16-22 20/01A 200,992.00 0.15
200,000.00 APPLE INC 1.00 14-22 10/11A 206,744.00 0.16 100,000.00 PHILIP MORRIS INTL 2.00 16-36 09/05A 94,753.00 0.07
100,000.00 VERIZON COMMUNICATION 2.625 14-31 01/12A 104,583.00 0.08 100,000.00 KENNEDY WIL EUR REGS 3.25 15-25 12/11A 101,086.00 0.08
200,000.00 APPLE 1.625 14-26 10/11A 209,606.00 0.16 100,000.00 GENERAL MOTORS 0.955 16-23 07/09A 97,960.00 0.07
100,000.00 VERIZON COMM 1.625 14-24 01/03A 104,207.00 0.08 100,000.00 GOLDMAN SACHS GROU 3.00 16-31 12/02A 109,235.00 0.08
50,000.00 WALGREENS BOOTS 2.125 14-26 20/11A 50,943.00 0.04 120,000.00 GOLDMAN SACHS GROUP 1.625 16-26 27/07A 119,096.40 0.09
100,000.00 AT T 2.60 14-29 17/12A 102,913.00 0.08 100,000.00 PEPSICO 0.875 16-28 18/07A 95,635.00 0.07
100,000.00 JPMORGAN EMTN 1.50 15-25 27/01A 102,315.00 0.08 100,000.00 VF CORP 0.625 16-23 20/09A 99,603.00 0.08
200,000.00 MET LIFE GLOBAL FDG 0.875 15-22 20/01A 203,270.00 0.15 100,000.00 BANK OF AMERICA 0.75 16-23 26/07A 99,656.00 0.08
100,000.00 GOLDMAN SACHS REGS 1.375 15-22 26/07A 102,743.00 0.08 100,000.00 THERMO FISHER SCIENT 0.75 16-24 12/09A 98,014.00 0.07
100,000.00 MORGAN STANLEY 1.75 15-25 30/01A 102,428.00 0.08 100,000.00 CELANESE US 1.125 16-23 26/09A 100,157.00 0.08
100,000.00 PRICELINE GROUP 1.80 15-27 03/03A 101,241.00 0.08 100,000.00 JPM CHASE 0.625 16-24 25/01A 98,567.00 0.07
250,000.00 COCA COLA 1.125 15-27 09/09A 250,107.50 0.18 200,000.00 WELLS FARGO & COMP 1.00 16-27 02/02A 190,132.00 0.14
100,000.00 NATL GRID 0.75 15-22 11/02A 101,027.00 0.08 200,000.00 VERIZON COMMUNICATION 0.875 16-25 02/04A 196,868.00 0.15
100,000.00 AT T 1.30 15-23 05/09A 101,412.00 0.08 100,000.00 GOLDMAN SACHS GROU 1.25 16-25 01/05A 98,768.00 0.07

The accompanying notes form an integral part of these financial statements

146
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
120,000.00 MORGAN STANLEY 1.375 16-26 27/10 117,265.20 0.09 Finland 100,105.00 0.08
200,000.00 CITIGROUP 0.75 16-23 26/10A 197,740.00 0.15 100,000.00 NORDEA BANK FL.R 16-26 07/09A 100,105.00 0.08
100,000.00 ABBVIE 2.125 16-28 17/11A 101,119.00 0.08
France 2,971,289.00 2.24
100,000.00 ABBVIE 1.375 16-24 17/05A 101,608.00 0.08
100,000.00 ECOLAB INC 1.00 16-24 15/01A 101,147.00 0.08 100,000.00 CNP ASSURANCES FL.R 10-40 14/09A 110,286.00 0.08
200,000.00 MORGAN STANLEY 1.00 16-22 02/12A 202,642.00 0.15 200,000.00 BFCM EMTN FL.R 14-24 18/03Q 219,442.00 0.17
100,000.00 BLACKSTONE HLDG 1.00 16-26 05/10A 94,692.00 0.07 100,000.00 BNP PARIBAS FL.R 14-26 20/03A 104,577.00 0.08
100,000.00 BECTON DICKINSON A 1.00 16-22 15/12A 100,524.99 0.08 100,000.00 ENGIE FL.R 14-XX 02/06A 105,625.00 0.08
200,000.00 MCKESSON CORP 0.625 17-21 17/08A 201,738.00 0.15 100,000.00 SUEZ ENVIRONNEMENT FL.R 14-XX 23/06A 103,402.00 0.08
100,000.00 PFIZER 0.25 17-22 06/03A 100,222.00 0.08 100,000.00 AXA SA FL.R 14-XX 07/11A 105,880.00 0.08
100,000.00 PFIZER 1.00 17-27 06/03A 98,900.00 0.07 100,000.00 CNP ASSURANCES FL.R 14-XX 18/11A 105,750.00 0.08
100,000.00 THE PRICELINE GROUP 0.80 17-22 10/03A 101,264.00 0.08 100,000.00 BNP PARIBAS 4.032 14-XX 25/11A 105,187.00 0.08
150,000.00 CITIGROUP EMTN 1.50 16-28 26/10A 145,047.00 0.11 100,000.00 LA MONDIALE REGS SUB FL.R 14-XX 17/12A 108,263.00 0.08
100,000.00 HONEYWELL INTL INC 2.25 16-28 22/02A 108,829.00 0.08 200,000.00 CREDIT AGRICOLE SUB. FL.R 15-XX 13/01A 211,146.00 0.16
200,000.00 BERKSHIRE HATHAWAY 0.25 17-21 17/01A 200,832.02 0.15 200,000.00 TOTAL SA FL.R 15-XX 26/02A 204,282.00 0.15
100,000.00 BERKSHIRE HATHAWAY 0.625 17-23 17/01A 100,744.01 0.08 100,000.00 AXA SA FL.R 16-47 06/07A 102,192.00 0.08
100,000.00 GENERAL ELECTRIC 1.50 17-29 17/05A 96,097.00 0.07 100,000.00 TOTAL SA FL.R 16-49 18/05A 108,288.00 0.08
150,000.00 GENERAL ELECTRIC CO 2.125 17-37 17/05A 137,793.00 0.10 100,000.00 TOTAL SA FL.R 16-XX 06/10A 104,788.00 0.08
200,000.00 GOLDMAN SACHS GROUP 1.375 17-24 15/05A 201,447.98 0.15 100,000.00 TOTAL S.A. FL.R 16-49 05/05A 104,177.00 0.08
100,000.00 MORGAN STANLEY 1.875 17-27 27/04A 101,074.00 0.08 100,000.00 SUEZ SUB FL.R 17-XX 19/04A 100,139.00 0.08
200,000.00 AT&T INC 3.15 17-36 04/09A 200,758.02 0.15 100,000.00 DANONE SA EMTN FL.R 17-XX 23/06A 97,852.00 0.07
100,000.00 DOVER 2.125 13-20 01/12A 104,217.00 0.08 100,000.00 CREDIT MUTUEL ARKEA FL.R 17-29 25/10A 94,260.00 0.07
100,000.00 GENERAL ELECTRIC 0.875 17-25 17/05A 97,698.00 0.07 200,000.00 SOCIETE GENERALE FL.R 18-28 23/02A 194,818.00 0.15
100,000.00 WELLS FARGO & COMP 1.5 17-27 24/05A 98,653.00 0.07 200,000.00 ENGIE SA FL.R 18-XX XX.XXA 189,018.00 0.14
100,000.00 US BANCORP 0.85 17-24 07/06A 99,394.00 0.08 100,000.00 AXA SA FL.R 18-49 28/05A 97,991.00 0.07
550,000.00 GENERAL ELECTRIC CO 0.375 17-22 17/05A 547,772.50 0.40 200,000.00 UNIBAIL RODAMCO FL.R 18-XX XX/XXA 196,038.00 0.15
250,000.00 IBM CORP 0.95 17-25 23/05A 250,005.00 0.18 100,000.00 UNIBAIL-RODAMCO FL.R 18-XX XX/XXA 97,888.00 0.07
100,000.00 AMERICAN INTL GRP 1.875 17-27 21/06A 99,867.00 0.08 Germany 722,609.50 0.55
100,000.00 NESTLE HOLDING 0.875 17-25 18/07A 100,446.00 0.08
100,000.00 ALLIANZ SE FL.R 13-XX 24/10A 112,841.00 0.09
300,000.00 COCA-COLA CO/THE 0.5 17-24 08/03A 297,558.00 0.21
50,000.00 BAYER SUB FL.R 14-75 01/07A 51,088.00 0.04
100,000.00 MERCK & CO 1.375 16-36 02/11A 94,353.00 0.07
100,000.00 BAYER SUB FL.R 14-74 01/07A 102,405.00 0.08
100,000.00 THERMO FISHER SCIENTI 2.875 17-37 24/07A 101,849.00 0.08
100,000.00 ALLIANZ FL.R 14-24 19/08A 105,644.00 0.08
100,000.00 VERIZON COMMUNICATION 2.875 17-38 15/01A 100,273.00 0.08
100,000.00 ALLIANZ SE FL.R 15-45 07/07A 100,101.00 0.08
220,000.00 PROCTER & GAMBLE 0.50 17-24 25/10A 217,778.00 0.16
150,000.00 BAYER SUB FL.R 15-75 02/04A 147,571.50 0.10
100,000.00 TOYOTA MOTOR 0.625 17-24 21/11A 98,712.00 0.07
100,000.00 ALLIANZ SE FL.R 17-47 06/07A 102,959.00 0.08
120,000.00 VERIZON COMMUNICATION 1.375 17-26 27/10A 119,174.40 0.09
170,000.00 TOYOTA MOTOR 0.00 17-21 21/07A 169,564.80 0.13 Italy 334,079.00 0.25
100,000.00 UNITED PARCEL SERVICE 0.375 17-23 15/11A 98,837.00 0.07 100,000.00 ASSICURAZ GENERALI FL.R 12-42 10/07A 125,829.00 0.09
200,000.00 AT T INC 1.05 17-23 05/09A 200,286.02 0.15 100,000.00 ASSICURAZ GENERALI FL.R 15-47 27/10A 106,250.00 0.08
200,000.00 AT T INC 1.80 17-26 05/09A 200,216.00 0.15 100,000.00 ASSICURAZIONI GENERAL FL.R 16-48 08/06A 102,000.00 0.08
100,000.00 GOLDMAN SACHS GROUP 2.00 18-28 22/03A 100,169.99 0.08
Luxembourg 440,535.00 0.33
100,000.00 UNITED TECHNOLOGIES 2.15 18-30 18/05A 101,333.00 0.08
Floating rate bonds 9,205,148.57 6.95 100,000.00 HANNOVER FINANCE FL.R 10-40 14/09A 109,597.00 0.08
100,000.00 TALANX FINANZ EMTN FL.R 12-42 15/06A 123,270.00 0.09
Australia 278,077.00 0.21
100,000.00 HANNOVER FINANCE FL.R 12-43 30/06A 115,118.00 0.09
100,000.00 COMMONW.BK AUSTRALIA FL.R 15-27 22/04A 101,791.00 0.08 100,000.00 AROUNDTOWN SA FL.R 18-XX XX.XXA 92,550.00 0.07
150,000.00 BHP BILLITON FIN FL.R 15-79 22/10A 176,286.00 0.13 Netherlands 2,006,133.01 1.51
Austria 316,645.13 0.24
100,000.00 ALLIANZ FINANCE FL.R 11-41 08/07A 113,058.00 0.08
100,000.00 UNIQA INSU GR AG EMTN FL.R 13-43 31/07A 118,152.00 0.09 50,000.00 VOLKSWAGEN INTL FIN FL.R 13-XX 04/09A 54,868.00 0.04
92,000.00 VIENNA INSUR SUB FL.R 15-XX 02/03A 98,243.12 0.07 100,000.00 VW INTL FIN FL.R 14-26 24/03A 103,698.00 0.08
100,000.00 OMV AG FL.R 18-XX XX/XXA 100,250.01 0.08 100,000.00 ING VERZEKERINGEN FL.R 14-44 08/04A 109,031.00 0.08
Belgium 101,920.00 0.08 100,000.00 RABOBANK EMTN FL.R 14-26 26/05A 104,244.00 0.08
100,000.00 ACHMEA BV FL.R 15-49 31/12A 101,166.00 0.08
100,000.00 KBC GROEP FL.R 15-27 11/03A 101,920.00 0.08 100,000.00 VW INTL FIN SUB FL.R 15-XX 20/03A 99,731.00 0.08
Denmark 61,018.91 0.05 100,000.00 ELM BV SUB FL.R 15-XX 01/09A 102,029.00 0.08
61,000.00 DANSKE BANK FL.R 13-23 04/10A-CALLED 18 61,018.91 0.05 100,000.00 VW INTL FINANCE SUB FL.R 15-XX 20/03A 92,255.00 0.07

The accompanying notes form an integral part of these financial statements

147
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 ARGENTUM NETHLD FL.R 15-XX 16/06A 107,757.00 0.08 100,000.00 KLEPIERRE 1.25 16-31 29/09A 91,783.00 0.07
100,000.00 ASR NEDERLAND FL.R 15-45 29/09A 110,189.00 0.08 100,000.00 BPCE 1.00 16-28 05/10A 96,672.00 0.07
100,000.00 ARGENTUM NETHLD FL.R 16-46 01/10A 106,096.00 0.08 100,000.00 GECINA 2.00 17-32 30/06A 96,340.00 0.07
100,000.00 ALLIANZ FIN II FL.R 16-20 21/04A 100,126.01 0.08 100,000.00 AUTOROUTES DU SUD 1.375 18-30 22/01A 97,825.00 0.07
200,000.00 EVONIK FINANCE BV FL.R 16-21 08/03A 199,320.00 0.14 100,000.00 MERCIALYS SA 1.8 18-26 27/02A 95,563.00 0.07
100,000.00 ING GROEP NV FL.R 17-29 15/02A 102,237.00 0.08 100,000.00 TOTAL CAP 1.023 18-27 04/09A 100,021.00 0.08
100,000.00 ING GROEP NV FL.R 17-28 11/04A 105,446.00 0.08 Germany 273,357.00 0.21
100,000.00 VW INTL FINANCE REGS FL.R 17-XX 14/12A 99,562.00 0.08
100,000.00 VW INTL FINANCE FL.R 17-XX 14/06A 96,250.00 0.07 100,000.00 EUROGRID GMBH 1.625 15-23 03/11A 104,261.00 0.08
100,000.00 IBERDROLA INTL BV FL.R 18-XX XX/XXA 99,070.00 0.07 70,000.00 VOLKSWAGEN LEASING 1.6250 18-25 15/08A 69,370.00 0.05
100,000.00 VOLKSWAGEN LEASING 1.0000 18-23 16/02A 99,726.00 0.08
Norway 100,484.00 0.08
Ireland 132,494.60 0.10
100,000.00 DNB BANK ASA FL.R 17-27 01/03A 100,484.00 0.08
119,000.00 CRH FINANCE 3.125 13-23 03/04A 132,494.60 0.10
Sweden 360,455.50 0.27
Italy 98,965.00 0.07
100,000.00 VOLVO TREASURY SUB FL.R 14-78 10/03A 111,016.00 0.08
150,000.00 SKANDINAVISKA ENSK 1.375 16-28 31/10 148,189.50 0.11 100,000.00 SNAM S.P.A 1.00 18-23 18/09A 98,965.00 0.07
100,000.00 TELIA COMPANY AB FL.R 17-78 04/04A 101,250.00 0.08 Japan 125,793.60 0.09

Switzerland 148,413.00 0.11 120,000.00 SUMITOMO MITSUI 2.25 13-20 16/12A 125,793.60 0.09

150,000.00 CREDIT SUISSE GROU FL.R 17-25 17/07A 148,413.00 0.11 Luxembourg 306,871.00 0.23

United Kingdom 611,464.00 0.46 100,000.00 DH EUROPE FINANCE 1.70 15-22 01/04A 104,457.00 0.08
100,000.00 SIMON INTL FINANCE 1.375 15-22 18/11A 103,111.00 0.08
100,000.00 STANDARD CHARTERED FL.R 13-25 21/10A 105,808.00 0.08
100,000.00 HEIDELBERGCEMENT FIN 0.5 18-22 09/08A 99,303.00 0.07
100,000.00 AVIVA SUB FL.R 14-44 03/07A 105,500.00 0.08
100,000.00 CENTRICA SUB FL.R 15-76 10/04A 102,310.00 0.08 Netherlands 745,538.93 0.56
100,000.00 RBS SCOTLAND FL.R 17-23 08/03A 102,487.00 0.08 119,000.00 KONINKLIJKE DSM NV 2.375 14-24 03/04A 129,456.53 0.10
100,000.00 STANDARD CHARTERED FL.R 17-23 03/10A 98,426.00 0.07 100,000.00 REDEXIS GAS FINANCE 2.75 14-21 08/04A 104,750.00 0.08
100,000.00 LLOYDS BANKING GROUP 1.75 18-28 07/09A 96,933.00 0.07 100,000.00 WOLTERS KLUWER 1.50 17-27 22/03A 100,753.00 0.08
United States of America 651,920.52 0.49 200,000.00 DEUTSCHE TELEKO 1.3750 18-25 01/12A 202,254.00 0.14
100,000.00 ABN AMRO BANK N 0.5000 18-23 17/07A 99,476.00 0.08
100,000.00 BANK OF AMERICA CO FL.R 17-27 04/05A 101,327.00 0.08
110,000.00 BMW FINANCE NV 1.0 18-25 29/08A 108,849.40 0.08
200,000.00 JPMORGAN CHASE FL.R 17-28 18/05A 200,714.02 0.14
100,000.00 BANK OF AMERICA CO 1.379 17-25 07/02A 100,879.00 0.08 Spain 405,174.00 0.31
100,000.00 BANK OF AMERICA FL.R 18-28 25/04A 99,698.00 0.08 100,000.00 FERROVIAL REGS 2.50 14-24 15/07A 106,640.00 0.08
150,000.00 CITIGROUP INC FL.R 18-26 24/07A 149,302.50 0.11 100,000.00 IE2 HOLDCO 2.375 15-23 27/11A 105,160.00 0.08
Transferable securities dealt in on another regulated market 6,808,985.62 5.14 100,000.00 MAPFRE 1.625 16-26 19/05A 99,364.00 0.08
100,000.00 ABERTIS 1.375 16-26 20/05A 94,010.00 0.07
Bonds 6,012,439.62 4.54
Sweden 101,980.00 0.08
Australia 257,604.99 0.19
100,000.00 MOLNLYCKE HLDG 1.75 15-24 28/02A 101,980.00 0.08
50,000.00 SCENTRE MGMT LTD 2.25 14-24 16/07A 53,517.00 0.04
United Kingdom 299,554.00 0.23
100,000.00 AUSNET SERVICES HOLDI 1.50 15-27 26/02A 100,987.99 0.08
100,000.00 SCENTRE MGMT LTD 1.375 16-23 22/03A 103,100.00 0.07 100,000.00 DS SMITH 1.375 17-24 26/07A 98,679.00 0.07
Belgium 229,720.00 0.17 100,000.00 BRAMBLES FINANCE 1.500 17-27 04/10A 98,805.00 0.07
100,000.00 GLAXOSMITHKLINE 1.7500 18-30 21/05A 102,070.00 0.09
200,000.00 ELIA SYSTEM OP SA/NV 3.25 13-28 04/04A 229,720.00 0.17
United States of America 884,258.50 0.67
France 2,151,128.00 1.63
100,000.00 ILLINOIS TOOL WORKS 2.125 15-30 22/05A 106,853.00 0.08
200,000.00 AUTOROUTES DU SUD FRA 4.125 10-20 13/04A 212,732.00 0.16
150,000.00 PROLOGIS 1.375 15-21 13/05A 154,516.50 0.12
200,000.00 SUEZ ENVIRONNEMENT 4.078 11 21 17/05A 220,766.00 0.18
300,000.00 ELI LILLY & CO 1.00 15-22 02/06A 308,478.00 0.23
100,000.00 VINCI EMTN 3.375 12-20 30/03A 105,104.00 0.08
100,000.00 3M EMTN 1.75 15-30 15/05A 104,543.00 0.08
100,000.00 ARKEMA 3.85 12-20 30/04A 106,075.00 0.08
100,000.00 UNITED PARCEL SERV 1.625 15-25 15/11A 104,086.00 0.08
100,000.00 APRR 2.25 14-20 16/01A 102,988.00 0.08
100,000.00 DIGITAL EURO 2.625 16-24 15/04A 105,782.00 0.08
100,000.00 SUEZ ENVIRONNEMENT 1.75 15-25 10/09A 104,862.00 0.08
100,000.00 ICADE 1.875 15-22 14/09A 104,623.00 0.08 Floating rate bonds 796,546.00 0.60
100,000.00 STE DES AUTO PARIS-R 1.50 15-24 15/01A 104,330.00 0.08 France 106,313.00 0.08
100,000.00 FONCIERE LYONNAISE 2.25 15-22 16/11A 106,006.00 0.08
100,000.00 SCOR SE SUB FL.R 16-48 27/05A 106,313.00 0.08
200,000.00 SOCIETE GENERALE 0.75 15-20 25/11A 203,224.00 0.15
200,000.00 BPCE 0.625 16-20 20/04A 202,214.00 0.15

The accompanying notes form an integral part of these financial statements

148
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
Italy 96,364.00 0.07

100,000.00 SACE FL.R 15-XX 10/02A 96,364.00 0.07


Netherlands 395,972.00 0.30

200,000.00 VOLKSWAGEN INTL FL.R 18-XX XX/XXA 199,000.00 0.15


200,000.00 VOLKSWAGEN INTL FL.R 18-XX XX/XXA 196,972.00 0.15
Sweden 99,832.00 0.08

100,000.00 SVENSKA HANDELS FL.R 18-29 05/03A 99,832.00 0.08


United States of America 98,065.00 0.07

100,000.00 MORGAN STANLEY FL.R 17-26 23/10A 98,065.00 0.07


Total securities portfolio 128,886,323.09 97.31

The accompanying notes form an integral part of these financial statements

149
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
200,000.00 KELLOGG CO 0.80 17-22 17/11A 201,804.00 0.15
Long positions 131,114,160.71 98.40
200,000.00 FIDELITY NATIONAL 0.40 17-21 15/01A 200,544.00 0.15
Other transferable securities 7,917,003.97 5.94 100,000.00 PERKINELMER 0.6000 18-21 09/04A 100,493.00 0.08
150,000.00 NATIONAL GRID 0.75 18-23 08/08A 149,538.00 0.11
Bonds 7,080,087.97 5.31
Floating rate bonds 836,916.00 0.63
Austria 199,364.00 0.15
France 414,356.00 0.31
200,000.00 RAIFFEISEN BANK INTL 0.25 18-21 05/07A 199,364.00 0.15
200,000.00 SUEZ FL.R 15-XX 30/03A 203,984.00 0.15
British Virgin Islands 97,570.00 0.07
200,000.00 BPCE SA SUB FL.R 15-27 30/11A 210,372.00 0.16
100,000.00 RAIL TR INTL INV CO 1.625 18-22 22/06S 97,570.00 0.07
Spain 422,560.00 0.32
Finland 104,195.00 0.08
400,000.00 CAIXABANK SA FL.R 17-27 15/02A 422,560.00 0.32
100,000.00 SATO-OYJ 2.375 16-21 24/03A 104,195.00 0.08
Transferable securities admitted to an official stock exchange 118,781,002.56 89.15
France 800,795.01 0.60 listing
Bonds 104,093,182.97 78.13
300,000.00 BPCE SA 1.125 17-23 18/01A 301,614.00 0.22
200,000.00 AUCHAN FRANCE 0.625 17-22 07/02A 199,616.00 0.15 Australia 1,275,020.00 0.96
200,000.00 CARREFOUR 0.875 18-23 12/06A 199,396.00 0.15 100,000.00 MACQUERIE BANK SUB 6.00 10-20 21/09A 110,659.00 0.08
100,000.00 CIE DE SAINT-GO 0.8750 18-23 21/09A 100,169.01 0.08 300,000.00 ORIGIN ENERGY EMTN 2.875 12-19 11/10A 308,802.00 0.23
Germany 593,638.00 0.45 100,000.00 ORIGIN ENERGY REGS 2.50 13-20 23/10A 104,651.00 0.08
200,000.00 ORIGIN ENERGY 114AREGS3.50 13-21 04/10A 218,418.00 0.16
100,000.00 BERTELSMANN SE & C 0.25 17-21 26/05A 100,258.00 0.08
200,000.00 APT PIPELINES 1.375 15-22 22/03A 205,118.00 0.15
500,000.00 DEUTSCHE BANK 0.375 18-21 18/01A 493,380.00 0.37
300,000.00 BHP BILLITON 4.75 15-76 22/04A 327,372.00 0.26
Ireland 382,118.00 0.29
Austria 1,007,570.00 0.76
100,000.00 TRANSMISSION FINANCE 1.50 16-23 24/05A 103,055.00 0.08
200,000.00 RAIFFEISEN BANK INTL 6.625 11-21 18/05A 229,006.00 0.18
180,000.00 BK IRELAND 1.375 18-23 29/08A 179,136.00 0.14
200,000.00 TELEKOM FINANZ 4.00 12-22 04/04A 225,012.00 0.18
100,000.00 ABBOTT 0.0 18-20 27/09A 99,927.00 0.07
100,000.00 ERSTE GROUP BANK AG 7.125 12-22 10/10A 123,433.00 0.09
Italy 598,682.97 0.45 100,000.00 TELEKOM FINANZ 3.50 13-23 04/07A 113,156.00 0.08
300,000.00 INTESA SAN PAOLO 2.125 18-23 30/08A 300,410.97 0.23 200,000.00 TELEKOM FINANZ 3.125 13-21 03/12A 217,590.00 0.16
300,000.00 TERNA SPA 1.00 18-23 23/07A 298,272.00 0.22 100,000.00 RLB OBEROSTERREICH 0.75 17-23 22/05A 99,373.00 0.07

Luxembourg 403,000.99 0.30 Belgium 724,355.00 0.54

100,000.00 CETIN FINANCE BV 1.423 16-21 06/12A 102,490.00 0.08 100,000.00 DELHAIZE GROUP 3.125 12-20 27/02A 104,466.00 0.08
200,000.00 VOLKSWAGEN BK 0.625 18-21 08/09A 200,390.00 0.14 100,000.00 BRUSSELS AIR REGS 3.25 13-20 01/07A 105,563.00 0.08
100,000.00 ABBOTT IRELAND FIN 0.875 18-23 27/09A 100,120.99 0.08 200,000.00 SOLVAY SA 1.625 15-22 02/12A 209,298.00 0.15
100,000.00 ARGENTA SPAARBANK SUB 3.875 16-26 24/05A 106,170.00 0.08
Netherlands 817,636.00 0.61
200,000.00 BELFIUS BANQUE 0.75 17-22 12/09A 198,858.00 0.15
200,000.00 REPSOL INTL FINANC 2.125 15-20 16/12A 208,904.00 0.15 Bermuda 212,788.00 0.16
100,000.00 NIBC BANK 2.25 16-19 24/09A 102,168.00 0.08
200,000.00 NIBC BANK 1.50 17-22 31/01A 203,990.00 0.15 200,000.00 BACARDI 2.75 13-23 03/07A 212,788.00 0.16
100,000.00 NN GROUP NV 0.875 17-23 13/01A 100,888.00 0.08 Brazil 275,137.50 0.21
200,000.00 INNOGY FINANCE 0.75 18-22 30/11A 201,686.00 0.15 250,000.00 VALE EMTN 3.75 12-23 10/01A 275,137.50 0.21
Portugal 99,900.00 0.07 British Virgin Islands 352,695.00 0.26
100,000.00 NOS SGPS 1.125 18-23 02/05A 99,900.00 0.07 100,000.00 TALENT YIELD REGS 1.435 15-20 07/05A 101,015.00 0.08
Spain 492,563.00 0.37 250,000.00 TALENT YIELD 1.30 17-22 21/04A 251,680.00 0.18
100,000.00 SANTANDER CONSUMER 0.75 17-22 17/10A 99,151.00 0.07 China 99,393.00 0.07
400,000.00 CAIXABANK SA 0.75 18-23 18/04A 393,412.00 0.30 100,000.00 GANSU HIGHWAY AVAIT 1.875 17-20 07/12A 99,393.00 0.07
United Kingdom 999,350.00 0.75 Czech Republic 211,411.00 0.16
800,000.00 VODAFONE GROUP PLC 0.375 17-21 22/11A 801,208.00 0.60 100,000.00 EP ENERGY AS REGS 5.875 12-19 01/11S 106,073.00 0.08
200,000.00 NATWEST MARKETS 1.125 18-23 14/06A 198,142.00 0.15 100,000.00 NET4GAS EMTN 2.50 14-21 28/07A 105,338.00 0.08
United States of America 1,491,275.00 1.12 Denmark 1,237,826.00 0.93
300,000.00 AT T 2.75 15-23 19/05A 325,677.00 0.24 200,000.00 CARLSBERG BREWERIES 2.625 12-22 15/11A 217,318.00 0.16
200,000.00 SOUTHERN POWER CO 1.00 16-22 20/06A 203,220.00 0.15 200,000.00 ISS GLOBAL 1.125 14-20 09/01A 202,242.00 0.15
200,000.00 EASTMAN CHEMICAL 1.50 16-23 26/05S 207,960.00 0.16 100,000.00 AP MOELLER-MAERSK 1.50 15-22 24/11A 103,173.00 0.08
100,000.00 ZIMMER BIOMET HOLD 1.414 16-22 13/12A 102,039.00 0.08 400,000.00 AP MOELLER-MAERSK 1.75 16-21 18/03A 413,068.00 0.31

The accompanying notes form an integral part of these financial statements

150
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 NYKREDIT REALKREDIT 0.75 16-21 14/07A 101,077.00 0.08 200,000.00 TDF INFRASTRUCTURE 2.875 15-22 19/10A 214,508.00 0.16
200,000.00 NYKREDIT REALKREDIT 0.375 17-20 16/06A 200,948.00 0.15 100,000.00 WENDEL 1.875 15-20 10/04A 102,266.00 0.08
Finland 105,530.00 0.08 200,000.00 RCI BANQUE 1.375 15-20 17/11A 205,338.00 0.15
200,000.00 SOCIETE FONCIERE L 1.875 14-21 26/11A 208,272.00 0.16
100,000.00 ELENIA FINANCE 2.875 13-20 17/12A 105,530.00 0.08 200,000.00 JC DECAUX 1.00 16-23 01/06A 202,058.00 0.15
France 18,229,363.23 13.68 200,000.00 VIVENDI 0.75 16-21 26/05A 202,680.00 0.15
150,000.00 LAFARGE EMTN 4.75 05-20 23/03A 160,365.00 0.12 150,000.00 RCI BANQUE 1.00 16-23 17/05S 149,862.00 0.11
500,000.00 BOUYGUES 4.25 05-20 22/07A 537,655.00 0.41 100,000.00 IMERYS 0.875 16-22 31/03A 101,449.00 0.08
100,000.00 VEOLIA ENVIRONNEMENT 4.375 05-20 11/12A 109,384.00 0.08 200,000.00 MFINANCE FRANCE 1.398 16-20 26/09A 203,426.00 0.15
300,000.00 HIT FINANCE BV 4.875 06-21 27/10A 338,277.00 0.25 300,000.00 CIE DE SAINT GOBAIN 0.00 16-20 27/03U 300,006.00 0.23
200,000.00 VIVENDI 4.875 09-19 02/12A 211,508.00 0.16 100,000.00 WENDEL 1.00 16-23 20/04A 99,730.00 0.07
150,000.00 ALSTOM 4.50 10-20 18/03A 160,125.00 0.12 300,000.00 CAPGEMINI SE 0.50 16-21 09/11A 301,703.97 0.23
200,000.00 ITALCEMENTI FINANCE FL.R 10-20 19/03A 215,250.00 0.16 300,000.00 CNP ASSUR. 1.875 16-22 20/10A 309,087.00 0.23
200,000.00 CARREFOUR EMTN 4.00 10-20 09/04A 212,112.00 0.16 200,000.00 DANONE SA 0.424 16-22 03/11A 200,520.02 0.15
350,000.00 ORANGE 3.875 10-20 09/04A 370,800.50 0.28 200,000.00 SOCIETE GENERALE 1.00 16-22 01/04A 200,926.00 0.15
200,000.00 VEOLIA ENVIRONN.EMTN 4.247 10-21 06/01A 218,532.00 0.16 300,000.00 RCI BANQUE SA 0.625 16-21 10/11A 301,002.00 0.23
200,000.00 SCHNEIDER ELECTRIC 3.625 10-20 20/07A 213,008.00 0.16 600,000.00 DANONE SA 0.167 16-20 03/11A 602,142.06 0.46
150,000.00 CARREFOUR SA EMTN 3.875 10-21 25/04A 163,891.50 0.12 200,000.00 RENAULT SA 1.00 17-23 08/03A 200,960.02 0.15
200,000.00 ORANGE EMTN 3.375 10-22 16/09A 223,070.00 0.17 300,000.00 PSA BANQUE FRANCE 0.50 17-20 17/01A 301,710.00 0.23
250,000.00 BFCM 4.00 10-20 22/10A 269,792.50 0.20 200,000.00 VALEO SA 0.625 16-23 11/01A 199,628.00 0.15
150,000.00 CRCAM EMTN SUB 3.90 10-21 19/04A 163,200.00 0.12 400,000.00 VEOLIA ENVIRONNEMENT 0.672 17-22 30/03A 404,056.00 0.30
200,000.00 BOUYGUES 3.641 10-19 29/10A 207,784.00 0.16 270,000.00 RCI BANQUE SA 0.75 17-22 12/01A 271,047.60 0.20
200,000.00 DANONE 3.60 10-20 23/11A 215,544.00 0.16 200,000.00 ALD SA 0.875 17-22 18/07A 198,212.00 0.15
300,000.00 ORANGE 3.875 10-21 14/01A 326,007.00 0.24 100,000.00 VALEO SA 0.375 17-22 12/09A 99,429.00 0.07
300,000.00 CIE SAINT GOBAIN EMTN 4.50 11-19 30/09A 313,761.00 0.24 250,000.00 RCI BANQUE SA 0.75 17-22 26/09A 249,145.00 0.19
200,000.00 BOUYGUES 4.50 12-22 09/02A 227,512.00 0.17 300,000.00 SOCIETE GENERALE 0.500 17-23 13/01A 292,830.00 0.22
100,000.00 CIE DE SAINT GOBAIN 3.625 12-22 28/03A 111,146.00 0.08 100,000.00 VEOLIA ENVIRONNEMENT 0.00 17-20 23/11A 99,874.00 0.07
200,000.00 SAINT GOBAIN 3.625 12-21 15/06A 218,374.00 0.16 200,000.00 HOLDING INFRASTRUCTUR 0.625 17-23 27/03A 192,834.00 0.14
300,000.00 ORANGE 3.00 12-22 15/06A 329,076.00 0.25 100,000.00 RCI BANQUE EMTN 0.25 18-21 12/07A 99,467.00 0.07
200,000.00 ORANGE 2.50 12-23 01/03A 217,324.00 0.16 100,000.00 PSA BANQUE FRAN 0.7500 18-23 19/04A 98,699.00 0.07
200,000.00 BOUYGUES 3.625 12-23 16/01A 226,054.00 0.17 Germany 10,298,759.55 7.73
100,000.00 EUTELSAT 3.125 12-22 10/10A 108,810.00 0.08
500,000.00 MERCK FIN SERVICES 4.50 10-20 24/03A 533,350.00 0.39
200,000.00 AUCHAN SA EMTN 2.375 12-22 12/12A 213,032.00 0.16
150,000.00 COMMERZBANK AG 4.00 10-20 16/09A 161,059.50 0.12
350,000.00 AXA SUB 5.125 13-43 04/07A 399,959.00 0.30
300,000.00 COMMERZBANK AG 7.75 11-21 16/03A 349,398.00 0.26
100,000.00 FRANCE TELECOM 1.875 13-19 02/10A 102,069.00 0.08
200,000.00 BERTELSMANN 2.625 12-22 02/08A 216,450.00 0.16
300,000.00 AUCHAN 2.25 13-23 06/04A 317,772.00 0.24
300,000.00 VW LEASING GMBH 2.375 12-22 06/09A 317,187.00 0.24
100,000.00 DANONE 2.60 13-23 28/06A 109,873.00 0.08
400,000.00 DEUTSCHE BANK AG 2.375 13-23 11/01A 413,900.00 0.31
200,000.00 KERING 2.50 13-20 15/07A 208,840.00 0.16
100,000.00 FRESENIUS FINANCE BV 2.875 13-20 15/07S 104,966.00 0.08
200,000.00 BPCE 4.625 13-23 18/07A 230,182.00 0.17
100,000.00 HELLA KG HUECK 2.375 13-20 24/01A 103,077.00 0.08
100,000.00 SCHNEIDER ELECTRIC 2.50 13-21 06/09A 106,886.00 0.08
150,000.00 HOCHTIEF 3.875 13-20 20/03A 158,007.00 0.12
200,000.00 DANONE SA 2.25 13-21 15/11A 212,240.00 0.16
100,000.00 CONTINENTAL AG 3.125 13-20 09/09A 105,809.00 0.08
400,000.00 EUTELSAT S.A. 2.625 13-20 13/01A 409,984.00 0.31
200,000.00 BAYER 1.875 14-21 25/01A 207,326.00 0.16
300,000.00 ACCOR SA 2.625 14-21 05/02A 316,212.00 0.24
150,000.00 FRESENIUS REGS 3.00 14-21 01/02S 159,745.50 0.12
200,000.00 PERNOD RICARD 2.00 14-20 22/06A 207,062.00 0.16
100,000.00 O2 TELEFONICA DF REGS 2.375 14-21 10/02A 104,899.00 0.08
100,000.00 RCI BANQUE 2.25 14-21 29/03A 104,866.00 0.08
100,000.00 AAREAL BANK 4.25 14-26 18/03A 106,116.00 0.08
200,000.00 ICADE SA 2.25 14-21 16/04A 209,482.00 0.16
200,000.00 VW LEASING GMBH 2.125 14-22 04/04A 209,492.00 0.16
100,000.00 AUCHAN SA 1.75 14-21 23/04A 103,564.00 0.08
300,000.00 CRH FINANCE GERMANY 1.75 14-21 16/07A 311,706.00 0.23
200,000.00 SODEXHO 1.75 14-22 24/01A 208,850.00 0.16
100,000.00 DT LUFTHANSA EMTN 1.125 14-19 12/09A 101,049.00 0.08
450,000.00 CARREFOUR 1.75 14-22 15/07A 467,851.50 0.36
300,000.00 DEUTSCHE BANK AG 1.25 14-21 08/09U 300,858.03 0.23
100,000.00 MFINANCE FRANCE 2.00 14-21 26/11A 103,653.00 0.08
200,000.00 DEUTSCHE PFANDBRIEFBK 1.50 14-19 17/09A 202,694.00 0.15
200,000.00 MERCIALYS SA 1.787 14-23 31/03A 202,104.00 0.15
300,000.00 EVONIK INDUSTRIES 1.00 15-23 23/01A 307,659.00 0.23
200,000.00 PUBLICIS GROUP 1.125 14-21 16/12A 204,440.00 0.15
100,000.00 INFINEON TECH 1.50 15-22 10/03A 104,293.00 0.08
400,000.00 RCI BANQUE EMTN 0.625 15-20 04/03A 403,735.96 0.30
300,000.00 VOLKSWAGEN FIN SERV 0.75 15-21 14/10A 301,707.00 0.23
100,000.00 KERING 0.875 15-22 28/03A 101,699.00 0.08
100,000.00 MERCK FIN SERVICES 0.75 15-19 02/09A 100,586.00 0.08
280,000.00 RCI BANQUE 1.25 15-22 08/06A 285,367.60 0.21
150,000.00 VOLKSWAGEN LEAS 0.75 15-20 11/08A 151,749.00 0.11
200,000.00 CAPGEMINI SE 2.50 15-23 01/07U 215,742.00 0.16
100,000.00 MERCK FIN SERVICES 1.375 15-22 01/09A 103,929.00 0.08
100,000.00 CAPGEMINI SE 1.75 15-20 01/07A 102,667.00 0.08

The accompanying notes form an integral part of these financial statements

151
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
300,000.00 COMMERZBANK AG 1.50 15-22 21/09A 308,547.00 0.23 300,000.00 ATLANTIA EMTN 2.875 13-21 26/02A 306,732.00 0.23
400,000.00 DVB BANK 1.25 15-20 22/04A 404,944.00 0.30 100,000.00 AEROPORTI DI ROMA SPA 3.25 13-21 20/02A 105,184.00 0.08
250,000.00 HEIDELBERGCEMENT 2.25 16-23 30/03A 264,772.50 0.20 300,000.00 UNICREDIT 3.25 14-21 14/01A 313,440.00 0.24
200,000.00 ALSTRIA OFFICE REIT 2.125 16-23 12/04A 208,164.00 0.16 300,000.00 ASSICURAZIONI GENERAL 2.875 14-20 14/01A 310,791.00 0.23
200,000.00 DEUTSCHE POST AG 0.375 16-21 01/04A 201,434.02 0.15 100,000.00 INTESA SAN PAOLO 3.50 14-22 17/01A 105,819.00 0.08
150,000.00 DEUTSCHE PFANDBRIEF 1.125 16-20 27/04A 151,762.50 0.11 300,000.00 INTESA SAN PAOLO 2.00 14-21 18/06A 304,908.00 0.23
100,000.00 DVB BANK EMTN 1.25 16-23 16/06A 99,399.00 0.07 150,000.00 SNAM SPA 1.50 14-23 21/04A 153,262.50 0.12
100,000.00 COVESTRO 1 16-21 07/10A 102,364.00 0.08 200,000.00 INTESA SANPAOLO EMTN 1.125 15-20 14/01A 200,848.00 0.15
300,000.00 CONTINENTAL AG 0.00 16-20 05/02U 300,324.00 0.23 100,000.00 TERNA SPA 0.875 15-22 02/02A 100,483.00 0.08
100,000.00 DVB BANK 1.25 16-21 15/09A 100,829.00 0.08 350,000.00 INTESA SAN PAOLO 1.125 15-22 04/03A 343,388.50 0.26
700,000.00 DEUTSCHE BANK 1.50 17-22 20/01A 703,136.00 0.52 450,000.00 BANCA POP DI VICENZA 2.75 15-20 20/03A 462,087.00 0.34
250,000.00 LANXESS AG 0.25 16-21 07/10A 250,467.47 0.19 100,000.00 IREN 2.75 15-22 02/11A 106,986.00 0.08
100,000.00 DEUTSCHE PFANDBRIEF 0.875 17-21 29/01A 100,573.99 0.08 100,000.00 AUTOSTRADE PER L'I 1.125 15-21 04/11A 97,293.00 0.07
200,000.00 DVB BANK 1.00 17-22 25/04A 199,062.00 0.15 100,000.00 MEDIOBANCA 1.625 16-21 19/01A 101,195.00 0.08
350,000.00 E.ON SE 0.375 17-21 23/08A 351,925.04 0.26 500,000.00 UNICREDIT SPA 2.00 16-23 04/03A 502,175.00 0.37
400,000.00 VOLKSWAGEN LEASING 0.25 17-20 05/10A 400,532.00 0.30 100,000.00 IGD IMMOBILIARE 2.50 16-21 31/05A 101,092.00 0.08
200,000.00 VOLKSWAGEN BANK GMBH 0.75 17-23 15/06A 196,702.00 0.15 200,000.00 SNAM 0.00 16-20 25/10A 198,970.00 0.15
100,000.00 DEUTC PFANDBRIEFBANK 0.625 18-22 23/02A 99,235.00 0.07 100,000.00 AZIMUT HOLDING 2.00 17-22 28/03A 98,971.00 0.07
200,000.00 DVB BANK REGS 0.875 14-19 11/11A 201,598.00 0.15 200,000.00 ITALGAS SPA 0.50 17-22 19/01A 198,164.00 0.15
200,000.00 VOLKSWAGEN FIN SER 0.875 18-23 12/04A 198,324.00 0.15 200,000.00 MEDIOBANCA EMTN 0.75 17-20 17/02A 199,870.00 0.15
120,000.00 VOLKSWAGEN FIN 0.375 18-21 12/04A 120,156.00 0.09 300,000.00 INTESA SANPAOLO SPA 0.875 17-22 27/06A 290,922.00 0.22
100,000.00 METRO 1.125 18-23 06/03A 97,496.00 0.07 250,000.00 MEDIOBANCA 0.625 17-22 27/09A 237,285.00 0.18
Guernsey 661,310.00 0.50 250,000.00 UNIONE DI BANCHE ITA 0.750 17-22 17/10A 234,260.00 0.18
300,000.00 UNICREDIT SPA 1.00 18-23 18/01A 282,801.00 0.21
650,000.00 CREDIT SUISSE GR FDG 1.25 15-22 14/04A 661,310.00 0.50
Japan 99,841.00 0.07
Hungary 212,894.00 0.16
100,000.00 ASAHI GROUP HD 0.321 17-21 19/09A 99,841.00 0.07
200,000.00 MOL HUNGARIAN OIL 2.625 16-23 28/04A 212,894.00 0.16
Jersey Island 1,144,662.50 0.86
Iceland 300,306.00 0.23
250,000.00 GLENCORE FINANCE 3.375 13-20 30/09A 265,117.50 0.20
100,000.00 ARION BANKI HF 1.625 16-21 01/12A 102,025.00 0.08
150,000.00 GLENCORE FINANCE 2.75 14-21 01/04A 157,113.00 0.12
100,000.00 ARION BANKI HF 0.75 17-20 29/06A 100,519.00 0.08
100,000.00 GLENCORE FINANCE 1.625 14-22 18/01A 101,992.00 0.08
100,000.00 ARION BANK 1.00 18-23 20/03A 97,762.00 0.07
200,000.00 ATRIUM EUROPEAN 3.625 14-22 17/10A 214,820.00 0.16
Ireland 2,503,883.80 1.88 400,000.00 GLENCORE FINANCE EURO 1.25 15-21 17/03A 405,620.00 0.30
450,000.00 RYANAIR LTD 1.875 14-21 17 06A 468,450.00 0.35 Luxembourg 3,997,700.72 3.00
200,000.00 FGA CAPITAL IRELAND 2.00 14-19 23/10A 203,890.00 0.15
100,000.00 HEIDELBERGCEMENT 7.50 10-20 03/04S 111,194.00 0.08
200,000.00 RYANAIR LTD 1.125 15-23 10/03A 201,204.00 0.15
300,000.00 SES EMTN 4.625 10-20 09/03A 319,590.00 0.24
100,000.00 BANK OF IRELAND 1.25 15-20 09/04A 101,804.00 0.08
100,000.00 FMC FIN VII REG S 5.25 11-21 15/02S 111,709.00 0.08
200,000.00 ALLIED IRISH BANKS PL 1.375 15-20 16/03A 203,954.00 0.15
100,000.00 SES EMTN 4.75 11-21 11/03A 110,684.00 0.08
100,000.00 FCA CAPITAL IRELAND P 1.25 16-20 23/09A 101,373.00 0.08
100,000.00 HOLCIM LTD 2.625 12-20 07/09A 104,856.00 0.08
100,000.00 FCA CAPITAL 1.25 16-21 21/01A 101,259.00 0.08
300,000.00 HEIDELBERGCEMENT FIN 3.25 13-20 21/10S 318,738.00 0.24
100,000.00 RYANAIR DAC 1.125 17-23 15/08A 100,371.00 0.08
200,000.00 HEIDELBERGCEMENT REGS 3.25 13-21 21/10S 217,334.00 0.16
200,000.00 FRESENIUS FIN REGS 0.875 17-22 31/01A 202,864.00 0.15
200,000.00 CNH IND FIN 2.875 14-21 27/09A 213,058.00 0.16
320,000.00 FCA CAPITAL IRELAND 1.00 17-21 15/11A 320,652.80 0.24
200,000.00 GELF BOND ISSUER I 1.75 14-21 22/11A 206,564.00 0.16
200,000.00 JOHNSON CONT INTL PLC 0.00 17-20 04/12U 199,516.00 0.15
150,000.00 ARCELORMITTAL 3.125 15-22 14/01A 160,114.50 0.12
200,000.00 FCA BANK SPA IRL 0.25 17-20 12/10A 198,628.00 0.15
250,000.00 ARCELORMITTAL 3.00 15-21 09/04A 265,235.00 0.20
100,000.00 AIB GROUP PLC 1.50 18-23 29/03A 99,918.00 0.07
100,000.00 HARMAN FINANCE 2.00 15-22 27/05A 104,558.00 0.08
Italy 8,007,184.00 6.01 400,000.00 HOLCIM FINANCE 1.375 16-23 26/05A 409,048.00 0.32
300,000.00 UNICREDITO ITALIANO 4.375 04-20 29/01A 314,436.00 0.24 100,000.00 CNH IND FIN 2.875 16-23 17/05S 107,489.00 0.08
500,000.00 TERNA EMTN 4.875 09-19 03/10A 524,260.00 0.38 100,000.00 ATF NETHERLANDS BV 2.125 16-23 13/03A 103,613.00 0.08
200,000.00 INTESA SANPAOLO 4.125 10-20 14/04A 209,756.00 0.16 280,000.00 HEIDELBERG CEMENT FIN 0.50 17-21 18/01A 281,761.20 0.21
100,000.00 SIAS EMTN 4.50 10-20 26/10A 107,856.00 0.08 131,000.00 ALLERGAN FUNDING 0.50 17-21 01/06A 131,710.02 0.10
200,000.00 TERNA SPA 4.75 11-21 15/03A 221,500.00 0.17 200,000.00 CNH INDUSTRIAL FIN 1.375 17-22 23/05A 203,134.00 0.15
250,000.00 SNAM SPA 5.25 12-22 19/09A 295,245.00 0.22 100,000.00 DREAM GLOBAL FUNDING 1.375 17-21 21/12A 99,926.00 0.07
500,000.00 INTESA SAN PAOLO 4.375 12-19 15/10A 519,310.00 0.38 250,000.00 ARCELORMITTAL SA 0.95 17-23 17/01A 246,407.50 0.18
100,000.00 SNAM EMTN 3.50 12-20 13/02A 104,644.00 0.08 170,000.00 BEVCO LUX SARL 1.75 18-23 09/02A 170,977.50 0.13
300,000.00 ASSICURAZ GENERALI 7.75 12-42 12/12A 353,250.00 0.27

The accompanying notes form an integral part of these financial statements

152
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Netherlands 18,977,448.62 14.25 100,000.00 REN FINANCE BV 1.75 16-23 01/06A 103,662.00 0.08
300,000.00 E.ON INTL FINANCE 5.75 08-20 07/05A 327,753.00 0.25 200,000.00 OPEL FINANCE INT 1.168 16-20 18/05A 203,290.00 0.15
200,000.00 RWE FINANCE 6.50 09-21 10/08A 236,104.00 0.18 300,000.00 LEASEPLAN CORPORAT 1.00 16-20 08/04A 303,864.00 0.23
400,000.00 ENEL FINANCE INTL 5.00 09-22 14/09A 469,556.00 0.34 300,000.00 VONOVIA FINANCE 0.875 16-22 10/06A 303,198.00 0.23
300,000.00 DEUTSCHE TELEKOM 4.25 10-22 13/07A 344,193.00 0.26 300,000.00 DEUTSCHE TELEKOM 0.25 16-21 19/04A 301,149.03 0.23
350,000.00 KPN NV 3.75 10-20 21/09A 375,564.00 0.28 100,000.00 LEASEPLAN 1.00 16-21 24/05A 101,240.00 0.08
300,000.00 RABOBANK NED 3.75 10-20 09/11A 321,576.00 0.24 200,000.00 BUNGE FIN EUROPE BV 1.850 16-23 16/06A 203,794.00 0.15
350,000.00 ABN AMRO BANK EMTN 6.375 11-21 27/04A 403,277.00 0.30 300,000.00 JAB HOLDINGS 1.75 16-23 25/05A 313,254.00 0.24
200,000.00 ENEL FINANCE INTL 5.00 11-21 12/07A 227,122.00 0.17 100,000.00 ASML HOLDING NV 0.625 16-22 07/07S 100,963.00 0.08
100,000.00 KPN 4.25 12-22 01/03A 112,722.00 0.08 200,000.00 MYLAN 1.25 16-20 23/11A 203,298.00 0.15
200,000.00 DEUTSCHE POST FIN 2.95 12-22 27/06A 219,892.00 0.17 200,000.00 VW INTL FINANCE 0.50 17-21 30/03A 200,986.00 0.15
200,000.00 ABN AMRO EMTN 7.125 12-22 06/07A 244,924.00 0.18 400,000.00 DEUTSCHE TEL INTL FIN 0.375 17-21 30/10A 402,184.04 0.30
150,000.00 HEINEKEN NV 2.125 12-20 04/08A 155,833.50 0.12 500,000.00 VONOVIA FINANCE BV 0.75 17-22 25/01A 504,515.00 0.37
350,000.00 ENEL FINANCE INTL 4.875 12-20 11/03A 374,363.50 0.28 100,000.00 CITYCON TREASURY BV 2.375 15-22 16/09A 104,514.00 0.08
250,000.00 RABOBANK 4.125 12-22 14/09A 281,552.50 0.21 250,000.00 NN GROUP NV FL.R 17-20 01/06A 250,707.50 0.19
100,000.00 ELM BV EMTN 2.50 12-20 24/09A 104,781.00 0.08 300,000.00 REPSOL INTL FINANC 0.50 17-22 23/05A 301,707.00 0.23
350,000.00 ENEL FINANCE INTL 4.875 12-23 17/04A 414,358.00 0.31 250,000.00 LEASEPLAN CORP 0.75 17-22 03103A 247,382.50 0.19
200,000.00 DEUTSCHE TELEKOM 2.00 12-19 30/10A 204,732.00 0.15 300,000.00 BAYER CAP 0.625 18-22 16/06A 301,485.00 0.23
100,000.00 VW INTL FINANCE NV 2.00 13-20 14/01A 102,599.00 0.08 100,000.00 DEUTSCHE TELEKOM INT 0.625 18-22 01/12A 100,430.00 0.08
400,000.00 GAS NATURAL 3.875 13-23 17/01A 456,728.00 0.34 100,000.00 NIBC BANK NV 1.1250 18-23 19/04A 99,290.00 0.07
350,000.00 DEUTCHE TELECOM INTL 2.125 13-21 18/01A 366,485.00 0.28 150,000.00 LEASEPLAN CORPO 1.0000 18-23 02/05A 148,452.00 0.11
300,000.00 RWE FINANCE 1.875 13-20 30/01A 307,569.00 0.23 Poland 149,812.50 0.11
100,000.00 IBERDROLA INTL REGS 3.50 13-21 01/02A 107,869.00 0.08
150,000.00 MBANK S.A. 1.058 18-22 05/09A 149,812.50 0.11
200,000.00 WOLTERS KLUWER REGS 2.875 13-23 21/03A 220,162.00 0.17
Portugal 213,467.00 0.16
400,000.00 VW INTL FINANCE EMTN 2.00 13-21 26/03A 417,048.00 0.31
100,000.00 GAS NATURAL FENOSA 3.875 13-22 11/04A 112,571.00 0.08 100,000.00 BRISA CONCESSAO ROD 3.875 14-21 01/04A 108,914.00 0.08
100,000.00 REPSOL INTL FIN 2.625 13-20 28/05A 104,325.00 0.08 100,000.00 BRISA CONCESSAO ROD 2.00 16-23 22/03A 104,553.00 0.08
200,000.00 IBERDROLA INTL 2.875 13-20 11/11A 211,974.00 0.16 Spain 7,261,754.95 5.45
200,000.00 COCA COLA HBC FIN 2.375 13-20 18/06A 206,882.00 0.16
400,000.00 RABOBANK SUB 3.875 13-23 25/07A 450,560.00 0.34 300,000.00 ABERTIS INFRAESTRUCT. 4.375 05-20 30/03A 319,527.00 0.24
200,000.00 EDP FINANCE EMTN 4.875 13-20 14/09A 218,370.00 0.16 400,000.00 TELEFONICA EMISIONES 4.693 09-19 11/11A 420,964.00 0.32
400,000.00 REPSOL INTL FIN EMTN 3.625 13-21 07/10A 441,548.00 0.33 100,000.00 GAS NATURAL CAPITAL 4.50 10-20 27/01A 106,099.00 0.08
50,000.00 DT ANNINGTON FINANCE 3.625 13-21 08/10A 54,972.50 0.04 400,000.00 IBERDROLA FINANZAS 4.125 10-20 23/03A 424,532.00 0.32
200,000.00 IBERDROLA INTL BV 3.00 13-22 31/01A 217,908.00 0.16 300,000.00 GAS NATURAL REGS 6.00 12-20 27/01A 324,009.00 0.24
200,000.00 ACHMEA BV EMTN 2.50 13-20 19/11A 209,830.00 0.16 300,000.00 TELEFONICA EMIS REGS 4.71 12-20 20/01A 318,552.00 0.24
250,000.00 EDP FINANCE EMTN 4.125 13-21 20/01A 271,905.00 0.20 100,000.00 ABERTIS INFRAESTRUCT. 4.75 12-19 25/10A 104,995.00 0.08
300,000.00 IBERDROLA SA 2.50 14-22 24/10A 325,161.00 0.24 400,000.00 TELEFONICA EMISIONES 3.987 13-23 23/01A 455,324.00 0.34
187,000.00 BHARTI AIRTEL 3.375 14-21 20/05A 197,500.05 0.15 300,000.00 TELEFONICA EMISIONES 3.961 13-21 26/03A 328,314.00 0.25
250,000.00 DT ANNINGTON FINANCE 2.125 14-22 09/07A 264,310.00 0.20 200,000.00 FERROVIAL REGS 3.375 13-21 07/06A 216,094.00 0.16
300,000.00 EDP FINANCE EMTN 2.625 14-22 18/01A 320,430.00 0.24 100,000.00 ABERTIS INFRAESTRUCT. 3.75 13-23 20/06A 111,786.00 0.08
100,000.00 OPEL FINANCE INT 1.875 14-19 15/10A 101,943.00 0.08 300,000.00 TELEFONICA EMIS SA 2.242 14-22 27/05A 318,273.00 0.24
200,000.00 JAB HOLDINGS 1.50 14-21 24/11A 207,584.00 0.16 100,000.00 INMOBILIARIA COLONIA 2.728 15-23 05/06A 106,592.00 0.08
100,000.00 IBERDROLA INTL REGS 1.125 15-23 27/01A 102,448.00 0.08 300,000.00 TELEFONICA EMIS REGS 1.477 15-21 14/09A 310,779.00 0.23
100,000.00 VW INTL FINANCE 0.875 15-23 16/01A 99,979.00 0.08 200,000.00 MERLIN PROP SOCIMI 2.225 16-23 25/04A 208,986.00 0.16
150,000.00 DT ANNINGTON FINANCE 0.875 15-20 30/03A 151,893.00 0.11 400,000.00 TELEFONICA EMIS SA 0.75 16-22 13/04A 402,780.00 0.30
100,000.00 NN GROUP NV 1.00 15-22 18/03A 101,788.00 0.08 100,000.00 DIST INTER ALIMENTACI 1 16-21 28/04A 99,132.00 0.07
100,000.00 ADECCO SA 1.50 15-22 22/11A 103,777.00 0.08 100,000.00 FERROVIAL 0.375 16-22 14/09A 98,397.00 0.07
500,000.00 ABN AMRO BANK NV FL.R 15-25 30/06A 519,585.00 0.38 300,000.00 AMADEUS CAPITAL MKT 0.125 16-20 06/10A 300,024.00 0.23
450,000.00 HEINEKEN NV 1.25 15-21 10/09A 462,465.00 0.34 500,000.00 TELEFONICA EMIS 0.318 16-20 17/10A 502,269.95 0.39
200,000.00 JAB HOLDINGS BV 2.125 15-22 16/09A 212,498.00 0.16 200,000.00 FCC AQUALIA 1.413 17-22 08/06A 202,674.00 0.15
100,000.00 DE VOLKSBANK NV 3.75 15-25 05/11A 105,844.00 0.08 300,000.00 CRITERIA CAIXA SA 1.5 17-23 10/05A 298,272.00 0.22
150,000.00 EXOR 2.125 15-22 02/12A 156,775.50 0.12 300,000.00 CAIXABANK SA 1.125 17-23 12/01A 296,019.00 0.22
200,000.00 VONOVIA FINANCE BV 1.625 15-20 15/12A 206,690.00 0.16 400,000.00 BCO BILBAO VIZCAYA 0.75 17-22 11/09A 395,924.00 0.30
300,000.00 ABN AMRO BANK SUB 2.875 16-28 18/01A 317,964.00 0.24 100,000.00 NORTEGAS ENERGIA 0.918 17-22 28/09A 99,761.00 0.07
200,000.00 LYB INTL FIN 1.875 16-22 02/03A 207,972.00 0.16 300,000.00 BANCO DE SABADELL SA 0.875 17-23 05/03A 293,382.00 0.22
500,000.00 DEUTSCHE TEL.INTL FIN 0.625 16-23 03/04A 500,880.00 0.37 200,000.00 PROSEGUR CIA 1.00 18-23 08/02A 198,294.00 0.15
200,000.00 EDP FINANCE 2.375 16-23 23/03A 212,988.00 0.16

The accompanying notes form an integral part of these financial statements

153
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Sweden 2,297,654.51 1.72 300,000.00 RBS 2.50 16-23 22/03A 314,247.00 0.24
250,000.00 AKZO NOBEL EMTN 2.625 12-22 27/07A 271,765.00 0.19 400,000.00 BARCLAYS PLC 1.875 16-21 23/03A 413,524.00 0.31
100,000.00 VOLVO TREASURY 2.375 12-19 26/11A 102,745.00 0.08 450,000.00 BRITISH TELECOM 1.125 16-23 10/03A 455,355.00 0.34
200,000.00 SVENSKA CELLULOSA AB 2.50 13-23 09/06A 217,430.00 0.16 250,000.00 FCE BANK PLC 1.615 16-23 11/05A 250,519.98 0.19
150,000.00 SKF 2.375 13-20 29/10A 156,930.00 0.12 150,000.00 HAMMERSON PLC 1.75 16-23 15/03A 154,413.00 0.12
100,000.00 SECURITAS 2.625 13-21 22/02A 105,673.00 0.08 200,000.00 FCE BANK PLC 1.66 16-21 11/02A 205,240.00 0.15
100,000.00 ORLEN CAPITAL AB 2.50 14-21 30/06S 105,273.00 0.08 300,000.00 COCA-COLA EUROP PTNR 0.750 16-22 24/02A 304,143.00 0.23
100,000.00 ALFA LAVAL 1.375 14-22 12/09A 103,043.00 0.08 100,000.00 TRINITY ACQUISITION 2.125 16-22 26/05S 103,998.00 0.08
100,000.00 MOLNLYCKE HLDG 1.50 14-22 28/02A 102,900.00 0.08 100,000.00 G4S INTL FINANCE PLC 1.50 16-23 09/01A 101,264.00 0.08
100,000.00 SCA REGS 0.50 15-20 05/03A 100,595.00 0.08 200,000.00 FCE BANK PLC 0.869 17-21 13/09A 200,098.00 0.15
150,000.00 SKF REGS 1.625 15-22 02/12A 156,207.00 0.12 250,000.00 IMPERIAL BRANDS FI 0.50 17-21 27/07A 251,037.50 0.19
100,000.00 SECURITAS 1.25 16-22 15/03A 102,497.00 0.08 200,000.00 BRITISH TELECOM 0.50 17-22 23/06A 199,308.00 0.15
200,000.00 SCA 0.50 16-21 26/05A 201,580.00 0.15 250,000.00 BARCLAYS PLC 0.625 17-23 14/11A 242,040.00 0.18
250,000.00 ORLEN CAPITAL 2.50 16-23 07/06A 266,287.50 0.19 350,000.00 ROYAL BANK OF SCOT 0.625 18-22 02/03A 345,124.50 0.26
200,000.00 AKELIUS RESIDENTIAL 1.50 16-22 23/01A 203,996.00 0.15 200,000.00 INFORMA PLC 1.5000 18-23 05/07A 201,340.02 0.15
100,000.00 FASTIGHETS AB BALD 1.125 17-22 14/03A 100,733.01 0.08 United States of America 10,255,435.07 7.70
United Kingdom 13,979,980.02 10.49 200,000.00 GOLDMAN SACHS GROUP 4.75 06-21 12/10A 224,370.00 0.17
200,000.00 NATIONAL GRID EMTN 4.375 05-20 10/03A 212,514.00 0.16 100,000.00 CITIGROUP INC 5.00 04-19 02/08A 104,310.00 0.08
500,000.00 RBS 5.375 09-19 30/09A 526,465.00 0.39 250,000.00 AMGEN 2.125 12-19 13/09A 255,387.50 0.19
200,000.00 BAT INTERNATIONAL FIN 4.875 09-21 24/02A 222,226.00 0.17 500,000.00 AT T 1.875 12-20 04/12A 517,890.00 0.38
300,000.00 VODAFONE GROUP 4.65 10-22 20/01A 341,853.00 0.26 100,000.00 AT T 2.50 13-23 15/03A 106,953.00 0.08
150,000.00 EXPERIAN FINANCE 4.75 10-20 04/02A 159,594.00 0.12 300,000.00 NASDAQ OMX GROUP 3.875 13-21 07/06A 327,795.00 0.25
400,000.00 RBS 5.50 10-20 23/03A 431,472.00 0.32 250,000.00 AT&T INC 2.65 13-21 17/12A 266,850.00 0.20
400,000.00 LLOYDS TSB 6.50 10-20 24/03A 437,092.00 0.33 300,000.00 MONDELEZ INTL 2.375 13-21 26/01A 315,381.00 0.24
400,000.00 BARCLAYS BANK PLC 6.00 10-21 14/01A 443,608.00 0.33 200,000.00 MCDONALD'S CORP 2.00 13-23 01/06A 211,768.00 0.16
150,000.00 NATIONWIDE BUILDING 6.75 10-20 22/07A 167,128.50 0.13 100,000.00 VERIZON COMMUNICATION 2.375 14-15 17/02A 106,691.00 0.08
350,000.00 BARCLAYS BANK SUB 6.625 11-22 30/03A 407,946.00 0.31 100,000.00 DISCOVERY COMM. 2.375 14-22 07/03A 105,812.00 0.08
200,000.00 BAT INTL FINANCE 3.625 11-21 09/11A 219,564.00 0.16 100,000.00 JEFFERIES GROUP 2.375 14-20 20/05A 103,528.00 0.08
500,000.00 ANGLO AMER CAPITAL 3.50 12-22 28/03A 540,130.00 0.40 100,000.00 KELLOGG 1.75 14-21 24/05A 103,850.00 0.08
150,000.00 RENTOKIL INITIAL 3.375 12-19 24/09A 154,995.00 0.12 100,000.00 CELANESE CORP 3.25 14-19 15/10S 103,284.00 0.08
100,000.00 MONDI FINANCE EMTN 3.375 12-20 28/09A 106,456.00 0.08 650,000.00 CITIGROUP 1.375 14-21 27/10A 672,269.00 0.49
300,000.00 BAT HOLDINGS BV EMTN 2.375 12-23 19/01A 319,149.00 0.24 400,000.00 AT&T INC 1.45 14-22 01/06A 411,884.00 0.31
200,000.00 STANDARD CHARTERED 3.625 12-22 23/11A 216,438.00 0.16 100,000.00 ALBEMARLE 1.875 14-21 08/12A 104,527.00 0.08
350,000.00 NGG FINANCE PLC 4.25 13-76 18/06A 369,957.00 0.28 200,000.00 NATL GRID 0.75 15-22 11/02A 202,054.00 0.15
200,000.00 AVIVA PLC SUB 6.125 13-43 05/07A 233,000.00 0.17 100,000.00 MONDELEZ INTL 1.00 15-22 07/03A 102,090.00 0.08
100,000.00 RENTOKIL INITIAL 3.25 13-21 07/10A 107,996.00 0.08 200,000.00 KINDER MORGAN INC/DEL 1.50 15-22 16/03M 205,846.00 0.15
400,000.00 IMPERIAL TABACCO 2.25 14-21 26/02A 417,252.00 0.31 150,000.00 WHIRLPOOL 0.625 15-20 12/03A 151,059.01 0.11
200,000.00 FCE BANK EMTN REGS 1.875 14-21 24/06A 206,016.00 0.15 300,000.00 ZF NA CAPITAL 2.75 15-23 27/04A 320,070.00 0.24
100,000.00 HAMMERSON PLC 2.00 14 22 01/07A 104,074.00 0.08 150,000.00 GENERAL MILLS INC 1.00 15-23 27/04A 152,497.50 0.11
400,000.00 BRITISH SKY BROADCAST 1.50 14-21 15/09A 413,648.00 0.31 100,000.00 FLOWSERVE 1.25 15-22 17/03A 100,120.01 0.08
300,000.00 VODAFONE GROUP PLC 1.00 14-20 11/09A 304,806.00 0.23 200,000.00 EXPEDIA 2.50 15-22 03/06A 209,668.00 0.16
200,000.00 BARCLAYS BANK 1.50 14-22 01/04A 203,628.00 0.15 200,000.00 HJ HEINZ CO 2.00 15-23 30/06A 209,814.00 0.16
200,000.00 BABCOCK INTL GRP 1.75 14-22 06/10A 205,928.00 0.15 100,000.00 MOHAWK INDS 2.00 15-22 14/01S 104,232.00 0.08
200,000.00 FCE BANK EMTN 1.134 15-22 10/02A 200,306.02 0.15 100,000.00 PRICELINE GROUP IN 2.15 15-22 25/11A 106,135.00 0.08
150,000.00 SMITHS GROUP PLC 1.25 15-23 28/04A 151,438.50 0.11 100,000.00 BORG WARNER 1.80 15-22 07/11A 103,310.00 0.08
100,000.00 FCE BANK 1.114 15-20 13/05A 101,503.00 0.08 300,000.00 THERMO FISCHER SCIEN 1.50 15-20 01/12A 308,229.00 0.23
200,000.00 ITV PLC 2.125 15-22 21/09 207,970.00 0.16 100,000.00 MONDELEZ INTERNATI 1.625 16-23 20/01A 104,217.00 0.08
100,000.00 DS SMITH 2.25 15-22 16/09A 104,819.00 0.08 320,000.00 AMGEN 1.25 16-22 25/02A 329,593.60 0.25
100,000.00 VODAFONE GROUP 0.875 15-20 17/11A 101,738.00 0.08 100,000.00 XYLEM INC 2.25 16-23 11/03A 105,746.00 0.08
200,000.00 FCE BANK PLC 1.528 15-20 09/11 205,226.00 0.15 500,000.00 UNITED TECH 1.125 16-21 15/12A 511,700.00 0.37
200,000.00 WPP FINANCE 2013 0.75 15-19 18/11Q 201,670.00 0.15 100,000.00 FEDEX CORP 1.00 16-23 11/01A 101,876.00 0.08
350,000.00 BAT INTL FINANCE P 1.00 15-22 23/05A 354,102.00 0.27 200,000.00 AMERICAN INTL GROUP 1.50 16-23 08/06A 204,656.00 0.15
150,000.00 EASYJET PLC 1.75 16-23 09/02A 155,131.50 0.12 500,000.00 MC DONALD S 0.50 16-21 15/01A 504,090.00 0.38
350,000.00 VODAFONE GROUP 1.25 16-21 25/08A 360,146.50 0.27 350,000.00 FEDEX CORP 0.50 16-20 09/04A 352,323.97 0.26
400,000.00 VODAFONE GROUP 1.75 16-23 25/08A 419,384.00 0.31 100,000.00 FLUOR 1.75 16-23 21/03A 103,415.00 0.08
200,000.00 BRITISH TELECOM 0.625 16-21 10/03A 201,958.00 0.15 100,000.00 SYSCO 1.25 16-23 23/06A 102,663.00 0.08

The accompanying notes form an integral part of these financial statements

154
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
100,000.00 MANPOWER GROUP 1.875 15-22 11/09A 104,690.00 0.08 200,000.00 GRANDE CITY PROPERT. FL.R 15-XX 18/02A 205,810.00 0.16
400,000.00 ABBVIE 0.375 16-19 18/11A 401,692.00 0.30 Netherlands 3,739,612.00 2.80
200,000.00 VERIZON COMM 0.50 16-22 02/06A 200,276.00 0.15
100,000.00 DELTA LLOYD LEVENSV FL.R 12-42 29/08A 127,535.00 0.10
250,000.00 BECTON DICKINSON A 1.00 16-22 15/12A 251,312.48 0.19
200,000.00 ACHMEA BV FL.R 13-43 04/04A 221,936.00 0.17
100,000.00 MCKESSON CORP 0.625 17-21 17/08A 100,869.00 0.08
600,000.00 ING BANK NV FL.R 14-26 25/02A 639,864.00 0.47
350,000.00 THE PRICELINE GROUP 0.80 17-22 10/03A 354,424.00 0.27
500,000.00 VW INTL FIN SUB FL.R 14-XX 24/03A 522,000.00 0.39
100,000.00 DOVER 2.125 13-20 01/12A 104,217.00 0.08
500,000.00 RABOBANK EMTN FL.R 14-26 26/05A 521,220.00 0.39
Floating rate bonds 14,687,819.59 11.02 100,000.00 VONOVIA FINANCE BV FL.R 14-XX 17/12A 106,264.00 0.08
Australia 610,164.00 0.46 200,000.00 VW INTL FIN SUB FL.R 15-XX 20/03A 199,462.00 0.15
200,000.00 EVONIK FINANCE BV FL.R 16-21 08/03A 199,320.00 0.15
300,000.00 NATL AUSTRALIA BK SUB FL.R 14-24 12/11A 304,791.00 0.23
200,000.00 ATF NETHERLANDS BV FL.R 16-XX 20/01A 203,050.00 0.15
300,000.00 COMMONW.BK AUSTRALIA FL.R 15-27 22/04A 305,373.00 0.23
200,000.00 ING GROEP NV FL.R 17-28 11/04A 210,892.00 0.16
Austria 524,940.79 0.39 500,000.00 VW INTL FINANCE REGS FL.R 17-XX 14/12A 497,810.00 0.37
100,000.00 UNIQA INSU GR AG EMTN FL.R 13-43 31/07A 118,152.00 0.09 300,000.00 IBERDROLA INTL FL.R 17-XX 22/02A 290,259.00 0.22
100,000.00 RAIFFEISEN BANK FL.R 14-25 21/02A 104,367.00 0.08 Norway 119,439.00 0.09
180,000.00 OMV SUB FL.R 15-XX 09/12A 201,880.80 0.14
100,000.00 STOREBRAND LIVSF SUB FL.R 13-43 04/04A 119,439.00 0.09
100,000.00 VOLKSBANK WIEN FL.R 17-27 06/10A 100,540.99 0.08
Spain 203,010.00 0.15
Belgium 510,968.00 0.38
200,000.00 CAIXABANK SA FL.R 17-28 14/07A 203,010.00 0.15
300,000.00 KBC GROUP SUB FL.R 14-24 25/11A 307,128.00 0.23
Sweden 1,154,036.00 0.87
200,000.00 KBC GROEP FL.R 15-27 11/03A 203,840.00 0.15
China 103,414.00 0.08 300,000.00 SEB FL.R 14-26 28/05A 313,092.00 0.23
200,000.00 VOLVO TREASURY SUB FL.R 14-78 10/03A 222,032.00 0.17
100,000.00 BANK OF COMMUNICATION FL.R 14-26 03/10S 103,414.00 0.08 300,000.00 VOLVO TREAS REGS SUB FL.R 14-75 10/06A 315,162.00 0.24
Denmark 209,150.00 0.16 300,000.00 TELIA COMPANY AB FL.R 17-78 04/04A 303,750.00 0.23
200,000.00 NYKREDIT REALKREDIT FL.R 15-27 17/11A 209,150.00 0.16 United Kingdom 1,154,769.44 0.87
France 3,818,300.50 2.86 318,000.00 STANDARD CHARTERED FL.R 13-25 21/10A 336,469.44 0.25
150,000.00 GROUPAMA SA FL.R 09-39 27/10A 161,542.50 0.12 100,000.00 SSE SUB FL.R 15-XX 01/04A 101,245.00 0.08
300,000.00 AXA FL.R 10-40 16/04A 320,844.00 0.24 200,000.00 CENTRICA SUB FL.R 15-76 10/04A 204,620.00 0.15
100,000.00 CNP ASSURANCES FL.R 10-40 14/09A 110,286.00 0.08 500,000.00 RBS SCOTLAND FL.R 17-23 08/03A 512,435.00 0.39
200,000.00 CNP ASSURANCES FL.R 11-41 30/09A 234,294.00 0.18 Transferable securities dealt in on another regulated market 4,416,154.18 3.31
300,000.00 ENGIE FL.R 13-XX 10/07A 327,783.00 0.25
200,000.00 ORANGE SA SUB FL.R 14-XX 07/02A 209,414.00 0.16 Bonds 4,312,724.18 3.23
500,000.00 BNP PARIBAS FL.R 14-26 20/03A 522,885.00 0.38 Australia 321,933.00 0.24
100,000.00 SUEZ ENVIRONNEMENT FL.R 14-XX 23/06A 103,402.00 0.08
200,000.00 AMCOR 2.75 13-23 22/03A 217,724.00 0.16
400,000.00 BPCE FL.R 14-26 08/07A 417,976.00 0.31
100,000.00 TRANSURBAN FINANCE 2.50 13-20 08/10A 104,209.00 0.08
300,000.00 ORANGE EMTN FL.R 14-XX 01/10A 323,337.00 0.24
200,000.00 SOCIETE GEN SUB FL.R 14-26 16/09A 207,042.00 0.16 Denmark 204,305.00 0.15
100,000.00 BNP PARIBAS REGS FL.R 14-27 14/10A 104,694.00 0.08 100,000.00 DANFOSS 1.375 14-22 23/02A 102,613.00 0.07
300,000.00 DANONE SA EMTN FL.R 17-XX 23/06A 293,556.00 0.22 100,000.00 ISS GLOBAL 1.00 15-21 07/01A 101,692.00 0.08
300,000.00 SOCIETE GENERALE FL.R 18-28 23/02A 292,227.00 0.22
Finland 209,031.00 0.16
200,000.00 ENGIE SA FL.R 18-XX XX.XXA 189,018.00 0.14
100,000.00 ELISA CORP EMTN 2.75 13-21 22/01A 105,642.00 0.08
Germany 1,728,802.86 1.30
100,000.00 SATO-OYJ 2.25 15-20 10/09A 103,389.00 0.08
489,000.00 BAYER SUB FL.R 14-75 01/07A 499,640.64 0.38
France 532,548.00 0.40
400,000.00 MERCK KGAA SUB FL.R 14-74 12/12A 414,528.00 0.31
420,000.00 BAYER SUB FL.R 15-75 02/04A 413,200.20 0.31 100,000.00 TIGF 4.339 11-21 07/07A 111,152.00 0.08
200,000.00 BERTELSMANN SUB FL.R 15-75 23/04A 200,000.00 0.15 200,000.00 ARKEMA 3.85 12-20 30/04A 212,150.00 0.16
200,000.00 EVONIK INDUSTRIES F.LR 17-77 07/07A 201,434.02 0.15 200,000.00 ICADE 1.875 15-22 14/09A 209,246.00 0.16
Italy 482,133.00 0.36 Germany 905,774.80 0.67

300,000.00 ASSICURAZ GENERALI FL.R 12-42 10/07A 377,487.00 0.28 100,000.00 EUROGRID GMBH 3.875 10-20 22/10A 107,698.00 0.08
100,000.00 ENEL FL.R 14-75 15/01A 104,646.00 0.08 320,000.00 VOLKSWAGEN LEASING 0.2500 18-21 16/02A 319,392.00 0.24
480,000.00 VOLKSWAGEN LEASING 1.0000 18-23 16/02A 478,684.80 0.35
Luxembourg 329,080.00 0.25
Ireland 453,866.40 0.34
100,000.00 TALANX FINANZ EMTN FL.R 12-42 15/06A 123,270.00 0.09
300,000.00 CRH FINANCE 3.125 13-23 03/04A 334,020.00 0.25

The accompanying notes form an integral part of these financial statements

155
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
120,000.00 FCA BANK SPA IR 1.0000 18-22 21/02A 119,846.40 0.09
Luxembourg 299,123.00 0.22

100,000.00 BLACKSTONE PP E 1.4000 18-22 06/07A 100,517.00 0.08


200,000.00 HEIDELBERGCEMENT FIN 0.5 18-22 09/08A 198,606.00 0.14
Netherlands 567,166.98 0.43

250,000.00 REDEXIS GAS FINANCE 2.75 14-21 08/04A 261,875.00 0.20


100,000.00 NE PROPERTY COOP 3.75 15-21 26/02A 104,390.00 0.08
200,000.00 RELX FINANCE BV 0.375 17-21 22/03A 200,901.98 0.15
Spain 506,040.00 0.38

200,000.00 CRITERIA CAIXACORP 1.625 15-22 21/04A 202,818.00 0.15


200,000.00 METROVASECA EMTN FL.R 16-22 23/05A 210,294.00 0.16
100,000.00 DISTRIB INT DE ALIM 0.875 17-23 06/04A 92,928.00 0.07
Sweden 105,926.00 0.08

100,000.00 AKELIUS RESIDENTIAL 3.375 15-20 23/09A 105,926.00 0.08


United States of America 207,010.00 0.16

100,000.00 GENERAL MILLS 2.10 13-20 16/11A 103,787.00 0.08


100,000.00 WP CAREY AND CO 2.00 15-23 20/01A 103,223.00 0.08
Floating rate bonds 103,430.00 0.08
Denmark 103,430.00 0.08

100,000.00 DANSKE BANK EMTN FL.R 14-26 19/05A 103,430.00 0.08


Total securities portfolio 131,114,160.71 98.40

The accompanying notes form an integral part of these financial statements

156
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Luxembourg 1,396,056.65 0.34
Long positions 409,630,457.79 99.63
176,000.00 BON Y OBL DEL ESTADO 1.30 16-26 31/10A 205,881.57 0.05
Other transferable securities 34,704,878.85 8.44 116,000.00 EFSF 1.25 17-33 24/05A 135,056.03 0.03
Bonds 13,039,085.00 3.17 69,000.00 EFSF 0.875 17-27 26/07A 80,852.77 0.02
69,000.00 EFSF 1.80 17-48 10/07A 83,445.42 0.02
Australia 82,687.32 0.02
408,000.00 BUONI POLIENNALI 2.95 17-38 01/09S 436,397.66 0.12
36,000.00 QUEENSLAND TREASUR 3 17-24 22/03S 26,415.26 0.01 150,000.00 TEMASEK FIN I LTD 0.50 16-22 03/01A 175,993.38 0.04
10,000.00 SOUTH AUST FIN AUTH 3.00 17-27 20/09S 7,150.39 0.00 33,000.00 EFSF 0.125 17-23 17/10A 38,161.62 0.01
30,000.00 COMMONWEALTH BANK AUST 3.90 17-47 12/07S 27,707.40 0.00 86,000.00 EUROP INVEST BK 0.875 18-28 14/01A 100,794.98 0.02
30,000.00 NSW TREASURY CORP 3.00 17-29 20/04S 21,414.27 0.01 185,000.00 PROVINCE OF QUEBEC 2.75 18-28 01/09S 139,473.22 0.03
Austria 194,041.05 0.05 Malaysia 197,186.68 0.05

166,000.00 AUSTRIA 0.75 18-28 20/02A 194,041.05 0.05 207,000.00 MALAYSIA GOVERNMEN 3.80 16-23 17/08S 49,943.28 0.01
Canada 1,705,687.22 0.41 323,000.00 MALAISIE 3.882 17-22 10/03S 78,616.08 0.02
283,000.00 MALAYSIA GVT 4.059 17-24 30/09S 68,627.32 0.02
120,000.00 CANADA HOUSING TRUST 1.95 15-25 15/12S 88,047.02 0.02
268,000.00 ONTARIO (PROV.OF) 1.95 16-23 27/01S 201,469.23 0.04 Netherlands 780,248.23 0.19
150,000.00 TORONTO-DOMINION B 2.045 16-21 08/03S 113,962.54 0.03 100,000.00 TENNET HOLDING BV 1.00 16-26 13/06A 115,425.23 0.03
226,000.00 CANADIAN GOVERNMEN 0.50 16-22 01/03S 164,692.40 0.04 300,000.00 DEUTSCHE TELEKOM I 2.485 16-23 19/09S 282,948.00 0.07
96,000.00 ALBERTA (PROV OF) 2.35 15-25 01/06S 71,911.85 0.02 250,000.00 SIEMENS FINANCIERI 1.70 16-21 15/09S 238,812.50 0.06
44,000.00 PROV NEW BRUNSWICK 2.60 16-26 14/08S 32,932.71 0.01 150,000.00 AIRBUS 3.15 17-27 10/04S 143,062.50 0.03
240,000.00 LA CIE TEL BELL CAN 2.70 17-24 27/02S 178,817.85 0.04
New Zealand 39,896.04 0.01
60,000.00 CU INC 4.543 11-41 24/10S 51,533.04 0.01
100,000.00 BANK OF NOVA SCOTI 2.29 17-24 28/06S 73,802.66 0.02 32,000.00 NEW ZEALAND 2.75 16-37 15/04S 20,693.58 0.01
75,000.00 PROVINCE OF NEWFOU 3 16-26 02/06S 57,668.84 0.01 28,000.00 NEW ZEALAND GOV 3.00 17-29 20/04S 19,202.46 0.00
355,000.00 EXP ET DEV CANADA 1.625 17-20 17/01S 349,540.10 0.08 Philippines 96,663.00 0.02
27,000.00 HYDRO QUEBEC 4.0 14-55 15/08S 24,532.77 0.01
100,000.00 ASIAN DEV BANK 2.00 17-22 16/02S 96,663.00 0.02
179,000.00 PROV.SASKATCHEWAN 2.65 17-27 02/12S 134,598.02 0.03
29,000.00 CITY OF MONTREA 3.1500 17-36 01/12S 21,462.67 0.01 Portugal 116,735.38 0.03
33,000.00 CANADA GOVT 2.25 18-29 01/06S 25,102.14 0.01 100,000.00 CAIXA ECO 0.875 17-22 17/10A 116,735.38 0.03
100,000.00 BQUE TORONTO DOM. 0.625 18-25 06/06A 115,613.38 0.03 South Korea 2,062,546.47 0.49
Finland 49,862.09 0.01
178,680,000.00 KOREA -DY- 4.00 11-31 10/12S 190,794.98 0.05
43,000.00 FINLAND 0.00 16-23 15/09U 49,862.09 0.01 68,320,000.00 KOREA -DY- 2.25 15-25 10/06S 61,427.95 0.01
France 1,558,899.52 0.38 359,420,000.00 KOREA TREASURY -DY- 2.00 16-46 10/03S 302,350.25 0.07
340,680,000.00 REPUBLIQUE DE COREE 1.375 16-21 10/09S 301,364.77 0.07
16,000.00 ARKEA 0.625 15-22 30/09A 18,910.52 0.00
457,290,000.00 KOREA TREAS -DY- 1.50 16-26 10/12S 386,815.64 0.09
150,000.00 PERNOD RICARD 144A 3.25 16-26 08/06S 142,867.50 0.03
222,860,000.00 REPUBLIQUE DE COREE-DY-1.5 16-36 10/09S 176,881.64 0.04
200,000.00 VEOLIA ENVIRONN. 0.314 16-23 04/10A 228,030.32 0.06
291,600,000.00 KOREA -DY- 2.125 17-47 10/03S 254,136.94 0.06
50,000.00 ELECT.DE FRANCE EMTN 4.75 15-35 13/10S 49,025.50 0.01
439,090,000.00 KOREA -DY- 2.125 17-27 10/06S 388,774.30 0.10
200,000.00 AIR LIQUIDE FINANCE 1.375 16-19 27/09S 197,046.00 0.05
100,000.00 BPCE SA 1.125 17-23 18/01A 116,774.88 0.03 Spain 1,718,049.30 0.42
100,000.00 AUTOROUTES DU SUD 1.25 17-27 18/01A 116,183.70 0.03 73,000.00 SPAIN 1.95 16-26 30/04A 89,851.43 0.02
200,000.00 COENTR DE TR D'ELEC 0.875 17-24 29/09A 230,123.35 0.06 200,000.00 CAIXABANK 1.00 16-23 08/02A 238,683.61 0.06
100,000.00 CIE FINANCEMENT FO 0.20 17-22 16/09A 116,269.64 0.03 100,000.00 BANKIA SA 1.00 16-23 14/03A 119,081.62 0.03
200,000.00 AGENCE FRANCAISE D 0.125 17-22 30/04A 232,811.06 0.05 100,000.00 ABERTIS INFRAESTRUCT. 1.00 16-27 27/02A 104,924.11 0.03
100,000.00 GECINA 1.625 18-30 14/03A 110,857.05 0.03 89,000.00 SPAIN 0.40 17-22 30/04A 104,094.00 0.03
Germany 557,985.53 0.14 100,000.00 TELEFONICA EMIS 1.528 17-25 17/01A 117,543.80 0.03
124,000.00 SPAIN 1.50 17-27 30/04A 146,236.80 0.04
100,000.00 DAIMLER AG 1.375 16-28 11/05A 113,199.79 0.03
31,000.00 SPAIN STRIP 0.45 17-22 31/10A 36,193.02 0.01
185,000.00 KFW 0.00 16-23 15/09A 213,304.60 0.05
355,000.00 ESPAGNE 1.40 18-28 30/04A 411,013.03 0.09
100,000.00 COMMERZBANK AG 1.125 17-24 24/05A 114,374.06 0.03
111,000.00 BON Y OBL DEL ESTADO 2.70 18-48 31/10A 132,166.43 0.03
100,000.00 COMMERZBANK AG 0.625 18-25 13/03A 117,107.08 0.03
89,000.00 ESPAGNE 1.4 18-28 30/07A 102,429.70 0.02
Japan 572,108.00 0.14 100,000.00 FADE 0.5 18-23 17/03A 115,831.75 0.03
200,000.00 MIZUHO FINANCIAL G 2.632 16-21 12/04S 195,150.00 0.05 Sweden 114,026.78 0.03
200,000.00 BK TOKYO MITSUBISHI 2.35 14-19 08/09S 198,838.00 0.05
100,000.00 AKELIUS RESIDENTIAL 1.75 17-25 07/02A 114,026.78 0.03
200,000.00 DBJ 144A 1.875 16-26 01/09S 178,120.00 0.04

The accompanying notes form an integral part of these financial statements

157
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Switzerland 97,986.00 0.02 335,000.00 AUSTRALIAN GOVT 4.25 13-26 21/04S 270,641.11 0.07
100,000.00 UBS GROUP FUNDING 3.491 17-23 23/05S 97,986.00 0.02 79,000.00 AUSTRALIA 144A 3.75 14-34 21/04S 63,317.54 0.02
127,000.00 QUEENSLAND TREASURY 4.75 14-25 21/07S 102,768.50 0.02
United Kingdom 113,662.07 0.03
170,800.00 NSW TREASURY CORP 4.00 13-21 08/04S 128,986.18 0.03
100,000.00 SSE PLC 1.375 18-27 04/09A 113,662.07 0.03 125,000.00 AUSTRALIAN GOVT 2.75 14-35 21/06S 88,113.70 0.02
United States of America 1,584,757.67 0.39 200,000.00 CNOOC FIN 2015 AUS 2.625 15-20 05/05S 197,410.00 0.05
444,000.00 AUSTRALIAN GOVT 146 1.75 14-20 21/11S 319,334.22 0.09
50,000.00 BAE SYSTEMS HOLDINGS 3.85 15-25 15/12S 49,236.00 0.01
69,000.00 QUEENSLAND TREAS C 5.50 11-21 21/06S 54,114.46 0.01
50,000.00 DIAMOND 1 FIN 144A 6.02 16-26 15/06S 53,404.00 0.01
66,000.00 AUSTRALIAN GOVT 3.25 15-39 21/06S 49,199.67 0.01
200,000.00 ERAC USA FINANCE 144A 3.30 16-26 01/12S 187,068.00 0.05
238,000.00 AUSTRALIA 148 2.75 16-27 21/11S 173,552.75 0.04
20,000.00 MASSACHUSETTS ELEC 4.004 16-46 15/08S 18,807.80 0.00
100,000.00 TELSTRA CORP LTD 1.125 16-26 14/04A 114,520.41 0.03
500,000.00 INTER-AME DEV BK 1.875 16-21 15/03S 486,980.00 0.13
12,000.00 AUSTRALIAN GOVERNMENT 2.25 15-28 21/05S 8,374.52 0.00
200,000.00 COCA-COLA CO/THE 0 17-21 09/03A 232,128.10 0.06
30,000.00 RIO TINTO FIN US 3.75 15-25 15/06S 30,144.30 0.01
50,000.00 DIAMOND 1 FIN 144A 8.10 16-36 15/07S 59,950.00 0.01
85,100.00 NEW STH WALES TSY 4.00 13-23 20/04S 65,626.69 0.02
90,000.00 COX COMMUNICATIONS INC 4.80 14-35 01/02S 84,256.20 0.02
180,000.00 WESTERN AUST TREA 2.50 15-20 22/07S 130,882.01 0.03
100,000.00 CHUBB INA HOLDINGS 1.55 18-28 15/03A 115,686.57 0.03
45,000.00 QUEENSLAND TREASURY 3.25 15-26 21/07S 33,173.73 0.01
100,000.00 MAPLE ESCROW 4.985 18-38 25/05S 101,159.00 0.02
43,200.00 WESTERN AUST TREAS 3.00 16-27 21/10S 30,901.88 0.01
150,000.00 DAIMLER FINANCE 3.00 18-21 22/03S 148,309.50 0.04
150,000.00 AUST & NZ BANK 5.00 13-23 16/08S 118,455.20 0.03
50,000.00 AT ET T 4.9 18-37 15/08S 47,772.50 0.01
20,000.00 BHP BILLITON FIN 3.00 15-20 30/03S 14,579.63 0.00
Floating rate bonds 327,735.56 0.08 113,000.00 AUSTRALIAN GOVERNM 3.00 16-47 21/03S 79,329.38 0.02
Canada 97,902.61 0.02 100,000.00 WESTPAC BANKING CORP 2.00 16-21 19/08S 96,078.00 0.02
162,000.00 AUSTRALIA 151 2.00 17-21 21/12M 116,865.48 0.03
130,000.00 TORONTO DOMINION CV FL.R 17-29 25/07S 97,902.61 0.02
385,000.00 AUSTRALIE 2.75 16-28 21/11S 280,393.36 0.08
United Kingdom 113,128.93 0.03
67,000.00 TREAS CORP VICTORIA 3.00 15-28 20/10S 48,309.02 0.01
100,000.00 ROYAL BK SCOTLND FL.R 18-26 02/03A 113,128.93 0.03 82,000.00 WESTERN AUSTR TSY 2.50 16-24 23/07S 58,410.72 0.01
United States of America 116,704.02 0.03 200,000.00 COMMONWEALTH BANK 0.50 17-22 11/07A 232,680.94 0.06
19,000.00 NSW TREASURY 3.00 16-30 20/02S 13,439.61 0.00
100,000.00 JPMORGAN FL.R 18-29 12/06A 116,704.02 0.03
15,000.00 SOUTH AUST GOVT FIN 1.50 16-22 22/09S 10,441.45 0.00
Mortgage and asset backed securities 21,338,058.29 5.19 161,000.00 SOUTH AUST FIN AUTH 2.25 16-24 15/08S 113,022.15 0.03
United States of America 21,338,058.29 5.19 46,000.00 QUEENSLAND TREASURY 3.25 16-28 21/07S 33,517.85 0.01
200,000.00 VOLKSWAGEN FIN.SERV 2.59 17-20 22/06S 144,881.82 0.04
5,439,000.00 FNCL 4.00 09-39 01/10M 5,490,840.47 1.34
76,000.00 QUEENSLAND TREASURY 3.50 17-30 21/08S 55,746.30 0.01
2,732,000.00 FGLMC 3.50 12-42 01/10M 2,688,031.88 0.65
132,000.00 AUSTRALIAN GOVT 2.25 17-22 21/11S 95,714.64 0.02
1,606,000.00 FNCL 3.00 12-42 01/10M 1,535,988.44 0.37
193,000.00 COMMONWLTH BANK AUSTR 2.75 17-29 21/11S 140,365.32 0.03
6,275,000.00 FNCI 2.50 12-27 01/10M 6,058,316.41 1.48
100,000.00 WESTPAC BKING CORP 3.40 18-28 25/01S 95,334.00 0.02
5,599,000.00 G2SF 3.50 12-42 01/10M 5,564,881.09 1.35
32,000.00 TREASURY CORP 5.50 10-24 17/12S 26,955.78 0.01
Transferable securities admitted to an official stock exchange 300,411,355.21 73.07 150,000.00 FBG FINANCE PTY LTD 3.75 17-24 06/09S 109,494.87 0.03
listing
Bonds 294,992,459.96 71.75 136,000.00 COMMONWEALTH BANK 0.375 16-21 10/02A 159,572.07 0.04
82,000.00 AUSTRALIAN GOVE 2.5000 18-30 21/05S 58,007.87 0.01
Australia 5,724,592.07 1.39
33,000.00 AUSTRALIAN 2.75 18-41 10/07S 22,502.97 0.01
74,000.00 AUSTRALIA -124- 5.75 07-21 15/05S 58,560.51 0.01 19,000.00 QUEENSLAND TREASUR 6.50 08-33 14/03S 18,636.21 0.00
256,000.00 AUSTRALIA 4.50 09-20 15/04S 192,250.23 0.05 Austria 2,536,522.36 0.62
152,000.00 AUSTRALIAN GOVT 128 5.75 10-22 15/07S 124,352.34 0.03
120,000.00 AUSTRALIA 5.50 11-23 21/04S 99,020.31 0.02 105,000.00 AUSTRIA 3.90 04-20 15/07A 131,512.87 0.03
40,000.00 AUSTRALIAN GOVT 4.75 11-27 21/04S 33,674.17 0.01 60,000.00 OESTER.KONTROLLBK 2.875 05-30 25/02A 77,610.79 0.02
35,000.00 BHP BILLITON FINANCE 2.875 12-22 24/02S 34,421.80 0.01 136,000.00 AUSTRIA 3.50 05-21 15/09A 175,949.78 0.04
100,000.00 BHP BILLITON FIN USA 4.125 12-42 24/02S 98,735.00 0.02 82,000.00 AUSTRIA 4.15 06-37 15/03A 142,988.31 0.03
50,000.00 QUEENSLAND TREASURY 6.00 11-21 21/07S 40,849.67 0.01 20,000.00 AUSTRIA 4.85 09-26 15/03A 30,903.80 0.01
100,000.00 BHP BILLITON 3.25 12-24 25/09A 139,721.68 0.03 44,000.00 AUSTRIA REP OF 3.65 11-22 20/04A 58,159.14 0.01
231,000.00 AUSTRALIAN GOVT 3.25 12-29 21/04S 175,830.77 0.04 71,000.00 AUSTRIA 3.40 12-22 22/11A 94,594.02 0.02
360,000.00 AUSTRALIA -137- 2.75 12-24 21/04S 265,650.31 0.06 12,000.00 OEBB INFRASTRUCT.EMTN 3.375 12-32 18/05A 17,539.30 0.00
336,000.00 AUSTRALIA 139 3.25 13-25 21/04S 254,582.05 0.06 88,000.00 AUSTRIA 3.15 12-44 20/06A 143,248.07 0.03
55,000.00 TREA CORP OF VICTORIA 5.50 11-26 17/11S 47,515.72 0.01 83,000.00 AUSTRIA 2.40 13-34 23/05A 114,909.34 0.03
20,000.00 BHP BILLITON FIN USA 5.00 13-43 30/09S 22,206.80 0.01 22,000.00 OEEB INFRA 3.00 13-33 24/10A 31,152.94 0.01
22,000.00 WEST AUSTRALIAN TREAS.5.00 13-25 23/07S 18,004.57 0.00 257,000.00 AUSTRIA 1.65 14-24 21/10A 324,985.92 0.09
47,000.00 AUSTRALIA -140- 4.50 13-33 21/04S 40,724.72 0.01 63,000.00 AUSTRIA 0.25 14-19 18/10A 73,773.07 0.02
96,000.00 QUEENSLAND TREASURY 4.25 12-23 21/07S 74,695.11 0.02 100,000.00 UNICREDIT BK AUSTRIA 0.75 15-25 25/02A 117,385.83 0.03

The accompanying notes form an integral part of these financial statements

158
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
137,000.00 AUSTRIA 1.20 15-25 20/10A 168,547.32 0.04 15,000.00 BRIT.COLUMBIA (PROV) 4.30 10-42 18/06S 13,887.05 0.00
50,000.00 HYPO NOE GRUPPE 6 0.75 14-21 22/09A 59,236.50 0.01 133,000.00 PROV OF QUEBEC 3.50 12-45 01/12S 108,392.37 0.03
12,000.00 AUSTRIA 0.75 16-26 20/10A 14,211.74 0.00 419,000.00 CANADA GOVT 2.50 13-24 01/06S 326,542.94 0.08
84,000.00 AUSTRIA 1.50 16-47 20/02A 99,294.87 0.02 31,000.00 CANADA 2.75 14-64 01/12S 26,482.24 0.01
35,000.00 AUSTRIA (REP OF)144A 1.50 16-86 02/11A 37,177.12 0.01 106,000.00 CANADA GOVT 2.25 14-25 01/06S 81,310.95 0.02
20,000.00 AUSTRIA (REP OF) 0.00 16-23 15/07U 23,223.96 0.01 300,000.00 CANADA GOVT 1.50 14-20 01/03S 229,967.48 0.06
107,000.00 AUSTRIA (REP OF) 0.50 17-27 20/04A 123,348.40 0.03 25,000.00 BRIT COLUMBIA 3.30 13-23 18/12S 19,893.50 0.00
33,000.00 REPUBLIC OF AUSTRI 2.1 17-17 20/09A 42,691.40 0.01 148,000.00 ONTARIO (PROV OF) 5.60 04-35 02/06S 149,365.30 0.04
172,000.00 AUTRICHE 0.00 17-22 20/09A 200,756.91 0.06 35,000.00 EXPORT DEVELOPMNT 1.75 15-20 21/07S 34,288.80 0.01
100,000.00 AUTOBAHN SCNELL AG 0.25 17-24 18/10A 115,505.37 0.03 99,000.00 CANADIAN GOVERNMEN 1.50 15-26 01/06S 71,783.27 0.02
100,000.00 RAIFLBK NIEDEROEST 0.50 15-21 20/04A 117,815.59 0.03 50,000.00 TRANS CANADA PIPELINES4.875 16-26 15/01S 52,235.00 0.01
Belgium 2,829,528.36 0.69 110,000.00 CANADA GOVT 0.75 16-21 01/09S 81,508.85 0.02
20,000.00 MANULIFE FINANCIAL 5.375 16-46 04/03S 22,561.40 0.01
135,852.00 BELGIAN -44- 5.00 04-35 28/03A 245,062.18 0.06 70,000.00 RBC 2.20 14-19 23/09S 69,520.50 0.02
88,948.00 BELGIQUE OLO -48- 4.00 06-22 28/03A 118,650.97 0.03 90,000.00 ROGERS COMMUNICATIONS 3.625 15-25 15/12S 87,785.10 0.02
152,921.00 BELGIAN 0318 3.75 10-20 28/09A 192,566.05 0.05 44,000.00 MANITOBA (PROV OF) 2.125 16-26 22/06S 39,948.04 0.01
117,780.00 BELGIQUE OLO -60- 4.25 10-41 28/03A 207,671.47 0.05 67,000.00 CANADA 1.00 16-27 01/06S 46,121.61 0.01
188,682.00 BELGIQUE OLO 4.25 11-21 28/09A 249,235.24 0.06 100,000.00 CANADA HOUSING TRU 1.25 16-21 15/06S 75,011.08 0.02
17,188.00 BELGIUM KINGDOM 64 4.50 11-26 28/03A 25,871.97 0.01 128,000.00 BANK OF MONTREAL 0.125 16-21 19/04A 149,225.06 0.04
199,717.00 BELGIUM KINGDOM 4.25 12-22 28/09A 272,786.65 0.06 200,000.00 TORONTO DOMINION BK 2.25 14-19 25/09S 198,526.00 0.05
139,292.00 BELGIQUE OLO 4.00 12-32 28/03A 220,995.47 0.05 50,000.00 SUNCOR ENERGY INC 3.60 14-24 01/12S 49,496.00 0.01
100,000.00 ANHEUSER-BUSCH INBEV 2.875 12-24 25/09A 130,124.00 0.03 190,000.00 EDC 1.75 16-21 21/10S 180,876.20 0.04
86,376.00 BELGIUM KINGDOM 2.25 13-23 22/06A 111,022.44 0.03 168,000.00 ONTARIO (PROVINCE 0.375 17-24 14/06A 193,974.87 0.05
82,308.00 BELGIUM KINGDOM REGS 3.75 13-45 22/06A 139,209.01 0.03 50,000.00 CANADA PAC RAILWAY CO 4.80 15-45 01/08S 53,258.00 0.01
56,432.00 BELGIUM KINGDOM REGS 3.00 14-34 22/06A 81,746.72 0.02 100,000.00 PSP CAPITAL INC 1.73 17-22 21/06S 74,939.13 0.02
195,920.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 233,702.96 0.06 174,000.00 PROVINCE OF ONTARIO 3.50 11-43 02/06S 140,496.78 0.03
74,819.00 BELGIUM 144A/REGS OLO 1.90 15-38 22/06A 93,466.00 0.02 199,000.00 CANADA 2.00 17-28 01/06S 148,388.35 0.04
30,000.00 ANHEUSER-BUSCH INB 1.50 16-25 17/03A 35,942.96 0.01 100,000.00 QUEBEC (PROV.OF) 0.875 17-27 04/05A 116,075.67 0.03
20,000.00 ANHEUSER-BUSCH INB 2.75 16-36 17/03A 24,133.18 0.01 445,000.00 PROVINCE OF ONTARIO 2.55 18-21 12/02S 439,103.75 0.11
40,000.00 ANHEUSER-BUSCH INB 0.625 16-20 17/03A 46,914.84 0.01 70,000.00 SUNCOR ENERGY INC 4.00 17-47 15/11S 65,732.10 0.02
3,038.00 BELGIUM KINGDOM 2.15 16-66 22/06A 3,699.88 0.00 40,000.00 CANADIAN NATL RESO FL.R 17-47 30/06S 41,713.60 0.01
120,000.00 ANHEUSER-BUSCH INBEV 2.25 17-29 24/05A 147,509.78 0.04 86,000.00 PROVINCE OF NEWFOU 2.85 17-28 02/06S 64,596.02 0.02
84,125.00 BELGIUM KINGDOM 1.45 17-37 22/06A 97,963.28 0.02 50,000.00 BROOKFIELD FINANCE 4.70 17-47 20/09S 48,110.50 0.01
31,188.00 BELGIUM KINGDOM 1.25 18-33 22/04A 36,432.07 0.01 136,000.00 CANADIAN GOVERNMEN 1.75 17-23 01/03S 102,713.69 0.02
100,000.00 KBC BANK .75 17-27 24/10A 114,821.24 0.03 200,000.00 BANK OF NOVA SCOTIA 0.375 17-22 06/04A 232,588.06 0.06
British Virgin Islands 778,368.00 0.19 150,000.00 ROGERS COMMUNICATIONS 5.38 09-19 04/11S 119,521.12 0.03
100,000.00 BANK OF MONTREA 3.1000 18-21 13/04S 99,570.00 0.02
200,000.00 SINOPEC GRP REGS 1.75 16-19 29/09S 197,264.00 0.04
60,000.00 CENOVUS ENERGY 5.40 17-47 15/06S 59,970.00 0.01
200,000.00 SINOPEC GROUP REGS 3.00 17-22 12/04S 194,216.00 0.05
100,000.00 PROVINCE OF QUEBEC 2.875 14-24 16/10S 97,746.00 0.02
200,000.00 STATE GRID INV REGS 3.50 17-27 04/05S 190,710.00 0.05
40,000.00 CANADA GOVERNMENT 2.0 17-22 15/11S 38,452.00 0.01
200,000.00 CHINA CINDA FINANC 3.875 18-23 08/02S 196,178.00 0.05
26,000.00 TORONTO DOMINION 1.68 16-21 08/06S 19,570.67 0.00
Canada 5,328,150.25 1.30 100,000.00 NUTRIEN LTD 3.15 18-22 01/10S 97,133.00 0.02
39,000.00 CANADA 8.00 92-23 01/06S 37,701.83 0.01 Cayman Islands 473,558.00 0.12
73,000.00 CANADA 5.75 98-29 01/06S 73,935.47 0.02
100,000.00 CHINA OVERSEA FIN 5.50 10-20 10/11S 103,096.00 0.03
34,000.00 ONTARIO (PROV.OF) 6.50 98-29 08/03S 34,154.51 0.01
200,000.00 BRASKEM SA REGS 5.75 11-21 15/04S 206,434.00 0.05
98,000.00 CANADA 5.75 01-33 01/06S 106,559.23 0.03
150,000.00 VALE OVERSEAS 6.25 16-26 10/08S 164,028.00 0.04
153,000.00 CANADA 5.00 04-37 01/06S 163,526.83 0.04
65,000.00 CANADA 3.50 09-20 01/06S 51,359.52 0.01 Chile 384,810.00 0.09
90,000.00 ONTARIO (PROV.OF) 4.20 09-20 02/06S 71,738.43 0.02 200,000.00 CHILE (REPUBLIC OF) 3.125 14-25 27/03S 194,126.00 0.04
94,000.00 CANADA 3.50 11-45 01/12S 88,157.83 0.02 200,000.00 CORP NAC COBRE 3.625 17-27 01/08S 190,684.00 0.05
62,000.00 CANADA 2.75 11-22 01/06S 48,743.98 0.01
Colombia 403,456.80 0.10
50,000.00 BARRICK PD AUST 5.95 09-39 15/10S 55,006.00 0.01
100,000.00 BRITISH COLUMBIA PROV 2.65 12-21 22/09S 98,709.00 0.02 128,000.00 COLOMBIA 8.125 04-24 21/05S 153,785.60 0.04
50,000.00 ENCANA CORP 6.50 04-34 15/08S 58,142.50 0.01 100,000.00 COLOMBIA 6.125 09-41 18/01S 113,338.00 0.03
30,000.00 CENOVUS ENERGY 4.45 12-42 15/09S 26,195.10 0.01 50,000.00 ECOPETROL 4.125 14-25 16/01S 48,728.00 0.01
37,000.00 CANADA GOVT 1.50 12-23 01/06S 27,588.65 0.01 50,000.00 ECOPETROL SA 7.375 13-43 18/09S 56,614.00 0.01
20,000.00 QUEBEC (PROV.OF) 4.25 11-43 01/12S 18,249.32 0.00 30,000.00 ECOPETROL SA FL.R 15-26 26/06S 30,991.20 0.01

The accompanying notes form an integral part of these financial statements

159
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Czech Republic 448,686.52 0.11 126,324.00 FRANCE OAT 4.75 04-35 25/04A 226,204.97 0.06
39,000.00 CZECH REPUBLIC EMTN 4.125 05-20 18/03A 48,243.81 0.01 96,073.00 FRANCE OAT 4.00 04-55 25/04A 179,352.19 0.04
1,590,000.00 CZECH REPUBLIC -46- 3.75 05-20 12/09A 74,751.04 0.02 150,000.00 FRANCE OAT 3.75 05-21 25/04A 192,691.11 0.05
310,000.00 CZECH REPUBLIC -49- 4.20 06-36 04/12A 16,843.73 0.00 8,000.00 RFF 5.00 03-33 10/10A 13,911.79 0.00
880,000.00 CZECH REPUBLIC -52- 4.70 07-22 12/09A 44,066.35 0.01 88,619.00 FRANCE OAT 4.00 06-38 25/10A 151,705.84 0.04
800,000.00 CZECH REPUBLIC -58- 5.70 09-24 25/05A 43,656.16 0.01 179,547.00 FRANCE OAT 4.25 06-23 25/10A 253,032.50 0.06
460,000.00 CZECH REPUBLIC -61- 3.85 10-21 29/09A 22,105.64 0.01 335,048.00 FRANCE GOVT 4.50 09-41 25/04A 620,349.39 0.14
720,000.00 CZECH REPUBLIC -78- 2.50 13-28 25/08A 33,398.97 0.01 169,413.00 FRANCE OAT 3.50 09-20 25/04A 209,122.69 0.05
550,000.00 CZECH REPUBLIC -89- 2.40 14-25 17/09A 25,293.82 0.01 41,301.00 FRANCE OAT 4.00 09-60 25/04A 78,918.24 0.02
1,000,000.00 CZECH REPUBLIC 1.00 15-26 26/06A 41,498.01 0.01 100,000.00 ORANGE 3.875 10-20 09/04A 123,052.80 0.03
200,000.00 CZECH REPUBLIC 0.00 17-20 10/02U 8,841.30 0.00 161,289.00 FRANCE OAT 3.50 10-26 25/04A 230,619.56 0.06
870,000.00 REPUBLIQUE TCHEQUE 0.45 15-23 25/10A 36,536.37 0.01 160,925.00 CRH 3.30 10-22 23/09A 210,566.53 0.05
680,000.00 CZECH REPUBLIC 0.95 15-30 15/05A 26,525.13 0.01 273,212.00 FRANCE OAT 2.50 09-20 25/10A 336,712.25 0.08
210,000.00 CZECH REPUBLIC 0.25 17-27 10/02A 8,109.19 0.00 50,000.00 AXA BANK EUROPE SCF 3.50 10-20 05/11A 62,571.17 0.02
400,000.00 TCHEQUE REPUBLIQUE 2.75 18-29 23/07A 18,817.00 0.00 200,000.00 BANQUE POSTALE 4.375 10-20 30/11A 252,826.02 0.06
50,000.00 ELECT.DE FRANCE 5.125 10-50 22/09A 79,948.73 0.02
Denmark 1,571,932.55 0.38
200,000.00 CM-CIC COVERED BONDS 4.375 11-21 17/03A 257,980.76 0.06
89,946.00 DENMARK 7.00 94-24 10/11A 19,971.37 0.00 754,681.00 FRANCE OAT 3.25 10-21 25/10A 972,045.87 0.23
1,118,570.00 DENMARK 4.50 07-39 15/11A 298,040.30 0.08 200,000.00 ORANGE 4.125 11-21 14/09S 204,464.00 0.05
746,230.00 DENMARK 4.00 09-19 15/11A 122,307.42 0.03 389,952.00 FRANCE 3.00 11-22 25/04U 504,757.94 0.12
412,962.00 DENMARK KINGDON 3.00 11-21 15/11A 71,184.98 0.02 200,000.00 SAINT GOBAIN 3.625 12-21 15/06A 253,641.40 0.06
427,193.00 DANEMARK 1.50 12-23 15/11A 71,905.44 0.02 196,560.00 FRANCE GOVT 2.75 12-27 25/10A 270,924.31 0.07
815,403.00 DENMARK 1.75 13-25 15/11A 141,219.33 0.03 213,137.00 FRANCE OAT 2.25 11-22 25/10A 271,428.22 0.07
159,034.26 NYKREDIT REALKREDIT 2.00 15-47 01/10Q 24,964.25 0.01 84,035.00 FRANCE OAT 3.25 12-45 25/05A 133,615.71 0.03
92,975.57 NORDEA KREDIT 3.00 12-44 01/10Q 15,538.50 0.00 207,511.00 FRANCE OAT 1.75 12-23 25/05A 260,754.26 0.06
76,430.87 NORDEA KREDIT REALKR 3.00 12-44 01/10Q 12,759.67 0.00 100,000.00 LA BQUE POSTALE 1.875 13-20 11/09A 120,940.03 0.03
38,211.63 NORDEA KREDIT 3.50 12-44 01/07Q 6,556.20 0.00 204,148.00 FRANCE OAT 2.25 13-24 25/05A 265,033.80 0.06
46,000.00 KOMMUNEKREDIT 1.625 16-21 01/06A 44,308.12 0.01 30,000.00 TOTAL CAPITAL 3.75 14-24 10/04S 30,320.70 0.01
550,000.00 NYKREDIT 1.00 15-16 01/07A 88,291.45 0.02 857,744.00 FRANCE OAT 2.50 13-30 25/05A 1,170,547.12 0.27
110,000.00 BFRKREDIT AS 1.00 14-21 01/04A 17,633.28 0.00 96,273.00 FRANCE OAT 1.75 13-24 25/11A 122,180.19 0.03
662,880.00 KINGDOM OF DENMARK 0.5 17-27 15/11A 104,103.48 0.03 100,000.00 RTE EDF TRANSPORT 2.75 14-29 20/06A 130,993.97 0.03
611,201.00 DENMARK TREASURY BOND 0.25 17-20 15/11A 96,788.98 0.02 439,665.00 FRANCE GOVT 0.50 13-19 25/11A 516,890.86 0.12
100,000.00 KOMMUNEKREDIT 0.25 17-24 16/02A 115,573.89 0.03 400,000.00 CADES 1.375 14-24 25/11A 494,097.46 0.12
150,000.00 NORDEA KREDIT REAL 1.00 17-22 01/10A 24,173.17 0.01 200,000.00 BNP PARIBAS 847 4.25 14-24 15/10S 198,170.00 0.05
1,123,450.00 NORDEA KREDIT 2.00 14-19 01/10Q 179,236.18 0.04 479,545.00 FRANCE GOVT 0.00 15-20 25/05U 561,575.56 0.13
100,000.00 KOMMUNEKREDIT 0.25 15-20 09/10A 117,376.54 0.03 100,000.00 ENGIE 1.00 15-26 13/03A 115,824.78 0.03
Finland 1,180,870.58 0.29 393,677.00 FRANCE OAT 0.50 15-25 25/05A 462,660.60 0.11
250,000.00 BNP PARIBAS 2.375 15-20 21/05 246,572.50 0.06
108,000.00 FINLAND 3.375 10-20 15/04A 133,011.17 0.03 1,047,247.00 FRANCE OAT 1.00 15-25 25/11A 1,269,399.27 0.30
300,000.00 NORDEA BANK EMTN 4.50 10-20 26/03A 371,116.67 0.10 139,899.00 FRANCE OAT 1.50 15-31 25/05A 171,931.89 0.04
39,000.00 FINLAND 3.50 11-21 15/04A 49,814.76 0.01 100,000.00 RCI BANQUE 1.375 15-20 17/11A 119,250.05 0.03
43,000.00 FINLANDE 2.625 12-42 04/07A 65,496.72 0.02 100,000.00 AFD 0.50 15-22 25/10A 117,778.42 0.03
10,000.00 FINLAND 1.625 12-22 15/09A 12,432.57 0.00 100,000.00 CM CIC HOME LOAN EMTN 0.50 15-22 21/01A 117,958.45 0.03
12,000.00 FINLAND 1.50 13-23 15/04A 14,921.88 0.00 100,000.00 RFF 2.625 14-25 29/12A 132,509.73 0.03
51,000.00 FINLAND 0.375 14-20 15/09A 60,245.89 0.01 200,000.00 CADES 0.05 16-20 25/11A 233,888.94 0.06
61,000.00 FINNISH GOVT 0.75 15-31 15/04A 69,779.52 0.02 100,000.00 CIE DE FIN.FONCIER 1.00 16-26 02/02A 118,341.75 0.03
50,000.00 NORDIC INV BK 0.375 15-22 19/09A 59,026.26 0.01 205,562.00 FRANCE OAT 0.50 15-26 25/05A 239,445.53 0.06
31,000.00 FINLANDE 0.50 16-26 15/04A 36,202.38 0.01 100,000.00 DEXIA CRED LOCAL 0.04 16-19 11/12A 116,609.95 0.03
75,000.00 NORDEA BANK AB 1.00 16-23 22/02A 89,262.44 0.02 175,079.00 FRANCE (GOVT OF) 1.25 16-36 25/05A 201,892.14 0.05
18,000.00 MUNICIPALITY FINAN 5.00 14-24 20/03S 14,364.00 0.00 67,203.00 FRANCE 1.75 15-66 25/05A 75,572.53 0.02
18,000.00 FINLAND 1.375 17-47 15/04A 21,495.74 0.01 105,912.00 FRANCE OAT 0.00 15-21 25/05U 124,127.63 0.03
14,000.00 FINLAND 0.50 17-27 15/09A 16,110.26 0.00 100,000.00 CIE FIN FONCIER 0.625 15-23 10/02A 117,958.45 0.03
20,000.00 FINNISH GOVT 1.125 18-34 15/04A 23,570.08 0.01 400,000.00 CADES 144A 2.00 16-21 22/03S 389,392.00 0.09
124,000.00 OP MTGE 0.625 18-25 01/09A 144,020.24 0.04 258,000.00 CADES 144A 1.875 15-22 12/02S 247,460.70 0.06
France 22,665,891.18 5.50 30,000.00 TOTAL CAPITAL INTL 2.25 15-22 09/06A 40,106.67 0.01
100,000.00 CAISSE FRANCAISE FIN 0.20 15-23 27/04A 115,924.67 0.03
262,879.00 FRANCE OAT 5.75 00-32 25/10A 494,070.03 0.12
100,000.00 COUNCIL OF EUROPE 1.75 14-19 14/11S 98,852.00 0.02
160,746.00 FRANCE OAT 5.50 98-29 25/04A 275,955.92 0.07

The accompanying notes form an integral part of these financial statements

160
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
100,000.00 CA HOME LOAN 0.375 15-21 21/10A 117,666.92 0.03 100,000.00 MUENCHENER HYPO 1.375 13-21 16/04A 120,748.37 0.03
100,000.00 DEXIA CLF 0.20 16-21 16/03A 117,019.96 0.03 114,311.00 BRD 2.00 13-23 15/08A 146,621.70 0.04
100,000.00 AFL EMTN 0.25 16-23 20/03A 116,159.29 0.03 579,904.00 DEUTSCHLAND REP 1.75 14-24 15/02A 738,954.28 0.17
238,128.00 FRANCE GOVT 0.25 15-26 25/11A 270,423.34 0.07 120,950.00 GERMANY 2.50 14-46 15/08A 189,978.54 0.05
200,000.00 DANONE SA 0.424 16-22 03/11A 232,904.01 0.06 17,139.00 ALLEMAGNE 1.50 14-24 15/05A 21,610.38 0.01
388,236.00 FRANCE FUNGIBLE T-BILL 0.00 16-22 25/05U 453,943.85 0.11 65,000.00 UNICREDIT 1.875 14-24 09/04A 81,886.10 0.02
200,000.00 SOCIETE GENERALE 0.125 16-21 05/10A 231,649.56 0.06 54,000.00 KRED.WIEDERAUFBAU 0.625 15-25 15/01A 63,769.07 0.02
177,829.00 FRANCE OAT 0.00 16-20 25/02A 208,054.12 0.05 108,577.00 BRD 0.50 15-25 15/02A 129,528.56 0.03
200,000.00 BNP PARIBAS 1.125 17-23 10/10A 232,360.40 0.06 146,585.00 BRD 0.00 15-20 17/04A 171,807.85 0.04
392,734.00 FRANCE (GOVT OF) 1.75 17-39 25/06A 484,707.08 0.12 40,000.00 KFW 0.375 15-30 23/04A 43,625.47 0.01
100,000.00 SOCIETE GENERALE SFH 0.50 16-23 20/01A 117,671.57 0.03 122,556.00 GERMANY 0.25 15-20 16/10A 144,661.97 0.04
100,000.00 BPI FINANCE 0.875 17-26 15/11A 117,446.23 0.03 10,170.00 BRD 1.00 15-25 15/08A 12,517.89 0.00
50,000.00 SNCF REGS S-4 5.25 99-28 07/12A 83,633.47 0.02 100,000.00 MERCK FIN SERVICES 1.375 15-22 01/09A 120,713.53 0.03
28,000.00 COUNCIL EUROPE 0.375 16-26 08/06A 32,004.58 0.01 248,354.00 BRD 0.50 16-26 15/02A 295,135.32 0.07
100,000.00 CREDIT AGRICOLE SA 1.25 16-31 24/03A 116,884.07 0.03 457,953.00 BUNDESOBLIGATION 16-21 09/04A 538,417.70 0.13
100,000.00 DEXIA CRED LOCAL 0.25 17-22 02/06A 116,793.47 0.03 9,000.00 LANDW RENTENBANK REGS 0.625 15-30 20/02A 10,073.00 0.00
160,017.00 FRANCE 1.00 16-27 25/05A 191,948.50 0.05 18,000.00 LAND NORDRHEIN WEST 1.25 16-36 12/05A 20,355.68 0.00
446,057.00 FRANCE 2.00 17-48 25/05A 559,226.78 0.13 49,000.00 L-BANK BW FOERDERB 0.375 16-26 13/04A 56,164.52 0.01
200,000.00 UNIEDIC 1.25 17-27 28/03A 243,190.23 0.06 20,000.00 DEUTSCHE BANK A 3.125 16-21 13/01S 19,511.40 0.00
200,000.00 COUNCIL EUROPE 1.875 17-20 27/01S 197,440.00 0.05 184,000.00 HESSE 1402 1.125 14-21 10/12A 222,478.36 0.05
100,000.00 TOTAL CAPITAL INTL 0.625 17-24 04/10A 115,889.82 0.03 48,000.00 BAYERISCHE LDBK 1.00 14-21 07/09A 57,505.96 0.01
934,434.00 FRANCE (GOVT OF) 0.00 17-23 25/03A 1,086,072.17 0.25 32,000.00 DEUTSCHE BANK 0.25 16-24 08/03A 36,885.52 0.01
238,622.00 FRANCE 0.75 17-28 25/05A 277,245.35 0.07 423,397.00 BRD 0.00 16-26 15/08U 482,343.36 0.12
100,000.00 SUEZ SA 1.625 17-32 21/09A 113,667.88 0.03 63,000.00 GEMEINSAME BUNDESL 0.125 16-23 14/04A 73,247.66 0.02
100,000.00 BFCM EMTN 0.75 18-25 17/07A 113,519.20 0.03 100,000.00 BADEN-WUERTTEMBERG 0.625 16-26 27/01A 117,044.35 0.03
100,000.00 BNP PARIBAS HOME LOAN 0.375 17-24 22/07A 115,751.61 0.03 100,000.00 HAMBURG 0.50 16-26 27/04A 115,592.48 0.03
115,293.00 FRANCE (GOVT OF) 0.00 18-21 25/02A 135,080.53 0.03 79,540.00 ALLEMAGNE 0.00 16-21 08/10A 93,540.53 0.02
182,456.00 FRANCE 1.25 18-34 25/05A 213,734.58 0.05 74,000.00 DEUT PFANDBRIEFBANK 1.25 16-35 20/04A 82,958.19 0.02
100,000.00 BPCE SFH - SOCIETE 1.00 17-29 08/06A 114,981.53 0.03 50,000.00 KREDIT.FUER WIED 0.05 16-24 30/05A 57,486.70 0.01
28,503.00 REP.FRANCAISE 0.0 18-24 25/03A 32,797.68 0.01 100,000.00 BREMEN 0.50 15-21 30/07A 118,409.12 0.03
130,562.00 FRANCE (GOVT OF) 0.7500 17-28 25/11A 150,816.74 0.04 20,000.00 LAND BERLIN 0.75 15-23 08/09A 23,902.04 0.01
100,000.00 SANOFI SA 1.875 18-38 21/03A 117,183.74 0.03 36,000.00 DEUT.GEN.HYPOTHEKENBK 0.375 16-26 31/03A 41,067.62 0.01
200,000.00 HSBC FRANCE 0.60 18-23 20/03Q 232,590.38 0.06 42,000.00 BUNDESLAENDER BRD 0.10 16-26 07/10A 46,806.80 0.01
Germany 17,642,674.12 4.29 300,000.00 DEUTSCHE BANK 1.50 17-22 20/01A 350,011.06 0.09
50,000.00 MYLAN NV 3.95 17-26 15/06S 47,347.00 0.01
33,807.00 BRD 6.25 00-30 04/01A 64,026.13 0.02 309,285.00 ALLEMAGNE 0.25 17-27 15/02A 357,736.52 0.09
57,498.00 BRD 5.50 00-31 04/01A 105,828.48 0.03 462,786.00 BRD 0.00 17-22 08/04A 543,895.62 0.13
37,000.00 BRD -98- 5.625 98-28 04/01A 63,592.56 0.02 25,000.00 DEUTSCHE BANK 0.25 16-28 31/08A 26,986.87 0.01
80,673.00 BRD 4.75 98-28 04/07A 132,601.96 0.03 11,000.00 KFW 1.125 17-37 15/06A 12,447.89 0.00
96,596.00 GERMANY -301- 4.75 03-34 04/07A 179,185.27 0.04 20,000.00 KFW 0.625 17-27 22/02A 23,183.77 0.01
487,176.00 GERMANY -05- 4.00 05-37 04/01A 870,318.82 0.20 11,000.00 LAND HESSEN 0.75 16-36 04/08A 11,491.82 0.00
5,000,000.00 KREDITANS.FUER WIEDER.2.05 06-26 16/02S 50,616.27 0.01 212,000.00 FMS 1.75 17-20 24/01S 209,015.04 0.05
117,483.00 GERMANY SERIE 07 4.25 07-39 04/07A 223,579.88 0.05 44,000.00 LOWER SAXONY 0.25 17-24 02/06A 51,125.42 0.01
55,971.00 GERMANY 4.75 08-40 04/07A 114,607.33 0.03 250,000.00 KFW 0.125 17-24 15/01A 289,323.84 0.07
79,515.00 BRD 3.25 10-42 04/07A 137,473.82 0.03 100,000.00 KFW 0.25 17-25 30/06A 115,182.48 0.03
70,223.00 ALLEMAGNE 3.25 11-21 04/07A 89,940.63 0.02 51,000.00 LAND NORDRHEIN WEST 1.55 17-48 16/06A 57,991.94 0.01
90,559.00 BRD 2.25 11-21 04/09A 113,455.97 0.03 55,000.00 LAND BERLIN 1.375 17-37 05/06A 63,495.37 0.02
288,000.00 NORTH RHINE W 1126 3.50 11-21 07/07A 369,077.13 0.09 50,000.00 LANDWIRTSCHAFT RENTEN 0.375 16-26 16/03A 57,342.09 0.01
20,000.00 DEUTSCHE BAHN REG S 3.75 11-21 01/06A 25,623.62 0.01 591,737.00 GERMANY 0.50 17-27 15/08A 695,921.31 0.16
134,637.00 BRD 2.00 11-22 04/01A 168,573.88 0.04 25,000.00 KFW 1.375 15-35 31/07A 29,722.79 0.01
481,632.00 BRD 1.75 12-22 04/07A 602,893.33 0.15 100,000.00 FMS 0.00 17-20 13/11A 116,927.06 0.03
153,843.00 BRD 2.50 12-44 04/07A 238,661.92 0.06 116,539.00 ALLEMAGNE 176 0.00 17-22 07/10U 136,742.07 0.03
72,300.00 BRD 1.50 12-22 04/09A 89,882.51 0.02 71,000.00 DEUTSCHE BAHN FIN 0.625 16-28 26/09A 79,091.97 0.02
55,661.00 BUNDESREPUB DEUTS. 1.50 13-23 15/02A 69,507.42 0.02 50,000.00 BASF SE 1.625 17-37 15/11A 55,202.03 0.01
17,000.00 DEUTSCHE PFANDBRIEF 2.375 13-28 29/05A 22,316.96 0.01 245,723.00 ALLEMAGNE 1.25 17-48 15/08A 297,868.14 0.07
100,000.00 WL BAMK 339 1.125 13-20 29/05A 118,910.88 0.03 179,299.00 ALLEMAGNE 0.5 18-28 15/02A 209,859.36 0.05
24,643.00 DEUTSCHLAND REP 1.50 13-23 15/05U 30,841.70 0.01 300,000.00 GERMANY FED TREAS NOT 0.00 17-19 13/12A 350,969.33 0.09

The accompanying notes form an integral part of these financial statements

161
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
175,167.00 ALLEMAGNE 0.00 18-20 13/03 205,169.58 0.05 111,352.00 IRLANDE 1.00 16-26 15/05A 132,304.88 0.03
90,000.00 BAYERISCHE LDBK 0.625 17-27 22/11A 103,270.12 0.03 200,000.00 GE CAPITAL INT 2.342 16-20 15/11S 195,450.00 0.05
40,000.00 KFW 5.00 01-36 09/06A 75,796.08 0.02 50,000.00 SHIRE ACQ INV IRL 3.20 16-26 23/09S 46,111.50 0.01
358,000.00 KFW 0.00 17-22 15/12U 415,733.84 0.10 100,000.00 CRH FINANCE 1.375 16-28 18/10A 111,684.03 0.03
70,000.00 KREDITANSTALT FUER 2.90 16-22 06/06S 51,219.66 0.01 100,000.00 SHIRE ACQ INV IRL 1.90 16-19 23/09S 98,924.00 0.02
64,000.00 KRED.ANST.WIEDERAUFB. 0.125 17-24 04/10A 73,513.10 0.02 100,000.00 JOHNSON CONTROLS INTL 3.90 16-26 14/02S 98,610.00 0.02
100,000.00 STATE OF LOWER 0.00 17-22 10/01U 116,582.08 0.03 69,756.00 IRLANDE 0.90 18-28 15/05A 80,377.47 0.02
55,000.00 GEMEINSAME BUNDESL 0.625 17-27 25/10A 63,258.37 0.02 100,000.00 BK OF IRLAND MTF BK 0.625 15-21 19/02A 118,123.39 0.03
38,000.00 LAND NORDRHEIN-WEST. 1.65 17-47 16/05A 44,298.54 0.01 41,589.00 IRISH TSY 1.3% 1.3000 18-33 15/05A 47,349.65 0.01
600,000.00 KFW 1.625 17-19 12/11A 592,296.00 0.14 50,000.00 GE CAPITAL 5.875 08-33 18/01A 84,645.47 0.02
130,000.00 KFW 0.875 17-22 15/03A 167,263.43 0.04 Israel 643,688.86 0.16
150,000.00 LAND NORDRHEIN-WEST 0.20 16-24 16/02A 173,740.66 0.04
210,095.00 ALLEMAGNE 0.00 18-23 14/04A 245,845.77 0.06 170,000.00 ISRAEL -DY- 5.00 09-19 23/03A 49,676.40 0.01
141,000.00 LANDWIRT.RENTENBANK 0.625 17-27 18/05A 162,834.73 0.04 186,226.00 ISRAEL -DY- 5.50 11-22 31/01A 58,944.20 0.01
104,000.00 LANDWIRTSCHAFTLICHE 2.50 17-27 15/11S 98,148.96 0.02 115,000.00 ISRAEL -DY- 4.25 12-23 31/03A 35,841.56 0.01
180,000.00 KFW 0.3750 18-25 23/04A 208,840.02 0.05 216,264.00 ISRAEL -DY- 5.50 12-42 31/01A 84,861.03 0.02
567,317.00 BUNDESSCHATZANWEISUNGEN0.0 18-20 12/06A 665,119.54 0.16 165,255.00 ISRAEL -DY- 3.75 14-24 31/03A 50,955.32 0.01
230,000.00 BERLIN 1.50 14-21 21/01A 278,399.81 0.07 171,882.00 ISRAEL FIXED -DY- 1.75 15-25 31/08A 47,154.30 0.01
200,000.00 LANDBK HESSEN-THUER 0.10 15-20 04/03A 233,779.77 0.06 159,000.00 ISRAEL -DY- 1.00 16-21 30/04A 44,077.18 0.01
100,000.00 KREDITANSTALT FUER XX 18-20 05/02A 116,878.25 0.03 100,000.00 ISRAEL 1.50 17-27 18/01A 118,003.75 0.04
73,000.00 LOWER SAXONY 0.75 18-28 15/02S 84,562.26 0.02 62,435.00 ISRAEL -DY- 2.00 16-27 31/03A 17,172.44 0.00
98,000.00 LAND NORDRHEIN-WEST. 0.50 15-25 11/03A 114,416.62 0.03 400,000.00 ISRAEL -DY- 1.25 17-22 30/11A 110,388.77 0.03
150,000.00 NRW.BANK 0.125 16-21 18/01A 175,812.19 0.04 88,000.00 ISRAEL -DY- 3.75 17-47 31/03A 26,613.91 0.01
30,506.00 BUNDSOBLIGATION 0.0 18-23 13/10A 35,591.10 0.01 Italy 8,558,891.18 2.08
175,000.00 NRW.BANK 0.1250 18-23 07/07A 202,731.99 0.05
73,000.00 ITALY BTP 6.00 00-31 01/05S 108,174.44 0.03
81,770.00 ALLEMAGNE 0.25 18-28 15/08A 92,926.27 0.02
104,583.00 ITALY BTP 5.25 98-29 01/11S 144,946.63 0.04
80,000.00 KREDITANSTALT FUER 5 13-24 19/03S 64,398.60 0.02
99,000.00 ITALY BTP 5.75 02-33 01/02S 146,220.52 0.04
130,000.00 LB BADEN WUERT. 0.125 16-22 19/02A 151,766.58 0.04
32,000.00 ITALY BDT 5.00 03-34 01/08S 44,551.05 0.01
54,000.00 KRED.WIEDER. 1.125 18-33 09/05A 62,732.92 0.02
287,000.00 ITALY BTP 4.00 05-37 01/02S 359,635.19 0.09
Guernsey 247,720.00 0.06 88,000.00 ITALY BTP 5.00 07-39 01/08S 122,796.47 0.03
250,000.00 CS GR FUNDING 2.75 15-20 26/03S 247,720.00 0.06 75,000.00 ITALY BTP 4.75 08-23 01/08S 96,468.38 0.02
91,000.00 ITALY BTPS 4.50 10-26 01/03S 117,528.16 0.03
Hong Kong 200,816.00 0.05
77,000.00 UNICREDIT 4.375 09-22 31/01A 100,720.48 0.02
200,000.00 CNAC HK FINBRIDGE 4.875 18-25 14/03S 200,816.00 0.05 142,000.00 ITALY BTPS 4.75 11-21 01/09S 178,747.79 0.04
Hungary 393,662.83 0.10 226,000.00 ITALY BTPS 5.00 11-22 01/03S 288,890.64 0.07
59,000.00 ITALY BTP 5.50 12-22 01/09S 77,155.55 0.02
200,000.00 HUNGARY 5.75 13-23 22/11S 216,814.00 0.06
39,000.00 ITALY BTP 5.50 12-22 01/11S 51,016.08 0.01
150,000.00 HUNGARY 1.75 17-27 10/10A 176,848.83 0.04
163,000.00 ITALY BOT 4.75 13-28 01/09S 216,897.72 0.05
Indonesia 1,598,256.15 0.39 27,000.00 ITALY BTP 4.75 13-44 01/09S 36,925.42 0.01
2,496,000,000.0 INDONESIA -FR0040- 11.00 06-25 15/09S 191,175.92 0.05 206,000.00 ITALY BTP 4.50 13-24 01/03S 262,640.80 0.06
200,000.00 PERTAMINA REG S 5.25 11-21 23/05S 206,900.00 0.05 177,000.00 ITALY BTP 3.75 14-24 01/09S 217,978.20 0.05
4,000,000,000.0 INDONESIA -FR0061- 7.00 11-22 15/05S 260,617.91 0.06 489,000.00 ITALY 3.50 14-30 01/03S 582,746.49 0.14
200,000.00 INDONESIE REGS 5.25 12-42 17/01S 204,290.00 0.05 100,000.00 MONTE PASCHI SIENA 2.875 14-24 16/07A 125,066.83 0.03
8,027,000,000.0 INDONESIA GOV FR0073 8.75 15-31 15/05S 556,715.75 0.14 110,000.00 ITALY BTP 2.15 14-21 15/12S 129,060.54 0.03
100,000.00 INDONESIE REGS 2.625 16-23 14/06A 121,899.42 0.03 149,000.00 ITALY BTP 2.50 14-24 01/12S 171,888.40 0.04
59,000,000.00 INDONESIE 7.50 17-38 15/05S 3,570.33 0.00 107,000.00 ITALY BTP 3.25 14-46 01/09S 117,496.03 0.03
971,000,000.00 INDONESIE 7.375 17-48 22/09S 53,086.82 0.01 72,000.00 ITALIE 1.50 15-25 01/06S 77,455.42 0.02
132,000.00 ITALY BTP 1.35 15-22 15/04S 149,895.94 0.04
Ireland 1,795,843.39 0.44
76,000.00 ITALY BOT 1.65 15-32 01/03S 73,996.56 0.02
50,000.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 61,991.58 0.02 260,000.00 ITALY BTP 0.70 15-20 01/05S 300,419.65 0.07
76,631.00 IRISH GOVT TREASURY 5.40 09-25 13/03A 116,645.33 0.03 76,000.00 ITALY BOT 2.00 15-25 01/12S 83,821.46 0.02
156,193.00 IRISH GOVT TREASURY 5.00 10-20 18/10A 201,591.88 0.06 90,000.00 ITALY BTP 1.45 15-22 15/09S 101,950.89 0.02
100,000.00 GECC 2.75 13-23 15/03A 125,587.19 0.03 133,000.00 ITALY BTP 2.70 16-47 01/03S 132,269.98 0.03
54,886.00 IRELAND 3.90 13-23 20/03A 74,650.72 0.02 100,000.00 UNICREDIT SPA 2.00 16-23 04/03A 116,655.25 0.03
75,387.00 IRISH TSY 3.40 14-24 18/03A 102,339.83 0.02 100,000.00 ENI REGS 1.625 16-28 17/05A 114,096.47 0.03
8,110.00 IRISH TSY REGS 0.80 15-22 15/03A 9,712.05 0.00 250,000.00 ITALY BOT 2.25 16-36 01/09S 248,854.28 0.06
73,751.00 IRLANDE REGS 2.00 15-45 18/02A 89,744.42 0.02 293,000.00 ITALY BTP 1.25 16-26 01/12S 302,305.81 0.07

The accompanying notes form an integral part of these financial statements

162
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
78,000.00 ITALY 0.35 16-21 01/11S 86,943.22 0.02 50,000.00 SUMITOMO MITSUI FINL 2.632 16-26 14/07S 45,050.00 0.01
16,000.00 ITALIA LONG TERM TB 2.80 16-67 01/03S 15,430.30 0.00 88,150,000.00 JAPAN 344 0.10 16-26 20/09S 779,035.24 0.19
137,000.00 ITALIE BTP 0.65 16-23 15/10S 146,397.05 0.04 200,000.00 JBIC 3.375 13-23 31/07S 200,194.00 0.05
100,000.00 ATLANTIA SPA 1.625 17-25 03/02A 109,291.34 0.03 37,950,000.00 JAPAN 0.10 16-26 20/03S 335,905.14 0.08
284,000.00 ITALY TREASURY BONDS 2.20 17-27 01/06S 311,475.97 0.08 34,100,000.00 JAPAN -158- 0.50 16-36 20/09S 297,528.72 0.07
465,000.00 ITALY TREASURY BONDS 2.45 16-33 01/09S 487,864.67 0.12 14,600,000.00 JAPAN JGB 53 0.60 16-46 20/12S 120,713.96 0.03
100,000.00 INTESA SANPAOLO SP 1.375 17-24 18/01A 111,458.70 0.03 18,050,000.00 JAPAN 0.30 16-46 20/06S 137,719.32 0.03
326,000.00 ITALY BTP 3.45 17-48 01/03S 362,976.71 0.09 33,050,000.00 JAPAN -156- 0.40 16-36 20/03S 284,616.66 0.07
554,000.00 ITALIE 2.05 17-27 01/08S 598,447.34 0.14 44,550,000.00 JAPAN 54 0.80 17-47 20/03S 387,153.68 0.09
338,000.00 ITALY 0.20 17-20 15/10S 384,362.30 0.09 89,650,000.00 JAPAN -161- 0.60 17-37 20/06S 789,647.50 0.19
312,000.00 ITALIE 2.00 18-28 01/02S 334,426.14 0.08 104,150,000.00 JAPAN 132 0.10 17-22 20/06S 923,297.83 0.21
73,000.00 ITALIE 1.45 25 15-03S 78,267.49 0.02 50,700,000.00 JAPAN 160 0.70 17-37 20/03S 455,574.58 0.11
100,000.00 MEDIOBANCA SPA 1.25 17-29 24/11A 107,852.24 0.03 45,700,000.00 JAPAN -055- 0.80 17-47 20/06S 395,972.72 0.10
21,000.00 COMUNE DI MILANO 4.019 05-35 29/06A 24,424.19 0.01 67,300,000.00 JAPAN NO 134 1.80 12-32 20/03S 708,319.27 0.17
Ivory Coast 170,052.25 0.04 52,000,000.00 JAPAN -348- 0.10 17-27 20/09S 458,122.73 0.11
48,750,000.00 JAPAN -133- 0.10 17-22 20/09S 432,309.87 0.11
46,000.00 AFRICAN DEVELOPMEN 5.25 12-22 23/03S 36,276.67 0.01 10,000,000.00 JAPAN 0.10 17-19 15/10S 88,250.20 0.02
38,000.00 BQUE AFRICAINE DE DEV 1.875 17-20 16/03S 37,464.58 0.01 100,000.00 SUMITOMO MITSUI FINL 3.352 17-27 18/10S 94,154.00 0.02
100,000.00 AFRICAN DEV.BK 2.125 17-22 16/11S 96,311.00 0.02 500,000.00 JAPAN BANK FOR INT CO 2.375 17-22 16/11S 481,735.00 0.12
Japan 23,980,135.56 5.82 14,000,000.00 JAPAN -382- 0.10 17-19 15/11S 123,572.46 0.03
13,000,000.00 JAPON 0.10 18-20 15/01S 114,780.20 0.03
20,050,000.00 JAPAN 049 JGB 2.10 01-21 22/03S 186,154.21 0.05
250,000.00 JPN BANK INT COOP 2.75 17-27 16/11S 235,995.00 0.06
44,900,000.00 JAPAN 010 JGB 1.10 03-33 20/03S 435,876.01 0.11
78,750,000.00 JAPON S.135 0.1 18-32 20/03S 698,825.10 0.17
109,550,000.00 JAPAN 073 JGB 2.00 04-24 20/12S 1,085,401.75 0.25
13,300,000.00 JAPON 0.5 18-38 20/06S 114,016.88 0.03
19,050,000.00 JAPAN 079 JGB 2.00 05-25 20/06S 190,208.14 0.05
37,500,000.00 JAPON S.350 0.1 18-28 20/03S 329,888.35 0.08
17,500,000.00 JAPAN 018 JGB 2.30 05-35 20/03S 198,420.09 0.05
14,950,000.00 JAPON 0.7 18-48 20/06S 125,430.72 0.03
38,200,000.00 JAPAN 017 JGB 2.40 05-34 20/12S 437,898.34 0.11
55,600,000.00 JAPON T BILL 0.8 18-48 20/03S 480,699.94 0.12
45,600,000.00 JAPAN 089 JGB 2.20 06-26 20/06S 468,128.08 0.11
87,100,000.00 JAPON 0.10 18-20 15/04S 769,395.35 0.19
47,350,000.00 JAPAN 091 JGB 2.30 06-26 20/09S 491,246.01 0.12
50,850,000.00 JAPON T BILL 0.5 18-38 20/03S 437,018.49 0.11
10,750,000.00 JAPAN 002 JGB 2.20 09-49 20/03S 127,482.85 0.03
300,000.00 MITSUBISHI UFJ FIN 3.455 18-23 02/03S 295,650.00 0.07
57,250,000.00 JAPAN GOVT 2.1 09-29 20/12S 609,737.47 0.15
15,700,000.00 JAPAN GOVT 003 2.20 10-50 20/03S 186,788.29 0.05 Jersey Island 527,088.91 0.13
12,000,000.00 DBJ 1.05 03-23 20/06S 110,490.63 0.03 100,000.00 GLENCORE FINANCE EURO 1.25 15-21 17/03A 117,781.91 0.03
28,500,000.00 JAPAN -033- 2.00 10-40 20/09S 316,597.47 0.08 100,000.00 APTIV 4.25 17-26 15/01S 99,299.00 0.02
24,400,000.00 JAPAN -320- 1.00 11-21 20/12S 222,395.80 0.05 300,000.00 HEATHROW FUNDING 4.875 11-21 15/07S 310,008.00 0.08
12,800,000.00 JAPAN -5- 2.00 12-52 20/03S 146,756.25 0.04
Lettonia 190,338.42 0.05
3,050,000.00 JAPAN -141- 1.70 12-32 20/12S 31,827.57 0.01
37,700,000.00 JAPAN -144- JGB 1.50 13-33 20/03S 384,494.46 0.09 154,000.00 LETTONIE REPU OF 2.625 14-21 21/01A 190,338.42 0.05
39,400,000.00 JAPAN -38- JGB 1.80 13-43 20/03S 425,714.87 0.10 Lithuania 117,227.33 0.03
72,600,000.00 JAPAN JGB 333 0.60 14-24 20/03S 661,469.40 0.16
97,000.00 LITHUANIA 1.25 15-25 22/10A 117,227.33 0.03
11,300,000.00 JAPAN GOVT 004 2.20 11-51 20/03S 134,990.14 0.03
90,850,000.00 JAPAN -335- 0.50 14-24 20/09S 824,772.46 0.19 Luxembourg 6,958,718.83 1.69
18,650,000.00 JAPAN -044- 1.70 14-44 20/09S 198,371.21 0.05 19,000.00 EUROP.INVEST.BK 4.50 09-25 15/10A 28,328.01 0.01
32,000,000.00 JAPAN -324- 0.80 12-22 20/06S 291,004.58 0.07 52,000.00 EUROP.INVEST.BK 4.00 10-30 15/04A 80,560.06 0.02
18,600,000.00 JAPAN 45 1.50 14-44 20/12S 190,547.42 0.05 146,000.00 BEI 2.50 10-19 16/09A 174,430.66 0.04
69,550,000.00 JAPAN -340- 0.40 15-25 20/09S 629,026.78 0.15 86,000.00 EUROPEAN UNION 3.00 11-26 04/09A 119,096.65 0.03
35,550,000.00 JAPAN -48- 1.40 15-45 20/09S 356,501.49 0.09 17,000.00 EUROPEAN UNION 3.375 12-38 04/04A 26,728.70 0.01
59,500,000.00 JAPAN 2.00 11-31 20/03S 634,890.06 0.15 25,000.00 EFSF 3.375 12-37 03/04A 38,434.33 0.01
200,000.00 CENTRAL NIPPON EXPRES 2.362 16-21 28/05A 193,718.00 0.05 50,000.00 BEI 1.50 12-24 02/08A 56,050.53 0.01
100,000.00 SUMITOMO MITSUI FIN 1.546 16-26 15/06A 117,794.68 0.03 85,000.00 EIB 1.50 13-20 15/07A 102,110.89 0.02
55,750,000.00 JAPAN (5 YEAR ISSU 0.10 15-20 20/12S 493,118.82 0.12 78,000.00 LUXEMBOURG 2.125 13-23 10/07A 99,894.07 0.02
200,000.00 JAPAN BANK INTL COOP 2.75 16-26 21/01S 191,384.00 0.05 46,000.00 BEI 2.75 13-40 15/03A 66,736.03 0.02
58,300,000.00 JAPAN -131- 1.70 11-31 20/09S 605,070.59 0.15 150,000.00 BEI 1.375 13-19 15/11A 177,868.04 0.04
77,850,000.00 JAPAN (20 YEAR ISS 1.80 11-31 20/06S 815,510.90 0.19 100,000.00 GAZ CAPITAL 5.338 13-20 25/09S 135,801.54 0.03
11,850,000.00 JAPAN 0.10 16-21 20/06S 104,893.63 0.03 28,000.00 EUROP INVEST BK 3.00 13-33 14/10A 40,566.97 0.01
22,150,000.00 JAPAN 50 0.80 16-46 20/03S 193,132.14 0.05 1,000.00 EUR FIN STAB 3.00 13-34 04/09A 1,447.45 0.00
50,000.00 SUMITOMO MITSUI FINL 2.934 16-21 03/09S 49,317.00 0.01 44,000.00 EFSF 2.125 14-24 19/02A 56,162.43 0.01
8,850,000.00 JAPAN (30 YEAR ISS 2.30 02-32 20/05S 98,431.06 0.02 25,925.00 ESM 1.375 14-21 04/03A 31,340.45 0.01

The accompanying notes form an integral part of these financial statements

163
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
30,000.00 EFSF 1.75 14-24 27/06A 37,688.01 0.01 40,208.00 EURO STABILITY MEC 1.80 17-46 02/11A 49,279.05 0.01
76,000.00 BEI 1.625 14-23 15/03A 94,322.53 0.02 172,000.00 EUROP.INVEST.BK 0.25 15-20 15/10A 202,231.27 0.05
22,000.00 EUROP INVEST BK 1.25 14-26 13/11U 26,946.92 0.01 200,000.00 EUROPEAN INVESTMENT 2.375 18-21 13/05S 196,904.00 0.05
17,000.00 BEI 1.75 14-45 15/09A 20,692.69 0.01 100,000.00 EUROPEAN FINANCIAL 0.95 18-28 14/02A 117,429.97 0.03
200,000.00 NOVARTIS 1.625 14-26 09/11A 243,717.54 0.06 25,000.00 BEI 4.5 07-44 18/04A 47,534.25 0.01
132,000.00 EUROPEAN FIN STABI 0.50 15-23 20/01A 156,215.71 0.04 Mexico 3,446,813.93 0.84
40,000.00 ACTAVIS FUNDING SCS 3.00 15-20 12/03S 39,937.20 0.01
30,000.00 ALLERGAN FUNDING 4.55 15-35 15/03S 29,099.10 0.01 50,000.00 AMX 6.375 05-35 01/03S 59,084.50 0.01
40,000.00 ALLERGAN FUNDING SCS 3.80 15-25 15/03S 39,151.20 0.01 44,000.00 UTD MEXICAN STS TR20 6.05 07-40 11/01S 48,862.00 0.01
50,000.00 ACTAVIS FUNDING 4.75 15-45 15/03S 48,736.50 0.01 50,000.00 AMERICA MOVIL SAB 4.75 10-22 28/06A 67,105.66 0.02
100,000.00 EIB 2.25 15-22 15/08S 97,039.00 0.02 30,000.00 GRUPO TELEVISA S.A. 6.625 10-40 15/01S 34,080.00 0.01
31,880.00 ESM 1.00 15-25 23/09A 38,281.29 0.01 94,000.00 MEXICAN STATES 25 3.625 12-22 15/03S 94,175.77 0.02
12,882.00 ESM 1.85 15-55 01/12A 15,520.09 0.00 10,000.00 MEXIQUE MTN 26 4.75 12-44 08/03S 9,563.20 0.00
93,000.00 BEI 1.625 16-21 15/06S 89,693.85 0.02 200,000.00 AMERICA MOVIL SA 3.125 12-22 16/07S 195,922.00 0.05
69,000.00 EFSF 0.40 16-26 31/05A 78,907.69 0.02 28,000.00 MEXIQUE BONOS 4.00 13-23 02/10S 28,204.40 0.01
14,000.00 EFSF 1.375 16-47 31/05A 15,458.20 0.00 100,000.00 UNITED MEXICAN STATE 3.50 14-21 21/01S 100,209.00 0.02
50,000.00 EUROP.INVEST.BK 0.375 16-26 14/04A 57,294.47 0.01 52,000.00 MEXIQUE TR 29 EMTN 5.55 14-45 21/01S 55,335.28 0.01
34,083.00 ESM 1.125 16-32 03/05A 39,572.36 0.01 200,000.00 TRUST F/1401 5.25 14-24 15/12S 203,274.00 0.05
100,000.00 EURO STAB MECHANISM 0.125 16-24 22/04A 115,175.51 0.03 1,000.00 MEXICAN BONOS 7.75 11-31 29/05S 5,232.73 0.00
46,000.00 EUROPEAN INVESTMEN 2.125 14-21 15/10S 44,809.98 0.01 34,800.00 MEXICAN BONOS 5.00 14-19 11/12S 180,122.59 0.04
43,000.00 EFSF 0.10 16-21 19/01A 50,349.06 0.01 17,969.00 MEX BONOS DESARR FIX 10.00 05-24 05/12S 106,508.70 0.03
26,000.00 EUROPEAN INVESTMEN 2.125 16-26 13/04S 24,170.90 0.01 46,384.00 MEXICAN BONOS 5.75 15-26 05/03S 218,847.30 0.06
18,200.00 EUROPEAN INVESTMEN 2.50 12-22 31/10A 24,821.26 0.01 17,353.00 MEXICAN BONOS 6.50 11-22 09/06S 89,117.38 0.02
18,000.00 EUROPEAN UNION 1.125 16-36 04/04 20,369.27 0.00 150,000.00 MEXICAN STATES 1.875 16-22 23/02A 181,382.17 0.04
100,000.00 SIMON INTL FINANCE 1.25 16-25 13/05A 116,821.35 0.03 100,000.00 MEXICO 3.375 16-31 23/02A 130,060.13 0.03
103,795.00 ESM 0.875 16-42 18/07A 105,744.95 0.03 100,000.00 PEMEX 5.125 16-23 15/03A 128,581.53 0.03
54,000.00 EUROP.INVEST.BK 1.125 16-36 15/09A 60,685.71 0.01 20,000.00 PEMEX 4.50 16-26 23/01S 18,718.00 0.00
200,000.00 ESM 0.00 16-22 18/10A 232,081.64 0.06 50,000.00 PEMEX 4.25 16-25 15/01S 47,193.00 0.01
100,000.00 HEIDELBERG CEMENT FIN 0.50 17-21 18/01A 116,880.59 0.03 200,000.00 COMISION FED DE ELEC 4.75 16-27 23/02S 197,944.00 0.05
42,000.00 EIB 0.50 17-27 15/01A 48,112.23 0.01 36,069.00 MEXICAN BONOS 7.75 11-42 13/11S 185,516.15 0.05
66,000.00 BEI 0.00 16-26 13/03U 73,510.61 0.02 100,000.00 PEMEX 6.875 17-26 04/02S 105,283.00 0.03
48,000.00 EIB 0.875 16-47 13/09A 47,223.61 0.01 130,000.00 PEMEX 6.75 16-47 21/09S 123,684.60 0.03
50,000.00 EUROP.INVEST.BK 0.00 16-23 16/10A 57,552.33 0.01 300,000.00 PEMEX 6.375 17-21 04/02S 314,460.00 0.09
105,000.00 EFSF 0.75 17-27 03/05A 122,056.29 0.03 14,400.00 MEXICAN BONOS 7.50 06-27 03/06S 74,942.39 0.02
35,000.00 BEI 1.50 17-47 15/11A 40,203.69 0.01 33,066.00 MEXICAN BONOS 8.00 17-47 07/11S 174,493.15 0.04
144,000.00 EUR FIN STAB REGS 0.375 17-24 11/04A 167,125.54 0.04 932.00 MEXICAN BONOS 6.50 11-21 10/06S 4,836.38 0.00
40,000.00 EIB 1.125 17-33 13/04A 46,168.70 0.01 3,184.00 MEXICAN BONOS 8.50 09-38 18/11S 17,685.55 0.00
47,000.00 EFSF 1.70 17-43 13/02A 56,384.34 0.01 18,800.00 MEXICAN BONOS 8.00 09-20 11/06S 100,963.20 0.02
100,000.00 HOLCIM FINANCE 1.750 17-29 29/08A 109,574.75 0.03 14,235.00 MEXICAN BONOS 8.50 09-29 31/05S 79,013.61 0.02
100,000.00 AROUNDTOWN SA 1.00 17-25 07/01A 110,232.16 0.03 12,801.00 MEXICAN BONOS 7.75 13-34 23/11S 66,412.56 0.02
50,000.00 EUROPEAN INVESTMENT 3.30 17-28 03/08S 36,556.18 0.01 Netherlands 9,687,245.91 2.36
47,000.00 EUROPEAN INVEST BANK 1.5 18-48 16/10A 54,009.11 0.01
33,423.00 NEDERLAND 5.50 98-28 15/01A 56,575.91 0.01
104,000.00 EUROPEAN INVESTMEN 0.25 17-24 14/10Q 120,281.41 0.03
100,537.00 NEDERLAND 4.00 05-37 15/01A 177,853.40 0.04
200,000.00 EIB REGS 1.00 16-26 21/09A 246,926.82 0.06
30,000.00 E.ON INTL FINANCE 5.75 08-20 07/05A 38,068.51 0.01
70,000.00 EUROPEAN INVEST BK 0.875 18-21 15/03A 90,827.17 0.02
10,000.00 BANK V.NED.GEM. 3.75 10-20 14/01A 12,243.72 0.00
150,000.00 EFSF 0.00 17-21 29/03A 175,195.42 0.04
32,873.00 NETHERLANDS 3.50 10-20 15/07A 40,966.59 0.01
44,000.00 EFSF 1.45 17-40 05/09A 50,826.96 0.01
153,732.00 NETHERLANDS GOVT 3.75 10-42 15/01A 280,920.87 0.07
46,000.00 NZ LOCAL GOVT 2.75 16-25 15/04S 30,044.06 0.01
50,000.00 ABN AMRO 3.625 10-20 22/06A 61,990.42 0.02
300,000.00 BK EURO INVEST 0.125 15-20 15/06A 351,770.73 0.09
50,000.00 ABN AMRO BANK NV 3.50 10-22 21/09A 65,888.99 0.02
400,000.00 EUROPEAN INVESTMENT BK 1.25 16-19 16/12S 392,712.00 0.10
50,000.00 SNS BANK NV EMTN 3.50 10-20 28/09A 62,387.07 0.02
100,000.00 RICHEMONT INTL 1.00 18-26 26/03A 116,093.09 0.03
121,851.00 NETHERLANDS GOVT 3.25 11-21 15/07A 156,125.91 0.04
100,000.00 HEIDELBERGCEMENT FIN 1.75 18-28 24/04A 113,580.76 0.03
164,627.00 NEDERLAND 2.25 12-22 15/07A 209,400.65 0.05
50,000.00 ESM 1.2 18-33 23/05A 58,019.25 0.01
100,000.00 KPN 4.25 12-22 01/03A 130,926.60 0.03
100,000.00 EFSF 0.40 18-25 17/02A 115,878.20 0.03
139,389.00 NETHERLANDS 2.50 12-33 15/01A 198,629.03 0.05
100,000.00 EUROPEAN INVESTMENT B 2.70 18-23 12/01S 72,398.21 0.02
50,000.00 LYONDELLBASELL 6.00 12-21 15/11S 53,077.50 0.01
50,000.00 EFSF 0.00 17-22 17/11A 58,072.68 0.01
300,000.00 RABOBANK 3.95 12-22 09/11S 298,497.00 0.07
59,000.00 EUROPEAN FIN.STA. 0.625 18-26 17/04A 68,262.61 0.02
30,000.00 RWE FINANCE 1.875 13-20 30/01A 35,724.14 0.01

The accompanying notes form an integral part of these financial statements

164
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
50,000.00 SIEMENS FIN NV 2.875 13-28 10/03A 67,258.98 0.02 New Zealand 372,591.72 0.09
129,334.00 NETHERLANDS 1.75 13-23 15/07A 163,284.69 0.04 55,000.00 NEW ZELAND GVT 521 6.00 08-21 15/05S 40,382.71 0.01
100,000.00 VW INTL FINANCE EMTN 2.00 13-21 26/03A 121,100.31 0.03 50,000.00 NEW ZEALAND 5.50 11-23 15/04S 38,165.08 0.01
100,000.00 ING 1.875 13-23 22/05A 124,966.95 0.03 180,000.00 NEW ZEALAND 3.00 13-20 15/04S 121,599.50 0.02
60,000.00 LYB INTL FIN 4.00 13-23 15/07S 60,021.60 0.01 47,000.00 NEW ZEALAND 427 4.50 14-27 15/04S 36,045.62 0.01
30,000.00 RWE FINANCE EMTN 3.00 13-24 17/01A 38,721.50 0.01 46,000.00 NEW ZEALAND GOVT 3.50 15-33 14/04S 33,058.59 0.01
180,000.00 BNG 1.875 14-21 14/01A 219,320.71 0.05 90,000.00 NZ LOCAL GOVT FUND 5.50 14-23 15/04S 67,033.07 0.02
107,419.00 NETHERLAND 2.75 14-47 15/01A 175,063.31 0.04 50,000.00 NEW ZELAND GVT 6.00 13-21 15/05S 36,307.15 0.01
278,576.00 NETHERLAND 2.00 14-24 15/07A 359,323.30 0.09
Norway 1,583,379.34 0.39
50,000.00 DT ANNINGTON FINANCE 2.125 14-22 09/07A 61,399.21 0.01
50,000.00 ROYAL PHILIPS 5.00 12-42 15/03S 54,283.50 0.01 1,112,000.00 NORWEGIAN 3.75 10-21 25/05A 145,391.04 0.04
151,494.00 NETHERLAND GOV REGS 0.25 14-20 15/01A 177,952.15 0.04 50,000.00 DNB BOLIGKREDITT 2.75 12-22 21/03A 63,365.05 0.02
50,000.00 BAYER CAP CORP 1.25 14-23 07/11A 59,921.20 0.01 553,000.00 NORWEGIAN GOVT 2.00 12-23 24/05A 69,300.35 0.02
100,000.00 RABOBANK NEDERLAND 1.375 15-27 03/02A 119,223.33 0.03 306,000.00 STATOIL ASA 2.00 13-20 10/09A 369,347.87 0.08
100,000.00 VW INTL FINANCE 0.875 15-23 16/01A 116,125.61 0.03 30,000.00 EQUINOR ASA 4.80 13-43 08/11S 32,803.20 0.01
50,000.00 ROCHE HOLDINGS REGS 0.875 15-25 25/02A 59,011.75 0.01 185,000.00 NORWEGIAN 3.00 14-24 14/03A 24,322.30 0.01
69,872.00 NETHERLANDS GOVT 0.25 15-25 15/07A 81,302.42 0.02 50,000.00 EQUINOR ASA 3.25 14-24 25/0 49,160.00 0.01
200,000.00 SHELL INT FIN 0.375 15-23 21/08A 207,719.67 0.05 314,000.00 NORWEGIAN GOVT 1.75 15-25 13/03A 38,623.88 0.01
100,000.00 NEDER WATERSCHAPSBANK 1.00 15-25 03/09A 120,341.85 0.03 87,000.00 NORWEGIAN GOVT 1.50 16-26 19/02A 10,463.27 0.00
200,000.00 HEINEKEN NV 1.25 15-21 10/09A 238,734.71 0.06 100,000.00 DNB BOLLIGKREDITT AS 0.375 15-20 20/10A 117,420.68 0.03
200,000.00 JAB HOLDINGS BV 2.125 15-22 16/09A 246,816.42 0.06 16,000.00 KOMMUNALBANKEN AS 5.25 14-24 15/07S 13,030.22 0.00
4,000.00 BK NEDERLANDSE GEM 0.25 15-25 07/05U 4,571.10 0.00 100,000.00 KOMMUNALBANKEN AS 0.875 17-27 24/05A 116,548.39 0.03
100,000.00 LYB INTL FIN 1.875 16-22 02/03A 120,779.74 0.03 882,000.00 NORWEGIAN 1.75 17-27 17/02A 107,255.45 0.03
50,000.00 DEUTSCHE TEL INT FIN 1.50 16-28 03/04A 57,680.09 0.01 100,000.00 EIKA BOLIG 0.375 17-24 16/02A 115,734.18 0.03
50,000.00 COOP RABOBANK 1.25 16-26 23/03A 59,020.46 0.01 200,000.00 KOMMUNALBANKEN AS 2.25 17-22 25/01S 194,604.00 0.04
142,073.00 NETHERLANDS 0.50 16-26 15/07A 166,968.30 0.04 100,000.00 DNB BOLIGKREDITT AS 0.625 18-25 19/06A 116,009.46 0.03
50,000.00 SHELL INTL FINANCE 2.875 16-26 10/05S 47,508.50 0.01 Peru 55,634.56 0.01
100,000.00 IBERDROLA INTL 1.125 16-26 21/04A 115,112.78 0.03
200,000.00 ABN AMRO BANK NV 0.625 16-22 31/05A 235,250.21 0.06 28,000.00 PERU 8.75 03-33 21/11S 41,406.40 0.01
100,000.00 LEASEPLAN 1.00 16-21 24/05A 117,590.26 0.03 12,000.00 PEROU (REP OF) 5.625 10-50 18/11S 14,228.16 0.00
279,932.00 NEDERLAND 0.00 16-22 15/01U 328,353.38 0.08 Philippines 431,132.04 0.10
100,000.00 ALLIANZ FIN II 1.375 16-31 21/04A 114,391.49 0.03
178,000.00 PHILIPPINES 9.50 05-30 02/02S 263,386.60 0.06
100,000.00 AEGON BANK 0.25 16-23 25/05A 115,766.70 0.03
36,000.00 ASIAN DEV BANK 2.125 15-25 19/03S 33,827.76 0.01
100,000.00 EDP FINANCE BV 1.125 16-24 12/02A 115,219.64 0.03
41,000.00 ASIAN DEVELOPMENT 1.875 15-22 18/02S 39,461.68 0.01
38,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 44,797.74 0.01
100,000.00 ASIAN DEV BK ADB 2.5 17-27 02/11S 94,456.00 0.02
31,000.00 NEDER WATERSCHAPSBK 5.375 01-32 07/06A 55,667.47 0.01
70,000.00 SHELL INTL FIN 1.875 16-21 10/05S 67,769.10 0.02 Poland 1,477,878.58 0.36
200,000.00 CNH INDUSTRIAL FIN 4.50 16-23 15/08S 203,264.00 0.05 100,000.00 POLAND REP REGS S23 4.675 69-19 15/10A 122,052.74 0.03
50,000.00 RABOBANK NEDERLAND 2.25 15-22 23/03A 66,340.41 0.02 95,000.00 POLOGNE (REP OF) 5.75 08-29 25/04A 31,697.01 0.01
100,000.00 SHELL INT FIN 0.75 16-28 15/08A 110,617.78 0.03 41,000.00 POLAND 5.125 11-21 21/04S 42,863.04 0.01
150,000.00 ASML HOLDING NV 1.625 16-27 28/05A 178,244.37 0.04 51,000.00 POLAND 5.00 11-22 23/03S 53,653.02 0.01
100,000.00 MYLAN 2.25 16-24 22/11A 117,474.11 0.03 100,000.00 POLOGNE 3.00 12-23 17/03S 98,140.00 0.02
100,000.00 VOLKSWAGEN INTL FI 1.875 17-27 30/03A 114,703.93 0.03 455,000.00 POLAND 4.00 12-23 25/10A 131,847.53 0.03
219,108.00 NETHERLAND 0.75 17-27 15/07A 260,400.74 0.06 625,000.00 POLAND 3.25 13-25 25/07A 172,718.01 0.04
300,000.00 VONOVIA FINANCE BV 0.75 17-22 25/01A 351,596.50 0.09 1,043,000.00 POLAND GOVERNMENT BON 1.50 15-20 25/04A 283,045.30 0.08
300,000.00 BMW FINANCE NV 0.125 17-21 12/01A 348,972.67 0.08 84,000.00 POLAND DS0726 2.50 15-26 25/07A 21,823.46 0.01
100,000.00 MYLAN NV 3.15 17-21 15/06S 98,477.00 0.02 142,000.00 REPUBLIC OF POLAND 0.875 15-21 14/10A 168,680.27 0.04
200,000.00 SHELL INTERNATIONA 1.75 16-21 12/09S 192,206.00 0.05 18,000.00 POLOGNE 2.375 16-36 18/01A 22,538.79 0.01
100,000.00 ABN AMRO BANK NV 1.125 17-32 12/01A 114,044.20 0.03 6,000.00 POLAND (REP OF) 2.00 16-45 25/10A 6,923.14 0.00
33,963.00 NETHERLANDS 0.00 17-24 15/01U 39,361.63 0.01 144,000.00 POLAND GOV BD 2.25 16-22 25/04A 39,182.07 0.01
100,000.00 ING GROEP 1.375 17-28 11/01A 111,857.10 0.03 513,000.00 POLAND GOV BOND 2.50 16-27 25/07A 131,842.72 0.03
97,454.00 ROYAUME PAYS-BAS 0.75 18-28 15/07A 115,001.63 0.03 341,000.00 POLAND 2.50 17-23 25/01A 92,814.02 0.02
100,000.00 COOPERATIEVE RABOBANK 0.875 18-28 08/02A 115,856.14 0.03 49,000.00 POLAND 1.375 17-27 22/10A 58,057.46 0.01
100,000.00 BNG 1.50 17-38 29/03A 116,621.58 0.03
Portugal 821,854.96 0.20
75,000.00 DAIMLER INTL 1.00 18-25 11/05A 85,427.74 0.02
170,000.00 SIEMENS FINANCIER 0.375 18-23 06/09A 196,945.57 0.05 69,190.00 PORTUGAL REPU OF 4.10 06-37 15/04A 97,326.65 0.02
200,000.00 UNILEVER NV 0.50 18-23 12/08A 232,216.37 0.06 28,230.00 PORTUGAL 4.95 08-23 25/10A 39,633.22 0.01

The accompanying notes form an integral part of these financial statements

165
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
79,326.00 PORTUGAL 3.85 05-21 15/04A 101,044.96 0.02 Slovenia 279,756.44 0.07
96,779.00 PORTUGUESE OTS 4.80 10-20 15/06A 121,774.70 0.03 23,000.00 SLOVENIA (REP OF) 4.625 09-24 09/09A 33,244.86 0.01
32,981.00 PORTUGAL 3.875 14-30 15/02A 44,953.77 0.01 14,000.00 SLOVENIA (REP OF) 4.375 11-21 18/01A 17,943.04 0.00
112,839.00 PORTUGAL 2.875 15-25 15/10A 144,208.07 0.04 20,000.00 SLOVENIE RS70 5.125 11-26 30/03A 30,750.95 0.01
33,308.00 PORTUGAL 4.10 15-45 15/02A 46,987.58 0.01 15,000.00 SLOVENIA (REP OF) 3.00 14-21 08/04A 18,821.17 0.00
158,679.00 PORTUGAL 2.20 15-22 17/10A 197,452.18 0.05 12,000.00 SLOVENIE 2.25 14-22 25/03A 15,057.08 0.00
22,366.00 PORTUGAL 2.875 16-26 21/07A 28,473.83 0.01 21,000.00 SLOVENIE 1.50 15-35 25/03A 24,036.85 0.01
Romania 287,096.96 0.07 14,000.00 SLOVENIA (REP OF) 2.125 15-25 28/07A 17,957.84 0.00
18,000.00 SLOVENIA (REP OF) 2.25 16-32 03/03A 23,404.13 0.01
43,000.00 ROUMANIE 4.875 12-19 07/11A 52,679.46 0.01
5,000.00 REPUBLIKA SLOVENIJ 3.125 15-45 07/08A 7,300.15 0.00
16,000.00 ROMANIA REGS 6.125 14-44 22/01S 18,081.76 0.00
34,000.00 SLOVENIA (REP OF) 1.75 16-40 03/11A 39,638.68 0.01
88,000.00 ROMANIA REGS 4.875 14-24 22/01S 90,956.80 0.03
21,000.00 SLOVENIE 1.25 17-27 22/03A 25,018.36 0.01
37,000.00 ROMANIA 3.875 15-35 29/10A 43,517.00 0.01
23,000.00 REPUBLIKA SLOVENIJA 1.00 18-28 06/03A 26,583.33 0.01
70,000.00 ROMANIA 2.375 17-27 19/04A 81,861.94 0.02
South Korea 675,153.28 0.16
Russia 944,814.73 0.23
200,000.00 KOOKMIN BANK 2.25 16-21 03/02S 193,566.00 0.05
300,000.00 RUSSIA REG -S- 5.00 10-20 29/04S 305,667.00 0.06
537,020,000.00 KOREE 02000-2209 17-4-DY- 17-22 10/09S 481,587.28 0.11
1,000.00 RUSSIA 7.05 13-28 19/01S 14.00 0.00
7,290,000.00 RUSIA FEDERATION 7.00 13-23 25/01S 107,367.00 0.03 Spain 5,363,156.22 1.30
395,000.00 RUSSIA GOVT 6.40 13-20 27/05S 5,922.55 0.00 5,000.00 SPAIN 5.75 01-32 30/07A 8,612.64 0.00
606,000.00 RUSSIA GOVT BOND - 8.50 16-31 17/09S 9,272.51 0.00 372,000.00 SPAIN 4.20 05-37 31/01A 570,697.27 0.14
1,031,000.00 RUSSIA GOVT BD 7.50 15-21 18/08S 15,614.30 0.00 100,000.00 CEDULAS TDA 6 3.875 05-05 23/05A 140,028.12 0.03
1,600,000.00 RUSSIE (FED OF) 7.75 16-26 16/09S 23,598.73 0.01 100,000.00 AYT CEDULAS CAJAS X 3.75 05-25 30/06A 138,946.76 0.03
4,232,000.00 RUSSIE FEDERATION 7.40 17-22 07/12S 63,326.49 0.02 50,000.00 CAJA MADRID 4.125 06-36 24/03A 76,101.48 0.02
200,000.00 RUSSIAN FEDERATION 4.25 17-27 23/06S 192,054.00 0.05 521,000.00 SPANISH 4.00 10-20 30/04A 645,595.19 0.17
6,706,000.00 RUSSIA GOVT BOND 7.10 17-24 16/10S 97,343.67 0.02 252,000.00 SPAIN 5.50 11-21 30/04A 334,199.65 0.08
2,584,000.00 RUSSIA GOVT BOND - 7.70 17-33 23/03S 37,002.52 0.01 59,000.00 SPANISH GOV'T 5.90 11-26 30/07A 92,762.24 0.02
1,389,000.00 RUSSIA GOVT BOND 7.00 17-21 15/12S 20,668.40 0.01 57,000.00 SPAIN 5.85 11-22 31/01A 78,719.00 0.02
4,879,000.00 RUSSIA 7.25 18-34 21/02S 66,963.56 0.02 61,000.00 SPAIN 5.15 13-28 31/10A 94,960.85 0.02
Singapore 646,610.78 0.16 139,000.00 SPAIN 5.15 13-44 31/10A 245,994.24 0.06
56,000.00 SPAIN 3.80 14-24 30/04A 75,947.97 0.02
26,000.00 SINGAPORE GOVERNMENT 3.50 07-27 03/01S 20,512.22 0.00
484,000.00 SPAIN STRIP 2.75 14-24 31/10A 627,326.66 0.15
93,000.00 SINGAPORE 3.00 09-24 01/09S 70,550.10 0.02
321,000.00 SPAIN 1.60 15-25 30/04A 389,805.79 0.09
34,000.00 SINGAPORE T-BONDS 2.25 11-21 01/06S 25,000.72 0.01
100,000.00 SANTANDER ISSUANCES 2.50 15-25 18/03A 116,981.63 0.03
70,000.00 SINGAPORE 2.75 12-42 01/04S 50,299.41 0.01
58,000.00 COMUNIDAD DE MADRID 1.189 15-22 08/05A 69,289.66 0.02
71,000.00 SINGAPORE 3.375 13-33 01/09S 55,792.78 0.01
41,000.00 COMMUNITY OF MADRID 2.08 15-30 12/03A 48,482.02 0.01
91,000.00 SINGAPORE 1.625 14-19 01/10S 66,462.16 0.02
171,000.00 SPAIN 0.75 16-21 30/07A 202,678.20 0.05
22,000.00 SINGAPORE 2.375 15-23 01/06S 16,080.01 0.00
100,000.00 TELEFONICA EMIS 0.318 16-20 17/10A 116,677.31 0.03
45,000.00 SINGAPORE GOVT 2.75 16-46 01/03S 32,290.22 0.01
146,000.00 SPAIN 2.35 17-33 30/07A 177,844.28 0.04
48,000.00 SINGAPORE 2.875 14-29 01/07S 36,121.74 0.01
479,000.00 BONOS Y OBLIG DEL 1.45 17-27 31/10A 560,102.80 0.14
60,000.00 SINGAPORE GOV 2.125 16-26 01/06S 42,953.07 0.01
190,000.00 SPAIN 0.05 17-21 31/01A 221,051.34 0.05
64,000.00 SINGAPOUR GOVT 1.25 16-21 01/10S 45,714.97 0.01
100,000.00 BANCO BILBAO VIZCA 0.875 16-26 22/11 116,246.41 0.03
159,000.00 SINGAPORE 1.75 17-22 01/04S 114,913.65 0.03
100,000.00 ADIF ALTA VELOCIDAD 1.25 18-26 04/05A 115,033.80 0.03
55,000.00 SINGAPOUR 1.75 18-23 02/01S 39,583.36 0.01
86,000.00 BONOS Y OBLIG D 0.3500 18-23 30/07A 99,070.91 0.02
41,000.00 REP DE SINGAPOUR 2.625 18-28 01/05S 30,336.37 0.01
Sweden 2,986,644.22 0.73
Slovakia 364,972.29 0.09
280,000.00 SWEDEN -1047- 5.00 03-20 01/12A 35,225.27 0.01
48,879.00 SLOVAQUE 4.00 10-20 27/04A 60,861.18 0.01
400,000.00 SWEDISH GOVRNMNT 1053 3.50 09-39 30/03A 62,556.72 0.02
13,795.00 SLOVAKIA GOVT 216 4.35 10-25 14/10A 20,855.23 0.01
100,000.00 TELIASONERA EMTN 3.875 10-25 01/10A 136,485.54 0.03
35,296.00 SLOVAKIA -223- 3.375 12-24 15/11A 48,228.47 0.01
235,000.00 SWEDISH 1054 3.50 11- 22 01/06A 29,950.13 0.01
16,000.00 SLOVAKIA GOVT 3.00 13-23 28/02A 20,954.58 0.01
105,000.00 SWEDEN 2.25 11-32 01/06A 13,628.37 0.00
43,000.00 SLOVAKIA 3.625 14-29 16/01A 62,640.89 0.02
805,000.00 SWEDEN 1.50 11-23 13/11A 96,945.87 0.02
8,844.00 SLOVAQUE 1.375 15-27 21/01A 10,805.64 0.00
850,000.00 SWEDEN 1058 2.50 13-25 12/05A 109,390.21 0.03
14,386.00 SLOVAKIA GOVT BOND 1.625 16-31 21/01A 17,364.51 0.00
400,000.00 NORDEA HYPOTEK 1.00 15-22 08/04A 45,907.67 0.01
34,130.00 SLOVAKIA 0.00 16-23 13/11U 38,943.50 0.01
190,000.00 SWEDEN 1.00 14-26 12/11A 22,286.85 0.01
26,173.00 SLOVAKIA GOVT BOND 1.875 17-37 09/03A 32,414.25 0.01
300,000.00 SWEDBANK MTGE 5.70 08-20 12/05A 36,928.72 0.01
31,000.00 SLOVAK REPUBLIC 0.625 16-26 22/05A 35,961.85 0.01
186,000.00 STADSHYPOTEK 0.375 16-23 22/02A 217,076.01 0.05
13,095.00 SLOVAKIA GOV 2.00 17-47 17/10A 15,942.19 0.00
1,000,000.00 SEB S574 1.50 15-21 15/12A 116,747.09 0.03

The accompanying notes form an integral part of these financial statements

166
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
1,200,000.00 LANSFORSAKRINGAR HYPO 3.25 13-20 16/09A 143,692.49 0.03 Thailand 1,279,987.05 0.31
660,000.00 KOMMUNINVEST SVERIGE 2.50 13-20 01/12A 78,329.55 0.02 836,000.00 THAILAND GOVT 5.50 07-23 13/03S 29,181.12 0.01
101,000.00 SCBC REGS 0.375 15-20 05/10A 118,587.84 0.03 2,229,000.00 THAILAND GOVT 4.875 09-29 22/06S 81,075.13 0.02
440,000.00 ROYAUME DE SUEDE 0.75 16-28 12/05A 50,018.52 0.01 3,683,000.00 THAILAND GOVT 3.65 10-31 20/06S 121,057.14 0.03
218,000.00 KINGDOM OF SWEDEN 1.125 16-19 21/10S 214,283.10 0.05 2,356,000.00 MINISTRY OF FINANCE 3.85 10-25 12/12S 78,934.66 0.02
140,000.00 KOMMUNIVEST I SVERIGE 0.25 16-22 01/06A 15,695.22 0.00 7,000,000.00 THAILAND GOVT 2.55 15-20 26/06S 218,804.96 0.05
1,920,000.00 KOMMUNINVEST I SVERIG 0.75 16-20 16/02A 218,931.92 0.05 1,642,000.00 THAILAND GOVT 3.40 15-36 17/06S 51,874.25 0.01
150,000.00 KOMMUNINVEST I SVERIGE 0.75 17-23 22/02A 17,039.29 0.00 6,471,000.00 MINISTRY FIN.THAILAND 2.875 16-46 17/06S 183,302.79 0.04
800,000.00 SWEDBANK HYPOTEK A 1 17-23 15/03A 91,247.72 0.02 2,563,000.00 THAILAND GOVT 2.125 16-26 17/12S 76,182.99 0.02
1,000,000.00 DANSKE HYPOTEK AB 1.00 17-21 15/12A 114,856.89 0.03 5,000,000.00 THAILAND GOVT 1.875 16-22 17/06S 152,750.30 0.04
200,000.00 LANSFORSAKRINGAR H 1.25 16-23 20/09A 22,966.88 0.01 3,684,000.00 THAILAND GOVERNMENT 4.675 13-44 29/06 138,973.45 0.03
100,000.00 KINGDOM OF SWEDEN 2.375 18-23 15/02S 97,186.00 0.02 4,831,000.00 THAILAND GOVT BOND 2.00 17-22 17/12S 147,850.26 0.04
1,000,000.00 SWEDBANK HYPOTEK AB 1 14-20 16/12A 114,897.36 0.03
United Kingdom 21,822,717.98 5.31
250,000.00 SWEDISCH EXP CREDIT 1.875 16-21 07/09S 239,045.00 0.06
200,000.00 SWEDBANK 2.00 15-20 12/05A 196,290.00 0.05 293,178.00 UNITED KINGDOM 4.25 00-32 07/06S 499,795.35 0.12
50,000.00 SWEDISH EXP 0.625 17-20 20/03A 64,477.49 0.02 155,528.00 UNITED KINGDOM 5.00 01-25 07/03S 249,480.39 0.06
1,000,000.00 SWEDISH COVERED BOND 2.00 16-26 17/06A 117,245.21 0.03 45,663.00 UK TREASURY STOCK 6.00 98-28 07/12S 84,652.88 0.02
1,000,000.00 STADSHYPOTEK AB 1.50 17-23 01/06A 116,399.63 0.03 241,063.00 UNITED KINGDOM 4.25 03-36 07/03S 427,315.29 0.10
290,000.00 ROYAUME DE SUEDE 0.75 17-29 12/11A 32,325.66 0.01 68,054.00 UK TREASURY GILT STK 4.75 04-38 07/12S 131,620.81 0.03
Switzerland 1,506,967.48 0.37 97,921.00 UNITED KINGDOM 4.25 05-55 07/12S 210,227.26 0.05
250,000.00 UK TREASURY STOCK 4.75 05-20 07/03S 344,364.90 0.08
36,000.00 SUISSE CONFEDERATION 2.00 10-21 28/04A 39,387.09 0.01 195,068.00 UNITED KINGDOM 4.25 06-46 07/12S 382,158.28 0.09
61,000.00 SUISSE CONFEDERATION 2.00 11-22 25/05A 68,169.32 0.02 142,461.00 UNITED KINGDOM 4.25 06-27 07/12S 230,516.98 0.06
61,000.00 SUISSE CONFEDERATION 1.50 13-25 24/07A 69,561.93 0.02 50,000.00 PRUDENTIAL FIN.EMTN 6.125 01-31 19/12A 82,509.34 0.02
16,000.00 SWITZERLAND 1.25 12-24 11/06A 17,805.13 0.00 70,000.00 NETWORK RAIL FIN EMTN 4.75 04-35 29/11A 126,678.42 0.03
40,000.00 SWITZERLAND (CONFED.) 1.50 12-42 30/04A 49,177.04 0.01 209,804.00 UK TREASURY STOCK 4.50 07-42 07/12S 409,993.40 0.10
49,000.00 SWITZERLAND 1.25 12-37 27/06A 56,840.76 0.01 395,949.00 UK TREASURY 4.75 07-30 07/12S 692,359.40 0.17
14,000.00 SWITZERLAND 1.25 14-26 28/05A 15,828.87 0.00 153,283.00 UK TREASURY 4.25 08-49 07/12S 310,000.16 0.08
40,000.00 NOVARTIS 0.625 15-29 13/11A 39,926.40 0.01 218,303.00 UNITED KINGDOM 4.00 09-22 07/03S 313,867.60 0.08
25,000.00 PFANDBRIEF SCHWIEZ 1.50 12-33 02/08A 28,032.94 0.01 236,154.00 UK TREASURY STOCK 4.50 09-34 07/09S 423,079.01 0.10
15,000.00 PFBRF SCHWZ KANTBK 0.05 16-26 06/11A 14,984.69 0.00 119,416.00 UK TREASURY STOCK 4.25 09-39 07/09S 218,937.34 0.05
75,000.00 PFANDBR SCHWEIZ HYPO 1.375 13-22 15/08A 81,480.57 0.02 12,002.00 UK TREASURY STOCK 4.00 09-60 22/01S 25,611.12 0.01
101,000.00 SUISSE CONFEDERATION 0.50 15-30 27/05A 107,535.11 0.04 41,000.00 UBS LONDON 3.875 09-19 02/12A 49,951.62 0.01
10,000.00 PFBRF SCHWZ KANTBK 1.00 14-28 22/09A 10,728.94 0.00 200,000.00 LLOYDS TSB 6.50 10-20 24/03A 253,841.18 0.06
5,000.00 PFBRF SCHWZ KANTBK 0.625 15-30 01/11A 5,083.97 0.00 53,000.00 UBS LONDON 4.00 10-22 08/04A 69,930.36 0.02
8,000.00 SWITZERLAND 2.00 14-64 25/06A 12,411.99 0.00 50,000.00 CENTRICA EMTN 7.00 08-33 19/09A 93,278.63 0.02
40,000.00 PFANDBRIEF SCHWEIZ 0.125 16-28 06/09A 39,402.24 0.01 188,044.00 UNITED KINGDOM 4.25 10-40 07/12S 349,085.76 0.08
20,000.00 PFANDBR SCHWEIZ HYPO 1.00 14-22 10/05A 21,396.46 0.01 522,899.00 UNITED KINGDOM 3.75 10-20 07/09S 720,122.22 0.18
35,000.00 PFANDBRIEF SCHWEIZ 0.125 17-25 06/05A 35,702.39 0.01 50,000.00 RBS 3.875 10-20 19/10A 62,803.47 0.02
30,000.00 PFANDBRIEF SCHWEIZ 0.25 17-27 18/01A 30,430.06 0.01 88,724.00 UNITED KINGDOM 3.75 11-21 07/09S 125,194.29 0.03
45,000.00 PFANDBRIEF SCHW KA 0.75 14-24 23/09A 47,837.97 0.01 200,000.00 BG ENERGY CAP 144A 4.00 11-21 15/10S 202,904.00 0.05
75,000.00 PFANDBRIEF SCHWEIZ 0.375 15-30 21/01 74,754.51 0.02 170,539.00 UK TREASURY STOCK 3.75 11-52 22/07S 326,550.73 0.08
40,000.00 PFANDBRIEF SCHW KA 0.25 17-25 01/12A 40,970.63 0.01 200,000.00 STANDARD CHARTERED 5.70 12-22 25/01S 207,692.00 0.05
70,000.00 BASLER KANTONALBAN 0.3 17-27 22/06A 70,802.82 0.02 5,699.00 UK TREASURY STOCK 1.75 12-22 07/09S 7,632.67 0.00
20,000.00 PFANDBRIEF SCHW KA 0.000001 15-23 25 20,526.27 0.00 30,000.00 VODAFONE GROUP 2.50 12-22 26/09S 28,780.80 0.01
20,000.00 PFANDBRIEF SCHWEIZ 0.25 16-38 04/08A 17,782.60 0.00 419,407.00 UK TSY 3.25 12-44 22/01S 689,310.46 0.17
65,000.00 PFANDBRIEF SCHW KA 1.125 14-23 28/04A 70,257.16 0.02 70,000.00 VODAFONE GROUP 2.95 13-23 19/02S 67,516.40 0.02
65,000.00 PFANDBRIEF SCHW KA 0.5 17-32 20/02A 64,374.66 0.02 100,000.00 SCOTTISH WIDOWS SUB 5.50 13-23 16/06A 142,487.68 0.03
77,000.00 SWISS (GOVT) 2.25 11-31 22/06A 98,654.56 0.03 90,556.00 UK TREASURY STK REGS 3.50 13-65 22/07S 184,430.42 0.04
4,000.00 SWITZERLAND 0.00 16-29 22/06U 4,049.97 0.00 185,858.00 UK TREASURY STOCK 2.25 13-23 07/09S 255,081.16 0.06
7,000.00 CONFEDERATION SUISSE 0.50 16-58 30/05A 6,926.21 0.00 100,000.00 BAT INTERNATIONAL FIN 4.00 13-26 04/09A 140,369.82 0.03
5,000.00 PFANDBRIEF SCHWEIZ 1.50 12-40 14/02A 5,598.91 0.00 50,000.00 GLAXOSMITHKLINE 2.85 12-22 08/05S 49,065.00 0.01
45,000.00 PFANDBRIEFBANK SCHWEI 0.25 17-26 27/04A 45,926.11 0.01 70,000.00 WPP FINANCE 5.625 13-43 15/11S 71,800.40 0.02
58,000.00 SUISSE 0.50 17-55 24/05A 57,596.40 0.01 386,514.00 UK TREASURY 2.75 14-24 07/09S 547,529.04 0.13
85,000.00 PFANDBRIEF SCHW KA 1.00 14-21 17/02A 90,012.53 0.02 472,459.00 UNITED KINGDOM 3.50 14-45 22/01S 812,762.89 0.21
30,000.00 BQUE LETTRE GAG 0.00 16-21 26/03A 31,044.31 0.01 57,000.00 BG ENERGY CAP EMTN 5.125 10-25 01/12A 89,368.69 0.02
15,000.00 PFANDBR SCHWEIZ HYPO 2.25 10-20 25/02A 15,965.96 0.00 571,905.00 UNITED KINGDOM 2.00 14-20 22/07S 761,560.33 0.19

The accompanying notes form an integral part of these financial statements

167
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
100,000.00 ABBEY NAT TREAS.SERV 1.875 15-20 17/02A 130,917.68 0.03 100,000.00 GENERAL ELECTRIC EMTN 5.50 98-21 07/06A 143,127.99 0.03
313,414.00 UNITED KINGDOM 2.00 15-25 07/09S 427,738.23 0.10 70,000.00 PACIFIC GAS & ELECTRIC 6.05 04-34 01/03S 79,013.90 0.02
150,000.00 YORKSHIRE BUILDING 0.50 15-20 19/06A 176,110.11 0.04 250,000.00 BANK OF AMERICA EMTN 5.50 03-19 04/12S 341,795.81 0.08
308,000.00 WESTPAC 0.50 15-20 29/09A 362,063.52 0.09 44,200.00 US TREASURY 4.50 06-36 15/02S 52,449.48 0.01
70,353.00 UK TREASURY STOCK 2.50 15-65 22/07S 112,466.06 0.03 91,800.00 USA TREASURY BONDS 4.75 07-37 15/02S 112,766.21 0.03
300,000.00 BP CAPITAL MARKETS 2.315 15-20 13/02S 297,318.00 0.07 605,200.00 US TREASURY NOTE 5.00 07-37 15/05S 765,965.32 0.19
212,935.00 UK TSY 1 1/2% 2021 1.50 15-21 22/01S 281,746.37 0.07 605,200.00 USA TREASURY BOND 4.375 08-38 15/02S 714,244.93 0.17
200,000.00 IMPERIAL TOBACCO FIN 3.75 15-22 21/07S 198,968.00 0.05 290,400.00 USA TREASURY BONDS 4.50 08-38 15/05S 348,474.19 0.08
200,000.00 BARCLAYS PLC 3.25 16-21 12/01S 197,392.00 0.05 42,000.00 USA TREASURY BONDS 3.50 09-39 15/02S 44,252.04 0.01
100,000.00 BRITISH TELECOM 1.75 16-26 10/03A 117,354.48 0.03 100,000.00 MICROSOFT CORP 5.20 09-39 01/06S 116,875.00 0.03
100,000.00 CREDIT AGRICOLE 1.25 16-26 14/04A 116,729.58 0.03 29,200.00 US TREASURY N/B 4.25 09-39 15/05S 34,055.96 0.01
20,000.00 BP CAPITAL MARKETS 3.119 16-26 04/05S 19,081.80 0.00 50,000.00 CITIGROUP 7.375 09-19 04/09A 62,137.35 0.02
50,000.00 AON 3.875 16-25 15/12S 49,481.50 0.01 143,500.00 USA T NOTES 4.50 09-39 15/08S 172,906.02 0.04
120,193.00 UNITED KINGDOM 1.50 16-26 22/07S 158,120.36 0.04 201,700.00 US TREASURY N/B 4.375 09-39 15/11S 239,379.58 0.06
100,000.00 BP CAPITAL PLC 1.953 16-25 03/03A 123,083.00 0.03 120,000.00 HSBC USA SUB 5.00 10-20 27/09S 123,174.00 0.03
100,000.00 ASTRAZENECA PLC 0.75 16-24 12/05A 115,468.20 0.03 30,000.00 TIMES WARNER CABLE 5.875 10-40 15/11S 30,311.70 0.01
652,850.00 UK TREASURY GILT 0.50 16-22 22/07S 834,441.60 0.21 50,000.00 ILFC 8.25 10-20 15/12S 54,644.00 0.01
100,000.00 VODAFONE GRP 0.50 16-24 30/01A 113,458.80 0.03 50,000.00 CITIGROUP SERIES 61 6.80 08-38 25/06S 97,097.05 0.02
200,000.00 ROYAL BK SCOTLND G 3.875 16-23 12/09S 194,206.00 0.05 625,400.00 USA TREASURY BOND 4.75 11-41 15/02S 782,538.00 0.19
400,000.00 STANDARD CHARTER 144A 2.10 16-19 19/08S 396,568.00 0.10 37,000.00 NOBLE ENERGY INC 6.00 11-41 01/03S 39,662.89 0.01
100,000.00 HSBC BANK 2.625 16-28 16/08A 124,702.32 0.03 70,000.00 SOUTHERN COPPER CORP 6.75 10-40 16/04S 82,810.00 0.02
163,000.00 EBRD 1.125 16-20 24/08S 157,603.07 0.04 50,000.00 CITIGROUP 8.125 09-39 15/07S 72,201.00 0.02
100,000.00 SANTANDER UK GROUP 3.125 16-21 08/01S 98,679.00 0.02 50,000.00 GOLDMAN SACHS GROUP 6.25 11-41 01/02S 60,464.00 0.01
50,000.00 BAT INTL FINANCE P 3.95 15-25 15/06S 48,886.00 0.01 145,100.00 UNITED STATES -B2022- 2.00 12-22 15/02S 140,921.12 0.03
199,997.00 UK TREASURY GILT 1.75 16-37 07/09S 254,922.36 0.06 50,000.00 DEVON ENERGY CORPORATI5.60 11-41 15/07S 53,109.50 0.01
548,556.00 UNITED KINGDOM 1.50 16-47 22/07S 649,366.38 0.16 60,000.00 MOLSON COORS 5.00 12-42 01/05S 59,629.20 0.01
267,494.00 UK GILT 1.75 17-58 22/07S 341,252.66 0.08 200,000.00 UNITED TECHNOLOGIES 3.1 12-22 01/06S 196,838.00 0.05
200,000.00 SANTANDER UK 4.00 14-24 13/03S 200,544.00 0.05 28,000.00 NISOURCE FINANCE 5.25 12-43 15/02S 29,927.24 0.01
405,937.00 UK TSY 1.25 17-27 22/07S 519,150.97 0.13 498,900.00 US TREASURY 3.00 12-42 15/05S 483,214.59 0.12
282,783.00 UNITED KINGDOM 0.75 17-23 22/07S 361,557.69 0.09 70,000.00 COMCAST 4.65 12-42 15/07S 69,185.90 0.02
100,000.00 CLYDESDALE BANK 4.625 12-26 08/06A 154,463.26 0.04 30,000.00 HESS 5.60 10-41 15/02S 30,499.50 0.01
100,000.00 ASTRAZENECA PLC 3.125 17-27 12/06S 93,016.00 0.02 50,000.00 NEWMONT MINING 6.25 09-39 01/10S 56,565.50 0.01
70,000.00 HSBC HLDGS 6.00 10-40 29/03A 113,451.81 0.03 193,800.00 USA T NOTES 1.625 12-22 15/08S 184,617.76 0.04
130,000.00 ANNINGTON FUNDING 2.646 17-25 12/07S 167,022.70 0.04 80,000.00 JP MORGAN CHASE 5.40 11-42 06/01S 90,041.60 0.02
250,000.00 CREDIT AGRICOLE LONDON 3.25 17-24 04/10S 234,522.50 0.06 50,000.00 MERCK AND CO INC 3.60 12-42 15/09S 47,118.00 0.01
300,000.00 BP CAPITAL MARKETS 1.768 17-19 19/03S 296,865.00 0.07 253,900.00 US TREASURY N/B 2.75 12-42 15/11S 234,974.29 0.06
100,000.00 LLOYDS BANKING GROUP 2.25 17-24 16/10A 125,201.78 0.03 174,100.00 US TREAS N/B F-2022 1.625 12-22 15/11S 165,294.02 0.04
200,000.00 LLOYDS BANKING GROUP 4.344 18-48 09/01S 173,766.00 0.04 50,000.00 JP MORGAN CHASE EMTN 5.60 11-41 15/07S 57,733.50 0.01
200,000.00 ANZ NEW ZEALAND 2.875 17-22 25/01S 194,502.00 0.05 100,000.00 APACHE CORP 4.75 12-43 15/04S 94,654.00 0.02
100,000.00 RECKITT 144A 2.75 17-24 26/06S 94,768.00 0.02 52,000.00 APACHE CORP 2.625 12-23 15/01S 49,550.28 0.01
100,000.00 EVERSHOLT FUNDING 3.529 17-42 07/08S 123,586.00 0.03 364,400.00 US TREASURY NOTES 3.125 13-43 15/02S 360,023.55 0.09
100,000.00 SANTANDER UK PLC 0.50 18-25 10/01A 114,916.49 0.03 80,000.00 WALT MART INC 2.55 13-23 11/04S 77,510.40 0.02
196,515.00 UK TSY 1.625 18-28 22/10S 257,383.05 0.06 164,000.00 USA T NOTES 2.875 13-43 15/05S 155,066.92 0.04
100,000.00 LLOYDS BANK 0.375 16-21 18/01A 117,247.60 0.03 300,000.00 JEFFERIES GROUP 6.875 10-21 15/04S 321,591.00 0.08
64,760.00 UNITED KINGDOM GILT 1 18-24 22/04S 83,328.83 0.02 30,000.00 ILFC 5.875 12-22 15/08S 31,849.80 0.01
244,915.00 GRANDE BRETAGNE 1.625 18-71 22/10S 302,722.17 0.07 34,000.00 INTER AMER DEVEL BK 3.20 12-42 01/08S 32,947.36 0.01
150,000.00 NATIONWIDE BLDG SO 0.375 15-20 30/07A 175,833.10 0.04 100,000.00 WAL MART STORES 5.25 05-35 01/09S 115,138.00 0.03
300,000.00 GLAXOSMITHKLINE 3.125 18-21 14/05S 299,481.00 0.07 50,000.00 TIME WARNER CABLE 6.75 09-39 15/06S 54,806.50 0.01
50,000.00 RIO TINTO FIN USA 4.125 12-42 21/08S 49,045.00 0.01 200,000.00 HALLIBURTON 3.50 13-23 01/08S 199,144.00 0.05
United States of America 133,411,059.71 32.44 70,000.00 CISCO SYSTEMS 5.50 09-40 15/01S 83,427.40 0.02
30,000.00 ABBVIE 4.40 13-42 06/11S 27,746.10 0.01
36,700.00 UNITED STATES OF 5.375 01-31 15/02S 45,354.22 0.01 424,900.00 US TREAS N/B 3.625 13-43 15/08S 455,930.45 0.11
100,000.00 VERIZON GLOBAL FGG C. 7.75 01-30 01/12S 127,778.00 0.03 70,000.00 WELLS FARGO 5.375 13-43 02/11S 75,039.30 0.02
200,000.00 USA TREASURY 6.50 96-26 15/11S 249,978.00 0.06 48,000.00 IBRD 2.125 13-20 01/11S 47,233.44 0.01
189,500.00 USA TREASURY BOND 7.875 91-21 15/02S 211,207.22 0.05 50,000.00 ALTRIA GROUP INC 4.00 13-24 31/01S 50,706.00 0.01
156,100.00 USA TREASURY BONDS 6.125 99-29 15/08S 200,062.44 0.05 50,000.00 PHILIPS MORRIS INTL 4.875 13-43 15/11S 51,117.50 0.01
134,400.00 USA TREASURY NOTES 5.25 98-28 15/11S 159,864.77 0.04 415,000.00 US TREASURY NT P-2020 2.125 13-20 31/08S 409,646.50 0.10

The accompanying notes form an integral part of these financial statements

168
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
236,100.00 USA T NOTES 2.75 13-23 15/11S 233,857.05 0.06 100,000.00 MICROSOFT 3.50 15-35 12/02S 95,959.00 0.02
50,000.00 STATE STREET SUB 3.10 13-23 15/05S 48,829.00 0.01 244,500.00 USA TREASURY BONDS 2.50 15-45 15/02S 214,140.43 0.05
355,400.00 USA TREASURY BONDS 3.75 13-43 15/11S 389,180.77 0.09 50,000.00 MERCK AND CO 2.35 15-22 10/02S 48,656.00 0.01
70,000.00 CONS EDISON CO 3.95 13-43 01/03S 66,844.40 0.02 70,000.00 KINDER MORGAN ENERGY 5.05 15-46 15/02S 69,726.30 0.02
300,000.00 ERP OPERATING LP 4.75 10-20 15/07S 306,309.00 0.07 30,000.00 21ST CENTURY FOX 4.75 14-44 15/09S 32,300.70 0.01
30,000.00 BERKSHIRE HATHAWAY 4.30 13-43 15/05S 30,269.70 0.01 545,800.00 US TREASURY N/B 2.00 15-25 15/02S 514,165.44 0.13
70,000.00 METLIFE INC 4.125 12-42 13/08S 66,374.00 0.02 200,000.00 WILLIAMS PARTNERS 3.60 15-22 15/03S 198,866.00 0.05
50,000.00 WALT DISNEY 4.125 11-41 01/12S 49,179.00 0.01 20,000.00 MERCK & CO 3.70 15-45 10/02S 19,117.60 0.00
50,000.00 SOUTHERN CAL EDISON 3.50 13-23 01/10S 49,629.00 0.01 200,400.00 USA TREASURY NOTES 1.75 15-22 28/02S 192,931.09 0.05
200,000.00 FIFTH THIRD BANCORP 4.30 13-24 16/01S 201,870.00 0.05 355,500.00 USA T NOTES 1.375 15-20 31/03S 348,322.45 0.08
200,000.00 GENERAL MILLS 3.65 14-24 15/02S 196,750.00 0.05 20,000.00 ENERGY TRANSFER 4.05 15-25 15/03S 19,570.60 0.00
258,600.00 USA T NOTES 2.750 14-24 15/02S 255,889.87 0.06 100,000.00 AT T INC 4.50 15-35 15/05S 93,356.00 0.02
50,000.00 GECC MTN TR 793 -A- 6.15 07-37 07/08S 57,374.50 0.01 20,000.00 ORACLE CORP 4.125 15-45 15/05S 19,427.60 0.00
282,500.00 US T-BONDS 3.625 14-44 15/02S 303,458.68 0.07 20,000.00 SOUTHERN COPPER CORP 5.875 15-45 23/04S 21,912.20 0.01
30,000.00 PACIFIC GAS ELECTRIC 4.75 14-44 15/02S 29,305.80 0.01 20,000.00 SOUTHERN COPPER 3.875 15-25 23/04S 19,486.40 0.00
20,000.00 KINDER MORGAN ENERGY 3.50 14-21 01/03S 20,041.60 0.00 30,000.00 GECC 2.20 15-20 09/01S 29,674.80 0.01
70,000.00 CITIGROUP 6.675 13-43 13/09S 86,248.40 0.02 100,000.00 USA T NOTES 1.625 15-22 30/04S 96,069.00 0.02
17,000.00 INTER-AM.DEV.BK 3.00 14-24 21/02S 16,899.53 0.00 30,000.00 WELLS FARGO CO 3.90 15-45 01/05S 27,888.30 0.01
50,000.00 ANHEUSER BUSCH 8.20 11-39 15/01S 70,248.50 0.02 70,000.00 21ST CENTURY FOX AMERI6.40 06-35 15/12S 89,093.90 0.02
70,000.00 JOHNSON JOHNSON 4.375 13-33 05/12S 74,386.20 0.02 50,000.00 MORGAN STANLEY 3.95 15-27 23/04S 47,943.00 0.01
50,000.00 GENERAL ELECTRIC 4.50 14-44 11/03S 47,155.00 0.01 100,000.00 WELLS FARGO CO 1.625 15-25 02/06A 118,533.40 0.03
17,000.00 BANK OF AMERICA CORP 4.00 14-24 01/04S 17,146.54 0.00 100,000.00 QUALCOMM INC 2.25 15-20 20/05S 98,679.00 0.02
100,000.00 WAL MART INC 2.55 14-26 08/04A 129,093.76 0.03 100,000.00 ILLINOIS TOOL WORKS 1.25 15-23 22/05A 119,886.54 0.03
50,000.00 PLAINS ALL AMERICAN 4.70 14-44 15/06S 45,204.50 0.01 30,000.00 AMAZON.COM INC 4.95 14-44 05/12S 33,594.00 0.01
50,000.00 WAL-MART INC 3.30 14-24 22/04S 49,879.00 0.01 20,000.00 COMCAST CORP 4.60 15-45 15/08S 19,547.00 0.00
30,000.00 KRAFT FOODS 6.50 12-40 09/02S 33,969.00 0.01 50,000.00 QUALCOMM INC 4.65 15-35 20/05S 50,836.50 0.01
30,000.00 BERKSHIRE HATHAWAY 3.75 13-23 15/11S 30,229.80 0.01 513,300.00 US TREASURY N/B 2.125 15-25 15/05 486,156.69 0.12
217,200.00 USA TREASURY BONDS 3.375 14-44 15/05S 223,957.09 0.05 70,000.00 INTERNATIONAL PAPER 5.00 15-35 15/09S 71,330.70 0.02
30,000.00 CATERPILLAR 3.40 14-24 15/05S 29,989.80 0.01 67,200.00 WI TREASURY SEC. 3.00 15-45 15/05 64,841.96 0.02
60,000.00 WELLS FARGO CO MTN 4.10 14-26 03/06S 59,253.60 0.01 50,000.00 GOLDMAN SACHS GROUP 3.75 15-25 22/05S 48,983.50 0.01
100,000.00 GENERAL ELECTRIC CAP 3.45 14-24 15/05S 98,378.00 0.02 204,800.00 WI TREASURY SEC. 1.875 15-22 31/05 197,439.48 0.05
858,000.00 USA T NOTES 2.00 14-21 31/05S 838,986.72 0.20 30,000.00 REYNOLDS AMERICAN 3.25 15-20 12/06S 29,942.70 0.01
40,000.00 PRUDENTIAL -D-49- 4.60 14-44 15/05S 40,348.00 0.01 50,000.00 COMCAST CORP 4.40 15-35 15/08S 49,072.00 0.01
50,000.00 GENERAL MOTORS 6.25 14-43 02/10S 51,209.00 0.01 20,000.00 ENERGY TRANSFER 6.125 15-45 15/12S 21,201.80 0.01
50,000.00 SOUTH CAROLINA ELEC 6.05 08-38 15/01S 56,429.00 0.01 20,000.00 REYNOLDS AMERICAN 5.85 15-45 15/08S 21,673.80 0.01
152,600.00 US TREASURY NOTE 3.125 14-44 15/08S 150,674.18 0.04 100,000.00 MORGAN STANLEY 4.00 15-25 23/07S 99,570.00 0.02
816,800.00 US TREASURY NOTE 2.125 14-21 30/09S 799,059.11 0.19 50,000.00 CVS HEALTH 3.875 15-25 20/07S 49,228.50 0.01
300,000.00 JP MORGAN CHASE 2.20 14-19 22/10S 297,924.00 0.07 30,000.00 UNITEDHEALTH GROUP 4.625 15-35 15/07S 31,995.90 0.01
50,000.00 VERIZON COMM 4.40 14-34 01/11S 48,717.00 0.01 247,400.00 WI TREASURY SEC. 1.625 15-20 31/07S 242,189.76 0.06
30,000.00 VERIZON COMM 3.50 14-24 01/11S 29,558.10 0.01 30,000.00 WELLS FARGO 2.60 15-20 22/07S 29,678.40 0.01
200,000.00 US TREASURY NOTE 1.50 14-19 31/10S 197,498.00 0.05 60,000.00 IBM 4.00 12-42 20/06S 58,464.60 0.01
667,600.00 USA T NOTES 1.875 14-21 31/10S 650,262.42 0.16 387,200.00 USA TREASURY NOTES 2.00 15-25 15/08S 362,899.33 0.09
200,000.00 APPLE INC 1.00 14-22 10/11A 240,133.15 0.06 274,300.00 USA T BOND 2.875 15-16 15/08S 258,272.65 0.06
70,000.00 KINDER MORGAN ENER 4.25 14-24 01/09S 70,707.00 0.02 50,000.00 VERIZON COMMUNICAT 4.272 15-36 15/01S 47,665.50 0.01
100,000.00 WALGREENS BOOTS 3.80 14-24 18/11S 98,714.00 0.02 295,600.00 US TREASURY N/B 2.00 15-22 31/07S 285,786.08 0.07
180,400.00 USA TREASURY BONDS 3.00 14-44 15/11S 174,129.29 0.04 50,000.00 TIME WARNER 4.85 15-45 15/07S 46,576.50 0.01
500,000.00 USA TREASURY NOTES 1.50 14-19 30/11S 493,165.00 0.12 50,000.00 PLAINS ALL AMERICANS 4.65 15-25 15/10S 50,605.00 0.01
292,100.00 USA T NOTES 2.25 14-24 15/11S 280,001.21 0.07 50,000.00 CELGENE 5.00 15-45 15/08S 49,514.00 0.01
150,000.00 EASTMAN CHEMICAL 3.80 14-25 15/03S 148,179.00 0.04 60,000.00 GILEAD SCIENCES IN 4.75 15-46 01/03S 61,804.80 0.02
47,000.00 BECTION DICKINSON 3.734 14-24 15/12S 46,020.99 0.01 200,000.00 NIKE INC 2.25 13-23 01/05S 191,186.00 0.05
50,000.00 AMAZON COM 3.80 14-24 05/12S 50,985.50 0.01 50,000.00 JPMORGAN CHASE 4.25 15-27 01/10S 49,697.00 0.01
30,000.00 PHILIPS 66 4.875 14-44 15/11S 31,089.00 0.01 50,000.00 GOLDMAN SACHS GROUP 2.75 15-20 15/09S 49,454.00 0.01
42,000.00 IBRD 4.625 14-21 06/10S 29,627.32 0.01 20,000.00 CITIGROUP 4.45 15-27 29/09S 19,766.40 0.00
50,000.00 FEDEX 3.20 15-25 01/02S 48,571.50 0.01 50,000.00 MEDTRONIC INC 3.50 15-25 15/0 49,564.50 0.01
960,200.00 USA T-NOTES 2.125 14-21 31/12S 937,347.24 0.23 70,000.00 MEDTRONIC 4.625 15-45 15/03S 74,062.10 0.02
50,000.00 MERCK & CO 2.75 15-25 10/02A 47,999.50 0.01 50,000.00 GILEAD SCIENCES IN 3.65 15-26 01/03S 49,058.50 0.01
100,000.00 AT T 1.30 15-23 05/09A 117,790.04 0.03 40,000.00 BIOGEN 4.05 15-25 15/09S 40,139.60 0.01

The accompanying notes form an integral part of these financial statements

169
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
30,000.00 ACE INA HOLDINGS 4.35 15-45 03/11S 30,544.80 0.01 162,000.00 US TREASURY N/B 1.625 16-23 30/04S 152,906.94 0.04
466,200.00 WI TREASURY SEC. 1.375 15-20 31/10S 452,558.98 0.11 70,000.00 SOUTHERN CO 2.95 16-23 01/07S 67,197.90 0.02
100,000.00 PROCTER & GAMBLE C 1.125 15-23 02/11 119,732.07 0.03 20,000.00 SOUTHERN CO 3.25 16-26 01/07S 18,655.80 0.00
60,000.00 GOLDMAN SACHS GROUP 4.25 15-25 21/10S 60,901.80 0.01 40,000.00 NORFOLK SOUTHERN 2.90 16-26 15/06S 37,552.80 0.01
70,000.00 ACE INA HOLDINGS 2.875 15-22 03/11S 68,442.50 0.02 30,000.00 CITIGROUP INC 3.40 16-26 01/05S 28,533.90 0.01
175,000.00 GOLDMAN SACHS GR SUB 4.25 15-25 21/10S 173,306.00 0.04 213,600.00 USA TREASURY NOTES 1.625 16-26 15/05S 193,252.46 0.05
100,000.00 PROLOGIS 3.75 15-25 01/11S 99,949.00 0.02 373,300.00 USA T NOTES 2.50 16-46 15/05S 325,618.39 0.08
103,600.00 US TREASURY N/B 1.875 15-22 31/08 99,588.61 0.02 30,000.00 WALGREENS BOOTS ALLIA 4.65 16-46 01/06S 28,623.00 0.01
171,200.00 USA T NOTES 1.875 15-22 31/10S 164,285.24 0.04 20,000.00 GENERAL MOTORS FIN 3.70 16-23 09/05S 19,537.60 0.00
20,000.00 UNITEDHEALTH GROUP 3.75 15-25 15/07S 20,058.40 0.00 100,000.00 AMERICAN INTL GROUP 1.50 16-23 08/06A 118,853.98 0.03
20,000.00 DEVON ENERGY 5.00 15-45 15/06S 19,928.40 0.00 30,000.00 ORACLE 2.65 16-26 15/07S 27,847.80 0.01
9,000.00 ECOLAB 5.50 11-41 08/12S 10,454.31 0.00 50,000.00 WESTERN GAS PARTNERS 5.45 14-44 01/04S 47,094.00 0.01
50,000.00 ANTHEM 3.50 14-24 15/08S 48,879.00 0.01 100,000.00 ABBVIE INC 2.85 16-23 14/05S 96,198.00 0.02
200,000.00 MARATHON PETROLEUM 3.625 14-24 15/09S 197,462.00 0.05 100,000.00 OMEGA HLTHCARE INV 4.375 16-23 01/08S 99,269.00 0.02
20,000.00 CSX 3.95 15-50 01/05S 18,070.20 0.00 20,000.00 ANADARKO PETROLEUM 6.60 16-46 15/03S 23,688.40 0.01
294,700.00 US TREASURY N/B 3.00 15-45 15/11S 284,273.51 0.07 40,000.00 AMERICAN INTL GROUP 3.30 16-21 01/03S 39,894.40 0.01
611,800.00 US TREASURY NOTES 2.25 15-25 15/11S 581,644.38 0.14 50,000.00 MOLSON COORS 3.00 16-26 15/07S 45,315.50 0.01
30,000.00 WELL FARGO SUB 4.90 15-45 17/11S 30,393.60 0.01 100,000.00 MC DONALD S CORP 1.00 16-23 15/11A 117,033.89 0.03
50,000.00 DOMINION GAS HLDGS 2.80 15-20 15/11S 49,286.50 0.01 50,000.00 LOWE S COM 2.50 16-26 15/04S 45,982.00 0.01
20,000.00 MCDONALD S 3.70 15-26 30/01S 19,788.20 0.00 50,000.00 BANK OF AMERICA CORP 2.625 16-21 19/04S 49,158.50 0.01
70,000.00 MCDONALD S 4.875 15-45 09/12S 73,092.60 0.02 50,000.00 CITIGROUP INC 4.60 16-26 09/03S 50,314.50 0.01
30,000.00 VISA INC 3.15 15-25 14/12S 29,068.80 0.01 30,000.00 MORGAN STANLEY -F- 2.50 16-21 21/04S 29,297.40 0.01
30,000.00 MC DONALD 2.75 15-20 09/12S 29,788.50 0.01 70,000.00 MARATHON OIL 3.85 15-25 01/06S 68,459.30 0.02
131,800.00 USA T NOTES 2.00 15-22 30/11S 126,997.21 0.03 200,000.00 ANADARKO PETROLEUM 4.85 16-21 15/03S 205,314.00 0.05
30,000.00 DOW CHEMICAL CO/TH 4.625 14-44 1/10S 29,379.60 0.01 50,000.00 TIME WARNER 2.95 16-26 15/07S 45,334.00 0.01
100,000.00 MONDELEZ INTERNATI 1.625 16-23 20/01A 121,048.05 0.03 613,400.00 USA T NOTES 1.375 16-23 30/06S 571,014.06 0.14
30,000.00 ANHEUSER BUSCH 3.65 16-26 01/02S 29,124.90 0.01 30,000.00 GOLDMAN SACHS GROUP 2.625 16-21 25/04S 29,374.20 0.01
130,000.00 ANHEUSER BUSCH 4.90 16-46 01/02S 130,919.12 0.03 20,000.00 ANADARKO PETROLEUM 5.55 16-26 15/03S 21,261.40 0.01
38,000.00 ANHEUSER BUSCH 4.70 16-36 01/02S 38,006.84 0.01 30,000.00 CELGENE 3.875 15-25 15/08S 29,522.70 0.01
1,579,400.00 US TREASURY NOTES 2.125 15-22 31/12S 1,528,274.83 0.37 50,000.00 WELLTOWER INC 4.25 16-26 01/04S 49,767.50 0.01
34,800.00 USA T NOTES 1.75 16-23 31/01S 33,122.64 0.01 30,000.00 ABBVIE INC 2.30 16-21 14/05S 29,188.50 0.01
50,000.00 21 ST CENT FOX 3.70 15-25 15/10S 49,737.50 0.01 20,000.00 AT&T 5.65 16-47 15/02S 20,571.80 0.01
20,000.00 FEDEX 4.55 16-46 01/04S 19,514.00 0.00 20,000.00 METLIFE 4.60 15-46 13/05S 20,309.00 0.00
30,000.00 JOHNSON & JOHNSON 3.70 16-46 01/03S 28,562.70 0.01 30,000.00 CATERPILLAR FINANC 1.70 16-21 09/08S 28,788.60 0.01
589,000.00 USA T NOTES 1.625 16-26 15/02S 534,605.85 0.13 30,000.00 GENERAL MOTORS 6.60 16-36 01/04S 32,058.90 0.01
50,000.00 DISCOVERY COMM 4.90 16-26 11/03M 51,273.00 0.01 30,000.00 COMCAST 2.35 16-27 15/01S 26,384.10 0.01
282,800.00 USA T NOTES 2.50 16-46 15/02S 246,867.43 0.06 50,000.00 MICROSOFT 3.45 16-36 08/08S 47,597.00 0.01
30,000.00 BANK OF AMERICA SUB 4.45 16-26 03/03S 30,024.90 0.01 20,000.00 CITIGROUP SUB 4.75 16-46 18/05S 19,565.00 0.00
20,000.00 APPLE 4.65 16-46 23/03S 21,600.60 0.01 50,000.00 GOLDMAN SACHS GROU 3.00 16-31 12/02A 63,438.23 0.02
100,500.00 US T NOTE 1.50 16-23 28/02S 94,541.36 0.02 30,000.00 KRAFT HEINZ FOODS 2.80 16-20 02/07S 29,692.80 0.01
100,000.00 MORGAN STANLEY 1.75 16-24 11/03A 119,941.13 0.03 70,000.00 WILLIAMS PARTNERS 5.10 15-45 15/09S 70,289.10 0.02
100,000.00 IBM 0.5 16-21 07/09A 117,404.42 0.03 50,000.00 PHILIPS MORRIS INTL 1.875 16-21 25/02S 48,379.00 0.01
100,000.00 IBM CORP 2.25 16-21 19/02S 97,965.00 0.02 50,000.00 ENTERPRISE PRODUCT 3.95 16-27 15/02S 49,860.50 0.01
100,000.00 IBM CORP 3.45 16-26 19/02S 98,762.00 0.02 21,000.00 CITIGROUP 4.65 15-45 30/07S 21,166.53 0.01
30,000.00 COMCAST CORP 2.75 16-23 01/03S 29,010.60 0.01 19,000.00 INTL FINANCE CORP 4.00 14-25 03/04S 14,648.13 0.00
50,000.00 JOHN DEERE CAP 2.80 16-23 06/03S 48,881.00 0.01 50,000.00 WELLS FARGO CO 4.40 16-46 14/06S 47,087.50 0.01
30,000.00 FEDEX 3.25 16-26 01/04S 28,908.60 0.01 50,000.00 MICROSOFT CORP 2.00 16-23 08/08S 47,245.00 0.01
30,000.00 UNITEDHEALTH GROUP 3.10 16-26 15/03S 28,760.10 0.01 20,000.00 UNION PACIFIC CORP 4.05 16-46 01/03S 18,876.80 0.00
200,000.00 JP MORGAN CHASE 2.70 16-23 18/05S 192,304.00 0.05 30,000.00 CROWN CASTLE INTL 2.25 16-21 01/09S 28,832.10 0.01
30,000.00 AMERICAN INTL GROU 3.90 16-26 01/04S 29,338.50 0.01 50,000.00 ORACLE 2.40 16-23 15/09S 47,681.00 0.01
100,000.00 MORGAN STANLEY 3.875 16-26 27/01S 98,175.00 0.02 30,000.00 METLIFE INC 3.60 15-25 13/11A 29,586.00 0.01
100,000.00 BANK OF NY MELLON 2.80 16-26 04/05S 93,732.00 0.02 30,000.00 UNION PACIFIC 2.75 16-26 01/03S 27,957.00 0.01
40,000.00 GOLDMAN SACHS GROUP 3.75 16-26 25/02S 38,894.00 0.01 20,000.00 DUKE ENERGY CORP 3.75 16-46 01/09S 17,621.80 0.00
40,000.00 JPMORGAN CHASE 3.20 16-26 15/06S 38,038.00 0.01 20,000.00 HOME DEPOT INC 4.25 15-46 01/04S 20,380.40 0.00
30,000.00 BANK OF AMERICA 3.50 16-26 19/04S 28,969.80 0.01 24,000.00 BIRD 4.25 14-25 24/06S 18,788.04 0.00
40,000.00 BURLINGTN NORTH SA 3.90 16-46 01/08S 37,774.40 0.01 100,000.00 MORGAN STANLEY 3.125 16-26 27/07S 93,057.00 0.02
60,000.00 WELLS FARGO & COMP 3.00 16-26 22/04S 55,818.60 0.01 50,000.00 AMGEN 2.60 16-26 19/08S 45,340.00 0.01

The accompanying notes form an integral part of these financial statements

170
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
40,000.00 ABBVIE INC 4.45 16-46 14/05S 36,852.40 0.01 31,000.00 BIRD 1.75 16-23 19/04S 29,295.93 0.01
50,000.00 KRAFT HEINZ FOODS 5.20 16-45 15/07S 48,816.50 0.01 50,000.00 BOSTON PROPERTIES 2.75 16-26 01/10S 45,273.50 0.01
30,000.00 AETNA 2.80 16-23 15/06S 28,733.40 0.01 50,000.00 BIRD 1.625 16-21 09/03S 48,437.50 0.01
30,000.00 APPLE 2.45 16-26 04/08S 27,636.90 0.01 30,000.00 VALEO ENERGY 4.90 15-45 15/03S 30,607.50 0.01
239,100.00 USA T NOTES 2.25 16-46 15/08S 197,439.22 0.05 50,000.00 CISCO SYSTEMS 2.95 16-26 28/02S 47,960.00 0.01
30,000.00 CITIGROUP INC 4.125 16-28 25/07S 28,950.30 0.01 30,000.00 NEWELL RUBBERMAID 5.50 16-46 01/04S 28,554.30 0.01
30,000.00 AT&T INC 6.00 16-40 15/08S 32,082.30 0.01 30,000.00 VISA INC 4.15 15-35 14/12S 30,998.10 0.01
30,000.00 JPMORGAN CHASE & C 2.95 16-26 01/10S 27,862.80 0.01 20,000.00 MICROSOFT CORP 3.95 16-56 08/08S 19,498.60 0.00
100,000.00 MICROSOFT 1.55 16-21 08/08S 96,006.00 0.02 30,000.00 TARGET CORP 3.625 16-46 15/04S 27,121.20 0.01
50,000.00 ALTRIA GROUP INC 2.625 14-20 14/01 49,720.50 0.01 30,000.00 LOWE S COM 3.70 16-46 15/04S 27,382.80 0.01
30,000.00 INTERNATIONAL PAPE 3.00 16-27 15/02S 27,542.70 0.01 100,000.00 EXPRESS SCRIPT 4.50 16-26 25/02S 100,777.99 0.02
40,000.00 CVS HEALTH 2.125 16-21 01/06S 38,602.80 0.01 30,000.00 APPLE INC 2.65 16-20 10/06S 21,758.54 0.01
50,000.00 BERKSHIRE HAT ENERGY 4.50 14-45 01/02S 49,956.00 0.01 50,000.00 APPLE INC 3.25 16-26 23/02S 48,841.50 0.01
30,000.00 ENTERPRISE PRODUCTS 2.85 16-21 15/04S 29,614.50 0.01 50,000.00 COMCAST 3.15 16-26 01/03S 47,139.00 0.01
40,000.00 HOME DEPOT 2.00 16-21 01/04S 38,985.20 0.01 250,000.00 NATIONAL AUSTRALIA 2.625 16-21 14/01S 245,655.00 0.06
50,000.00 BIRD 1.00 15-30 16/04A 54,937.21 0.01 50,000.00 INTEL CORP 2.60 16-26 19/05S 46,681.50 0.01
30,000.00 GOLDMAN SACHS GROUP 2.875 16-21 25/02S 29,588.70 0.01 30,000.00 EXXON MOBIL CORP 4.114 16-46 01/03S 30,402.00 0.01
30,000.00 UNITEDHEALTH GROUP 2.125 16-21 15/03S 29,277.90 0.01 50,000.00 EXXON MOBIL CORP 3.043 16-26 01/03S 48,443.00 0.01
30,000.00 MEDTRONIC 4.375 15-35 15/03S 30,995.10 0.01 60,000.00 BERKSHIRE HATHAWAY 2.20 16-21 15/03S 58,833.00 0.01
200,000.00 US TREASURY NOTES 1.50 16-26 15/08S 178,594.00 0.04 30,000.00 ALTRIA GROUP INC 4.50 13-43 02/05U 28,962.30 0.01
30,000.00 METLIFE INC 10.75 09-39 01/08S 46,049.10 0.01 30,000.00 DUKE ENERGY 3.875 16-46 15/03S 28,122.00 0.01
30,000.00 KRAFT HEINZ FOODS 3.00 16-26 01/06S 27,312.90 0.01 250,000.00 RABOBANK NEDERLAND 1.375 16-19 09/08S 246,922.50 0.06
50,000.00 UNITED TECHNOLOGIES 4.15 15-45 15/05S 46,682.00 0.01 50,000.00 CISCO SYSTEMS 2.60 16-23 28/02S 48,653.00 0.01
30,000.00 ENERGY TRANSFER 4.75 15-26 15/01S 30,251.70 0.01 50,000.00 PROCTER & GAMBLE 2.70 16-26 02/02S 47,349.00 0.01
30,000.00 APPLE 2.25 16-21 23/02S 29,462.70 0.01 50,000.00 JOHNSON & JOHNSON 2.05 16-23 01/03S 47,800.00 0.01
50,000.00 PACIFIC GAS ELECTRIC 2.95 16-26 01/03S 45,571.00 0.01 50,000.00 INTEL CORP 1.70 16-21 19/05S 48,305.50 0.01
20,000.00 APPLE INC 4.50 16-36 23/02S 21,515.20 0.01 100,000.00 DOMINION RESOURCES 1.60 16-19 15/08S 98,924.00 0.02
20,000.00 MICROSOFT CORP 3.70 16-46 08/08S 19,169.80 0.00 60,000.00 SYSCO CORPORATION 2.50 16-21 15/07S 58,684.80 0.01
30,000.00 GOLDMAN SACHS GROUP 1.625 16-26 27/07A 34,582.62 0.01 60,000.00 COCA-COLA CO 2.55 16-26 01/06S 55,639.80 0.01
30,000.00 COMMONWEALTH EDISON 2.55 16-26 15/06S 27,626.10 0.01 30,000.00 SOUTHERN CO 4.25 16-36 01/07S 28,583.70 0.01
40,000.00 CONOCOPHILIPS 5.95 16-46 15/03S 50,736.40 0.01 30,000.00 AT T 6.375 16-41 01/03S 33,075.30 0.01
58,100.00 US TREASURY N/B 1.375 16-23 31/08S 53,937.72 0.01 50,000.00 ABBOTT LABORATORIE 2.95 15-25 15/03S 47,793.00 0.01
1,791,200.00 US TREASURY N/B 1.125 16-21 31/08S 1,703,861.09 0.41 200,000.00 PEPSICO INC 1.70 16-21 06/10S 191,856.00 0.05
100,000.00 PEPSICO 0.875 16-28 18/07A 111,080.06 0.03 340,900.00 USA TREASURY NOTES 2.00 16-26 15/11S 315,468.86 0.08
50,000.00 CONSOLIDATED EDISO 2.00 16-21 15/05S 48,323.00 0.01 100,000.00 ABBVIE 0.375 16-19 18/11A 116,641.31 0.03
50,000.00 HALLIBURTON CO 4.85 15-35 15/11S 52,260.50 0.01 282,600.00 US TREASURY N/B 2.875 16-46 15/11S 265,802.25 0.06
50,000.00 APPLE INC 2.85 16-23 23/02S 49,162.00 0.01 75,000.00 BANK OF AMERICA CORP 4.183 16-27 25/11S 73,227.75 0.02
60,000.00 WELLS FARGO SUB 4.30 15-27 22/07S 59,736.00 0.01 367,500.00 US T NOTES 2.125 16-23 30/11S 352,913.92 0.09
20,000.00 EXELON CORP 3.95 15-25 15/06S 19,904.40 0.00 70,000.00 CITIGROUP INC 3.20 16-26 21/10S 65,348.50 0.02
20,000.00 DOMINION RESOURCES 3.90 15-25 01/10S 19,692.60 0.00 30,000.00 WELLS FARGO 163 4.75 16-46 07/12S 29,841.00 0.01
30,000.00 CVS HEALTH 2.875 16-26 01/06S 27,485.40 0.01 100,000.00 JP MORGAN CHASE SUB 3.625 16-27 01/12S 94,266.00 0.02
30,000.00 DUKE ENERGY 2.50 16-23 15/03S 28,827.30 0.01 100,000.00 CHARTER COM OPERATING 4.464 16-22 27/03S 101,637.00 0.02
30,000.00 CONS EDISON CO NY 3.85 16-46 15/06S 27,930.90 0.01 80,000.00 CHARTER COMM OPT L 6.484 16-45 23/10S 86,020.80 0.02
50,000.00 CBS CORP 2.90 16-27 15/01S 44,743.50 0.01 60,000.00 ALLSTATE CORP 4.20 16-46 15/12S 58,548.00 0.01
30,000.00 KRAFT HEINZ FOODS 4.375 16-46 01/06S 26,409.60 0.01 200,000.00 GOLDMAN SACHS GROU 2.30 16-19 13/12S 198,248.00 0.05
796,600.00 WI TREASURY SEC. 1.125 16-21 31/07S 758,912.86 0.18 94,200.00 US TREASURY NOTE 1.625 16-23 31/10S 88,326.63 0.02
30,000.00 COMCAST 3.40 16-46 15/07S 24,325.80 0.01 96,500.00 US TREASURY N/B 1.375 16-23 30/09S 89,469.97 0.02
30,000.00 BALTIMORE GAS&EI 3.50 16-46 15/08S 26,390.40 0.01 301,100.00 USA T NOTES 1.25 16-23 31/07S 278,246.51 0.07
30,000.00 APPLE 3.85 16-46 04/08S 28,680.60 0.01 100,000.00 MORGAN STANLEY 1.00 16-22 02/12A 117,684.34 0.03
40,000.00 ORACLE CORP 4.00 16-46 15/07S 38,109.20 0.01 100,000.00 CONSTELLATION BRAN 3.70 16-26 06/12S 95,248.00 0.02
100,000.00 GOLDMAN SACHS GRP 2.35 16-21 15/11S 96,310.00 0.02 30,000.00 ORACLE CORP 3.85 16-36 15/07S 28,950.00 0.01
40,000.00 MASS INSTITUTE OF 3.885 16-16 01/07S 35,875.60 0.01 20,000.00 CHARTER COM OPERATING 6.384 16-35 23/10S 21,565.20 0.01
20,000.00 INTERNATIONAL PAPE 4.40 16-47 15/08S 18,438.80 0.00 200,000.00 KROGER 1.50 16-19 30/09S 197,144.00 0.05
60,000.00 CAPITAL ONE FIN 3.75 16-26 28/07S 55,918.80 0.01 100,000.00 SEMPRA ENERGY 1.625 16-19 07/10S 98,559.00 0.02
200,000.00 THERMO FISHER SCIENT 0.75 16-24 12/09A 227,686.52 0.06 300,000.00 AT T 5.875 16-19 01/10S 308,478.00 0.08
50,000.00 BAKER HUGHES INC 5.125 10-40 15/09S 52,605.00 0.01 100,000.00 PFIZER 3.00 16-26 15/12S 95,949.00 0.02
70,000.00 STRIKER 3.50 16-26 15/03S 67,788.70 0.02 100,000.00 OCCIDENTAL PETROLE 3 16-27 15/02S 94,957.00 0.02

The accompanying notes form an integral part of these financial statements

171
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
50,000.00 OCCIDENTAL PETROLE 4.1 16-47 15/02S 48,419.00 0.01 100,000.00 PFIZER INC 4.00 16-36 15/12S 98,972.00 0.02
150,000.00 DAIMLER FIN REGS 2.20 16-21 30/10S 143,865.00 0.03 395,700.00 USA T NOTES 1.50 17-20 15/06S 387,279.50 0.09
50,000.00 ORACLE 6.50 08-38 15/04S 64,152.00 0.02 100,000.00 AMERICAN TOWER 3.55 17-27 15/07S 93,468.00 0.02
50,000.00 ONEOK PARTNERS 4.90 15-25 15/03S 51,890.50 0.01 50,000.00 GENERAL MOTOR FIN CO 4.35 17-27 17/01S 47,844.00 0.01
138,000.00 VERIZON COMMUNICAT 4.125 17-27 16/03S 138,517.50 0.03 300,000.00 EBAY 2.15 17-20 05/06S 294,960.00 0.07
50,000.00 GENERAL MOTORS FIN CO 3.45 17-22 14/01S 49,280.50 0.01 47,000.00 TYSON FOODS 4.55 17-47 02/06S 43,932.78 0.01
50,000.00 MPLX LP 4.125 17-27 01/03S 48,693.50 0.01 30,000.00 KROGER CO 4.45 17-47 01/02S 27,489.60 0.01
386,600.00 USA 1.625 17-20 15/03S 380,468.53 0.09 200,000.00 MICROSOFT 1.85 17-20 06/02S 197,586.00 0.05
70,000.00 ENERGY TRANSFER 5.30 17-47 15/04S 67,870.60 0.02 100,000.00 JOHNSON AND JOHNSON 2.25 17-22 03/03S 97,383.00 0.02
275,800.00 US TREASURY N/B 3.00 17-47 15/02S 265,821.56 0.06 100,000.00 UNILEVER CAPITAL 3.10 15-25 30/07S 96,811.00 0.02
14,200.00 US TREASURY N/B 2.125 17-24 29/02S 13,605.59 0.00 768,400.00 US TREASURY N/B 2.125 17-24 31/03S 735,719.95 0.18
930,000.00 USA T NOTES B 2.25 17-27 15/02S 875,483.40 0.21 489,900.00 USA TREASURY NOTES 2.00 17-24 30/04S 465,556.87 0.11
100,000.00 MICROSOFT CORP 4.10 17-37 06/02S 103,232.00 0.03 200,000.00 FORD MOTOR CREDIT 3.81 17-24 09/01S 190,692.00 0.05
100,000.00 WELLS FARGO 3.069 17-23 24/01S 97,524.00 0.02 401,600.00 USA TREASURY NOTES 1.375 17-20 15/02S 394,258.75 0.10
70,000.00 VERIZON COMMUNICAT 5.25 17-37 16/03S 74,639.60 0.02 100,000.00 FIRSTENERGY CORP 3.12 17-22 15/07S 96,829.00 0.02
200,000.00 APPLE 3.00 17-24 09/02S 195,956.00 0.05 100,000.00 PHILIP MORRIS INTL 2.00 17-20 21/02S 98,664.00 0.02
703,100.00 US TREASURY N/B 1.875 17-22 31/201 679,046.95 0.17 400,000.00 TOYOTA MOTOR CREDIT 1.95 17-20 17/04S 393,828.00 0.10
100,000.00 VERIZON COMMUNICATION 5.50 17-47 16/03S 109,065.00 0.03 70,000.00 BMW US CAPITAL LLC 3.30 17-27 06/04S 66,801.70 0.02
80,000.00 APPLE 4.25 17-47 09/02S 81,414.40 0.02 41,000.00 AT&T INC 5.25 17-37 01/03S 40,824.52 0.01
70,000.00 GLENCORE FUNDING L 4.00 17-27 27/03S 65,779.70 0.02 200,000.00 WEA FINANCE LLC 3.15 17-22 05/04S 195,860.00 0.05
40,000.00 ABBOTT LABORATORIES 4.75 17-43 15/04S 42,178.80 0.01 200,000.00 APPLE INC 2.50 17-22 09/02S 195,602.00 0.05
70,000.00 FEDEX CORP 4.10 15-45 01/02S 63,756.70 0.02 1,109,600.00 US TREASURY N/B 2.00 17-24 30/06S 1,052,533.27 0.26
30,000.00 HEWLETT PACKARD 6.35 16-45 15/10S 30,925.20 0.01 50,000.00 JOHNSON AND JOHNSON 2.95 17-27 03/03S 47,950.00 0.01
30,000.00 KELLOGG CO 4.50 16-46 01/04S 28,488.60 0.01 550,800.00 US TREASURY N/B 1.50 17-20 15/04S 540,362.34 0.13
70,000.00 SOUTHERN CO 4.40 16-46 01/07S 66,610.60 0.02 200,000.00 JP MORGAN CHASE 2.40 16-21 07/06S 194,974.00 0.05
30,000.00 AT&T INC 5.45 17-47 01/03S 29,988.90 0.01 100,000.00 TOYOTA MOTOR CREDIT 2.90 17-24 17/04S 96,638.00 0.02
200,000.00 HONEYWELL INTL INC 1.40 16-19 30/10S 197,052.00 0.05 100,000.00 COMCAST CORP 3.00 17-24 01/02S 96,344.00 0.02
1,886,600.00 US T-NOTE 1.375 17-20 15/01S 1,854,678.73 0.45 342,300.00 WI TREASURY SEC. 1.75 17-22 30/06A 328,221.20 0.08
711,800.00 WI TREASURY SEC. 1.875 17-22 31/01S 688,609.56 0.17 30,000.00 PUBLIC SERV COLORADO 3.60 12-42 15/09S 27,542.70 0.01
100,000.00 ELI LILLY 2.75 15-25 01/06Q 95,651.00 0.02 30,000.00 AMGEN INC 4.663 16-51 15/06S 29,632.80 0.01
30,000.00 TRAVELERS COS INC 3.75 16-46 15/05S 27,578.70 0.01 60,000.00 UNITEDHEALTH GROUP 3.375 17-27 15/04S 58,242.60 0.01
100,000.00 AMGEN INC 1.85 16-21 19/08S 95,966.00 0.02 100,000.00 AMERICAN EXPRESS CR 2.70 17-22 03/03S 97,449.00 0.02
20,000.00 AMGEN 4.563 16-48 15/06S 19,585.00 0.00 180,000.00 WI TREASURY SEC. 1.875 17-22 30/04S 173,687.40 0.04
100,000.00 3M COMPANY 1.625 16-21 19/09S 95,733.00 0.02 955,700.00 US TREASURY 2.125 17-24 31/07S 912,053.19 0.22
100,000.00 HONEYWELL INTL 1.85 16-21 01/11S 96,182.00 0.02 70,000.00 SUNOCO LOGISTICS P 4.40 15-21 01/04S 71,183.70 0.02
189,200.00 USA TREASURY NOTES 2.25 17-24 31/01S 182,564.75 0.04 100,000.00 MACYS RETAIL HLDGS 3.45 15-21 15/01S 99,475.00 0.02
70,000.00 ABBOTT LABORATORIE 3.75 16-26 30/03M 69,741.70 0.02 300,000.00 LIBERTY MUTUAL GRP 5.00 11-21 01/06S 308,793.00 0.08
30,000.00 PFIZER 4.125 16-46 15/12S 29,746.20 0.01 200,000.00 AM EXPRESS CRDT F 2.20 17-20 03/03S 197,640.00 0.05
70,000.00 MORGAN STANLEY 3.625 17-27 20/01S 67,124.40 0.02 74,000.00 INTER-AMERICAN DEV BK 2.125 17-22 18/01S 71,876.94 0.02
50,000.00 NORFOLK SOUTHERN 4.45 15-45 15/06S 50,106.50 0.01 30,000.00 BURLINGTN NORTH SA 4.125 17-47 15/06S 29,470.80 0.01
30,000.00 EMERA US FINANCE L 4.75 17-46 15/06S 29,558.10 0.01 25,000.00 IBRD 1.875 16-26 27/10S 22,706.00 0.01
85,000.00 INTL FINANCE CORP 1.125 16-21 20/07S 80,775.50 0.02 150,000.00 WI TREASURY SEC. 1.75 17-22 31/07S 144,339.00 0.04
200,000.00 BERKSHIRE HATHAWAY 0.25 17-21 17/01A 233,266.40 0.06 200,000.00 CARDINAL HEALTH IN 2.616 17-22 15/06S 191,372.00 0.05
300,000.00 FIDELITY NAT REGS 3.625 15-20 15/10S 301,640.97 0.07 100,000.00 CATERPILLAR 3.75 13-23 24/05S 101,275.00 0.02
1,202,100.00 USA T NOTES 1.50 17-20 15/05S 1,177,877.68 0.29 100,000.00 CSX CORP 2.6 16-26 01/11S 90,972.00 0.02
300,000.00 SHERWIN-WILLIAMS CO 2.25 17-20 15/05S 295,704.00 0.07 200,000.00 KELLOGG CO 4.15 09-19 15/11S 202,430.00 0.05
50,000.00 BECTON DICKINSON CO 3.70 17-37 06/06S 47,790.50 0.01 30,000.00 COMMONWEALTH EDISON 3.65 16-46 15/06S 27,259.80 0.01
100,000.00 GENERAL ELECTRIC CO 2.125 17-37 17/05A 106,697.72 0.03 2,831,300.00 US TREASURY N/B 2.25 17-27 15/08S 2,655,221.45 0.66
589,500.00 US TREASURY NOTES 2.00 17-24 31/05S 559,718.46 0.14 100,000.00 CHEVRON CORP 2.895 17-24 03/03S 97,229.00 0.02
726,200.00 USA TREASURY NOTES 3.00 17-47 15/05S 699,584.77 0.17 300,000.00 US BANK NA 2.00 17-20 24/01S 296,055.00 0.07
100,000.00 NISOURCE FINANCE CORP 3.49 17-27 15/05S 94,829.00 0.02 1,389,300.00 USA T NOTES 1.875 17-24 31/08S 1,306,525.51 0.32
50,000.00 TEACHERS INSUR & A 4.27 17-47 15/05S 48,627.50 0.01 100,000.00 WALT DISNEY COMPANY 2.95 17-27 15/06S 94,793.00 0.02
70,000.00 AMERICAN INTL GRP 4.80 15-45 10/07S 69,349.00 0.02 100,000.00 BAT CAPITAL CORP 3.557 17-27 15/08S 93,122.00 0.02
99,400.00 US TREASURY N/B FL.R 17-22 30/05S 95,392.19 0.02 100,000.00 KINDER MORGAN INC 3.15 17-23 15/01S 97,275.00 0.02
990,700.00 USA T NOTES 2.375 17-27 15/05S 940,669.65 0.23 296,600.00 US TREASURY NOTES 1.625 17-22 31/08S 282,416.59 0.07
70,000.00 SABINE PASS LIQUEFAC 5.00 17-27 15/03S 71,838.20 0.02 350,000.00 DEUTSCHE BANK D 2.70 17-20 13/07S 342,671.00 0.08
100,000.00 AT&T INC 3.15 17-36 04/09A 116,590.22 0.03 181,600.00 US TREASURY NOTES 2.750 17-47 15/08S 166,341.96 0.04

The accompanying notes form an integral part of these financial statements

172
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
100,000.00 DIGITAL REALTY TRU 3.70 17-27 15/08S 94,980.00 0.02 250,000.00 CAPITAL ONE FINANC 3.30 17-24 30/10S 238,402.50 0.06
70,000.00 BAT CAPITAL CORP 4.39 17-37 15/08S 65,053.80 0.02 500,000.00 UNITEDHEALTH GROUP 1.95 17-20 15/10S 488,840.00 0.12
70,000.00 UNION PACIFIC CORP 3.60 17-37 15/09S 64,263.50 0.02 300,000.00 APPLIED MATERIALS 2.625 15-20 01/10S 296,739.00 0.07
389,400.00 US TREASURY NOTES 1.375 17-20 15/09S 378,796.64 0.09 1,885,200.00 USA TREASURY NOTES 1.625 17-20 15/10S 1,840,426.50 0.45
50,000.00 VISA INC 2.75 17-27 15/09S 46,561.00 0.01 70,000.00 DUKE ENERGY CORP 4.8 15-45 15/12S 72,127.30 0.02
100,000.00 VERIZON COMMUNICATIO 1.875 17-29 26/10A 115,533.25 0.03 50,000.00 COMMONWEALTH EDISON CO 3.75 17-47 15/08S 46,171.00 0.01
30,800.00 WI TREASURY SEC. 1.750 17-22 30/09S 29,580.94 0.01 1,026,600.00 US TREASURY N/B 2.25 17-24 31/10S 984,663.39 0.24
30,000.00 CHARTER COM OPER 5.375 17-47 01/05S 28,608.60 0.01 176,000.00 US TREASURY NOTE 2.25 17-24 31/12S 168,586.88 0.04
562,800.00 WI TREASURY SEC. 1.875 17-22 31/10S 542,747.44 0.13 100,000.00 CROWN CASTLE INTL 3.80 18-28 15/02S 94,764.00 0.02
815,300.00 US TREASURY NOTES 2.750 17-47 15/11S 746,602.82 0.18 30,000.00 IBRD 0.625 16-33 12/01A 32,385.99 0.01
4,178,500.00 US TREASURY NOTE 2.25 17-27 15/11S 3,911,201.36 0.96 200,000.00 PROCTER & GAMBLE 1.75 17-19 25/10S 197,910.00 0.05
70,000.00 DISCOVERY COMMUNICA 5.20 17-47 20/09S 68,376.00 0.02 70,000.00 VIRGINIA ELEC & PO 3.80 17-47 15/09S 64,610.00 0.02
500,000.00 CITIGROUP 2.70 17-22 27/10S 480,845.00 0.12 503,500.00 US TREASURY NOTES 2.25 18-20 29/02S 500,081.24 0.12
70,000.00 ORACLE CORP 4.00 17-47 15/11S 66,691.80 0.02 70,000.00 UNITED TECHNOLOGIES 6.125 08-38 15/07S 82,688.90 0.02
84,000.00 INTL FINANCE CORP 2.00 17-22 24/10S 80,649.24 0.02 200,000.00 BROADCOM CORP 3.625 18-24 15/01S 194,416.00 0.05
50,000.00 MICROSOFT CORP 4.25 17-47 06/02S 52,378.00 0.01 100,000.00 HOME DEPOT INC 1.80 17-20 05/06S 98,203.00 0.02
100,000.00 PRICELINE GROUP 3.55 17-28 15/03S 95,601.00 0.02 50,000.00 CBS CORP 4.6 15-45 15/01S 47,148.00 0.01
500,000.00 US TREASURY NOTES 1.750 17-19 30/11S 494,615.00 0.12 400,000.00 INTLE BK RECON 2.125 13-23 13/02S 384,916.00 0.09
100,000.00 DUKE ENERGY CORP 3.15 17-27 15/08S 93,285.00 0.02 1,348,600.00 USA T NOTES 1.50 17-20 15/07S 1,318,094.67 0.32
100,000.00 PHILIP MORRIS INTL 1.875 17-37 06/11A 105,382.89 0.03 150,000.00 AIR LEASE CORP 3.625 17-27 01/12S 137,590.50 0.03
70,000.00 ORACLE 3.80 17-37 15/11S 66,656.80 0.02 70,000.00 HOME DEPOT INC 5.95 11-41 01/04S 87,220.70 0.02
100,000.00 ANTHEM INC 2.95 17-22 01/12S 97,210.00 0.02 200,000.00 UNITED PARCEL SERVI 2.05 17-21 01/04S 194,732.00 0.05
50,000.00 ANTHEM INC 4.375 17-47 01/12S 47,278.50 0.01 500,000.00 WI TREASURY SEC. 2.00 18-20 31/01S 495,295.00 0.12
100,000.00 UNITED PARCEL SERV 3.75 17-47 15/11S 92,732.00 0.02 1,491,800.00 US TREASURY NOTES 2.125 17-24 30/11S 1,419,417.87 0.35
250,000.00 AUST & NZ BANKING 2.625 17-22 09/11S 240,252.50 0.06 703,200.00 USA TREASURY BONDS 2.5 18-25 31/01S 683,088.48 0.17
200,000.00 MORGAN STANLEY 2.75 17-22 19/05S 193,952.00 0.05 100,000.00 PEPSICO INC 3.00 17-27 15/10S 95,318.00 0.02
50,000.00 VISA INC 3.65 17-47 15/09S 46,560.50 0.01 83,000.00 AMERICAN WATER CAP 2.95 17-27 01/09S 77,577.61 0.02
50,000.00 BECTON DICKINSON 4.685 14-44 15/12S 49,361.00 0.01 100,000.00 MPLX LP 4.000 18-28 15/03S 96,200.00 0.02
200,000.00 GILEAD SCIENCES 1.85 17-19 20/09S 198,334.00 0.05 1,273,900.00 US TREASURY N/B 2.8750 18-28 15/05S 1,254,766.02 0.31
504,100.00 US T BILLS 2.00 18-21 15/01S 494,663.25 0.12 1,337,500.00 ETATS-UNIS 2.875 18-25 30/04S 1,327,174.50 0.32
276,300.00 USA TREASURY BONDS 2.25 18-20 31/03S 274,260.91 0.07 599,400.00 US TREASURY N/B 3.1250 18-48 15/05S 591,571.83 0.14
187,700.00 USA 2.625 18-23 28/02S 185,310.58 0.05 50,000.00 UNITEDHEALTH GROUP 3.75 17-47 15/10S 46,388.50 0.01
1,460,500.00 ETATS UNIS 2.75 18-25 28/02S 1,439,644.06 0.35 300,000.00 GENERAL MOTORS FIN CO 3.55 18-21 09/04S 299,559.00 0.07
150,000.00 CVS HEALTH CORP 4.30 18-28 25/03S 148,686.00 0.04 100,000.00 CVS HEALTH CORP 3.125 18-20 09/03S 99,947.00 0.02
100,000.00 CVS HEALTH CORP 5.05 18-48 25/03S 102,154.00 0.02 4,450,200.00 US TREASURY N/B 2.5000 18-20 31/05S 4,429,373.07 1.09
2,739,900.00 USA 2.75 18-28 15/02S 2,671,594.29 0.66 1,846,500.00 ETATS UNIS 2.625 18-21 15/05S 1,835,199.42 0.45
100,000.00 CVS HEALTH CORP 4.78 18-38 25/03S 99,701.00 0.02 200,000.00 BAYER US FINANC 3.5000 18-21 25/06S 199,436.00 0.05
880,400.00 USA 3.00 18-48 15/02S 847,552.28 0.21 79,600.00 US TREASURY NOTES 2.500 18-23 31/03S 78,126.60 0.02
819,000.00 UNITED STATES 2.125 17-24 30/09S 780,490.62 0.19 973,200.00 WI TREASURY SEC 2.3750 18-20 30/04S 967,263.48 0.24
70,000.00 AMER AIRLINE 17-2 3.35 17-29 15/10S 66,607.80 0.02 70,000.00 AMAZON.COM INC 4.25 18-57 22/08S 69,857.90 0.02
362,400.00 US T NOTES 1.875 17-19 31/12S 358,721.64 0.09 50,000.00 AMAZON 4.05 18-47 22/08S 49,151.00 0.01
70,000.00 BURLINGTON NORTH 5.75 10-40 01/05S 83,360.20 0.02 375,000.00 US TREASURY N/B 2.3750 18-21 15/04S 370,545.00 0.09
100,000.00 NEXTERA ENERGY CAP 2.80 17-23 15/01S 96,654.00 0.02 110,000.00 FORD MOTOR CREDIT 1.355 18-25 07/02A 122,341.38 0.03
50,000.00 SOUTHERN CAL EDISO 4.00 17-47 01/04S 46,757.50 0.01 100,000.00 MCKESSON 3.95 18-28 16/02S 96,484.00 0.02
200,000.00 WAL-MART INC 2.35 17-22 15/12S 193,184.00 0.05 60,000.00 CAMPBELL 4.8 18-48 15/03S 54,633.60 0.01
70,000.00 BIRD 0.75 17-21 13/01 A 90,017.45 0.02 50,000.00 KINDER MORGAN 5.20 18-48 01/03S 51,001.50 0.01
50,000.00 LABORATORY CORP OF 4.70 15-45 01/02S 48,670.00 0.01 150,000.00 GENERAL ELECTRIC 3.375 14-24 11/03S 147,274.50 0.04
100,000.00 WELLS FARGO 1.375 17-22 30/06A 127,079.70 0.03 1,914,400.00 US TREASURY N/B 2.8750 18-28 15/08S 1,885,167.11 0.47
60,000.00 REALTY INCOME 4.65 17-47 15/03S 60,463.20 0.01 382,600.00 WI TREASURY SEC. 2.75 18-23 30/06S 377,216.82 0.09
792,600.00 WI TREASURY SEC. 2.375 18-23 31/01S 774,512.86 0.19 614,000.00 ETATS-UNIS 2.75 18-25 30/06S 604,304.94 0.15
250,000.00 DISCOVER BANK 3.35 18-23 06/02S 242,657.50 0.06 100,000.00 NISSAN MOTOR 2.6 17-22 28/09S 95,548.00 0.02
1,244,300.00 US TREASURY N/B 1.75 17-20 15/11S 1,216,639.21 0.30 30,000.00 BAYER US FINANCE II 4.2 18-34 15/07S 27,091.79 0.01
100,000.00 APPLE INC 1.80 17-19 13/11S 98,935.00 0.02 250,000.00 SYNCHRONY BK 3.65 18-21 24/05S 247,875.00 0.06
50,000.00 VIACOM INC 5.85 13-43 01/09S 52,862.00 0.01 50,000.00 GREAT-WEST LIFE 4.5810 18-48 17/05S 50,550.50 0.01
150,000.00 CIGNA CORP 3.050 17-27 15/10S 135,348.00 0.03 150,000.00 JOHN DEERE CAP CORP 2.80 17-27 08/09S 139,177.50 0.03
100,000.00 COMCAST CORP 3.969 17-47 01/11S 89,214.00 0.02 50,000.00 DUKE ENERGY CAR 3.9500 18-48 15/03S 47,602.00 0.01
300,000.00 INTEL 1.85 17-20 11/05S 295,056.00 0.07 284,750.00 CONTL AIRLINES 200 5.983 07-22 19/04S 299,041.60 0.07

The accompanying notes form an integral part of these financial statements

173
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
385,700.00 WI TREASURY SEC 2.7500 18-23 31/07S 382,317.41 0.09 Germany 156,986.37 0.04
1,289,500.00 US 2.875 18-25 31/07S 1,278,655.31 0.31 100,000.00 ALLIANZ FL.R 14-24 19/08A 122,705.51 0.03
12,600.00 WI TREASURY SEC. 2.750 18-23 30/04S 12,496.68 0.00 30,000.00 BAYER SUB FL.R 15-75 02/04A 34,280.86 0.01
50,000.00 MARSH & MCLENNA 4.2000 18-48 01/03S 47,182.00 0.01
Japan 197,438.00 0.05
2,127,300.00 UNITED STATES TREAS 2.625 18-2031/08S 2,119,918.27 0.53
100,000.00 BERKSHIRE HATHAWAY 3.25 18-28 15/04S 94,559.00 0.02 200,000.00 NIPPON LIFE INSURA FL.R 16-46 20/01S 197,438.00 0.05
70,000.00 FLORIDA POWER LIGHT 3.95 18-48 01/03S 68,527.20 0.02 Jersey Island 74,128.52 0.02
50,000.00 ABBVIE 4.30 16-36 14/05S 46,906.00 0.01
50,000.00 BAA FUNDING LTD FL.R 08-25 15/02A 74,128.52 0.02
60,000.00 CONOCOPHILIPPS 4.30 14-44 15/11S 61,718.40 0.02
100,000.00 BRIGHTHOUSE 3.7 17-27 22/12S 88,843.00 0.02 Netherlands 679,961.42 0.17
100,000.00 GLAXOSMITHKLINE 3.8750 18-28 15/05S 100,775.00 0.02 100,000.00 RABOBANK NED. 144A FL.R 09-XX 30/06S 105,673.00 0.03
1,758,200.00 ETATS-UNIS 2.5 18-20 30/06S 1,749,444.17 0.43 100,000.00 ING BANK NV FL.R 14-26 25/02A 123,867.00 0.03
150,000.00 SYSCO CORPORATI 3.5500 18-25 15/03S 146,719.50 0.04 100,000.00 RABOBANK EMTN FL.R 14-26 26/05A 121,079.41 0.03
50,000.00 CATERPILLAR 4.3 14-44 08/05S 51,348.00 0.01 100,000.00 NN GROUP FL.R 14-XX 15/07A 122,339.64 0.03
100,000.00 BANK OF AMERICA CORP 3.946 18-49 23/01S 91,841.00 0.02 100,000.00 VW INTL FINANCE FL.R 17-XX 14/06A 111,794.37 0.03
50,000.00 ANHEUSER BUSCH 4.750 18-58 15/04S 48,394.00 0.01 100,000.00 ARGENTUM NETHLD FL.R 17-XX 15/08A 95,208.00 0.02
100,000.00 NUCOR CORP 3.9500 18-28 01/05S 99,759.00 0.02
Switzerland 353,428.63 0.09
100,000.00 AMAZON 2.4 18-23 22/02S 96,058.00 0.02
294,700.00 WI TREASURY SEC 2.8750 18-23 31/05S 292,304.09 0.07 100,000.00 CREDIT SUISSE GROU FL.R 17-25 17/07A 114,921.13 0.03
50,000.00 SEMPRA ENERGY 3.8 18-38 12/01S 45,008.50 0.01 250,000.00 CREDIT SUISSE G FL.R 17-23 14/12S 238,507.50 0.06
50,000.00 BIRD 2.25 18-23 17/01S 38,069.13 0.01 United Kingdom 858,891.05 0.21
50,000.00 INTL FINANCE CO 2.8000 17-22 15/08S 36,468.63 0.01
50,000.00 AVIVA PLC FL.R 04-26 16/11A 71,254.93 0.02
50,000.00 HOME DEPOT 3.90 17-47 15/06S 48,189.00 0.01
100,000.00 BARCLAYS PLC FL.R 15-25 11/11A 117,697.12 0.03
50,000.00 CELGENE 4.55 18-48 20/02S 46,463.50 0.01
200,000.00 SSE PLC 4.75 17-77 16/09S 194,250.00 0.05
1,401,700.00 USA TREASURY NOTES 2.625 18-25 31/03S 1,370,498.16 0.33
200,000.00 LLOYDS BANKING GR FL.R 17-28 07/11S 183,108.00 0.04
200,000.00 3M COMPANY 2.00 15-20 07/08S 196,662.00 0.05
300,000.00 NATIONWIDE BLDG FL.R 18-24 08/03S 292,581.00 0.07
250,000.00 PNC BANK NA 2.5000 18-21 22/01S 245,382.50 0.06
200,000.00 AXA EQUITABLE H 3.9000 18-23 20/04S 198,332.00 0.05 United States of America 1,596,933.12 0.38
1,496,200.00 USA 2.625 18-20 31/07S 1,491,397.19 0.36 40,000.00 ALLSTATE CORP B FL.R 13-53 15/08S 41,376.80 0.01
609,500.00 US TREASURY NOTES 2.875 18-25 31/05S 604,550.86 0.15 50,000.00 21ST CENTURY FOX AMER FL.R 15-24 15/09S 49,964.00 0.01
1,878,500.00 USA TREASURY NOTES 2.75 18-25 31/08S 1,847,748.96 0.45 50,000.00 JPMORGAN CHASE & C FL.R 17-48 22/02S 48,228.00 0.01
757,900.00 USA 2.75 18-23 31/08S 751,329.00 0.18 100,000.00 BANK OF AMERICA FL.R 17-28 20/01S 97,222.00 0.02
Uruguay 38,304.16 0.01 150,000.00 WELLS FARGO & COMP FL.R 17-28 22/05S 143,899.50 0.04
150,000.00 BANK OF AMERICA CO 1.379 17-25 07/02A 175,756.44 0.04
41,461.00 URUGUAY 4.125 12-45 20/11S 38,304.16 0.01
100,000.00 GOLDMAN SACHS GROU 3.691 17-28 05/06S 95,167.00 0.02
Venezuela 157,207.12 0.04
50,000.00 MORGAN STANLEY & CO FL.R 17-38 22/07S 46,901.50 0.01
164,000.00 CORP ANDINA DE FOM 2.125 16-21 27/09S 157,207.12 0.04 100,000.00 BANK OF AMERICA CORP FL.R 17-28 24/04S 96,140.00 0.02
Floating rate bonds 5,418,895.25 1.32 100,000.00 JP MORGAN CHASE FL.R 17-38 24/07S 93,203.00 0.02
100,000.00 MORGAN STANLEY FL.R 17-28 22/07S 94,845.00 0.02
Canada 140,688.00 0.03
50,000.00 PRUDENTIAL FINANCIAL FL.R 17-47 15/09S 46,449.50 0.01
150,000.00 BANK OF NOVA SCOTIA FL.R 17-XX 12/04S 140,688.00 0.03 200,000.00 ENTERPRISE PRODS E FL.R 17-77 16/08S 187,350.00 0.06
Denmark 241,092.56 0.06 179,000.00 BK OF AMERICA FL.R 18-28 20/12S 167,889.47 0.04
100,000.00 CITIGROUP INC FL.R 18-26 24/07A 115,609.91 0.03
200,000.00 ORSTED FL.R 15-15 06/11A 241,092.56 0.06
100,000.00 GOLDMAN SACHS GROU FL.R 18-39 23/04S 96,931.00 0.02
France 1,119,347.58 0.27
Transferable securities dealt in on another regulated market 74,514,223.73 18.12
60,000.00 FRANCE TELECOM FL.R 01-31 01/03S 84,995.40 0.02
50,000.00 AXA FL.R 10-40 16/04A 62,110.05 0.02 Bonds 74,272,106.45 18.06
100,000.00 ELECT.DE FRANCE SUB FL.R 14-XX 22/01A 121,290.80 0.03 Australia 708,896.22 0.17
100,000.00 ORANGE EMTN SUB FL.R 14-XX 01/10A 140,191.16 0.02
9,000.00 TREASURY CORP OF VICT 6.00 03-22 17/10S 7,420.41 0.00
100,000.00 BNP PARIBAS REGS FL.R 14-27 14/10A 121,602.08 0.03
100,000.00 APT PIPELINES 4.20 15-25 23/03S 98,900.00 0.02
100,000.00 CREDIT AGRICOLE SUB. FL.R 15-XX 13/01A 122,623.04 0.03
200,000.00 SCENTRE GROUP 144A 2.375 15-21 28/04S 193,214.00 0.05
100,000.00 AXA SA FL.R 16-47 06/07A 118,696.01 0.03
50,000.00 SYDNEY AIRPORT FIN 3.625 16-26 28/04S 47,771.50 0.01
100,000.00 TOTAL S.A. FL.R 16-49 05/05A 121,001.58 0.03
50,000.00 TELSTRA CORP 4.00 15-22 16/09S 37,173.00 0.01
100,000.00 SOCIETE GENERALE FL.R 18-28 23/02A 113,140.55 0.03
200,000.00 MACQUARIE BANK 2.4 15-20 21/01S 197,622.00 0.05
100,000.00 UNIBAIL-RODAMCO FL.R 18-XX XX/XXA 113,696.91 0.03
90,000.00 NEW S WALES TREASURY 3 16-27 20/05S 65,319.23 0.02
80,000.00 TASMANIAN PUBLIC 4.00 14-24 11/06S 61,476.08 0.01

The accompanying notes form an integral part of these financial statements

174
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Austria 129,499.12 0.03 50,000.00 PROVINCE OF ALBERTA 17-22 01/09S 37,217.75 0.01
100,000.00 ERSTE GROUP BANK AG 3.50 12-22 08/02A 129,499.12 0.03 62,000.00 PROVINCE OF MANITOBA 2.60 16-27 02/06S 46,257.93 0.01
200,000.00 SCHLUMBERGER FIN CA 2.65 17-22 20/11S 193,750.00 0.05
Belgium 1,512,602.32 0.37
100,000.00 TRANSCANADA PIPELINES 4.55 11-41 15/11S 79,714.79 0.02
91,917.00 BELGIUM KINGDOM 3.00 12-19 28/09A 110,516.40 0.03 24,000.00 ONTARIO (PROV.OF) 2.90 17-49 02/06S 17,455.66 0.00
100,000.00 BELFIUS BANQUE 2.125 13-23 30/01A 125,609.25 0.03 300,000.00 BANK OF MONTREAL 1.88 16-21 31/03S 226,783.20 0.06
172,772.00 BELGIQUE REGS 72 2.60 14-24 22/06A 227,848.04 0.06 100,000.00 CANADA HOUSING TRST 1 1.25 15-20 15/12S 75,535.60 0.02
55,373.00 BELGIUM OLO 75 1.00 15-31 22/06A 63,752.34 0.02 150,000.00 CIBC 1.66 17-20 20/01S 114,639.09 0.03
66,990.00 BELGIQUE 1.00 16-26 22/06A 80,411.59 0.02 20,000.00 CANADA HOUSING TR 1 2.35 17-27 15/06S 14,951.00 0.00
84,306.00 BELGIUM 1.60 16-47 22/06A 95,408.76 0.02 75,000.00 CANADA 2.00 17-51 01/12S 52,604.03 0.01
60,207.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 70,233.92 0.02 74,000.00 PROV.MANITOBA 4.65 08-40 05/03S 68,769.96 0.02
355,332.00 BELGIUM OLO 144A/REGS 0.80 17-27 22/06A 416,098.28 0.09 170,000.00 CANADA HOUSING 2.9 14-24 15/06S 133,072.84 0.03
78,538.00 BELGIUM KINGDOM 2.25 17-57 22/06A 99,523.98 0.02 100,000.00 ROYAL BANK OF CANADA 2.949 18-23 01/03S 76,923.50 0.02
18,666.00 BELGIUM OLO 0.50 17-24 22/10A 21,946.80 0.01 200,000.00 BANK OF NOVA 2.13 15-20 15/06S 153,204.89 0.04
173,793.00 BELGIUM KINGDOM 0.80 18-28 22/06A 201,252.96 0.05 50,000.00 PROVINCE OF ONTARIO 2.8 16-48 02/06S 35,604.71 0.01
Canada 6,344,499.71 1.54 70,000.00 CANADA HOUSING TRUST 2.35 18-23 15/06S 53,524.78 0.01
492,000.00 CANADA GOV 1.75 18-20 01/08S 377,489.24 0.08
49,000.00 HYDRO-QUEBEC 10.50 91-21 15/10S 46,640.37 0.01
13,000.00 CANADA GVT 2.0 18.23 06/04S 9,901.59 0.00
463,000.00 ONTARIO (PROV.OF) 4.70 05-37 02/06S 430,946.74 0.09
45,000.00 PROVINCE OF ALBERTA 17-48 01/12S 33,918.60 0.01
108,000.00 CANADA GOVT BONDS 4.00 08-41 01/06S 106,150.49 0.03
65,000.00 CANADA HOUSING 2.65 18-28 15/03S 49,626.65 0.01
200,000.00 QUEBEC (PROV.OF) 4.50 10-20 01/12S 161,581.84 0.04
150,000.00 HSBC BANK CANADA 3.245 18-23 15/09S 115,868.01 0.03
147,000.00 ONTARIO (PROV.OF) 4.65 10-41 02/06S 139,416.18 0.03
111,000.00 HYDRO-QUEBEC 5 09-50 15/02S 116,418.99 0.03
30,000.00 HYDRO-QUEBEC 6.00 99-15 15/02S 33,008.93 0.01
27,000.00 MANITOBA 3.3 14-24 02/06S 21,388.47 0.01
50,000.00 SHAW COMMUNICATION 6.75 09-39 09/11S 47,317.97 0.01
142,000.00 CANADA 2.75 14-48 01/12S 117,711.20 0.03 Cayman Islands 412,742.00 0.10
40,000.00 ALBERTA (PROV OF) 3.10 14-24 01/06S 31,430.40 0.01 200,000.00 EMBRAER OVERSEAS 144A 5.696 13-23 16/09S 207,536.00 0.05
258,000.00 QUEBEC (PROV.OF) 3.75 12-24 01/09S 209,554.32 0.05 200,000.00 HUTCHISON WHAMPOA 4.625 12-22 13/01S 205,206.00 0.05
142,000.00 ONTARIO (PROV.OF) 2.60 15-25 02/06U 107,824.12 0.03
Finland 548,240.19 0.13
134,000.00 ONTARIO (PROVINCE 2.90 15-46 02/12S 97,257.61 0.02
91,000.00 CANADIAN GOVT 0.75 15-21 01/03S 67,952.43 0.02 31,000.00 FINLAND 4.00 09-25 04/07A 44,931.07 0.01
82,000.00 PROV OF NEW BRUNSWIC 3.80 14-45 14/08S 67,706.36 0.02 67,000.00 FINLAND 2.75 12-28 04/07A 93,106.00 0.02
73,000.00 NOVA SCOTIA 5.80 03-33 01/06S 73,580.24 0.02 140,000.00 FINLANDE UNIT144A/REGS2.00 14-24 15/04A 179,570.22 0.04
200,000.00 CANADIAN NATURAL RES 2.60 14-19 03/12S 154,546.38 0.04 42,000.00 FINNISH GOVT 0.875 15-25 15/09A 50,629.93 0.01
33,000.00 BRITISH COLUMBIA P 3.70 10-20 18/12S 26,259.16 0.01 54,000.00 FINNISH GOVERNMENT 0 17-22 15/04A 63,176.98 0.02
100,000.00 SUNCOR ENERGY INC 3.10 14-21 26/11S 77,679.35 0.02 100,000.00 AKTIA BANK PLC 0.25 15-22 31/03A 116,825.99 0.03
60,000.00 EMERA INC 2.90 16-23 16/06S 45,335.75 0.01 France 1,058,215.22 0.26
100,000.00 TELUS CORP 3.75 15-26 10/03U 77,605.86 0.02
50,000.00 EDF EMTN 6.125 09-34 02/06A 86,076.72 0.02
20,000.00 MANITOBA (PROV OF) 5.70 04-37 05/03S 20,513.76 0.00
50,000.00 RFF EMTN 4.50 09-24 30/01A 70,864.27 0.02
65,000.00 PROV OF SASKATCHEWAN 2.75 14-46 02/12S 46,070.40 0.01
200,000.00 ENGIE 144A 2.875 12-22 10/10S 194,896.00 0.05
61,000.00 ALBERTA PROVINCE 3.30 15-46 01/12S 48,066.33 0.01
200,000.00 SCHNEIDER ELEC 144A 2.95 12-22 27/09S 194,776.00 0.05
14,000.00 ALBERTA PROVINCE OF 1.35 16-21 01/09S 10,484.65 0.00
200,000.00 BPCE 144A SUB 4.625 14-24 11/07S 198,352.00 0.04
40,000.00 ENBRIDGE INC 4.57 14-44 11/03S 30,750.52 0.01
20,000.00 EDF 144A 4.95 15-45 13/10S 19,538.60 0.00
286,000.00 PROVINCE OF QUEBEC 3.50 15-48 01/12S 234,617.68 0.06
100,000.00 LA POSTE 1.125 15-25 04/06A 118,654.20 0.03
150,000.00 ROYAL BANK OF CANA 1.583 16-21 13/09S 111,748.39 0.03
100,000.00 CAISSE FRANCAISE FIN 1.25 15-35 22/01A 112,905.93 0.03
100,000.00 ALIM COUCHE-TARD 3.60 15-25 02/06S 76,470.15 0.02
50,000.00 EDF SA 6.95 09-39 26/01S 62,151.50 0.02
226,000.00 BRIT.COLUMBIA (PROV) 2.80 14-48 18/06S 164,837.51 0.04
16,000.00 HYDRO-QUEBEC 5.00 06-45 15/02S 16,286.73 0.00 Germany 544,077.22 0.13
250,000.00 BANK OF MONTREAL 144A 2.50 17-22 11/01S 243,622.50 0.06 200,000.00 FMS WERTMANAGEMENT 1.75 15-20 17/03S 196,760.00 0.04
48,000.00 PROVINCE OF QUEBEC 2.75 15-25 01/09S 36,783.66 0.01 200,000.00 KFW 2.125 17-22 07/03S 194,034.00 0.05
60,000.00 CANADA 1.00 17-22 01/09S 44,170.66 0.01 50,000.00 LANDWIRTSCH RENTENBK 3.25 17-28 12/04S 36,443.30 0.01
360,000.00 CANADA HOUSING TR N1 2.35 13-23 15/09S 274,897.08 0.07 100,000.00 FMS WERTMANAGEMENT 0.00 17-20 30/03U 116,839.92 0.03
100,000.00 MANITOBA (PROV OF) 1.55 16-21 05/09S 75,261.74 0.02
Indonesia 404,498.00 0.10
100,000.00 QUEBEC (PROV.OF) 2.75 16-27 01/09S 75,768.47 0.02
24,000.00 ONTARIO (PROV.OF) 2.60 16-27 02/06S 17,940.64 0.00 200,000.00 INDONESIA 5.875 10-20 13/03S 207,426.00 0.05
380,000.00 CANADIAN GOVERNMENT 1.75 18-20 01/05S 292,000.64 0.07 200,000.00 INDONESIA REGS 4.125 15-25 15/01S 197,072.00 0.05
150,000.00 CANADA HOUSING 76 1.50 16-21 15/12S 112,564.20 0.03 Ireland 485,475.47 0.12
227,000.00 CANADIAN GOVERNMENT 1.25 17-20 01/02S 173,560.91 0.04
15,000.00 PROVINCE OF ALBERTA 4.50 10-40 01/12S 13,956.11 0.00 68,491.00 IRLANDE 2.40 14-30 15/05A 90,053.99 0.02

The accompanying notes form an integral part of these financial statements

175
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
47,946.00 IRLANDE 1.70 17-37 15/05A 56,468.93 0.01 50,350,000.00 JAPAN 136 1.60 12-32 20/03S 518,074.97 0.13
100,000.00 ESB FINANCE LIMITED 1.75 17-29 07/02A 118,215.15 0.03 130,400,000.00 JAPAN -334- 0.60 14-24 20/06S 1,189,459.95 0.29
70,250.00 IRISH TSY 0.00 17-22 18/10A 81,535.81 0.02 17,900,000.00 JAPAN 42 1.70 14-44 20/03S 190,663.30 0.05
120,000.00 FCA BANK SPA IR 1.0000 18-22 21/02A 139,201.59 0.04 11,950,000.00 JAPAN 07 1.70 14-54 20/03S 128,087.02 0.03
Italy 5,386,749.50 1.31 29,150,000.00 JAPAN GOVT 149 1.50 14-34 20/06S 297,810.63 0.07
18,150,000.00 JAPAN GOVT 043 1.70 14-44 20/06S 193,113.67 0.05
49,000.00 ITALIE BTP 0.65 15-20 01/11S 56,219.72 0.01 10,000,000.00 JAPAN 122 0.10 14-19 20/12S 88,283.64 0.02
237,000.00 ITALY BTP 0.95 16-23 15/03S 260,608.82 0.06 151,400,000.00 JAPAN 337 0.30 14-24 20/12S 1,358,887.58 0.33
98,000.00 ITALY BTP 1.60 16-26 01/06S 104,522.78 0.03 41,450,000.00 JAPAN 123 0.10 15-20 20/03S 366,089.00 0.09
242,000.00 ITALIE 0.45 16-21 01/06S 272,940.03 0.07 32,750,000.00 JAPAN 46 1.50 15-45 20/03S 334,979.24 0.08
318,000.00 ITALIE 0.05 16-19 15/10S 367,092.84 0.09 103,250,000.00 JAPAN 338 0.40 15-25 20/03S 932,954.06 0.23
100,000.00 CREDIT AGRICOLE CAR FL.R 17-25 21/03A 115,076.77 0.03 59,150,000.00 JAPAN (20 YEAR ISSUE 2.10 10-30 20/03S 631,639.72 0.15
142,000.00 ITALY BTP 1.20 17-22 01/04S 160,649.69 0.04 6,850,000.00 JAPAN (30 YEAR ISS 1.60 15-45 20/06S 71,699.28 0.02
838,000.00 ITALY 1.85 17-24 15/05S 937,771.26 0.22 48,000,000.00 JAPAN 339 0.40 15-25 20/06S 433,874.11 0.11
1,245,000.00 ITALY 0.35 17-20 15/06S 1,430,045.07 0.34 19,500,000.00 JAPAN -319- 1.10 11-21 20/12S 178,282.01 0.04
100,000.00 UNION DI BANCHE ITAL 1.00 15-23 27/01A 116,618.09 0.03 8,700,000.00 JAPAN 154 1.20 15-35 20/09S 85,248.27 0.02
766,000.00 ITALY TREASURY BONDS 0.90 17-22 01/08S 851,451.51 0.21 9,850,000.00 JAPAN 1.00 15-35 20/12S 93,589.08 0.02
374,000.00 ITALY 1.45 17-24 15/10S 405,126.72 0.10 46,550,000.00 JAPAN 0.30 15-25 20/12S 418,136.43 0.10
276,000.00 ITALY 0.05 18-21 15/04S 308,626.20 0.08 35,300,000.00 JAPAN 49 1.40 15-45 20/12S 353,876.34 0.09
Japan 45,335,370.85 11.03 23,250,000.00 JAPAN 028 JGB 2.50 08-38 20/03S 274,723.92 0.07
45,600,000.00 JAPAN 343 0.10 16-26 20/06S 403,424.54 0.10
53,000,000.00 JAPAN 024 JGB 2.50 06-36 20/09S 621,436.97 0.15
25,200,000.00 JAPAN 132 1.70 11-31 20/12S 261,892.71 0.06
21,350,000.00 JAPAN 025 JGB 2.30 06-36 20/12S 244,264.19 0.06
38,500,000.00 JAPAN 93 2.00 07-27 20/03S 394,056.77 0.10
18,500,000.00 JAPAN 026 JGB 2.40 07-37 20/03S 214,572.93 0.05
110,150,000.00 JAPAN 2.20 01-21 20/12S 1,041,355.41 0.25
92,600,000.00 JAPAN 075 JGB 2.10 05-25 20/03S 926,374.86 0.23
196,150,000.00 JAPAN 0.10 15-20 20/06S 1,733,220.72 0.42
25,050,000.00 JAPAN 097 JGB 2.20 07-27 20/09S 261,996.69 0.06
26,750,000.00 JAPAN 157 0.20 16-36 20/06S 221,771.67 0.05
30,900,000.00 JAPAN 101 JGB 2.40 08-28 20/03S 330,477.74 0.08
15,350,000.00 JAPAN N52 0.50 16-46 20/09S 123,352.71 0.03
10,550,000.00 JAPAN 001 JGB 2.40 07-48 20/03S 129,469.10 0.03
106,650,000.00 JAPAN -129- 0.10 16-21 20/09S 944,352.57 0.23
41,550,000.00 JAPAN 029 JGB 2.40 08-38 20/09S 485,423.61 0.12
133,900,000.00 JAPAN 130 0.10 16-21 20/12S 1,186,126.05 0.29
33,700,000.00 JAPAN 106 JGB 2.20 08-28 20/09S 357,258.22 0.09
47,250,000.00 JAPAN 0.10 16-21 20/03S 418,109.50 0.10
38,600,000.00 JAPAN 110 JGB 2.10 09-29 20/03S 408,075.52 0.10
30,000,000.00 BK TOKYO MITSUBISHI 1.52 12-22 26/01S 275,629.66 0.07
23,850,000.00 JAPAN 031 JGB 2.20 09-39 20/09S 271,875.46 0.07
5,550,000.00 JAPAN 0.60 16-36 20/12S 49,148.41 0.01
24,750,000.00 JAPAN GOVT 103 2.30 08-28 20/06S 263,567.78 0.06
20,000,000.00 CTRL NIP EXPRESSWAY 0.03 16-21 14/07S 175,871.78 0.04
57,900,000.00 JAPAN GOVT 118 2.00 10-30 20/06S 613,668.02 0.15
23,000,000.00 JAPAN -345- 0.10 16-26 20/12S 203,269.06 0.05
136,900,000.00 JAPAN GOVT 311 0.80 10-20 20/09S 1,227,031.65 0.30
46,150,000.00 JAPON 0.10 17-27 20/03S 407,396.53 0.10
90,200,000.00 JAPAN GOVT 317 1.10 11-21 20/09S 822,341.79 0.20
8,900,000.00 JAPON 0.90 17-57 20/03S 75,539.31 0.02
31,550,000.00 JAPAN 35 2.00 11-12 20/09S 351,470.58 0.09
71,800,000.00 JAPON 0.10 17-27 20/06S 633,383.55 0.15
30,800,000.00 JAPAN GOVT 133 1.80 11-31 20/12S 323,567.38 0.08
130,050,000.00 JAPON 0.10 17-22 20/03S 1,152,697.24 0.28
14,000,000.00 JAPAN 37 1.90 12-42 20/09S 153,921.70 0.04
34,150,000.00 JAPAN 134 0.10 17-22 20/12S 302,907.76 0.07
58,450,000.00 JAPAN -325- 0.80 12-22 20/09S 532,582.66 0.13
36,200,000.00 JAPAN 041 1.70 13-43 20/12S 385,290.82 0.09
30,350,000.00 JAPAN GOVT 140 1.70 12-32 20/09S 316,459.18 0.08
33,850,000.00 JAPON 0.60 17-37 20/09S 297,764.31 0.07
61,200,000.00 JAPAN 11(INDEXED)JGB 0.80 13-22 20/12S 558,825.38 0.14
74,300,000.00 JAPAN 349 0.10 17-27 20/12S 654,220.67 0.16
40,400,000.00 JAPAN 121 1.90 10-30 20/09S 425,059.78 0.10
62,850,000.00 JAPAN 163 0.60 17-37 20/12S 551,321.43 0.13
71,400,000.00 JAPAN -322- 0.90 12-22 20/03S 650,196.57 0.16
42,550,000.00 JAPON 0.80 17-47 20/09S 368,225.91 0.09
58,800,000.00 JAPAN -142- 1.80 12-13 20/12S 620,644.41 0.15
33,200,000.00 JAPAN 57 0.80 17-47 20/12S 287,346.48 0.07
61,750,000.00 JAPAN -137- 1.70 12-32 20/06S 643,290.44 0.16
70,000,000.00 JAPAN 383 0.10 17-19 15/12S 617,954.73 0.15
28,600,000.00 JAPAN -145- 1.70 13-33 20/06S 299,070.57 0.07
397,350,000.00 JAPON 0.10 18-20 15/02S 3,509,000.27 0.85
56,200,000.00 JAPAN 330 0.80 13-23 20/09S 515,985.04 0.13
67,150,000.00 JAPAN 124 2.00 10-30 20/12S 715,040.82 0.17
7,050,000.00 JAPAN JGB -6 1.90 13-53 20/03S 79,116.27 0.02
225,150,000.00 JAPON 0.1 18-20 15/05S 1,989,212.84 0.48
27,250,000.00 JAPAN JGB 146 1.70 13-33 20/09S 285,195.91 0.07
94,650,000.00 JAPON 0.1 18/20 01/08S 836,621.37 0.20
34,350,000.00 JAPAN GOVT 040 1.80 13-43 20/09S 371,512.80 0.09
23,000,000.00 JAPON 0.8 18-58 20/03S 188,519.58 0.05
16,050,000.00 JAPAN GOVT 329 0.80 13-23 20/06S 147,094.47 0.04
22,250,000.00 JAPON 0.1 18-28 20/06S 195,457.55 0.05
37,700,000.00 JAPAN GOVT 039 1.90 13-43 20/06S 415,299.03 0.10
64,950,000.00 JAPAN -332- 0.60 13-23 20/12S 591,180.14 0.14 Luxembourg 649,831.32 0.16
15,150,000.00 JAPAN 147 1.60 13-33 20/12S 156,691.13 0.04 23,000.00 EUROPEAN UNION 3.75 12-42 04/04A 38,928.37 0.01
35,450,000.00 JAPAN GOVT 148 1.50 14-34 20/03S 362,102.72 0.09 94,000.00 COMMUNAUTE EUROPEENNE 3.375 12-32 04/04A 140,576.00 0.03
82,450,000.00 JAPAN GOVT 65 1.90 03-23 20/12S 799,710.78 0.19 78,000.00 EUROPEAN UNION 1.875 14-24 04/04A 98,813.24 0.02
82,950,000.00 JAPAN 68 2.20 04-24 20/03S 819,604.43 0.20

The accompanying notes form an integral part of these financial statements

176
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
45,000.00 EUROP.INVEST.BK 1.00 16-32 14/04A 51,467.29 0.01 Spain 3,318,230.97 0.81
100,000.00 NORTH TERRITORY TREAS 4.25 13-21 20/09S 76,083.93 0.02 75,000.00 SPANISH 4.90 07-40 30/07A 126,566.63 0.03
30,000.00 AUSTR CAP TERRITORY 2.50 16-26 21/05S 21,033.77 0.01 36,000.00 SPAIN 4.80 08-24 31/01A 50,874.26 0.01
34,342.00 OBRIGACOES DO 2.125 18-28 17/10A 40,788.10 0.01 103,000.00 SPAIN 4.70 09-41 30/07A 170,156.15 0.04
100,000.00 EUROPEAN UNION 0.5 18-25 04/04A 117,060.60 0.03 173,000.00 SPAIN 4.65 10-25 30/07A 249,960.70 0.06
82,000.00 CITY OF TORONTO CANADA 3.5 12-21 06/12S 65,080.02 0.02 232,000.00 SPAIN 4.85 10-20 31/10A 297,260.93 0.07
Malaysia 944,292.37 0.23 120,000.00 SPAIN GOVT 5.40 13-23 31/01A 169,416.39 0.04
376,000.00 SPAIN 4.40 13-23 31/10A 519,636.05 0.14
291,000.00 MALAYSIAN GOV-08/003 5.248 08-28 15/09S 75,589.26 0.02
214,000.00 SPAIN 1.40 14-20 31/01A 254,133.74 0.06
318,000.00 MALAYSIAN GOV-10/003 4.498 10-30 15/04S 77,161.67 0.02
429,000.00 SPAIN GOVT 1.95 15-30 30/07A 511,672.37 0.13
516,000.00 MALAISIE S 0412 4.127 12-32 15/04S 119,365.58 0.03
100,000.00 SPAIN 2.15 15-25 31/10A 125,085.42 0.03
102,000.00 MALAISIE 0212 3.892 12-27 15/03S 24,099.79 0.01
187,000.00 SPAIN 1.15 15-20 30/07A 222,541.46 0.05
265,000.00 MALAYSIAN GOV-0313- 3.48 13-23 15/03S 63,107.18 0.02
100,000.00 BANCO SANTANDER 1.50 16-26 25/01A 122,461.59 0.03
476,000.00 MALAISIE S 0613 3.889 13-20 31/07S 115,890.93 0.03
125,000.00 SPAIN 2.90 16-46 31/10A 156,642.79 0.04
339,000.00 MALAYSIAN GOVT 4.935 13-43 30/09S 82,452.22 0.02
100,000.00 METROVASECA EMTN FL.R 16-22 23/05A 122,128.24 0.03
445,000.00 MALAYSIAN S.0114 4.181 14-24 15/07S 108,740.18 0.03
75,000.00 SPAIN 3.45 16-66 30/07A 100,545.25 0.02
82,000.00 MALAISIE S14/0004 3.654 14-19 31/10S 19,863.75 0.00
100,000.00 BCO POPULAR ESPANOL 1.00 16-22 03/10A 119,149.00 0.03
555,000.00 MALAYSIA GOVERNMEN 3.955000 15-25 15/09A 133,620.24 0.02
307,000.00 MALAYSIA GOVERNMEN 3.62 16-21 30/11S 74,212.15 0.02 Sweden 240,464.10 0.06
183,000.00 MALAYSIA GOVERNMEN 4.254 15-35 31/05S 41,943.13 0.01 120,000.00 SEB 0.75 15-22 16/06A 142,594.10 0.04
34,000.00 MALAYSIA GVT 4.762 17-37 07/04S 8,246.29 0.00 100,000.00 SWEDEN 144A 1.875 17-20 02/11S 97,870.00 0.02
Mexico 94,215.00 0.02 United Kingdom 122,846.57 0.03
100,000.00 PETROLEOS MEX PEMEX 5.35 18-28 12/02S 94,215.00 0.02 100,000.00 LAND SEC CAP MARK PLC 2.75 17-57 22/09S 122,846.57 0.03
Netherlands 663,396.55 0.16 United States of America 2,051,816.00 0.50
50,000.00 E ON INTER FINANCE 6.00 07-19 30/10A 68,415.24 0.02 100,000.00 AMGEN INC 4.00 12-29 13/09A 143,916.98 0.04
50,000.00 E ON INTL FINANCE REGS6.75 09-39 27/01A 95,450.61 0.02 100,000.00 MET LIFE GBL FGD 144A 3.50 12-26 30/09S 142,380.75 0.03
100,000.00 RWE FINANCE 4.75 12-34 31/01A 152,225.43 0.04 70,000.00 KKR GROUP 144A 5.50 13-43 01/02S 72,151.80 0.02
90,000.00 ENEL FINANCE INTL 6.00 09-39 07/10S 97,322.40 0.02 200,000.00 AMERICA HONDA FINANCE 1.875 13-19 04/09A 236,669.57 0.06
100,000.00 GAS NATURAL FENOSA FI 1.375 15-25 21/01A 117,797.00 0.03 20,000.00 KINDER MORGAN 144A 5.625 13-23 15/11S 21,373.40 0.01
100,000.00 NEDER WATERSCHAPSB 1.00 18-28 01/03A 117,740.09 0.03 200,000.00 NIAGARA MOHAWK 144A 3.508 14-24 01/10S 197,778.00 0.05
20,000.00 BNG 3.3 18-28 17/07S 14,445.78 0.00 50,000.00 COX COMM 144A 3.85 14-25 01/02S 49,047.00 0.01
New Zealand 27,323.09 0.01 200,000.00 WEA FINANCE LLC/WE 3.25 15-20 05/10S 199,272.00 0.05
200,000.00 ROCHE HOLDING INC 2.25 14-19 30/09S 198,984.00 0.05
40,000.00 NEW ZEALAND 425 2.75 16-25 15/04S 27,323.09 0.01
20,000.00 KEYSPAN GAS EAST CORP 2.742 16-1715/08S 18,405.00 0.00
Norway 118,798.22 0.03
100,000.00 AT&T INC 5.20 15-33 18/11A 152,739.24 0.04
100,000.00 SPAREBANK 1 BOLIGKR 1.50 13-20 20/01A 118,798.22 0.03 100,000.00 TRANS ALLEGH 144A 3.85 14-25 01/06S 99,107.00 0.02
Philippines 101,740.00 0.02 279,500.00 US TREASURY N/B 2.25 17-23 31/12S 269,896.38 0.06
100,000.00 NORTHWESTERN MUTUAL 3.85 17-47 30/09S 91,706.00 0.02
100,000.00 PHILIPPINES (REP) 4.00 10-21 15/01S 101,740.00 0.02
50,000.00 AT ET T 5.15 18-50 15/02S 47,385.50 0.01
Portugal 468,172.66 0.11 150,000.00 WELLS FARGO CO 2.509 16-23 27/10S 111,003.38 0.03
140,038.00 PORTUGAL 5.65 13-24 15/02A 202,930.56 0.05 Floating rate bonds 242,117.28 0.06
163,267.00 PORTUGAL REGS 144A 4.125 17-27 14/04A 225,651.93 0.05
Canada 38,757.28 0.01
34,824.00 OBRIGACOES DO T 2.2500 18-34 18/04A 39,590.17 0.01
50,000.00 BANK OF MONTREAL SUB FL.R 16-26 01/06S 38,757.28 0.01
South Korea 2,600,113.78 0.63
France 203,360.00 0.05
80,720,000.00 KOREA -DY- 5.5 09-29 10/12S 95,405.69 0.02
47,510,000.00 KOREA -DY- 3.75 12-22 10/06S 45,308.93 0.01 100,000.00 BNP PARIBAS -144A- FL.R 07-XX 25/06S 104,659.00 0.03
119,990,000.00 KOREA -DY- 3.00 09-14 10/03S 122,151.29 0.03 100,000.00 EDF SA 144A FL.R 14-XX 22/01S 98,701.00 0.02
133,270,000.00 KOREA -DY- 3.75 13-33 10/12S 141,604.41 0.03 Total securities portfolio 409,630,457.79 99.63
467,450,000.00 KOREE -DY- 3.50 14-24 10/03S 448,305.34 0.11
151,510,000.00 KOREA -DY- 2.625 15-35 10/09S 142,159.21 0.03
164,100,000.00 KOREA -DY- 1.875 17-22 10/03S 146,955.50 0.04
869,930,000.00 KOREA 1.75 17-20 10/06S 782,101.83 0.20
650,180,000.00 KOREA TREASURY BON 1.25 16-19 10/12S 581,976.35 0.14
104,320,000.00 KOREA TREASURY -DY- 2.375 17-27 10/12S 94,145.23 0.02

The accompanying notes form an integral part of these financial statements

177
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
300,000.00 AERCAP IRELAND CAP 5.00 15-21 01/10S 308,337.00 0.20
Long positions 151,464,345.20 97.58
500,000.00 SHIRE ACQ INV IRL 1.90 16-19 23/09S 494,620.00 0.32
Other transferable securities 2,445,673.05 1.58 500,000.00 SHIRE ACQ INV IREL 2.40 16-21 23/09S 482,965.00 0.31
200,000.00 AERCAP IRELAND CAP 4.50 15-21 15/05S 202,992.00 0.13
Bonds 2,445,673.05 1.58
Japan 208,924.00 0.13
United States of America 2,445,673.05 1.58
200,000.00 NOMURA HOLDING 6.70 10-20 04/03S 208,924.00 0.13
1,000,000.00 DIAMOND 1 FIN 144A 4.42 16-21 15/06S 1,014,680.00 0.66
Liberia 315,576.00 0.20
600,000.00 DIAMOND 1 FIN 144A 5.45 16-23 15/06S 630,492.00 0.41
300,000.00 AIR LEASE CORP 3.75 15-22 01/02S 299,871.00 0.19 300,000.00 ROYAL CARIBBEAN 5.25 12-22 15/11S 315,576.00 0.20
500,000.00 MAPLE ESCROW SUBS 4.057 18-23 25/05S 500,630.05 0.32 Luxembourg 2,456,593.19 1.58
Transferable securities admitted to an official stock exchange 149,018,672.15 96.00 200,000.00 ARCELORMITTAL 7.25 12-22 25/02S 214,844.00 0.14
listing
Bonds 145,377,170.15 93.65 200,000.00 ACTAVIS FUNDING SCS 3.00 15-20 12/03S 199,686.00 0.13
1,395,000.00 ALLERGAN FUNDING 3.45 15-22 15/03S 1,385,360.55 0.89
Bermuda 520,164.00 0.34
317,000.00 INGERSOLL-RAND LUX 2.625 14-20 01/05S 313,963.14 0.20
100,000.00 AIRCASTLE 6.25 12-19 01/12S 103,164.00 0.07 250,000.00 CITIZENS BANK NA/R 2.20 17-20 26/05S 245,032.50 0.16
200,000.00 AIRCASTLE 5.00 16-23 01/04S 205,440.00 0.13 100,000.00 GENPACT 3.7 18-22 01/04S 97,707.00 0.06
200,000.00 XLIT LTD 5.75 11-21 01/10S 211,560.00 0.14 Netherlands 1,402,045.50 0.90
Brazil 206,996.00 0.13
200,000.00 LYONDELLBASELL 6.00 12-21 15/11S 212,310.00 0.14
200,000.00 EMBRAER SA 5.15 12-22 15/06S 206,996.00 0.13 250,000.00 RABOBANK 3.95 12-22 09/11S 248,747.50 0.16
Canada 1,830,462.12 1.18 350,000.00 LYB INTL FIN 4.00 13-23 15/07S 350,126.00 0.23
600,000.00 MYLAN NV 3.15 17-21 15/06S 590,862.00 0.37
190,000.00 ENCANA 3.90 11-21 15/11S 190,708.72 0.12
300,000.00 HUSKY ENERGY 3.95 12-22 15/04S 302,568.00 0.20 Singapore 204,924.00 0.13
400,000.00 GOLDCORP INC 3.70 13-23 15/03S 394,376.00 0.26 200,000.00 FLEXTRONICS INTL L 5.00 13-23 15/02S 204,924.00 0.13
200,000.00 CENOVUS ENERGY INC 5.70 10-19 15/10S 204,646.00 0.13 Spain 877,001.50 0.56
30,000.00 THOMSON REUTERS CO 4.70 09-19 15/10S 30,527.70 0.02
200,000.00 CANADIAN NATL RESO FL.R 17-23 15/01S 193,020.00 0.12 200,000.00 TELEFONICA EMIS SA 5.462 11-21 16/02S 208,760.00 0.13
150,000.00 ENBRIDGE 2.90 17-22 15/07S 145,528.50 0.09 300,000.00 TELEFONICA EMISIONES 5.134 10-20 27/04S 308,445.00 0.20
100,000.00 FORTIS INC 2.10 17-21 04/10S 95,528.00 0.06 350,000.00 TELEFONICA EMIS SA 4.57 13-23 27/04S 359,796.50 0.23
200,000.00 THOMSON REUTERS CO 3.95 11-21 30/09S 202,162.00 0.13 United Kingdom 4,829,515.98 3.11
70,000.00 NUTRIEN 4.875 18-20 30/03S 71,397.20 0.05
126,000.00 RBS 5.625 10-20 24/08S 130,096.26 0.08
Cayman Islands 941,962.57 0.61 200,000.00 BARCLAYS BANK 5.14 10-20 14/10S 205,418.00 0.13
422,000.00 VALE OVERSEAS 4.375 12-22 11/01S 426,304.40 0.28 150,000.00 VODAFONE GROUP 4.375 11-21 16/03S 153,415.50 0.10
200,000.00 JD. COM INC 3.125 16-21 29/04S 193,968.00 0.12 234,000.00 WPP FINANCE 4.75 12-21 21/11S 239,517.72 0.15
123,000.00 SEAGATE HDD CAYMAN 4.25 17-22 01/03S 122,236.17 0.08 600,000.00 RBS 6.125 12-22 15/12S 627,588.00 0.39
200,000.00 SEAGATE HDD CAYMAN 4.75 13-23 01/06S 199,454.00 0.13 400,000.00 VODAFONE GROUP 2.95 13-23 19/02S 385,808.00 0.25
350,000.00 RBS 6.10 13-23 10/06S 364,787.50 0.24
Colombia 209,376.00 0.13
400,000.00 BARCLAYS BANK PLC 2.75 14-19 08/11S 398,376.00 0.26
200,000.00 BANCOLOMBIA 5.95 11-21 03/06S 209,376.00 0.13 300,000.00 SANTANDER UK 2.875 15-20 16/10S 296,214.00 0.19
France 696,894.00 0.45 300,000.00 BARCLAYS PLC 3.25 16-21 12/01S 296,088.00 0.19
200,000.00 BARCLAYS PLC 2.875 15-20 08/06S 197,914.00 0.13
200,000.00 ORANGE 4.125 11-21 14/09S 204,464.00 0.13
300,000.00 SANTANDER UK 2.875 16-21 05/08S 292,113.00 0.19
500,000.00 ORANGE SA 1.625 16-19 03/11S 492,430.00 0.32
200,000.00 BARCLAYS PLC 3.20 16-21 10/08S 196,330.00 0.13
Guernsey 1,686,907.00 1.09 400,000.00 TRINITY ACQUISITIO 3.50 16-21 15/09S 396,096.00 0.26
300,000.00 CS GR FUNDING 2.75 15-20 26/03S 297,264.00 0.19 300,000.00 BARCLAYS PLC 3.684 17-23 10/01S 292,215.00 0.19
500,000.00 CS GR FUNDING 3.80 16-22 15/09S 497,150.00 0.33 364,000.00 AON PLC 2.80 15-21 15/03S 357,539.00 0.23
300,000.00 CS GR FUNDING 3.45 16-21 16/04S 298,710.00 0.19 United States of America 126,203,308.47 81.31
350,000.00 CS GR FUNDING 3.80 16-23 09/06S 345,810.50 0.22
174,000.00 INTL PAPER CO 7.50 09-21 15/08S 192,120.36 0.12
250,000.00 CRED SUIS GP FUN L 3.125 16-20 10/12S 247,972.50 0.16
200,000.00 CREDIT SUISSE 5.40 10-20 14/01S 205,146.00 0.13
Ireland 2,786,519.82 1.80 174,000.00 LIFE TECHNOLOGIES6.00 10-20 01/03S 180,126.54 0.12
150,000.00 AERCAP IRELAND CAP 4.25 15-20 01/07S 151,510.50 0.10 550,000.00 EL PASO PIPELINE 6.50 10-20 01/04S 574,282.50 0.37
200,000.00 AERCAP IRELAND CAP 4.625 15-20 30/10S 203,758.00 0.13 200,000.00 DISCOVERY COMM. 5.05 10+20 01/06S 205,382.00 0.13
350,000.00 AERCAP IRELAND CAP 3.95 16-22 01/02S 349,090.00 0.22 370,000.00 WASTE MANAGEMENT 4.75 10-20 30/06S 379,612.60 0.24
200,000.00 AERCAP IRELAND CAP 3.5 17-22 26/05S 196,172.00 0.13 400,000.00 TIME WARNER INC 4.70 10-21 15/01S 410,864.00 0.26
388,000.00 JOHNSON CONTROL 5.00 16-20 30/03S 397,075.32 0.26 400,000.00 CNA FINANCIAL 5.875 10-20 15/08S 417,492.00 0.27

The accompanying notes form an integral part of these financial statements

178
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
200,000.00 CBS CORP 4.30 10-21 15/02S 202,852.00 0.13 150,000.00 MACYS RETAIL HLDG 2.875 12-23 15/02S 141,912.00 0.09
400,000.00 DOW CHWMICAL 4.25 10-20 05/11S 407,348.00 0.26 150,000.00 MOTOROLA SOLUTIONS 3.75 12-22 15/05S 148,710.00 0.10
200,000.00 AUTOZONE 4.00 10-20 15/11S 202,542.00 0.13 350,000.00 JPMORGAN CHASE SUB 3.375 13-23 01/05S 343,196.00 0.22
200,000.00 TIME WARNER CABLE 4.125 10-21 15/02 201,629.98 0.13 300,000.00 CITIGROUP 3.50 13-23 15/05S 295,773.00 0.19
200,000.00 AMERICAN INTL GRP 6.40 10-20 15/12S 212,754.00 0.14 300,000.00 MORGAN STANLEY 4.10 13-23 22/05S 301,614.00 0.19
50,000.00 PLAINS ALL AMERICAN P 5.00 11-21 01/02S 51,163.00 0.03 150,000.00 JEFFERIES GROUP 6.875 10-21 15/04S 160,795.50 0.10
500,000.00 FORD MOTOR CREDIT 5.75 11-21 01/02S 518,915.00 0.33 200,000.00 WELLPOINT 3.70 11-21 15/08S 201,116.00 0.13
900,000.00 THERMO FISHER 4.50 11-21 01/03S 923,490.00 0.60 300,000.00 HEWLETT PACKARD 3.75 10-20 01/12S 302,313.00 0.19
243,000.00 HARTFORD FIN SVCS 5.50 10-20 30/03S 250,610.76 0.16 100,000.00 MC KESSON 2.85 13-23 15/03S 95,583.00 0.06
200,000.00 REPUBLIC SERVICES 4.75 11-23 15/05S 208,760.00 0.13 200,000.00 JABIL INC 4.70 12-22 15/09S 203,340.00 0.13
120,000.00 XEROX 4.50 11-21 15/05S 120,465.60 0.08 200,000.00 CONTINENTAL RESOURCES 4.25 13-23 15/04S 203,484.00 0.13
300,000.00 VALERO ENERGY CORP 6.125 10-20 01/02S 311,247.00 0.20 300,000.00 EOG RESOURCES INC 2.625 12-23 15/03S 288,960.00 0.19
100,000.00 PUGET ENERGY 6.50 10-20 15/12S 105,952.00 0.07 100,000.00 AMERICAN INTL GROUP 3.375 13-20 15/08S 100,071.00 0.06
400,000.00 FORD MOTOR CREDIT 5.875 11-21 02/08S 417,940.00 0.27 300,000.00 AUTOZONE 2.875 12-23 15/01S 290,190.00 0.19
200,000.00 INTL PAPER CO 4.75 11-22 15/02S 207,146.00 0.13 150,000.00 ZOETIS 3.25 13-23 01/02S 147,387.00 0.09
408,000.00 ECOLAB 4.35 11-21 08/12S 419,913.60 0.27 300,000.00 CITIGROUP 4.05 13-22 30/07S 302,871.00 0.20
850,000.00 TIME WARNER CABLE 4.00 11-21 01/09S 854,437.00 0.56 300,000.00 FISERV INC 3.50 12-22 01/10S 298,038.00 0.19
400,000.00 NEWMONT MINING 3.50 12-22 15/03S 396,408.00 0.26 463,000.00 EATON CORP 2.75 13-22 02/11S 449,151.67 0.29
400,000.00 HEWLETT PACKARD 4.05 12-22 15/09S 404,660.00 0.26 100,000.00 TOTAL SYSTEM SERVICE 3.75 13-23 01/06S 99,304.00 0.06
100,000.00 APPALACHIAN POWER CO 4.60 11-21 30/03S 102,575.00 0.07 200,000.00 ENERGY TRANSFER PAR 3.60 13-23 01/02S 196,402.00 0.13
323,000.00 KINDER MORGAN ENER P 4.15 11-01 01/03S 326,750.03 0.21 70,000.00 ROCK-TENN CO 4.90 13-22 01/03S 72,489.90 0.05
200,000.00 VIACOM 3.875 11-21 15/12S 200,447.98 0.13 200,000.00 DDR 4.625 12-22 15/07S 204,478.00 0.13
400,000.00 PLAINS ALL.AMER 3.65 12-22 01/06S 394,872.00 0.25 202,000.00 WILLIAMS PARTNERS 5.25 10-20 15/03S 207,365.12 0.13
200,000.00 GENERAL MILLS 3.150 11-21 15/12S 197,872.00 0.13 600,000.00 VENTAS REALTY 2.70 13-20 01/04S 594,474.00 0.38
130,000.00 BEST BUY CO 5.50 11-21 15/03S 135,612.10 0.09 150,000.00 LINCOLN NATIONAL 4.20 12-22 15/03S 152,505.00 0.10
150,000.00 OMNICOM GROUP 3.625 12-22 01/05S 149,173.50 0.10 400,000.00 BOSTON PROPERTY 4.125 10-21 15/05S 406,684.00 0.26
200,000.00 DOW CHEMICAL 4.125 11-21 15/11S 204,678.00 0.13 200,000.00 ENTERPRISE PRODUCTS 4.05 11-22 15/02S 202,946.00 0.13
300,000.00 DEVON ENERGY 3.25 12-22 15/05S 294,471.00 0.19 250,000.00 OWENS CORNING 4.20 12-22 15/12S 250,977.47 0.16
100,000.00 DISCOVERY COMM. 3.30 12-22 15/05S 97,972.00 0.06 300,000.00 MC KESSON 2.70 12-22 15/12S 287,151.00 0.18
100,000.00 MACYS 3.875 12-22 14/01S 99,667.00 0.06 450,000.00 ENERGY TRANSFER 4.65 11-21 01/06S 460,710.00 0.30
315,000.00 APACHE CORP 3.25 12-22 15/04S 310,208.85 0.20 400,000.00 KINDER MORGAN ENERGY 3.50 14-21 01/03S 400,831.96 0.26
100,000.00 KELLOGG CO 3.125 12-22 17/05S 98,505.00 0.06 100,000.00 WESTERN GAS 4.00 12-22 01/07S 99,625.00 0.06
200,000.00 SERVICES REPUBLIC 3.55 12-22 01/06S 199,880.00 0.13 300,000.00 BOSTON PROPERTIES LP 3.85 12-23 01/02S 300,927.03 0.19
200,000.00 AMERICAN INTL GROUP 4.875 12-22 01/06S 208,312.00 0.13 300,000.00 SABINE PASS 5.625 14-23 15/04S 319,176.00 0.21
100,000.00 FEDEX 2.625 12-22 01/08S 96,909.00 0.06 200,000.00 DUKE REALTY 3.875 12-22 15/10S 201,124.00 0.13
250,000.00 TIME WARNER 3.40 12-22 15/06S 247,487.50 0.16 100,000.00 NASDAQ OMX GROUP 5.55 10-20 15/01S 102,982.00 0.07
200,000.00 CAMPBELL SOUP CO 2.50 12-22 02/08S 189,978.00 0.12 70,000.00 CARDINAL HEALTH 4.625 10-20 15/12S 71,634.50 0.05
200,000.00 PRUDENTIAL FINANCIAL 5.875 12-42 15/09S 212,018.00 0.14 100,000.00 REGENCY ENERGY 5.00 14-22 01/10S 103,685.00 0.07
200,000.00 THERMO FISHER 3.15 12-23 15/01S 195,792.00 0.13 300,000.00 WALGREENS BOOTS 3.30 14-21 18/11S 298,452.00 0.19
300,000.00 WALGREEN 3.10 12-22 15/09S 293,451.00 0.19 300,000.00 WALLGREENS BOOTS 2.70 14-19 18/11S 298,929.00 0.19
400,000.00 WASTE MANAGEMENT 2.90 12-22 15/09S 392,008.00 0.25 100,000.00 KINDER MORGAN INC 3.05 14-19 01/12S 99,889.00 0.06
500,000.00 MS EMTN SUB SERIE -F- 4.875 12-22 01/11S 517,820.00 0.33 323,000.00 EASTMAN CHEMICAL 2.70 14-20 15/01S 321,239.65 0.21
200,000.00 MARATHON OIL 2.80 12-22 01/11S 192,546.00 0.12 250,000.00 XYLEM 4.875 12-21 01/10S 258,477.50 0.17
100,000.00 DOW CHEMICAL 3.00 12-22 15/11S 97,538.00 0.06 200,000.00 KROGER 2.95 14-21 01/11S 196,724.00 0.13
500,000.00 CVS CAREMARK 2.75 12-22 01/12S 481,330.00 0.31 300,000.00 SABINE PASS 5.625 14-21 01/02S 312,132.00 0.20
300,000.00 NATIONAL OILWELL 2.60 12-22 01/12S 285,945.00 0.18 200,000.00 PLAINS ALL AMERICAN 2.60 14-19 15/12S 198,412.00 0.13
200,000.00 HCP 2.625 12-20 01/02S 198,284.00 0.13 500,000.00 GENERAL MOTORS 3.15 15-20 15/01S 499,245.00 0.32
500,000.00 KRAFT FOODS 3.50 12-22 06/06S 496,595.00 0.32 300,000.00 NORFOLK SOUTHERN 2.903 13-23 15/02S 292,323.00 0.19
200,000.00 EXPRESS SCRIPTS HDG 3.90 12-22 15/02S 201,162.00 0.13 320,000.00 D.R. HORTON 4.00 15-20 15/02S 322,032.00 0.21
100,000.00 CONAGRA FOODS 3.20 13-23 25/01S 97,377.00 0.06 200,000.00 ARROW ELECTRONICS 3.50 15-22 01/04S 196,626.00 0.13
300,000.00 TYSON FOODS 4.50 12-22 15/06S 308,907.00 0.20 400,000.00 FEDEX 2.30 15-20 01/02S 396,348.00 0.26
500,000.00 PHILLIPS 66 4.30 12-22 01/04S 513,915.00 0.33 650,000.00 WILLIAMS PARTNERS 3.60 15-22 15/03S 646,314.50 0.42
250,000.00 CAPITAL ONE BANK 3.375 13-23 15/02S 243,070.00 0.16 300,000.00 CITIGROUP 2.40 15-20 18/02S 296,997.00 0.19
200,000.00 QVC INC 5.125 12-22 02/07S 202,974.00 0.13 300,000.00 CA INC 5.375 09-19 01/12S 306,849.00 0.20
400,000.00 WELLPOINT 3.125 12-22 15/05S 393,448.00 0.25 300,000.00 ROPER 3.125 12-22 15/11S 293,454.00 0.19
300,000.00 CROWN CASTLE INTL 5.25 13-23 15/01S 314,634.00 0.20 200,000.00 EBAY 2.875 14-21 01/08S 196,920.00 0.13
200,000.00 HEALTH CARE REIT 3.75 12-23 15/03S 198,516.00 0.13 200,000.00 ZIMMER HOLDINGS INC 3.15 15-22 01/04S 195,980.00 0.13

The accompanying notes form an integral part of these financial statements

179
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
300,000.00 AT T INC 2.45 15-20 30/06S 296,004.00 0.19 400,000.00 MASCO CORP 3.50 16-21 01/04S 398,216.00 0.26
1,200,000.00 AT T INC 3.00 15-22 30/06S 1,169,592.00 0.76 400,000.00 KRAFT HEINZ FOODS 2.80 16-20 02/07S 395,904.00 0.26
200,000.00 GENERAL MOTORS 3.45 15-22 10/04S 196,582.00 0.13 700,000.00 CROWN CASTLE INTL 2.25 16-21 01/09S 672,749.00 0.43
100,000.00 SYNCHRONY FINANCIAL 3.75 14-21 15/08S 99,154.00 0.06 200,000.00 CVS HEALTH 2.125 16-21 01/06S 193,014.00 0.12
895,000.00 ABBVIE 2.50 15-20 14/05S 884,868.60 0.58 385,000.00 ENTERPRISE PRODUCTS 2.85 16-21 15/04S 380,052.75 0.24
700,000.00 ABBVIE 3.20 15-22 06/11S 687,841.00 0.44 100,000.00 CONSOLIDATED EDISO 2.00 16-21 15/05S 96,646.00 0.06
200,000.00 BOSTON SCIENTIFIC 2.85 15-20 15/05S 198,276.00 0.13 600,000.00 CITIGROUP INC 2.350 16-21 02/08S 581,364.00 0.37
350,000.00 LAB CORP AMER HLDGS 3.20 15-22 01/02S 345,793.00 0.22 423,000.00 ARES CAPITAL CORP 3.625 16-22 19/01S 413,567.10 0.27
100,000.00 AMGEN 2.125 15-20 01/05S 98,423.00 0.06 300,000.00 KRAFT HEINZ FOODS 3.50 16-22 15/07S 298,131.00 0.19
150,000.00 REYNOLDS AMERICAN 3.25 15-20 12/06S 149,713.50 0.10 100,000.00 THERMO FISHER 3.00 16-23 15/04S 96,981.00 0.06
100,000.00 AMERICAN TOWER 5.90 11-21 01/11S 106,438.00 0.07 1,000,000.00 DUKE ENERGY CORP 1.80 16-21 01/09S 956,360.00 0.63
200,000.00 EQT CORP FL.R 11-21 15/11S 205,364.00 0.13 300,000.00 AT&T INC 5.20 16-20 15/03S 308,811.00 0.20
50,000.00 DISCOVER BANK 3.10 15-20 04/06S 49,677.50 0.03 300,000.00 SYSCO CORPORATION 2.50 16-21 15/07S 293,424.00 0.19
200,000.00 CVS HEALTH CORP 3.50 15-22 20/07S 198,518.00 0.13 400,000.00 CITIGROUP INC 2.90 16-21 08/12S 391,640.00 0.25
100,000.00 CRH AMERICA 5.75 10-21 15/01S 104,560.00 0.07 400,000.00 CHARTER COM OPERATING 4.464 16-22 27/03S 406,548.00 0.26
200,000.00 CVS HEALTH CORP 2.80 15-20 20/07S 198,192.00 0.13 100,000.00 GENERAL MOTORS 2.35 16-19 04/10S 99,312.00 0.06
500,000.00 CELGENE 3.55 15-22 15/08S 498,255.00 0.32 400,000.00 CHARTER COM OPER 3.579 16-20 23/07S 400,172.00 0.26
300,000.00 CELGENE 2.875 15-20 15/08S 297,948.00 0.19 300,000.00 ABBOTT LABORATORIES 2.55 15-22 15/03S 291,375.00 0.19
400,000.00 BIOGEN 3.625 15-22 15/09S 400,880.00 0.26 400,000.00 SOUTHERN CO 2.35 16-21 01/07S 387,732.00 0.25
50,000.00 MARRIOTT INTL 2.875 15-21 01/03S 49,313.50 0.03 200,000.00 KROGER 1.50 16-19 30/09S 197,144.00 0.13
400,000.00 CITIGROUP 2.65 15-20 26/10S 394,552.00 0.25 300,000.00 STRYKER 2.625 16-21 15/03S 295,341.00 0.19
300,000.00 MACDONALDS 2.625 11-22 15/01S 292,161.00 0.19 346,000.00 SEMPRA ENERGY 1.625 16-19 07/10S 341,014.14 0.22
200,000.00 ANTHEM 4.35 10-20 15/08S 203,914.00 0.13 300,000.00 AT T 5.875 16-19 01/10S 308,478.00 0.20
250,000.00 ENTERPRISE PRODS 5.20 10-20 01/09S 258,920.00 0.17 500,000.00 FORD MOTOR CREDIT 3.2 15-21 15/01U 492,140.00 0.32
200,000.00 KLA-TENCOR CORP 4.125 14-21 01/11S 203,144.00 0.13 50,000.00 ANALOG DEVICES 2.50 16-21 05/12S 48,385.50 0.03
600,000.00 PIONEER NAT RES CO 3.45 15-21 15/01S 599,418.00 0.39 600,000.00 ABBOTT LABORATORIE 2.9 16-21 30/11S 592,002.00 0.38
400,000.00 21ST CENTURY FOX A 4.5 11-21 15/02S 411,156.00 0.26 650,000.00 GENERAL MOTORS FIN CO 3.45 17-22 14/01S 640,646.50 0.41
250,000.00 BIOGEN INC 2.90 15-20 15/09S 248,735.00 0.16 400,000.00 DELTA AIR LINES 3.625 17-22 15/03S 395,116.00 0.25
300,000.00 HUMANA INC 2.625 14-19 01/10 298,818.00 0.19 500,000.00 INTL LEASE FINANCE 8.625 11-22 15/01S 568,010.00 0.37
200,000.00 BECTON DICKINSON A 3.125 11-21 08/11 196,762.00 0.13 500,000.00 AMPHENOL CORP 2.20 17-20 01/04S 491,675.00 0.32
300,000.00 MC DONALD 2.75 15-20 09/12S 297,885.00 0.19 100,000.00 CA INC 3.60 17-22 15/08S 98,978.00 0.06
100,000.00 AMERICAN TOWER 3.30 16-21 15/02S 99,362.00 0.06 70,000.00 BLOCK FINANCIAL LL 4.125 15-20 01/10 70,604.79 0.05
240,000.00 CONTINENTAL RESOURCES 5.00 12-22 15/09S 243,470.40 0.16 200,000.00 XCEL ENERGY INC 2.40 16-21 15/03S 195,582.00 0.13
350,000.00 CITIGROUP INC 2.70 16-21 30/03S 343,931.00 0.22 100,000.00 LIBERTY PROPERTY L 4.75 10-20 01/10S 102,262.00 0.07
700,000.00 EXPRESS SCRIPT 3.30 16-21 25/02S 695,919.00 0.45 150,000.00 REGIONS FINANCIAL 3.20 16-21 08/02S 148,816.50 0.10
100,000.00 AT T 2.80 16-21 17/02S 98,472.00 0.06 400,000.00 AMERICAN TOWER 2.25 16-22 15/01S 382,044.00 0.25
300,000.00 EXELON CORP 2.45 16-21 15/04S 291,582.00 0.19 200,000.00 EMERA US FINANCE L 2.7 17-21 15/06S 194,158.00 0.13
150,000.00 LAM RESEARCH 2.80 16-21 15/06S 147,330.00 0.09 550,000.00 KEYCORP 2.90 15-20 15/09S 546,067.50 0.35
350,000.00 SOUTHERN CO 2.95 16-23 01/07S 335,989.50 0.22 300,000.00 DOMIMNION RESOURCES 2.75 17-22 15/01S 292,071.00 0.19
200,000.00 GENERAL MOTORS FIN 3.70 16-23 09/05S 195,376.00 0.13 300,000.00 FLIR SYSTEMS INC 3.125 16-21 15/06S 295,344.00 0.19
700,000.00 EBAY 3.80 16-22 09/03S 705,215.00 0.45 400,000.00 JM SMUCKER CO 2.50 15-20 15/03S 396,172.00 0.26
443,000.00 NEWELL RUBBERMAID 3.15 16-21 01/04S 435,699.36 0.28 200,000.00 DIGITAL REALTY TRU 5.875 10-20 01/02S 205,054.00 0.13
300,000.00 TOTAL SYSTEM SERVICES 3.80 16-21 01/04S 301,125.00 0.19 300,000.00 RYDER SYSTEM INC 2.25 16-21 01/09S 288,960.00 0.19
300,000.00 ENTERGY 4.00 15-22 15/07S 303,549.00 0.20 100,000.00 SUNTRUST BANK 2.90 16-21 03/03S 98,783.00 0.06
400,000.00 GENERAL MOTORS 3.20 16-21 06/07S 394,940.00 0.25 150,000.00 COLUMBIA PIPELINE 3.30 15-20 01/06S 149,742.00 0.10
100,000.00 AT T 3.60 16-23 17/02S 99,311.00 0.06 200,000.00 FIDELITY NATIONAL 2.25 16-21 15/08S 193,100.00 0.12
300,000.00 FORD MOTOR CREDIT 3.336 16-21 18/03S 295,599.00 0.19 200,000.00 HOST HOTELS RESO 6.00 12-21 01/10S 210,744.00 0.14
400,000.00 MARRIOTT INTL 2.30 16-22 15/01S 383,556.00 0.25 445,000.00 QUEST DIAGNOSTICS 2.50 15-20 30/03S 439,775.70 0.28
400,000.00 PSEG POWER LLC 3.00 16-21 15/06S 394,540.00 0.25 100,000.00 SANTANDER HLDGS 2.65 15-20 17/04S 98,677.00 0.06
500,000.00 AMERICAN INTL GROUP 3.30 16-21 01/03S 498,680.00 0.32 200,000.00 HOSPITALITY PROPER 4.25 16-21 15/02S 201,194.00 0.13
300,000.00 NEWELL RUBBERMAID 3.85 16-23 01/04S 293,526.00 0.19 250,000.00 NORDSTROM INC 4.00 11-21 15/10S 253,672.50 0.16
100,000.00 MARATHON OIL 2.70 15-20 01/06S 98,650.00 0.06 600,000.00 AMGEN INC 1.85 16-21 19/08S 575,796.00 0.37
200,000.00 GENERAL MOTORS 4.20 16-21 01/03S 202,690.00 0.13 50,000.00 ARES CAPITAL CORP 3.875 14-20 15/01S 50,216.00 0.03
200,000.00 ENTERPRISE PRODUCTS 2.55 14-19 15/10S 199,172.00 0.13 500,000.00 ZIMMER BIOMET 2.70 15-20 01/04S 495,105.00 0.32
300,000.00 ANADARKO PETROLEUM 4.85 16-21 15/03S 307,971.00 0.20 200,000.00 HUNTINGTON BANCSHA 3.15 16-21 14/03S 198,350.00 0.13
100,000.00 EXPRESS SCRIPTS HLDG 3.00 16-23 15/07S 96,359.00 0.06 200,000.00 DTE ENERGY CO 1.50 16-19 01/10S 196,820.00 0.13
600,000.00 ABBVIE INC 2.30 16-21 14/05S 583,770.00 0.38 150,000.00 GATX CORP 2.60 14-20 30/03S 148,093.50 0.10

The accompanying notes form an integral part of these financial statements

180
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
500,000.00 CAPITAL ONE NA 2.35 17-20 31/01S 494,370.00 0.32 800,000.00 CAPITAL ONE FIN CORP 2.50 17-20 12/05S 789,904.00 0.52
250,000.00 KELLOGG CO 4.00 10-20 15/12S 253,777.50 0.16 500,000.00 CITIGROUP INC 2.45 17-20 10/01S 495,585.00 0.32
250,000.00 EOG RESOURCES INC 4.10 10-21 01/02S 254,102.50 0.16 400,000.00 MARATHON PETROLEUM 3.40 15-20 15/12S 400,416.00 0.26
250,000.00 EOG RESOURCES INC 2.45 14-20 01/04S 247,560.00 0.16 300,000.00 BOSTON SCIENTIFIC 3.375 15-22 15/05S 296,457.00 0.19
250,000.00 CITIZENS BANK NA 2.55 16-21 13/05S 243,575.00 0.16 350,000.00 EVERSOURCE ENERGY 2.75 17-22 15/03S 342,541.50 0.22
300,000.00 KIMCO REALTY CORP 3.20 14-21 01/05S 296,904.00 0.19 200,000.00 GENERAL MILLS 2.20 14-19 21/10S 198,062.00 0.13
400,000.00 SOUTHERN POWER 1.95 16-19 15/12S 394,556.00 0.25 300,000.00 REPUBLIC SERVICES 5.00 10-20 01/03S 307,491.00 0.20
50,000.00 MOTOROLA SOLUTIONS 3.50 14-21 01/09S 49,541.00 0.03 250,000.00 SYNCHRONY 3.00 17-22 15/06S 239,552.50 0.15
500,000.00 FORD MOTOR CREDIT CO 3.339 17-22 28/03S 483,220.00 0.31 429,000.00 AIR LEASE CORP 2.125 16-20 15/01S 422,161.74 0.27
50,000.00 LABORATORY CORP OF 2.625 15-20 01/02S 49,628.50 0.03 200,000.00 ENBRIDGE ENERGY PA 4.20 11-21 15/09S 202,768.00 0.13
200,000.00 ROPER TECHNOLOGIES 2.80 16-21 15/12S 195,402.00 0.13 300,000.00 SUNTRUST BANKS 2.70 16-22 27/01S 291,288.00 0.19
200,000.00 PUBL SVCS ENTER 2.00 16-21 15/11S 190,540.00 0.12 150,000.00 SYNCHRONY FINANCIAL 2.70 15-20 03/02S 148,252.50 0.10
100,000.00 DOMINION RESOURCES FL.R 16-21 01/04S 101,076.00 0.07 300,000.00 CIGNA CORP 5.125 10-20 15/06S 309,090.00 0.20
300,000.00 FISERV INC 2.70 15-20 01/06S 297,435.00 0.19 100,000.00 ACTIVISION BLIZZARD 2.60 17-22 15/06S 96,828.00 0.06
300,000.00 VEREIT OPERATING 4.125 16-21 01/06S 302,559.00 0.19 293,000.00 KROGER CO 2.60 16-21 01/02S 287,222.04 0.19
250,000.00 OMNICOM GROUP INC 4.45 10-20 15/08S 255,157.50 0.16 171,000.00 ALEXANDRIA REAL ES 2.75 14-20 15/01S 169,481.52 0.11
950,000.00 HEWLETT PACKARD 3.60 16-20 15/10S 955,937.50 0.63 700,000.00 SUNOCO LOGISTICS P 4.40 15-21 01/04S 711,837.00 0.46
200,000.00 FORD MOTOR CREDIT 2.681 17-20 09/01S 197,908.00 0.13 145,000.00 MACYS RETAIL HLDGS 3.45 15-21 15/01S 144,238.75 0.09
50,000.00 TECH DATA 3.70 17-22 15/02S 49,048.00 0.03 200,000.00 DOMINION RESOURCES 2.00 16-21 15/08S 191,570.00 0.12
343,000.00 MOODY S CORP 2.75 17-21 15/12S 335,145.30 0.22 800,000.00 CITIGROUP GMH INC 2.75 17-22 25/04S 776,632.00 0.51
500,000.00 FIDELITY NAT REGS 3.625 15-20 15/10S 502,734.95 0.32 400,000.00 FIFTH THIRD BANCOR 2.6 17-22 15/06S 385,008.00 0.25
500,000.00 BECTON DICKINSON CO 2.894 17-22 06/06S 485,850.00 0.31 100,000.00 NORFOLK SOUTHERN CORP 3.25 11-21 01/12S 99,604.00 0.06
300,000.00 SHERWIN-WILLIAMS CO 2.25 17-20 15/05S 295,704.00 0.19 100,000.00 CROWN CASTLE INTL 4.875 14-22 15/04S 103,057.00 0.07
200,000.00 CONSTELLATION BRANDS 2.70 17-22 09/05S 192,968.00 0.12 300,000.00 CARDINAL HEALTH IN 2.616 17-22 15/06S 287,058.00 0.18
300,000.00 EXELON CORP 3.497 17-22 01/06S 294,801.00 0.19 100,000.00 AIR LEASE CORP 3.375 16-21 01/06S 99,333.00 0.06
200,000.00 HEWLETT PACKARD 4.40 16-22 15/10S 204,966.00 0.13 200,000.00 PPL CAPITAL FUNDING 4.20 12-22 15/06S 202,952.00 0.13
700,000.00 AMGEN 2.65 17-22 11/05S 679,791.00 0.44 100,000.00 SELECT INCOME REIT 4.15 15-22 01/02S 99,161.00 0.06
500,000.00 GENERAL MOTORS FIN 3.15 17-22 30/06S 485,885.00 0.31 162,000.00 WELLTOWER INC 4.95 10-21 15/01S 166,088.88 0.11
100,000.00 EBAY 2.15 17-20 05/06S 98,320.00 0.06 200,000.00 L-3 COMMUNICATIONS 4.95 11-21 15/02S 205,798.00 0.13
300,000.00 HEALTHCARE TR 2.95 17-22 01/07S 289,902.00 0.19 422,000.00 CINTAS CORPORATION 2.90 17-22 01/04S 412,500.78 0.27
300,000.00 CBS CORP 2.50 17-23 15/02S 282,738.00 0.18 200,000.00 TYSON FOODS 2.25 17-21 23/08S 192,542.00 0.12
400,000.00 SHERWIN-WILLIAMS C 2.75 17-22 01/06S 387,752.00 0.25 34,000.00 BAXALTA 3.60 15-22 23/06S 33,801.78 0.02
300,000.00 AMERICAN TOWER COR 3.45 14-21 15/09S 299,229.00 0.19 100,000.00 VMWARE 2.30 17-20 21/08S 97,858.00 0.06
320,000.00 DIGITAL REALTY TRU 3.95 15-22 01/07S 322,240.00 0.21 300,000.00 HCP 3.15 12-22 01/08S 292,020.00 0.19
1,500,000.00 VERIZON COMMUNICATION 3.125 17-22 16/03S 1,484,745.00 0.97 120,000.00 GOV PRT IN TRST 4.00 17-22 15/07S 118,546.80 0.08
1,000,000.00 AT T 3.20 17-22 01/03S 984,880.00 0.64 300,000.00 ERP OPERATING LP 2.979 17-22 03/08S 284,466.00 0.18
250,000.00 HUNTINGTON BANCSHS 2.30 16-22 14/01S 239,292.50 0.15 300,000.00 NOBLE ENERGY 4.15 11-21 15/12S 303,624.00 0.20
300,000.00 MCDONALD'S CORP 2.20 15-20 26/05S 295,806.00 0.19 420,000.00 VMWARE INC 2.950 17-22 21/08S 404,968.20 0.26
400,000.00 BECTON DICKINSON 2.404 17-20 05/06S 393,704.00 0.25 300,000.00 MCCORMICK & CO 2.70 17-22 15/08S 290,493.00 0.19
700,000.00 CAPITAL ONE FIN 2.00 17-22 09/03S 684,831.00 0.44 100,000.00 CELGENE CORP 2.25 17-21 15/08S 96,591.00 0.06
400,000.00 CNH INDUSTRIAL CAP 4.375 17-22 05/04S 404,900.00 0.26 100,000.00 BEAM SUNTORY INC 3.25 12-22 15/05S 98,168.00 0.06
400,000.00 ROCKWELL COLLINS I 2.8 17-22 15/2017S 389,856.00 0.25 200,000.00 WEC ENERGY GROUP I 2.45 15-20 15/06S 197,616.00 0.13
250,000.00 CITIZENS BANK 2.65 17-22 26/05S 240,605.00 0.16 800,000.00 BAT CAPITAL CORP 2.764 17-22 15/08S 771,280.00 0.50
250,000.00 DISCOVER BANK 3.20 14-21 09/08S 246,432.50 0.16 200,000.00 DIGITAL REALTY TRU 3.40 16-20 01/10S 199,800.00 0.13
300,000.00 FIRSTENERGY CORP 3.12 17-22 15/07S 290,487.00 0.19 300,000.00 KINDER MORGAN INC 3.15 17-23 15/01S 291,825.00 0.19
300,000.00 THE WESTERN UNION 3.60 17-22 15/03S 296,889.00 0.19 100,000.00 DEUTSCHE BANK D 2.70 17-20 13/07S 97,906.00 0.06
200,000.00 CIGNA CORP 4.50 11-21 15/03S 204,266.00 0.13 200,000.00 VIACOM INC 5.625 09-19 15/09S 204,930.00 0.13
343,000.00 GENERAL MOTOR FIN CO 2.65 17-20 13/04S 339,395.07 0.22 200,000.00 PUBLIC SERVICE 1.60 16-19 15/11S 196,656.00 0.13
273,000.00 FORTIVE 2.35 17-21 15/06S 263,832.66 0.17 400,000.00 REGIONS FINANCIAL 2.75 17-22 14/08S 385,536.00 0.25
200,000.00 TAPESTRY 3 17-22 15/07S 192,780.00 0.12 200,000.00 BUNGE LTD FIN CORP 3.00 17-22 25/09S 191,214.00 0.12
150,000.00 ONEOK PARTNERS LP 3.80 15-20 15/03S 150,592.50 0.10 300,000.00 DISCOVERY COMMUNIC 2.950 17-23 20/03S 287,076.00 0.18
243,000.00 EXELON GENERATION 3.40 17-22 15/03S 240,589.44 0.15 250,000.00 CELGENE CORP 2.75 17-23 15/02S 239,820.00 0.15
120,000.00 BAXALTA 2.875 16-20 23/06S 118,946.40 0.08 200,000.00 CITIGROUP 2.70 17-22 27/10S 192,338.00 0.12
400,000.00 EXELON GENERATION CO 2.95 15-20 15/01S 398,764.00 0.26 150,000.00 KROGER CO 2.80 17-22 01/08S 145,108.50 0.09
343,000.00 RYDER SYSTEM INC 2.80 17-22 01/03S 334,404.42 0.22 250,000.00 SL GREEN OPERATING 3.25 17-22 15/10S 242,165.00 0.16
500,000.00 AMGEN 2.20 17-20 11/05S 492,940.00 0.32 500,000.00 DEUTSCHE BANK AG NY 3.30 17-22 16/11S 475,330.00 0.31
200,000.00 FORD MOTOR CREDIT 2.597 14-19 04/11S 198,216.00 0.13 150,000.00 XEROX CORP 3.625 17-23 15/03S 142,900.50 0.09

The accompanying notes form an integral part of these financial statements

181
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
200,000.00 ANTHEM INC 2.95 17-22 01/12S 194,420.00 0.13 150,000.00 DOLLAR TREE 3.7000 18-23 15/05S 148,027.50 0.10
400,000.00 FORD MOTOR CREDIT 2.425 17-20 12/06S 391,620.00 0.25 300,000.00 DEUTSCHE BANK AG 3.375 18-21 12/05S 293,052.00 0.19
250,000.00 HUMANA INC 2.90 17-22 15/12S 242,182.50 0.16 250,000.00 L3 TECHNOLOGIES 3.8500 18-23 15/06S 250,480.00 0.16
500,000.00 MOLSON COORS BREWING 2.25 17-20 15/03S 492,505.00 0.32 100,000.00 CROWN CASTLE INTL 3.15 18-23 15/07S 96,190.00 0.06
1,350,000.00 CVS HEALTH CORP 3.70 18-23 09/03S 1,344,087.00 0.88 600,000.00 DEUTSCHE BANK AG 4.25 18-21 14/10S 596,124.00 0.38
500,000.00 CVS HEALTH CORP 3.35 18-21 09/03S 498,860.00 0.32 200,000.00 RELX CAPITAL INC 3.50 18-23 16/03S 197,578.00 0.13
300,000.00 DEUTSCHE BANK 3.15 18-21 22/01S 292,845.00 0.19 300,000.00 BAT CAPITAL CORP 2.297 17-20 14/08S 294,051.00 0.19
200,000.00 CONSTELLATION BRANDS 2.65 17-22 07/11S 191,134.00 0.12 150,000.00 ALEXANDRIA REAL EST 3.90 13-23 15/06S 150,556.50 0.10
200,000.00 AIR LEASE CORP 2.75 17-23 15/01S 189,778.00 0.12 200,000.00 MPLX LP 3.375 18-23 15/03S 195,830.00 0.13
100,000.00 EXPRESS SCRIPTS HOL 3.05 17-22 30/11S 96,967.00 0.06 200,000.00 FORD MOTOR CRED 3.8130 18-21 12/10S 198,268.00 0.13
350,000.00 NEXTERA ENERGY CAP 2.80 17-23 15/01S 338,289.00 0.22 200,000.00 AGILENT TECHNOLOGIES 3.875 13-23 15/07S 200,030.00 0.13
100,000.00 GENERAL MOTORS FINL 3.25 18-23 05/01S 96,493.00 0.06 400,000.00 DTE ENERGY CO 3.7000 18-23 01/08S 399,320.00 0.26
150,000.00 EQT CORP 3.00 17-22 01/10S 145,515.00 0.09 150,000.00 MOTOROLA SOLTN 3.50 13-23 01/03S 145,891.50 0.09
200,000.00 BERKLEY (WR) CORPO 4.625 12-22 15/03S 205,324.00 0.13 200,000.00 CSX CORP 3.70 10-20 30/10S 201,604.00 0.13
100,000.00 SOUTHWEST AIRLINES 2.75 17-22 16/11S 96,788.00 0.06 150,000.00 VENTAS REALTY 3.1 17-23 29/03S 145,435.50 0.09
300,000.00 SEMPRA ENERGY 2.90 18-23 01/02S 289,791.00 0.19 200,000.00 KRAFT HEINZ 4.0 18-23 15/06S 200,570.00 0.13
100,000.00 CELANESE US HOLDIN 4.625 12-22 15/11S 102,023.00 0.07 100,000.00 WHIRLPOOL CORP 4.7000 12-22 01/06S 103,154.00 0.07
200,000.00 AMERICAN ELECTRIC POW 2.15 17-20 13/11S 195,368.00 0.13 100,000.00 JM SMUCKER 3.00 15-22 15/03S 97,816.00 0.06
300,000.00 DISCOVER BANK 3.35 18-23 06/02S 291,189.00 0.19 400,000.00 FORD MOTOR CREDIT CO 4.14 18-23 15/02S 393,352.00 0.25
600,000.00 BROADCOM CORP 2.375 18-20 15/01S 592,950.00 0.38 650,000.00 UNION PACIFIC CORP 3.5 18-23 08/06S 648,303.50 0.42
200,000.00 HARTFORD FINL SVCS 5.125 12-22 15/04S 209,872.00 0.14 300,000.00 CENTERPOINT ENERGY 2.50 17-22 01/09S 286,827.00 0.18
200,000.00 FORD MOTOR 3.47 18-21 05/03S 197,370.00 0.13 200,000.00 E TRADE FINANCIAL 2.950 17-22 24/08S 193,430.00 0.12
100,000.00 EQT CORP 2.50 17-20 01/10S 97,721.00 0.06 200,000.00 DISCOVERY COMMU 3.2500 13-23 01/04S 192,796.00 0.12
350,000.00 GENERAL MOTORS FINL CO 2.45 17-20 11/06S 342,671.00 0.22 200,000.00 UNITED TECHNOLO 3.3500 18-21 16/08S 199,798.00 0.13
300,000.00 SANTANDER HOLD USA 3.70 17- 296,112.00 0.19 200,000.00 DEUTSCHE BK 3.125 18-21 13/01S 195,030.00 0.13
400,000.00 CAPITAL ONE 3.20 18-23 30/01S 387,828.00 0.25 250,000.00 GENERAL MILLS 3.2 18-21 17/04S 248,510.00 0.16
100,000.00 ECOLAB 3.25 16-23 14/01S 98,827.00 0.06 200,000.00 BOARDWALK 3.375 12-23 09/11S 193,334.00 0.12
500,000.00 BROADCOM CORP 3.00 18-22 15/01S 486,810.00 0.31 300,000.00 EQUIFAX INC 3.95 18-23 15/06S 298,056.00 0.19
200,000.00 BROADCOM CORP 2.2 18-21 15/01S 193,718.00 0.12 200,000.00 MARKEL 4.9 12-22 02/07S 207,190.00 0.13
200,000.00 SANTANDER HOLD USA 3.40 17-23 01/18S 192,902.00 0.12 300,000.00 ZOETIS 3.45 15-20 13/11S 301,185.00 0.19
400,000.00 ABBOTT LABORATORIES 2.80 17-20 15/09S 396,500.00 0.26 200,000.00 PUGET ENERGY INC 5.625 12-22 15/07S 211,504.00 0.14
350,000.00 CONSTELLATION BRANDS 3.20 18-23 15/02S 339,790.50 0.22 300,000.00 MONDELEZ INTERN INC 3.625 18-23 07/05S 298,224.00 0.19
150,000.00 XCEL ENERGY INC 2.60 16-22 15/03S 145,417.50 0.09 60,000.00 O REILLY 3.8 12-22 21/08S 60,175.20 0.04
200,000.00 ENTERPRISE PRODUCTS 2.80 18-21 15/02S 197,488.00 0.13 200,000.00 AXA EQUITABLE H 3.9000 18-23 20/04S 198,332.00 0.13
100,000.00 AEP TEXAS INC 2.4 17-22 01/10S 95,557.00 0.06 200,000.00 NATL RETAIL PROPERTIE 3.30 13-23 15/04S 194,610.00 0.13
200,000.00 CELGENE CORP 3.25 18-23 20/02S 195,972.00 0.13 250,000.00 CAPITAL ONE NAT ASS 2.65 17-22 08/08S 240,225.00 0.15
100,000.00 DEUTSCHE BANK NY 3.95 18-23 27/02S 97,202.00 0.06 Floating rate bonds 3,641,502.00 2.35
300,000.00 DELTA AIR LINES INC 2.6 17-20 04/12S 293,511.00 0.19
Canada 234,480.00 0.15
300,000.00 ONEOK PARTNERS LP 3.375 12-22 01/10S 295,773.00 0.19
200,000.00 BROADCOM CORP 2.65 18-23 15/01S 188,894.00 0.12 250,000.00 BANK OF NOVA SCOTIA FL.R 17-XX 12/04S 234,480.00 0.15
200,000.00 MOSAIC CO 3.25 17-22 15/11S 195,212.00 0.13 South Korea 196,832.00 0.13
300,000.00 MCDONALD'S CORP 3.35 18-23 01/04S 297,348.00 0.19
200,000.00 SHINHAN BANK SUB FL.R 16-26 07/12S 196,832.00 0.13
100,000.00 INGERSOLL-RAND 2.90 18-21 21/02S 98,818.00 0.06
200,000.00 CHURCH AND DWIGHT CO 2.45 17-22 01/08S 191,914.00 0.12 United Kingdom 1,124,374.50 0.72
200,000.00 ANDEAVOR LOGIS LP 3.50 17-22 01/12S 196,942.00 0.13 200,000.00 ROYAL BK OF SCOTLAND FL.R 17-23 15/05S 193,812.00 0.12
200,000.00 AMERICAN TOWER COR 4.7 12-22 15/03S 206,476.00 0.13 400,000.00 SANTANDER UK GROUP FL.R 18-24 05/01S 384,456.00 0.25
200,000.00 FIRST HORIZON NATI 3.50 15-20 15/12S 200,250.00 0.13 250,000.00 BARCLAYS PLC FL.R 18-24 16/05S 246,967.50 0.16
100,000.00 AIR LEASE 2.50 18-21 01/03S 97,690.00 0.06 300,000.00 ROYAL BK SCOTLN FL.R 18-24 25/06S 299,139.00 0.19
100,000.00 ANALOG 2.95 18-21 12/03S 99,092.00 0.06
United States of America 2,085,815.50 1.35
250,000.00 GENERAL MOTORS 4.15 18-23 19/06S 248,882.50 0.16
100,000.00 MOLSON COORS 2.10 16-21 15/07S 96,186.00 0.06 400,000.00 PRUDENTIAL FINANCIAL FL.R 12-43 15/06S 415,400.00 0.27
200,000.00 CAMPBELL SOUP 3.30 18-21 15/03S 198,622.00 0.13 200,000.00 SOUTHERN CO FL.R 16-57 15/03S 201,000.00 0.13
300,000.00 CVS HEALTH CORP 3.125 18-20 09/03S 299,841.00 0.19 50,000.00 AVNET INC FL.R 16-21 01/12S 49,882.50 0.03
200,000.00 CAMPBELL SOUP CO 3.65 18-23 15/03S 195,924.00 0.13 50,000.00 PRINCIPAL FINANCIA FL.R 15-55 15/05S 50,285.00 0.03
200,000.00 EQT MIDSTREAM P 4.7500 18-23 15/07S 203,036.00 0.13 400,000.00 CITIGROUP FL.R 17-23 24/07S 386,632.00 0.25
100,000.00 DELTA AIR LINES 3.8000 18-23 19/04S 98,156.00 0.06 100,000.00 ENTERPRISE PRODUCTS FL.R 17-77 16/08S 95,766.00 0.06
400,000.00 STARBUCKS 3.1 18-23 28/02 S 393,940.00 0.25 700,000.00 CITIGROUP INC FL.R 18-23 24/01S 686,182.00 0.45

The accompanying notes form an integral part of these financial statements

182
AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD
200,000.00 CITIGROUP INCFL.R 18-24 01/06S 200,668.00 0.13
Total securities portfolio 151,464,345.20 97.58

The accompanying notes form an integral part of these financial statements

183
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD

Long positions 9,281,248.30 99.76

Transferable securities admitted to an official stock exchange 6,845,540.66 73.58


listing
Bonds 6,845,540.66 73.58
United States of America 6,845,540.66 73.58

104,900.00 USA T.BDS INF.INDEXE 3.875 99-29 15/04S 207,250.57 2.23


86,900.00 USA TREASURY INF.INDX 3.625 98-28 15/04S 168,215.80 1.81
29,200.00 USA TREAS.BONDS(INDEX)3.375 01-32 15/04S 53,911.95 0.58
169,000.00 USA T NOTES INDEX 2.375 04-25 15/01S 246,289.85 2.65
127,100.00 USA T NOTES INDEX 2.00 06-26 15/01S 173,643.67 1.87
106,100.00 US TREASURY INDEXEE 2.375 07-27 15/01S 147,765.49 1.59
105,300.00 USA TREASURY NTS INDX 1.75 08-28 15/01S 135,662.27 1.46
95,100.00 US TREASURY INDEXEE 2.50 09-29 15/01S 128,393.94 1.38
124,300.00 US TREASURY INDEXEE 1.375 10-20 15/01S 145,933.22 1.57
104,900.00 USA T NOTES INDEX 2.125 10-40 15/02S 148,052.75 1.59
227,000.00 US TREASURY INDEXEE 1.25 10-20 15/07S 265,389.69 2.85
256,600.00 US TREASURY INDEXEE 1.125 11-21 15/01S 297,462.17 3.20
167,900.00 US TREASURY INDEXEE 2.125 11-41 15/02S 235,479.79 2.53
298,500.00 USA T NOTES INDEX 0.125 12-22 15/01S 324,236.42 3.48
169,000.00 US TREASURY INDEXEE 0.625 13-43 15/02S 168,667.39 1.81
300,000.00 USA T NOTES INDEX 0.375 13-23 15/07S 318,610.37 3.42
171,400.00 USA T NOTES INDEX 1.375 14-44 15/02S 198,918.01 2.14
310,600.00 US TREASURY INDEXEE 0.125 14-24 15/07S 316,793.09 3.41
309,800.00 USA T NOTES INDEX 0.25 15-25 15/01S 316,433.19 3.40
173,300.00 USA INDEX 0.75 15-45 15/02S 172,761.98 1.86
366,500.00 US TREASURY INDEXEE FL.R 15-20 15/04S 389,397.02 4.18
154,000.00 USA T NOTES INDEX 1.00 16-46 15/02S 161,907.83 1.74
281,700.00 USA T NOTES INDEX 0.125 16-26 15/07S 279,376.29 3.00
142,800.00 USA NTS INDEX 0.875 17-47 15/02S 142,828.03 1.54
296,800.00 USA T NOTES INDEX 0.375 17-27 15/01S 295,749.40 3.18
345,300.00 USA TREASURY INDEXED 0.125 17-22 15/04S 347,755.75 3.73
288,100.00 TSY INFL INDEXEE 0.375 17-27 15/07S 283,726.55 3.05
305,900.00 USA INFL. INDEX0.5 18-28 15/01S 300,034.32 3.22
261,700.00 TSY INFL IX N/B 0.625 18-23 15/04S 262,159.68 2.82
107,700.00 TSY INFL IX (CPURNSA) 1 18-48 15/02S 108,830.23 1.17
105,100.00 US TREASURY INDEX 0.75 18-28 15/07S 103,903.95 1.12
Transferable securities dealt in on another regulated market 2,435,707.64 26.18

Bonds 2,435,707.64 26.18


United States of America 2,435,707.64 26.18

258,200.00 US TREASURY INDEXEE 0.625 11-21 15/07S 288,011.48 3.10


167,000.00 US TREASURY INDEXEE 0.75 12-42 15/02S 175,181.24 1.88
301,200.00 USA T NOTES INDEX 0.125 12-22 15/07S 322,164.84 3.46
302,300.00 US TREASURY INDEXEE 0.125 13-23 15/01S 319,592.57 3.44
305,100.00 US TREASURY INDEXEE 0.625 14-24 15/01S 325,187.01 3.50
307,900.00 US TREASURY INDEXEE 0.375 15-25 15/07S 316,876.33 3.41
321,700.00 US TREASURY INDEXE 0.625 16-26 15/01S 333,982.68 3.59
340,500.00 USA T NOTES INDEX 0.125 16-21 15/04S 354,711.49 3.80
Total securities portfolio 9,281,248.30 99.76

The accompanying notes form an integral part of these financial statements

184
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,226,496.00 BELGIQUE OLO 4.00 12-32 28/03A 1,675,332.21 0.23
Long positions 715,883,082.04 98.88
1,838,848.00 BELGIUM KINGDOM 2.25 13-23 22/06A 2,034,795.64 0.28
Other transferable securities 20,163,234.21 2.78 1,273,566.00 BELGIUM KINGDOM REGS 3.75 13-45 22/06A 1,854,337.57 0.26
804,124.00 BELGIUM KINGDOM REGS 3.00 14-34 22/06A 1,002,806.96 0.14
Bonds 20,163,234.21 2.78
2,066,627.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 2,122,053.93 0.29
Austria 1,214,736.87 0.17 946,922.00 BELGIUM 144A/REGS OLO 1.90 15-38 22/06A 1,018,480.89 0.14
1,207,000.00 AUSTRIA 0.75 18-28 20/02A 1,214,736.87 0.17 417,716.00 BELGIUM KINGDOM 2.15 16-66 22/06A 437,945.99 0.06
612,469.00 BELGIUM KINGDOM 1.45 17-37 22/06A 614,232.91 0.08
Finland 766,702.08 0.11
893,333.00 BELGIUM KINGDOM 1.25 18-33 22/04A 898,201.66 0.12
768,000.00 FINLAND 0.00 16-23 15/09U 766,702.08 0.11
Finland 6,688,449.39 0.92
Luxembourg 4,724,252.36 0.65
714,000.00 FINLAND 3.375 10-20 15/04A 757,068.48 0.10
2,257,000.00 BON Y OBL DEL ESTADO 1.30 16-26 31/10A 2,273,205.26 0.31 698,000.00 FINLAND 3.50 11-21 15/04A 767,562.68 0.11
2,661,000.00 BUONI POLIENNALI 2.95 17-38 01/09S 2,451,047.10 0.34 566,000.00 FINLANDE 2.625 12-42 04/07A 742,303.34 0.10
Spain 13,457,542.90 1.85 551,000.00 FINLAND 1.625 12-22 15/09A 589,817.95 0.08
713,000.00 FINLAND 1.50 13-23 15/04A 763,302.15 0.11
1,507,000.00 SPAIN 1.95 16-26 30/04A 1,596,937.76 0.22
817,000.00 FINLAND 0.375 14-20 15/09A 830,897.17 0.12
1,718,000.00 SPAIN 0.40 17-22 30/04A 1,729,996.79 0.24
661,000.00 FINNISH GOVT 0.75 15-31 15/04A 651,342.79 0.09
2,954,000.00 SPAIN 1.50 17-27 30/04A 2,999,521.14 0.41
683,000.00 FINLANDE 0.50 16-26 15/04A 686,626.73 0.09
972,000.00 SPAIN STRIP 0.45 17-22 31/10A 977,667.73 0.14
240,000.00 FINLAND 1.375 17-47 15/04A 246,664.80 0.03
3,587,000.00 ESPAGNE 1.40 18-28 30/04A 3,575,342.25 0.48
203,000.00 FINLAND 0.50 17-27 15/09A 201,152.70 0.03
1,387,000.00 BON Y OBL DEL ESTADO 2.70 18-48 31/10A 1,421,813.63 0.20
445,000.00 FINNISH GOVT 1.125 18-34 15/04A 451,710.60 0.06
1,167,000.00 ESPAGNE 1.4 18-28 30/07A 1,156,263.60 0.16
France 187,799,525.24 25.95
Transferable securities admitted to an official stock exchange 620,582,939.03 85.72
listing 3,526,339.00 FRANCE OAT 5.75 00-32 25/10A 5,706,286.51 0.79
Bonds 620,582,939.03 85.72
200,000.00 FRANCE OAT TR.3 8.50 89-19 25/10A 219,402.00 0.03
Austria 26,378,744.34 3.64 1,715,907.00 FRANCE OAT 8.50 92-23 25/04A 2,386,363.34 0.33
814,130.00 AUSTRIA S.6 6.25 97-27 15/07A 1,212,076.74 0.17 3,300,008.00 FRANCE OAT 6.00 94-25 25/10A 4,605,623.17 0.64
2,570,000.00 AUSTRIA 3.90 04-20 15/07A 2,771,128.20 0.37 5,778,820.00 FRANCE OAT 5.50 98-29 25/04A 8,541,500.48 1.18
1,391,000.00 AUSTRIA 3.50 05-21 15/09A 1,549,379.26 0.21 5,759,925.00 FRANCE OAT 4.75 04-35 25/04A 8,880,767.57 1.24
1,463,000.00 AUSTRIA 4.15 06-37 15/03A 2,195,933.74 0.30 1,910,629.00 FRANCE OAT 4.00 04-55 25/04A 3,070,514.55 0.42
792,000.00 AUSTRIA 4.85 09-26 15/03A 1,053,597.60 0.15 3,917,752.00 FRANCE OAT 3.75 05-21 25/04A 4,332,798.65 0.60
863,000.00 AUSTRIA REP OF 3.65 11-22 20/04A 982,076.74 0.14 3,831,569.00 FRANCE OAT 4.00 06-38 25/10A 5,646,698.19 0.78
1,144,000.00 AUSTRIA 3.40 12-22 22/11A 1,312,145.12 0.18 4,507,194.00 FRANCE OAT 4.25 06-23 25/10A 5,468,668.62 0.76
413,000.00 AUSTRIA 3.80 12-62 26/01A 707,192.29 0.10 3,556,936.00 FRANCE GOVT 4.50 09-41 25/04A 5,669,258.01 0.78
1,174,000.00 AUSTRIA 3.15 12-44 20/06A 1,645,807.12 0.23 495,000.00 FRANCE OAT 3.75 08-19 25/10A 517,755.15 0.07
1,024,000.00 AUSTRIA 2.40 13-34 23/05A 1,220,433.92 0.17 6,117,372.00 FRANCE OAT 3.50 09-20 25/04A 6,501,175.92 0.90
1,124,000.00 AUSTRIA 1.75 13-23 20/10A 1,221,945.36 0.17 1,312,437.00 FRANCE OAT 4.00 09-60 25/04A 2,158,263.28 0.30
1,321,000.00 AUSTRIA 1.65 14-24 21/10A 1,438,172.70 0.20 3,510,141.00 FRANCE OAT 3.50 10-26 25/04A 4,321,264.38 0.60
841,000.00 AUSTRIA 0.25 14-19 18/10A 847,568.21 0.12 3,969,160.00 FRANCE OAT 2.50 09-20 25/10A 4,211,556.60 0.58
1,479,000.00 AUSTRIA 1.20 15-25 20/10A 1,566,689.91 0.22 6,102,192.00 FRANCE OAT 3.25 10-21 25/10A 6,766,720.71 0.93
2,038,000.00 AUSTRIA 0.75 16-26 20/10A 2,078,026.32 0.29 6,246,727.00 FRANCE 3.00 11-22 25/04U 6,961,290.10 0.96
658,000.00 AUSTRIA 1.50 16-47 20/02A 670,219.06 0.09 4,874,517.00 FRANCE GOVT 2.75 12-27 25/10A 5,784,101.87 0.80
310,000.00 AUSTRIA (REP OF)144A 1.50 16-86 02/11A 283,650.00 0.04 3,847,024.00 FRANCE OAT 2.25 11-22 25/10A 4,217,569.35 0.58
1,437,000.00 AUSTRIA (REP OF) 0.00 16-23 15/07U 1,436,612.01 0.20 4,224,251.00 FRANCE OAT 3.25 12-45 25/05A 5,782,070.29 0.80
832,000.00 AUSTRIA (REP OF) 0.50 17-27 20/04A 825,809.92 0.11 5,822,149.00 FRANCE OAT 1.75 12-23 25/05A 6,298,924.78 0.87
485,000.00 REPUBLIC OF AUSTRI 2.1 17-17 20/09A 541,196.97 0.07 2,431,009.00 FRANCE OAT 2.25 13-24 25/05A 2,716,919.97 0.38
815,000.00 AUTRICHE 0.00 17-22 20/09A 819,083.15 0.11 4,054,182.00 FRANCE OAT 2.50 13-30 25/05A 4,763,096.26 0.66
4,156,006.00 FRANCE OAT 1.75 13-24 25/11A 4,540,727.48 0.63
Belgium 33,005,228.00 4.56
3,319,367.00 FRANCE GOVT 0.50 13-19 25/11A 3,359,763.70 0.46
2,573,741.00 BELGIUM OLO 5.50 98-28 28/03A 3,700,988.08 0.52 5,422,010.00 FRANCE GOVT 0.00 15-20 25/05U 5,466,470.48 0.76
2,179,794.00 BELGIAN -44- 5.00 04-35 28/03A 3,386,244.59 0.47 8,468,492.00 FRANCE OAT 0.50 15-25 25/05A 8,569,351.74 1.18
1,224,555.00 BELGIQUE OLO -48- 4.00 06-22 28/03A 1,406,327.94 0.19 3,825,540.00 FRANCE OAT 1.00 15-25 25/11A 3,992,754.35 0.55
3,127,431.00 BELGIAN 0318 3.75 10-20 28/09A 3,390,479.22 0.48 1,779,524.00 FRANCE OAT 1.50 15-31 25/05A 1,883,003.32 0.26
2,130,969.00 BELGIQUE OLO -60- 4.25 10-41 28/03A 3,235,066.66 0.45 4,442,934.00 FRANCE OAT 0.25 14-20 25/11A 4,507,267.68 0.62
1,663,670.00 BELGIQUE OLO 4.25 11-21 28/09A 1,892,075.25 0.26 3,058,460.00 FRANCE OAT 0.50 15-26 25/05A 3,067,390.71 0.42
1,589,069.00 BELGIUM KINGDOM 64 4.50 11-26 28/03A 2,059,385.75 0.28 1,672,296.00 FRANCE (GOVT OF) 1.25 16-36 25/05A 1,660,539.76 0.23
1,935,842.00 BELGIUM KINGDOM 4.25 12-22 28/09A 2,276,472.75 0.31 572,375.00 FRANCE 1.75 15-66 25/05A 554,207.81 0.08

The accompanying notes form an integral part of these financial statements

185
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,186,613.00 FRANCE OAT 0.00 15-21 25/05U 1,197,316.25 0.17 3,147,328.00 ALLEMAGNE 0.5 18-28 15/02A 3,171,546.69 0.44
2,547,036.00 FRANCE GOVT 0.25 15-26 25/11A 2,490,186.16 0.34 923,671.00 GERMANY FED TREAS NOT 0.00 17-19 13/12A 930,339.90 0.13
1,804,024.00 FRANCE FUNGIBLE T-BILL 0.00 16-22 25/05U 1,815,912.52 0.25 2,750,000.00 ALLEMAGNE 0.00 18-20 13/03 2,773,072.50 0.38
5,188,643.00 FRANCE OAT 0.00 16-20 25/02A 5,226,312.55 0.72 1,154,659.00 ALLEMAGNE 0.00 18-23 14/04A 1,163,307.40 0.16
698,933.00 FRANCE (GOVT OF) 1.75 17-39 25/06A 742,707.17 0.10 1,130,519.00 BUNDESSCHATZANWEISUNGEN0.0 18-20 12/06A 1,140,546.70 0.16
4,109,996.00 FRANCE 1.00 16-27 25/05A 4,244,557.27 0.59 589,000.00 BUNDSOBLIGATION 0.0 18-23 13/10A 591,626.94 0.08
3,315,904.00 FRANCE 2.00 17-48 25/05A 3,578,291.48 0.49 1,171,000.00 ALLEMAGNE 0.25 18-28 15/08A 1,145,776.66 0.16
4,126,245.00 FRANCE (GOVT OF) 0.00 17-23 25/03A 4,129,009.58 0.57 1,560,000.00 ALLEMAGNE 0.0 18-20 23/08A 1,575,319.20 0.22
3,945,744.00 FRANCE 0.75 17-28 25/05A 3,946,967.18 0.55 Ireland 11,727,395.66 1.62
1,611,261.00 FRANCE (GOVT OF) 0.00 18-21 25/02A 1,625,391.76 0.22
1,686,460.00 FRANCE 1.25 18-34 25/05A 1,700,862.37 0.23 1,703,472.00 IRISH GOVT TREASURY 4.50 04-20 18/04A 1,833,992.02 0.25
1,445,565.00 REP.FRANCAISE 0.0 18-24 25/03A 1,431,780.96 0.20 121,015.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 129,191.99 0.02
2,554,160.00 FRANCE (GOVT OF) 0.7500 17-28 25/11A 2,540,163.21 0.35 1,649,767.00 IRISH GOVT TREASURY 5.40 09-25 13/03A 2,162,036.15 0.31
990,893.00 IRISH GOVT TREASURY 5.00 10-20 18/10A 1,101,119.94 0.15
Germany 125,671,930.02 17.36
1,049,072.00 IRELAND 3.90 13-23 20/03A 1,228,358.41 0.17
2,285,504.00 BRD 6.25 00-30 04/01A 3,726,857.10 0.51 908,213.00 IRISH TSY 3.40 14-24 18/03A 1,061,546.60 0.15
1,593,979.00 BRD 5.50 00-31 04/01A 2,526,233.55 0.35 520,444.00 IRISH TSY REGS 0.80 15-22 15/03A 536,582.96 0.07
1,307,461.00 BRD 6.25 94-24 04/01A 1,742,806.29 0.24 1,055,148.00 IRLANDE REGS 2.00 15-45 18/02A 1,104,845.47 0.15
1,283,004.00 BRD 6.50 97-27 04/07A 1,971,284.33 0.27 1,224,232.00 IRLANDE 1.00 16-26 15/05A 1,252,352.61 0.17
2,068,910.00 BRD -98- 5.625 98-28 04/01A 3,061,676.47 0.42 795,870.00 IRLANDE 0.90 18-28 15/05A 789,908.93 0.11
1,523,133.00 BRD 4.75 98-28 04/07A 2,155,355.05 0.30 538,000.00 IRISH TSY 1.3% 1.3000 18-33 15/05A 527,460.58 0.07
2,205,628.00 GERMANY -301- 4.75 03-34 04/07A 3,522,696.71 0.49 Italy 141,317,099.30 19.52
3,309,292.00 GERMANY -05- 4.00 05-37 04/01A 5,090,915.53 0.71
1,833,682.00 GERMANY SERIE 07 4.25 07-39 04/07A 3,004,564.06 0.41 3,159,000.00 ITALY BTP 6.00 00-31 01/05S 4,031,610.57 0.56
1,367,298.00 GERMANY 4.75 08-40 04/07A 2,410,901.88 0.33 2,179,281.00 ITALY BTP 9.00 93-23 01/11S 2,859,391.01 0.39
2,222,194.00 BRD 3.25 09-20 04/01A 2,332,859.26 0.32 381,679.00 ITALY BTP 7.25 96-26 01/11S 501,098.73 0.07
2,586,288.00 BRD 3.00 10-20 04/07A 2,749,767.26 0.38 3,145,751.00 ITALY BTP 6.50 97-27 01/11S 4,006,711.59 0.55
3,395,809.00 BRD 3.25 10-42 04/07A 5,056,427.51 0.71 2,978,920.00 ITALY BTP 5.25 98-29 01/11S 3,556,502.80 0.49
3,635,215.00 BRD 2.25 10-20 04/09A 3,832,534.47 0.53 2,337,000.00 ITALY BTP 5.75 02-33 01/02S 2,971,799.31 0.41
2,149,527.00 BUNDESREPUB DEUTS. 2.50 10-21 04/01A 2,297,715.39 0.32 4,705,000.00 ITALY BDT 5.00 03-34 01/08S 5,638,001.50 0.79
1,115,441.00 ALLEMAGNE 3.25 11-21 04/07A 1,229,907.55 0.17 3,340,000.00 ITALY BTP 4.50 04-20 01/02S 3,498,516.40 0.48
2,053,589.00 BRD 2.25 11-21 04/09A 2,215,021.63 0.31 3,167,000.00 ITALY BTP 4.00 05-37 01/02S 3,418,333.12 0.47
2,163,232.00 BRD 2.00 11-22 04/01A 2,331,769.40 0.32 2,886,000.00 ITALY 3.75 06-21 01/08S 3,041,301.43 0.42
2,367,484.00 BRD 1.75 12-22 04/07A 2,551,248.11 0.35 2,242,000.00 ITALY BTP 5.00 07-39 01/08S 2,694,749.48 0.37
2,052,765.00 BRD 2.50 12-44 04/07A 2,741,898.74 0.38 4,250,000.00 ITALY BTP 4.75 08-23 01/08S 4,705,600.00 0.65
1,940,557.00 BRD 1.50 12-22 04/09A 2,076,881.13 0.29 4,624,000.00 ITALY BTP 5.00 09-25 01/03S 5,252,309.12 0.74
3,804,613.00 BUNDESREPUB DEUTS. 1.50 13-23 15/02A 4,090,149.21 0.56 2,267,000.00 ITALY BTP 5.00 09-40 01/09S 2,715,072.55 0.38
2,893,084.00 DEUTSCHLAND REP 1.50 13-23 15/05U 3,117,124.43 0.43 4,428,000.00 ITALY BTP 4.25 09-20 01/03S 4,629,562.56 0.64
3,006,613.00 BRD 2.00 13-23 15/08A 3,319,751.74 0.46 7,816,000.00 ITALY BTP 4.00 10-20 01/09S 8,221,494.08 1.15
1,630,728.00 DEUTSCHLAND REP 1.75 14-24 15/02A 1,788,924.93 0.25 3,015,000.00 ITALY BTPS 3.75 10-21 01/03S 3,171,749.85 0.44
2,146,501.00 GERMANY 2.50 14-46 15/08A 2,902,241.07 0.40 2,202,000.00 ITALY BTPS 4.50 10-26 01/03S 2,448,117.54 0.34
2,629,613.00 ALLEMAGNE 1.50 14-24 15/05A 2,854,550.10 0.39 2,254,000.00 ITALY BTPS 4.75 11-21 01/09S 2,442,321.70 0.34
1,944,172.00 DEUTSCHLAND REP 1.00 14-24 15/08A 2,056,156.31 0.28 2,457,000.00 ITALY BTPS 5.00 11-22 01/03S 2,702,970.27 0.37
216,323.00 GERMANY 0.25 14-19 11/10A 218,217.99 0.03 1,827,000.00 ITALY BTP 5.50 12-22 01/09S 2,056,032.72 0.28
4,386,339.00 BRD 0.50 15-25 15/02A 4,504,375.39 0.62 2,425,000.00 ITALY BTP 5.50 12-22 01/11S 2,730,380.25 0.38
3,722,402.00 BRD 0.00 15-20 17/04A 3,756,275.86 0.52 4,137,000.00 ITALY BOT 4.75 13-28 01/09S 4,738,726.65 0.66
4,489,128.00 GERMANY 0.25 15-20 16/10A 4,561,941.65 0.63 4,123,000.00 ITALY BTPS 4.50 13-23 01/05S 4,506,439.00 0.62
3,854,099.00 BRD 1.00 15-25 15/08A 4,083,918.93 0.56 3,206,000.00 ITALY BTP 4.75 13-44 01/09S 3,775,866.50 0.52
3,126,988.00 BRD 0.50 16-26 15/02A 3,198,689.84 0.44 2,997,000.00 ITALY BTP 4.50 13-24 01/03S 3,289,806.90 0.45
1,664,258.00 BUNDESOBLIGATION 16-21 09/04A 1,684,611.87 0.23 2,716,000.00 ITALY BOT 3.75 13-21 01/05S 2,857,077.19 0.39
2,054,386.00 BRD 0.00 16-26 15/08U 2,015,003.42 0.28 1,981,000.00 ITALY BTP 3.75 14-24 01/09S 2,100,018.48 0.29
841,492.00 ALLEMAGNE 0.00 16-21 08/10A 852,010.65 0.12 2,500,000.00 ITALY 3.50 14-30 01/03S 2,565,800.00 0.35
2,157,542.00 ALLEMAGNE 0.25 17-27 15/02A 2,148,415.60 0.30 1,594,000.00 ITALY BTP 2.15 14-21 15/12S 1,610,223.33 0.22
1,345,818.00 BRD 0.00 17-22 08/04A 1,361,792.86 0.19 1,825,000.00 ITALY BTP 2.50 14-24 01/12S 1,812,684.90 0.25
1,901,457.00 GERMANY 0.50 17-27 15/08A 1,925,054.08 0.27 1,216,000.00 ITALY BTP 3.25 14-46 01/09S 1,148,998.46 0.16
1,745,989.00 ALLEMAGNE 176 0.00 17-22 07/10U 1,763,693.33 0.24 3,241,000.00 ITALIE 1.50 15-25 01/06S 3,001,425.28 0.41
2,250,631.00 ALLEMAGNE 1.25 17-48 15/08A 2,348,173.35 0.32 1,858,000.00 ITALY BTP 1.35 15-22 15/04S 1,816,622.34 0.25
2,637,000.00 ITALY BOT 1.65 15-32 01/03S 2,209,937.85 0.31

The accompanying notes form an integral part of these financial statements

186
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
2,699,000.00 ITALY BTP 0.70 15-20 01/05S 2,684,803.26 0.37 1,286,000.00 BONOS Y OBLIG D 0.3500 18-23 30/07A 1,275,737.72 0.18
2,082,000.00 ITALY BOT 2.00 15-25 01/12S 1,976,754.90 0.27 Transferable securities dealt in on another regulated market 75,136,908.80 10.38
1,533,000.00 ITALY BTP 1.45 15-22 15/09S 1,494,837.50 0.21
1,698,000.00 ITALY BTP 2.70 16-47 01/03S 1,453,623.92 0.20 Bonds 75,136,908.80 10.38
781,000.00 ITALY BOT 2.25 16-36 01/09S 668,996.79 0.09 Belgium 11,623,530.45 1.61
2,642,000.00 ITALY BTP 1.25 16-26 01/12S 2,346,545.14 0.32
2,088,921.00 BELGIQUE REGS 72 2.60 14-24 22/06A 2,371,928.02 0.33
686,000.00 ITALY 0.35 16-21 01/11S 658,215.97 0.09
1,138,194.00 BELGIUM OLO 75 1.00 15-31 22/06A 1,128,120.98 0.16
798,000.00 ITALIA LONG TERM TB 2.80 16-67 01/03S 663,473.16 0.09
1,385,251.00 BELGIQUE 1.00 16-26 22/06A 1,431,698.47 0.20
2,290,000.00 ITALIE BTP 0.65 16-23 15/10S 2,106,456.50 0.29
1,052,325.00 BELGIUM 1.60 16-47 22/06A 1,025,564.38 0.14
4,170,000.00 ITALY TREASURY BONDS 2.20 17-27 01/06S 3,936,354.90 0.54
1,250,662.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 1,256,127.39 0.17
1,603,000.00 ITALY TREASURY BONDS 2.45 16-33 01/09S 1,447,557.09 0.20
2,039,965.00 BELGIUM OLO 144A/REGS 0.80 17-27 22/06A 2,056,692.71 0.28
2,038,000.00 ITALY BTP 3.45 17-48 01/03S 1,953,463.76 0.27
673,598.00 BELGIUM KINGDOM 2.25 17-57 22/06A 734,929.10 0.10
671,000.00 ITALIE 2.05 17-27 01/08S 623,882.38 0.09
479,624.00 BELGIUM OLO 0.50 17-24 22/10A 485,585.72 0.07
987,000.00 ITALY 0.20 17-20 15/10S 966,398.35 0.13
1,136,190.00 BELGIUM KINGDOM 0.80 18-28 22/06A 1,132,883.68 0.16
2,222,000.00 ITALIE 2.00 18-28 01/02S 2,050,372.72 0.28
1,759,000.00 ITALIE 1.45 25 15-03S 1,623,363.51 0.22 Finland 3,665,744.71 0.51
1,373,000.00 ITALY 0.95 18-23 01/03S 1,299,651.25 0.18 907,000.00 FINLAND 4.00 09-25 04/07A 1,131,827.16 0.16
653,000.00 ITALIE 2.8 18-28 01/08S 635,094.74 0.09 797,000.00 FINLAND 2.75 12-28 04/07A 953,594.56 0.13
Netherlands 37,440,401.98 5.17 567,000.00 FINLANDE UNIT144A/REGS2.00 14-24 15/04A 626,166.45 0.09
370,000.00 FINNISH GOVT 0.875 15-25 15/09A 384,030.40 0.05
1,247,279.00 NEDERLAND 7.50 93-23 15/01A 1,658,793.76 0.23
566,000.00 FINNISH GOVERNMENT 0 17-22 15/04A 570,126.14 0.08
1,756,342.00 NEDERLAND 5.50 98-28 15/01A 2,559,763.09 0.35
1,590,501.00 NEDERLAND 4.00 05-37 15/01A 2,422,184.31 0.33 Ireland 2,510,116.40 0.35
804,192.00 NETHERLANDS GOVERN. 3.75 06-23 15/01A 939,955.69 0.13 1,234,917.00 IRLANDE 2.40 14-30 15/05A 1,398,481.76 0.19
2,298,728.00 NETHERLANDS 3.50 10-20 15/07A 2,466,351.25 0.34 694,129.00 IRLANDE 1.70 17-37 15/05A 704,096.69 0.10
2,142,999.00 NETHERLANDS GOVT 3.75 10-42 15/01A 3,370,882.78 0.47 407,852.00 IRISH TSY 0.00 17-22 18/10A 407,537.95 0.06
2,121,429.00 NETHERLANDS GOVT 3.25 11-21 15/07A 2,340,105.91 0.32
Italy 17,732,569.80 2.45
1,848,516.00 NEDERLAND 2.25 12-22 15/07A 2,024,180.48 0.28
1,811,939.00 NETHERLANDS 2.50 12-33 15/01A 2,222,723.69 0.31 3,511,000.00 ITALIE BTP 0.65 15-20 01/11S 3,467,779.59 0.48
2,401,557.00 NETHERLANDS 1.75 13-23 15/07A 2,610,324.35 0.36 3,869,000.00 ITALY BTP 0.95 16-23 15/03S 3,661,505.53 0.50
1,515,939.00 NETHERLAND 2.75 14-47 15/01A 2,126,923.06 0.29 3,101,000.00 ITALY BTP 1.60 16-26 01/06S 2,847,338.20 0.39
1,397,748.00 NETHERLAND 2.00 14-24 15/07A 1,552,087.34 0.21 812,000.00 ITALIE 0.45 16-21 01/06S 788,297.72 0.11
1,686,221.00 NETHERLAND GOV REGS 0.25 14-20 15/01A 1,705,325.88 0.24 834,000.00 ITALY BTP 1.20 17-22 01/04S 812,345.61 0.11
1,993,232.00 NETHERLANDS GOVT 0.25 15-25 15/07A 1,996,799.88 0.28 575,000.00 ITALY 1.85 17-24 15/05S 553,949.25 0.08
2,180,938.00 NETHERLANDS 0.50 16-26 15/07A 2,206,694.88 0.30 3,623,000.00 ITALY 0.35 17-20 15/06S 3,582,205.02 0.49
954,246.00 NEDERLAND 0.00 16-22 15/01U 963,616.70 0.13 656,000.00 ITALY TREASURY BONDS 0.90 17-22 01/08S 627,654.24 0.09
1,549,497.00 NETHERLAND 0.75 17-27 15/07A 1,585,367.85 0.22 972,000.00 ITALY 1.45 17-24 15/10S 906,380.28 0.13
1,423,617.00 NETHERLANDS 0.00 17-24 15/01U 1,420,442.33 0.20 504,000.00 ITALY 0.05 18-21 15/04S 485,114.36 0.07
1,247,949.00 ROYAUME PAYS-BAS 0.75 18-28 15/07A 1,267,878.75 0.18 Spain 39,604,947.44 5.46
Spain 50,554,165.10 6.98 2,138,000.00 SPANISH 4.90 07-40 30/07A 3,105,551.90 0.43
2,087,000.00 SPAIN 5.75 01-32 30/07A 3,095,688.84 0.43 1,469,000.00 SPAIN 4.80 08-24 31/01A 1,787,288.23 0.25
2,037,000.00 SPAIN 6.00 98-29 31/01A 2,909,589.69 0.40 1,829,000.00 SPAIN 4.70 09-41 30/07A 2,601,167.22 0.36
2,830,000.00 SPAIN 4.20 05-37 31/01A 3,738,401.70 0.52 1,887,000.00 SPAIN 4.65 10-25 30/07A 2,347,465.74 0.32
439,000.00 SPAIN 4.30 09-19 31/10A 461,279.25 0.06 3,076,000.00 SPAIN 4.85 10-20 31/10A 3,393,750.80 0.47
4,377,000.00 SPANISH 4.00 10-20 30/04A 4,670,259.00 0.65 5,298,000.00 SPAIN GOVT 5.40 13-23 31/01A 6,439,771.98 0.88
2,631,000.00 SPAIN 5.50 11-21 30/04A 3,004,128.42 0.41 3,080,000.00 SPAIN 4.40 13-23 31/10A 3,664,953.60 0.51
4,253,000.00 SPANISH GOV'T 5.90 11-26 30/07A 5,757,371.16 0.79 3,245,000.00 SPAIN 1.40 14-20 31/01A 3,317,477.08 0.46
2,475,000.00 SPAIN 5.85 11-22 31/01A 2,943,146.25 0.41 2,879,000.00 SPAIN GOVT 1.95 15-30 30/07A 2,957,193.50 0.41
2,355,000.00 SPAIN 5.15 13-28 31/10A 3,155,794.20 0.44 2,729,000.00 SPAIN 2.15 15-25 31/10A 2,939,051.13 0.41
2,897,000.00 SPAIN 5.15 13-44 31/10A 4,413,434.65 0.61 4,664,000.00 SPAIN 1.15 15-20 30/07A 4,778,314.64 0.65
1,967,000.00 SPAIN 3.80 14-24 30/04A 2,296,846.23 0.32 1,203,000.00 SPAIN 2.90 16-46 31/10A 1,298,085.12 0.18
2,042,000.00 SPAIN STRIP 2.75 14-24 31/10A 2,278,790.32 0.31 845,000.00 SPAIN 3.45 16-66 30/07A 974,876.50 0.13
3,835,000.00 SPAIN 1.60 15-25 30/04A 4,009,645.70 0.55 Total securities portfolio 715,883,082.04 98.88
917,000.00 SPAIN 0.75 16-21 30/07A 935,734.31 0.13
2,174,000.00 SPAIN 2.35 17-33 30/07A 2,280,091.20 0.31
2,678,000.00 BONOS Y OBLIG DEL 1.45 17-27 31/10A 2,696,103.28 0.37
631,000.00 SPAIN 0.05 17-21 31/01A 632,123.18 0.09

The accompanying notes form an integral part of these financial statements

187
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
136,698.00 BELGIUM KINGDOM 4.25 12-22 28/09A 160,751.38 0.02
Long positions 737,477,052.81 99.42
320,729.00 BELGIQUE OLO 4.00 12-32 28/03A 438,099.78 0.06
Other transferable securities 9,634,785.16 1.30 689,833.00 BELGIUM KINGDOM 2.25 13-23 22/06A 763,341.60 0.10
529,499.00 BELGIUM KINGDOM REGS 3.75 13-45 22/06A 770,961.13 0.10
Bonds 9,634,785.16 1.30
464,821.00 BELGIUM KINGDOM REGS 3.00 14-34 22/06A 579,668.97 0.08
Canada 126,738.34 0.02 646,068.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 663,395.54 0.09
202,000.00 CANADIAN GOVERNMEN 0.50 16-22 01/03S 126,738.34 0.02 135,248.00 BELGIUM 144A/REGS OLO 1.90 15-38 22/06A 145,468.69 0.02
81,975.00 BELGIUM KINGDOM 2.15 16-66 22/06A 85,945.05 0.01
Luxembourg 1,733,137.46 0.23
503,373.00 BELGIUM KINGDOM 1.45 17-37 22/06A 504,822.71 0.07
627,000.00 BON Y OBL DEL ESTADO 1.30 16-26 31/10A 631,501.86 0.09 304,301.00 BELGIUM KINGDOM 1.25 18-33 22/04A 305,959.44 0.04
1,196,000.00 BUONI POLIENNALI 2.95 17-38 01/09S 1,101,635.60 0.14
Canada 6,100,789.67 0.82
Spain 7,774,909.36 1.05
34,000.00 CANADA 8.00 96-27 01/06S 32,478.66 0.00
1,805,000.00 SPAIN 1.95 16-26 30/04A 1,912,722.40 0.27 424,000.00 CANADA 5.75 98-29 01/06S 369,627.60 0.05
736,000.00 SPAIN 0.40 17-22 30/04A 741,139.49 0.10 404,000.00 CANADA 5.75 01-33 01/06S 377,938.52 0.05
1,146,000.00 SPAIN 1.50 17-27 30/04A 1,163,659.86 0.16 38,000.00 CANADA 9.00 94-25 01/06S 35,568.04 0.00
1,280,000.00 SPAIN STRIP 0.45 17-22 31/10A 1,287,463.68 0.17 561,000.00 CANADA 5.00 04-37 01/06S 515,957.94 0.07
1,663,000.00 ESPAGNE 1.40 18-28 30/04A 1,657,595.25 0.22 829,000.00 CANADA 3.50 09-20 01/06S 564,008.23 0.08
541,000.00 BON Y OBL DEL ESTADO 2.70 18-48 31/10A 554,579.08 0.07 826,000.00 CANADA GOVT BONDS 3.25 10-21 01/06S 564,432.89 0.08
462,000.00 ESPAGNE 1.4 18-28 30/07A 457,749.60 0.06 473,000.00 CANADA 3.50 11-45 01/12S 381,647.12 0.05
Transferable securities admitted to an official stock exchange 604,212,876.53 81.45 127,000.00 CANADA 2.75 11-22 01/06S 85,962.87 0.01
listing 346,000.00 CANADA GOVT 1.50 12-23 01/06S 222,137.37 0.03
Bonds 604,212,876.53 81.45 1,218,000.00 CANADA GOVT 2.50 13-24 01/06S 817,259.71 0.11
Australia 12,399,926.66 1.67 170,000.00 CANADA 2.75 14-64 01/12S 124,936.91 0.02
504,000.00 CANADA GOVT 2.25 14-25 01/06S 332,819.26 0.04
267,000.00 AUSTRALIA -124- 5.75 07-21 15/05S 181,930.23 0.02
180,000.00 CANADA GOVT 1.50 14-20 01/03S 118,804.47 0.02
1,776,000.00 AUSTRALIA 4.50 09-20 15/04S 1,148,387.07 0.15
408,000.00 CANADA 0.75 15-20 01/09S 264,356.41 0.04
450,000.00 AUSTRALIAN GOVT 128 5.75 10-22 15/07S 316,990.28 0.04
283,000.00 CANADIAN GOVERNMEN 1.50 15-26 01/06S 176,587.78 0.02
962,000.00 AUSTRALIA 5.50 11-23 21/04S 683,527.58 0.09
468,000.00 CANADA GOVT 0.75 16-21 01/09S 298,591.39 0.04
859,000.00 AUSTRALIAN GOVT 4.75 11-27 21/04S 622,736.21 0.08
369,000.00 CANADA 1.00 16-27 01/06S 218,588.71 0.03
964,000.00 AUSTRALIAN GOVT 3.25 12-29 21/04S 631,917.53 0.09
667,000.00 CANADA 2.00 17-28 01/06S 428,064.41 0.06
1,361,000.00 AUSTRALIA -137- 2.75 12-24 21/04S 864,823.81 0.12
263,000.00 CANADIAN GOVERNMEN 1.75 17-23 01/03S 171,021.38 0.02
1,435,000.00 AUSTRALIA 139 3.25 13-25 21/04S 936,213.92 0.13
394,000.00 AUSTRALIA -140- 4.50 13-33 21/04S 294,200.41 0.04 Denmark 3,638,464.18 0.49
1,399,000.00 AUSTRALIAN GOVT 4.25 13-26 21/04S 973,269.31 0.13 1,050,286.00 DENMARK 7.00 94-24 10/11A 200,834.94 0.03
40,000.00 AUSTRALIA 143 2.75 14-19 21/10S 25,127.77 0.00 5,241,305.00 DENMARK 4.50 07-39 15/11A 1,203,562.05 0.16
290,000.00 AUSTRALIA 144A 3.75 14-34 21/04S 200,225.19 0.03 2,329,069.00 DENMARK 4.00 09-19 15/11A 328,707.22 0.04
474,000.00 AUSTRALIAN GOVT 2.75 14-35 21/06S 287,898.98 0.04 4,289,393.00 DENMARK KINGDON 3.00 11-21 15/11A 636,623.05 0.09
1,986,000.00 AUSTRALIAN GOVT 146 1.75 14-20 21/11S 1,229,939.34 0.16 1,499,567.00 DANEMARK 1.50 12-23 15/11A 217,332.40 0.03
380,000.00 AUSTRALIAN GOVT 3.25 15-39 21/06S 244,125.08 0.03 3,157,268.00 DENMARK 1.75 13-25 15/11A 470,788.47 0.06
669,000.00 AUSTRALIA 148 2.75 16-27 21/11S 420,132.67 0.06 2,813,753.00 KINGDOM OF DENMARK 0.5 17-27 15/11A 380,653.27 0.05
712,000.00 AUSTRALIAN GOVERNMENT 2.25 15-28 21/05S 427,905.21 0.06 1,466,477.00 DENMARK TREASURY BOND 0.25 17-20 15/11A 199,962.78 0.03
495,000.00 AUSTRALIAN GOVERNM 3.00 16-47 21/03S 299,698.09 0.04
France 60,139,676.26 8.11
1,083,000.00 AUSTRALIA 151 2.00 17-21 21/12M 672,724.28 0.09
1,393,000.00 AUSTRALIE 2.75 16-28 21/11S 873,668.64 0.12 1,304,511.00 FRANCE OAT 5.75 00-32 25/10A 2,110,946.66 0.28
439,000.00 AUSTRALIAN GOVT 2.25 17-22 21/11S 274,100.84 0.04 1,077,440.00 FRANCE OAT 5.50 98-29 25/04A 1,592,531.75 0.21
929,000.00 COMMONWLTH BANK AUSTR 2.75 17-29 21/11S 581,798.33 0.08 1,659,985.00 FRANCE OAT 4.75 04-35 25/04A 2,559,398.07 0.34
189,000.00 AUSTRALIAN GOVE 2.5000 18-30 21/05S 115,164.85 0.02 483,324.00 FRANCE OAT 4.00 04-55 25/04A 776,735.50 0.10
159,000.00 AUSTRALIAN 2.75 18-41 10/07S 93,421.04 0.01 471,305.00 FRANCE OAT 3.75 05-21 25/04A 521,235.05 0.07
Belgium 9,747,600.90 1.31 649,392.00 FRANCE OAT 4.00 06-38 25/10A 957,028.47 0.13
1,227,033.00 FRANCE OAT 4.25 06-23 25/10A 1,488,783.68 0.20
688,281.00 BELGIUM OLO 5.50 98-28 28/03A 989,734.31 0.13 1,296,352.00 FRANCE GOVT 4.50 09-41 25/04A 2,066,203.60 0.28
466,637.00 BELGIAN -44- 5.00 04-35 28/03A 724,906.58 0.10 1,500,000.00 FRANCE OAT 3.50 09-20 25/04A 1,594,110.00 0.21
302,611.00 BELGIQUE OLO -48- 4.00 06-22 28/03A 347,530.58 0.05 506,262.00 FRANCE OAT 4.00 09-60 25/04A 832,532.67 0.11
1,306,610.00 BELGIAN 0318 3.75 10-20 28/09A 1,416,508.97 0.20 718,964.00 FRANCE OAT 3.50 10-26 25/04A 885,102.20 0.12
639,921.00 BELGIQUE OLO -60- 4.25 10-41 28/03A 971,476.87 0.13 1,731,696.00 FRANCE OAT 2.50 09-20 25/10A 1,837,450.68 0.25
684,296.00 BELGIQUE OLO 4.25 11-21 28/09A 778,243.00 0.10 1,448,688.00 FRANCE OAT 3.25 10-21 25/10A 1,606,450.13 0.22
77,769.00 BELGIUM KINGDOM 64 4.50 11-26 28/03A 100,786.30 0.01 1,992,620.00 FRANCE 3.00 11-22 25/04U 2,220,555.80 0.30

The accompanying notes form an integral part of these financial statements

188
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,771,573.00 FRANCE GOVT 2.75 12-27 25/10A 2,102,148.52 0.28 1,103,489.00 ALLEMAGNE 0.5 18-28 15/02A 1,111,980.35 0.15
1,014,299.00 FRANCE OAT 2.25 11-22 25/10A 1,111,996.28 0.15 2,450,613.00 ALLEMAGNE 0.00 18-20 13/03 2,471,173.64 0.33
137,516.00 FRANCE OAT 3.25 12-45 25/05A 188,229.15 0.03 2,762,452.00 ALLEMAGNE 0.00 18-23 14/04A 2,783,142.77 0.38
2,247,274.00 FRANCE OAT 1.75 12-23 25/05A 2,431,303.27 0.33 2,333,566.00 BUNDESSCHATZANWEISUNGEN0.0 18-20 12/06A 2,354,264.73 0.32
1,242,725.00 FRANCE OAT 2.25 13-24 25/05A 1,388,881.89 0.19 3,244,589.00 BUNDSOBLIGATION 0.0 18-23 13/10A 3,259,059.87 0.45
866,778.00 FRANCE OAT 2.50 13-30 25/05A 1,018,342.80 0.14 594,513.00 ALLEMAGNE 0.25 18-28 15/08A 581,707.19 0.08
1,502,926.00 FRANCE OAT 1.75 13-24 25/11A 1,642,051.86 0.22 516,552.00 ALLEMAGNE 0.0 18-20 23/08A 521,624.54 0.07
1,922,875.00 FRANCE GOVT 0.50 13-19 25/11A 1,946,276.39 0.26 Italy 37,392,360.43 5.04
900,000.00 FRANCE GOVT 0.00 15-20 25/05U 907,380.00 0.12
1,947,495.00 FRANCE OAT 0.50 15-25 25/05A 1,970,689.66 0.27 180,000.00 ITALY BTP 6.00 00-31 01/05S 229,721.40 0.03
1,973,868.00 FRANCE OAT 1.00 15-25 25/11A 2,060,145.77 0.28 399,452.00 ITALY BTP 6.50 97-27 01/11S 508,778.01 0.07
230,911.00 FRANCE OAT 1.50 15-31 25/05A 244,338.47 0.03 1,381,537.00 ITALY BTP 5.25 98-29 01/11S 1,649,403.21 0.23
1,212,080.00 FRANCE OAT 0.25 14-20 25/11A 1,229,630.92 0.17 493,000.00 ITALY BTP 5.75 02-33 01/02S 626,913.59 0.08
2,121,568.00 FRANCE OAT 0.50 15-26 25/05A 2,127,762.98 0.29 1,262,000.00 ITALY BDT 5.00 03-34 01/08S 1,512,254.60 0.20
1,128,404.00 FRANCE (GOVT OF) 1.25 16-36 25/05A 1,120,471.32 0.15 175,000.00 ITALY BTP 4.50 04-20 01/02S 183,305.50 0.02
202,645.00 FRANCE 1.75 15-66 25/05A 196,213.05 0.03 514,000.00 ITALY BTP 4.00 05-37 01/02S 554,791.04 0.07
933,425.00 FRANCE OAT 0.00 15-21 25/05U 941,844.49 0.13 291,000.00 ITALY BTP 5.00 07-39 01/08S 349,764.54 0.05
1,391,832.00 FRANCE GOVT 0.25 15-26 25/11A 1,360,766.31 0.18 1,233,000.00 ITALY BTP 4.75 08-23 01/08S 1,365,177.60 0.18
1,500,000.00 FRANCE OAT 0.00 16-20 25/02A 1,510,890.00 0.20 405,000.00 ITALY BTP 5.00 09-25 01/03S 460,031.40 0.06
1,190,959.00 FRANCE (GOVT OF) 1.75 17-39 25/06A 1,265,548.77 0.17 1,011,000.00 ITALY BTP 5.00 09-40 01/09S 1,210,824.15 0.16
1,075,852.00 FRANCE 1.00 16-27 25/05A 1,111,075.39 0.15 983,000.00 ITALY BTP 4.00 10-20 01/09S 1,033,998.04 0.14
1,919,935.00 FRANCE 2.00 17-48 25/05A 2,071,859.46 0.28 1,344,000.00 ITALY BTPS 3.75 10-21 01/03S 1,413,874.56 0.19
2,413,618.00 FRANCE (GOVT OF) 0.00 17-23 25/03A 2,415,235.12 0.33 884,000.00 ITALY BTPS 4.50 10-26 01/03S 982,804.68 0.13
2,356,123.00 FRANCE 0.75 17-28 25/05A 2,356,853.40 0.32 670,000.00 ITALY BTP 5.50 12-22 01/09S 753,991.20 0.10
2,425,638.00 FRANCE (GOVT OF) 0.00 18-21 25/02A 2,446,910.85 0.33 848,000.00 ITALY BOT 4.75 13-28 01/09S 971,341.60 0.13
649,926.00 FRANCE 1.25 18-34 25/05A 655,476.36 0.09 693,000.00 ITALY BTPS 4.50 13-23 01/05S 757,449.00 0.10
257,729.00 REP.FRANCAISE 0.0 18-24 25/03A 255,271.45 0.03 941,000.00 ITALY BTP 4.75 13-44 01/09S 1,108,262.75 0.15
1,018,600.00 FRANCE (GOVT OF) 0.7500 17-28 25/11A 1,013,018.07 0.14 1,519,000.00 ITALY BTP 4.50 13-24 01/03S 1,667,406.30 0.23
586,000.00 ITALY BOT 3.75 13-21 01/05S 616,438.60 0.08
Germany 40,874,103.11 5.51
887,000.00 ITALY BTP 3.75 14-24 01/09S 940,290.96 0.13
547,100.00 BRD 6.25 00-30 04/01A 892,128.62 0.12 924,000.00 ITALY 3.50 14-30 01/03S 948,319.68 0.13
993,970.00 BRD 5.50 00-31 04/01A 1,575,303.30 0.21 771,000.00 ITALY BTP 2.15 14-21 15/12S 778,847.05 0.10
48,158.00 BRD -98- 5.625 98-28 04/01A 71,266.62 0.01 641,000.00 ITALY BTP 2.50 14-24 01/12S 636,674.54 0.09
510,255.00 BRD 4.75 98-28 04/07A 722,051.65 0.10 1,300,000.00 ITALY BOT 1.05 14-19 01/12S 1,305,070.00 0.18
533,936.00 GERMANY -301- 4.75 03-34 04/07A 852,770.55 0.11 379,000.00 ITALY BTP 3.25 14-46 01/09S 358,117.12 0.05
1,132,816.00 GERMANY -05- 4.00 05-37 04/01A 1,742,690.15 0.23 492,000.00 ITALIE 1.50 15-25 01/06S 455,631.36 0.06
697,588.00 GERMANY SERIE 07 4.25 07-39 04/07A 1,143,026.88 0.15 339,000.00 ITALY BTP 1.35 15-22 15/04S 331,450.47 0.04
395,744.00 GERMANY 4.75 08-40 04/07A 697,799.57 0.09 345,000.00 ITALY BOT 1.65 15-32 01/03S 289,127.25 0.04
1,065,152.00 BRD 3.25 10-42 04/07A 1,586,032.63 0.21 710,000.00 ITALY BTP 0.70 15-20 01/05S 706,265.40 0.10
2,146,000.00 BRD 2.25 10-20 04/09A 2,262,484.88 0.30 802,000.00 ITALY BOT 2.00 15-25 01/12S 761,458.90 0.10
491,122.00 BRD 2.50 12-44 04/07A 655,996.57 0.09 891,000.00 ITALY BTP 1.45 15-22 15/09S 868,819.45 0.12
250,891.00 DEUTSCHLAND REP 1.75 14-24 15/02A 275,229.94 0.04 455,000.00 ITALY BTP 2.70 16-47 01/03S 389,516.43 0.05
716,691.00 GERMANY 2.50 14-46 15/08A 969,023.57 0.13 913,000.00 ITALY BOT 2.25 16-36 01/09S 782,066.67 0.11
242,097.00 ALLEMAGNE 1.50 14-24 15/05A 262,805.98 0.04 801,000.00 ITALY BTP 1.25 16-26 01/12S 711,424.17 0.10
405,874.00 DEUTSCHLAND REP 1.00 14-24 15/08A 429,252.35 0.06 385,000.00 ITALY 0.35 16-21 01/11S 369,406.92 0.05
1,601,247.00 BRD 0.50 15-25 15/02A 1,644,336.56 0.22 364,000.00 ITALIA LONG TERM TB 2.80 16-67 01/03S 302,636.88 0.04
3,262,773.00 GERMANY 0.25 15-20 16/10A 3,315,695.17 0.46 966,000.00 ITALIE BTP 0.65 16-23 15/10S 888,575.10 0.12
762,182.00 BRD 1.00 15-25 15/08A 807,630.92 0.11 1,444,000.00 ITALY TREASURY BONDS 2.20 17-27 01/06S 1,363,092.68 0.18
1,753,677.00 BRD 0.50 16-26 15/02A 1,793,888.81 0.24 1,626,000.00 ITALY TREASURY BONDS 2.45 16-33 01/09S 1,468,326.78 0.20
604,907.00 BUNDESOBLIGATION 16-21 09/04A 612,305.01 0.08 654,000.00 ITALY BTP 3.45 17-48 01/03S 626,872.08 0.08
1,100,017.00 BRD 0.00 16-26 15/08U 1,078,929.67 0.15 1,570,000.00 ITALIE 2.05 17-27 01/08S 1,459,754.60 0.20
747,929.00 ALLEMAGNE 0.00 16-21 08/10A 757,278.11 0.10 541,000.00 ITALY 0.20 17-20 15/10S 529,707.70 0.07
705,375.00 ALLEMAGNE 0.25 17-27 15/02A 702,391.26 0.09 1,382,000.00 ITALIE 2.00 18-28 01/02S 1,275,254.32 0.17
677,476.00 BRD 0.00 17-22 08/04A 685,517.64 0.09 301,000.00 ITALIE 1.45 25 15-03S 277,789.89 0.04
862,453.00 GERMANY 0.50 17-27 15/08A 873,156.05 0.12 278,000.00 ITALY 0.95 18-23 01/03S 263,148.62 0.04
525,875.00 ALLEMAGNE 176 0.00 17-22 07/10U 531,207.37 0.07 358,000.00 ITALIE 2.8 18-28 01/08S 348,183.64 0.05
815,602.00 ALLEMAGNE 1.25 17-48 15/08A 850,950.19 0.11

The accompanying notes form an integral part of these financial statements

189
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Japan 58,199,314.83 7.85 150,350,000.00 JAPON T BILL 0.8 18-48 20/03S 1,116,983.72 0.15
176,650,000.00 JAPAN 046 JGB 2.20 00-20 22/06S 1,392,617.24 0.19 90,200,000.00 JAPAN 0.1 18-20 01/07S 686,333.33 0.09
143,700,000.00 JAPAN 047 JGB 2.20 00-20 21/09S 1,139,065.05 0.15 10,600,000.00 JAPAN 1.7 03-33 30/07A 95,460.98 0.01
35,600,000.00 JAPAN 049 JGB 2.10 01-21 22/03S 284,583.59 0.04 252,350,000.00 JAPON 0.10 18-20 15/04S 1,919,236.44 0.26
35,300,000.00 JAPAN 051 JGB 2.00 01-21 21/06S 282,894.47 0.04 158,000,000.00 JAPON T BILL 0.1 18-20 15/03S 1,201,446.23 0.16
83,600,000.00 JAPAN 010 JGB 1.10 03-33 20/03S 698,625.78 0.09 343,350,000.00 JAPON T BILL 0.5 18-38 20/03S 2,539,450.73 0.34
87,150,000.00 JAPAN 073 JGB 2.00 04-24 20/12S 743,439.46 0.10 Netherlands 12,391,453.69 1.67
203,250,000.00 JAPAN 019 JGB 2.30 05-35 20/06S 1,986,821.16 0.27
182,222.00 NEDERLAND 7.50 93-23 15/01A 242,342.50 0.03
108,850,000.00 JAPAN 022 JGB 2.50 06-36 20/03S 1,096,288.61 0.15
655,757.00 NEDERLAND 5.50 98-28 15/01A 955,726.49 0.13
25,650,000.00 JAPAN 079 JGB 2.00 05-25 20/06S 220,469.57 0.03
538,828.00 NEDERLAND 4.00 05-37 15/01A 820,584.66 0.11
137,050,000.00 JAPAN 016 JGB 2.50 04-34 20/09S 1,365,253.98 0.18
237,304.00 NETHERLANDS GOVERN. 3.75 06-23 15/01A 277,365.66 0.04
58,450,000.00 JAPAN 090 JGB 2.20 06-26 20/09S 518,446.97 0.07
1,719,076.00 NETHERLANDS 3.50 10-20 15/07A 1,844,431.02 0.25
221,000,000.00 JAPAN 017 JGB 2.40 05-34 20/12S 2,180,433.72 0.29
662,714.00 NETHERLANDS GOVT 3.75 10-42 15/01A 1,042,432.22 0.14
101,700,000.00 JAPAN 099 JGB 2.10 07-27 20/12S 912,115.53 0.12
417,338.00 NETHERLANDS GOVT 3.25 11-21 15/07A 460,357.20 0.06
264,100,000.00 JAPAN 058 JGB 1.90 02-22 20/09S 2,159,238.55 0.29
158,141.00 NEDERLAND 2.25 12-22 15/07A 173,169.14 0.02
98,150,000.00 JAPAN 013 JGB 2.00 03-33 20/12S 917,355.70 0.12
577,177.00 NETHERLANDS 2.50 12-33 15/01A 708,028.80 0.10
18,950,000.00 JAPAN 078 JGB 1.90 05-25 20/06S 161,915.78 0.02
661,547.00 NETHERLANDS 1.75 13-23 15/07A 719,055.28 0.10
161,900,000.00 JAPAN 095 JGB 2.30 07-27 20/06S 1,462,387.89 0.20
516,326.00 NETHERLAND 2.75 14-47 15/01A 724,426.03 0.10
40,650,000.00 JAPAN 002 JGB 2.20 09-49 20/03S 414,800.77 0.06
972,048.00 NETHERLAND 2.00 14-24 15/07A 1,079,381.54 0.15
130,900,000.00 JAPAN 113 JGB 2.10 09-29 20/09S 1,197,774.34 0.16
400,000.00 NETHERLAND GOV REGS 0.25 14-20 15/01A 404,532.00 0.05
133,200,000.00 JAPAN GOVT 2.1 09-29 20/12S 1,221,465.27 0.16
762,373.00 NETHERLANDS GOVT 0.25 15-25 15/07A 763,737.65 0.10
186,300,000.00 JAPAN GOVT 306 1.40 10-20 20/03S 1,443,627.65 0.19
450,079.00 NETHERLANDS 0.50 16-26 15/07A 455,394.43 0.06
106,650,000.00 JAPAN GOVT 308 1.30 10-20 20/06S 828,146.40 0.11
289,228.00 NEDERLAND 0.00 16-22 15/01U 292,068.22 0.04
31,300,000.00 JAPAN GOVT 003 2.20 10-50 20/03S 320,743.80 0.04
141,067.00 NETHERLAND 0.75 17-27 15/07A 144,332.70 0.02
73,200,000.00 JAPAN GOVT 310 1.00 10-20 20/09S 567,000.52 0.08
691,942.00 NETHERLANDS 0.00 17-24 15/01U 690,398.97 0.09
131,100,000.00 JAPAN -119- 1.80 10-30 20/06S 1,173,737.97 0.16
584,357.00 ROYAUME PAYS-BAS 0.75 18-28 15/07A 593,689.18 0.08
29,450,000.00 JAPAN -5- 2.00 12-52 20/03S 290,868.11 0.04
331,100,000.00 JAPAN 323 0.90 12-22 20/06S 2,601,863.90 0.34 Spain 14,414,915.70 1.94
114,350,000.00 JAPAN -144- JGB 1.50 13-33 20/03S 1,003,987.26 0.14 487,000.00 SPAIN 5.75 01-32 30/07A 722,376.84 0.10
44,600,000.00 JAPAN JGB 333 0.60 14-24 20/03S 349,815.00 0.05 409,412.00 SPAIN 6.00 98-29 31/01A 584,791.82 0.08
48,650,000.00 JAPAN GOVT 004 2.20 11-51 20/03S 499,874.88 0.07 1,121,000.00 SPAIN 4.20 05-37 31/01A 1,480,829.79 0.19
121,500,000.00 JAPAN -336- 0.50 14-24 20/12S 950,466.35 0.13 36,000.00 SPAIN 4.30 09-19 31/10A 37,827.00 0.01
33,500,000.00 JAPAN -8- 1.40 15-55 20/03S 285,644.71 0.04 1,283,000.00 SPANISH 4.00 10-20 30/04A 1,368,961.00 0.18
46,400,000.00 JAPAN -340- 0.40 15-25 20/09S 361,256.62 0.05 1,268,000.00 SPAIN 5.50 11-21 30/04A 1,447,827.76 0.20
57,550,000.00 JAPAN -48- 1.40 15-45 20/09S 495,929.21 0.07 237,000.00 SPANISH GOV'T 5.90 11-26 30/07A 320,831.64 0.04
60,700,000.00 JAPAN (40 YEAR ) 0.40 16-56 20/03S 373,653.13 0.05 202,000.00 SPAIN 5.85 11-22 31/01A 240,208.30 0.03
24,900,000.00 JAPAN -131- 1.70 11-31 20/09S 222,418.15 0.03 420,000.00 SPAIN 5.15 13-28 31/10A 562,816.80 0.08
113,800,000.00 JAPAN (20 YEAR ISS 1.80 11-31 20/06S 1,026,114.08 0.14 902,000.00 SPAIN 5.15 13-44 31/10A 1,374,151.90 0.19
78,550,000.00 JAPAN 50 0.80 16-46 20/03S 589,418.23 0.08 370,000.00 SPAIN 3.80 14-24 30/04A 432,045.30 0.06
155,350,000.00 JAPAN 344 0.10 16-26 20/09S 1,182,190.31 0.16 346,000.00 SPAIN STRIP 2.75 14-24 31/10A 386,122.16 0.05
102,250,000.00 JAPAN 0.10 16-26 20/03S 779,076.04 0.11 922,000.00 SPAIN 1.60 15-25 30/04A 963,987.84 0.13
95,900,000.00 JAPAN -158- 0.50 16-36 20/09S 719,782.46 0.10 581,000.00 SPAIN 0.75 16-21 30/07A 592,869.83 0.08
69,650,000.00 JAPAN JGB 53 0.60 16-46 20/12S 494,517.16 0.07 860,000.00 SPAIN 2.35 17-33 30/07A 901,968.00 0.12
64,850,000.00 JAPAN 0.30 16-46 20/06S 425,649.87 0.06 1,524,000.00 BONOS Y OBLIG DEL 1.45 17-27 31/10A 1,534,302.24 0.20
158,150,000.00 JAPAN 54 0.80 17-47 20/03S 1,180,949.40 0.16 891,000.00 SPAIN 0.05 17-21 31/01A 892,585.98 0.12
187,650,000.00 JAPAN -161- 0.60 17-37 20/06S 1,422,355.97 0.19 575,000.00 BONOS Y OBLIG D 0.3500 18-23 30/07A 570,411.50 0.08
259,400,000.00 JAPAN 132 0.10 17-22 20/06S 1,980,129.86 0.27
Sweden 2,299,741.54 0.31
72,200,000.00 JAPAN 160 0.70 17-37 20/03S 558,214.81 0.08
152,600,000.00 JAPAN -055- 0.80 17-47 20/06S 1,138,071.73 0.15 4,155,000.00 SWEDEN -1047- 5.00 03-20 01/12A 450,044.88 0.07
203,950,000.00 JAPAN -348- 0.10 17-27 20/09S 1,547,267.67 0.21 1,810,000.00 SWEDISH GOVRNMNT 1053 3.50 09-39 30/03A 243,915.00 0.03
143,800,000.00 JAPAN -133- 0.10 17-22 20/09S 1,098,002.47 0.15 3,240,000.00 SWEDISH 1054 3.50 11- 22 01/06A 355,686.41 0.05
47,700,000.00 JAPAN 0.10 17-19 15/10S 362,429.46 0.05 535,000.00 SWEDEN 2.25 11-32 01/06A 59,754.05 0.01
57,250,000.00 JAPAN -382- 0.10 17-19 15/11S 435,065.11 0.06 4,190,000.00 SWEDEN 1.50 11-23 13/11A 434,519.57 0.06
47,700,000.00 JAPON 0.10 18-20 15/01S 362,606.63 0.05 1,650,000.00 SWEDEN 1058 2.50 13-25 12/05A 182,965.59 0.02
74,600,000.00 JAPON S.135 0.1 18-32 20/03S 570,013.24 0.08 3,545,000.00 SWEDEN 1.00 14-26 12/11A 358,154.99 0.05
109,850,000.00 JAPON 1.8 03-23 20/06S 906,342.23 0.12 1,080,000.00 ROYAUME DE SUEDE 0.75 16-28 12/05A 105,723.84 0.01
229,400,000.00 JAPON S.350 0.1 18-28 20/03S 1,737,179.58 0.23 1,135,000.00 ROYAUME DE SUEDE 0.75 17-29 12/11A 108,977.21 0.01

The accompanying notes form an integral part of these financial statements

190
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
United Kingdom 51,279,869.70 6.91 73,000.00 USA TREASURY BONDS 4.75 07-37 15/02S 77,211.92 0.01
1,469,616.00 UNITED KINGDOM 4.25 00-32 07/06S 2,157,570.87 0.29 2,477,400.00 US TREASURY NOTE 5.00 07-37 15/05S 2,699,824.76 0.36
1,238,372.00 UNITED KINGDOM 5.00 01-25 07/03S 1,710,236.72 0.23 4,166,900.00 USA TREASURY BOND 4.375 08-38 15/02S 4,234,389.97 0.57
708,173.00 UK TREASURY STOCK 6.00 98-28 07/12S 1,130,289.32 0.15 1,573,900.00 USA TREASURY BONDS 4.50 08-38 15/05S 1,626,281.47 0.22
914,054.00 UNITED KINGDOM 4.25 03-36 07/03S 1,395,388.38 0.19 3,731,800.00 USA TREASURY BONDS 3.50 09-39 15/02S 3,385,608.48 0.46
625,668.00 UK TREASURY GILT STK 4.75 04-38 07/12S 1,042,214.10 0.14 1,485,700.00 US TREASURY N/B 4.25 09-39 15/05S 1,491,975.68 0.20
593,888.00 UNITED KINGDOM 4.25 05-55 07/12S 1,097,921.11 0.15 1,274,500.00 USA T NOTES 4.50 09-39 15/08S 1,322,232.03 0.18
270,773.00 UK TREASURY STOCK 4.75 05-20 07/03S 321,109.14 0.04 533,700.00 US TREASURY N/B 4.375 09-39 15/11S 545,395.51 0.07
809,342.00 UNITED KINGDOM 4.25 06-46 07/12S 1,365,481.22 0.18 678,400.00 US TREASURY NOTES 4.625 10-40 15/02S 716,355.56 0.10
566,983.00 UNITED KINGDOM 4.25 06-27 07/12S 789,950.22 0.11 1,124,200.00 US TREASURY N/B 4.375 10-40 15/05S 1,150,272.49 0.16
446,124.00 UK TREASURY STOCK 4.50 07-42 07/12S 750,846.69 0.10 787,100.00 US TREASURY 3.875 10-40 15/08S 752,465.30 0.10
1,120,852.00 UK TREASURY 4.75 07-30 07/12S 1,687,765.38 0.23 1,144,000.00 USA TREASURY NOTES 4.25 10-40 15/11S 1,152,756.69 0.16
739,427.00 UK TREASURY 4.25 08-49 07/12S 1,287,814.26 0.17 1,145,000.00 USA TREASURY BOND 4.75 11-41 15/02S 1,233,552.08 0.17
943,227.00 UNITED KINGDOM 4.00 09-22 07/03S 1,167,688.87 0.16 5,456,600.00 US TREASURY NOTES 2.125 11-21 15/08S 4,600,996.67 0.62
752,207.00 UK TREASURY STOCK 4.50 09-34 07/09S 1,160,500.89 0.16 1,425,700.00 US TREAS N/B 3.75 11-41 15/08S 1,339,950.08 0.18
822,201.00 UK TREASURY STOCK 4.25 09-39 07/09S 1,298,285.39 0.18 1,453,800.00 USA T NOTES 3.125 11-41 15/11S 1,239,434.16 0.17
522,975.00 UK TREASURY STOCK 4.00 09-60 22/01S 961,193.61 0.13 1,187,800.00 USA TREASURY NOTES 2.00 11-21 15/11S 995,758.87 0.13
488,820.00 UNITED KINGDOM 4.25 10-40 07/12S 781,539.60 0.11 1,478,700.00 US TREAS N/B 3.125 12-42 15/02S 1,260,165.26 0.17
1,968,175.00 UNITED KINGDOM 3.75 10-20 07/09S 2,333,568.51 0.31 1,553,200.00 US TREASURY 3.00 12-42 15/05S 1,295,447.70 0.17
1,171,651.00 UNITED KINGDOM 3.75 11-21 07/09S 1,423,398.43 0.19 3,358,200.00 USA T NOTES 1.625 12-22 15/08S 2,754,378.00 0.37
505,578.00 UK TREASURY STOCK 3.75 11-52 22/07S 833,606.90 0.11 1,963,300.00 USA TREASURY NOTES 2.75 12-42 15/08S 1,565,653.57 0.21
501,582.00 UK TREASURY STOCK 1.75 12-22 07/09S 578,420.09 0.08 2,187,500.00 US TREASURY N/B 2.75 12-42 15/11S 1,743,119.78 0.23
1,024,207.00 UK TSY 3.25 12-44 22/01S 1,449,680.22 0.20 878,000.00 US TREAS N/B F-2022 1.625 12-22 15/11S 717,768.75 0.10
648,236.00 UK TREASURY STK REGS 3.50 13-65 22/07S 1,136,703.83 0.15 1,697,000.00 US TREASURY NOTES 3.125 13-43 15/02S 1,443,577.71 0.19
1,436,072.00 UK TREASURY STOCK 2.25 13-23 07/09S 1,697,149.63 0.23 1,406,300.00 USA T NOTES 1.750 13-23 15/05S 1,148,663.06 0.15
1,712,804.00 UK TREASURY 2.75 14-24 07/09S 2,089,465.30 0.28 812,400.00 USA T NOTES 2.875 13-43 15/05S 661,408.31 0.09
1,774,261.00 UNITED KINGDOM 3.50 14-45 22/01S 2,628,850.60 0.35 2,521,600.00 US TREAS N/B 3.625 13-43 15/08S 2,329,739.13 0.31
2,821,908.00 UNITED KINGDOM 2.00 14-20 22/07S 3,235,158.39 0.43 1,770,100.00 US TREASURY NOTES S E 2.50 13-23 15/08S 1,493,319.38 0.20
1,339,429.00 UNITED KINGDOM 2.00 15-25 07/09S 1,573,988.86 0.21 4,343,700.00 USA T NOTES 1.375 13-20 31/05S 3,654,420.44 0.49
620,300.00 UK TREASURY STOCK 2.50 15-65 22/07S 854,462.88 0.12 2,478,600.00 US TREASURY R- 2020 1.75 13-20 31/10S 2,087,617.55 0.28
871,815.00 UK TSY 1 1/2% 2021 1.50 15-21 22/01S 993,160.80 0.13 3,757,300.00 US TREASURY NT P-2020 2.125 13-20 31/08S 3,193,421.95 0.43
677,542.00 UNITED KINGDOM 1.50 16-26 22/07S 767,541.63 0.10 1,310,600.00 USA T NOTES 2.75 13-23 15/11S 1,117,745.98 0.15
1,307,020.00 UK TREASURY GILT 0.50 16-22 22/07S 1,438,448.40 0.19 569,900.00 USA TREASURY BONDS 3.75 13-43 15/11S 537,309.52 0.07
1,387,545.00 UK TREASURY GILT 1.75 16-37 07/09S 1,523,487.49 0.21 1,865,800.00 USA T NOTES 2.375 13-20 31/12S 1,590,181.98 0.21
2,073,702.00 UNITED KINGDOM 1.50 16-47 22/07S 2,114,726.69 0.29 1,786,400.00 USA T NOTES 2.750 14-24 15/02S 1,522,030.25 0.21
1,197,443.00 UK GILT 1.75 17-58 22/07S 1,316,708.54 0.18 871,100.00 US T-BONDS 3.625 14-44 15/02S 805,582.32 0.11
720,724.00 UK TSY 1.25 17-27 22/07S 793,706.76 0.11 10,127,500.00 USA TREASURY NOTES 2.00 14-21 28/02S 8,546,304.28 1.16
958,419.00 UNITED KINGDOM 0.75 17-23 22/07S 1,055,127.15 0.14 1,042,400.00 US TREAS N C-2024 2.50 14-24 15/05S 875,479.36 0.12
782,309.00 UK TSY 1.625 18-28 22/10S 882,392.68 0.12 797,000.00 USA TREASURY BONDS 3.375 14-44 15/05S 707,464.01 0.10
427,097.00 GRANDE BRETAGNE 1.625 18-71 22/10S 454,320.15 0.06 1,243,200.00 US TREASURY NOTES 2.375 14-24 15/08S 1,035,261.35 0.14
1,474,800.00 US TREASURY NOTE 3.125 14-44 15/08S 1,253,766.47 0.17
United States of America 295,334,659.86 39.82
1,877,400.00 US TREASURY NOTE 2.125 14-21 30/09S 1,581,315.92 0.21
8,100.00 USA TREASURY BONDS 6.25 99-30 15/05S 9,135.05 0.00 950,600.00 USA TREASURY BONDS 3.00 14-44 15/11S 789,971.43 0.11
10,500.00 UNITED STATES OF 5.375 01-31 15/02S 11,174.32 0.00 1,557,300.00 USA T NOTES 2.25 14-24 15/11S 1,285,250.15 0.17
311,900.00 USA TREASURY BONDS 5.25 99-29 15/02S 320,644.09 0.04 917,500.00 USA T-NOTES 2.125 14-21 31/12S 771,135.21 0.10
799,700.00 USA TREASURY BONDS 7.50 94-24 15/11S 861,708.59 0.12 1,179,700.00 USA TREASURY NOTES 1.50 15-22 31/01S 970,757.76 0.13
1,031,800.00 USA TREASURY BONDS 7.625 95-25 15/02S 1,126,032.84 0.15 1,656,900.00 USA TREASURY BONDS 2.50 15-45 15/02S 1,249,428.70 0.17
161,500.00 USA TREASURY BONDS 6.875 95-25 15/08S 172,360.67 0.02 989,700.00 US TREASURY N/B 2.00 15-25 15/02S 802,726.67 0.11
267,800.00 USA TREASURY BOND 6.75 96-26 15/08S 290,798.75 0.04 1,319,300.00 USA TREASURY NOTES 1.75 15-22 31/03S 1,092,376.70 0.15
790,500.00 USA TREASURY 6.50 96-26 15/11S 850,944.50 0.11 1,673,300.00 US TREASURY N/B 2.125 15-25 15/05 1,364,440.94 0.18
427,900.00 USA TREASURY BOND 6.625 97-27 15/02S 466,490.20 0.06 1,671,600.00 WI TREASURY SEC. 3.00 15-45 15/05 1,388,689.93 0.19
1,171,700.00 USA TREASURY BOND 6.375 97-27 15/08S 1,269,409.94 0.17 1,389,700.00 WI TREASURY SEC. 1.875 15-22 31/05 1,153,565.44 0.16
624,300.00 USA TREASURY BONDS 6.125 97-27 15/11S 668,823.88 0.09 2,373,600.00 USA TREASURY NOTES 2.00 15-25 15/08S 1,915,442.48 0.26
4,604,300.00 USA TREASURY 8.75 90-20 15/05S 4,343,242.55 0.59 1,108,000.00 USA T BOND 2.875 15-16 15/08S 898,193.13 0.12
35,800.00 USA TREASURY BONDS 6.125 99-29 15/08S 39,510.21 0.01 12,851,000.00 WI TREASURY SEC. 1.375 15-20 30/09S 10,755,555.10 1.46
1,716,800.00 USA TREASURY NOTES 5.50 98-28 15/08S 1,784,561.13 0.24 3,327,800.00 USA TREASURY BONDS 1.75 15-22 30/09S 2,738,397.48 0.37
64,400.00 US TREASURY 4.50 06-36 15/02S 65,802.59 0.01 749,000.00 US TREASURY N/B 3.00 15-45 15/11S 621,983.56 0.08

The accompanying notes form an integral part of these financial statements

191
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
2,779,600.00 US TREASURY NOTES 2.25 15-25 15/11S 2,275,232.91 0.31 1,079,400.00 USA 2.625 18-23 28/02S 917,517.56 0.12
1,970,400.00 USA TREASURY NOTES 1.625 15-20 30/11S 1,653,486.14 0.22 896,500.00 ETATS UNIS 2.75 18-25 28/02S 760,841.87 0.10
5,092,400.00 US TREASURY NOTES 2.125 15-22 31/12S 4,242,353.49 0.57 3,726,600.00 USA 2.75 18-28 15/02S 3,128,602.29 0.42
1,075,000.00 USA T NOTES 1.625 16-26 15/02S 840,096.86 0.11 2,568,400.00 USA 3.00 18-48 15/02S 2,128,701.09 0.29
1,565,400.00 USA T NOTES 2.50 16-46 15/02S 1,176,324.24 0.16 768,400.00 UNITED STATES 2.125 17-24 30/09S 630,470.25 0.08
402,900.00 US T NOTE 1.50 16-23 28/02S 326,323.76 0.04 5,424,300.00 WI TREASURY SEC. 2.375 18-23 31/01S 4,563,545.78 0.62
3,392,000.00 USA T NOTES 1.375 16-21 30/04S 2,813,243.77 0.38 1,970,500.00 US TREASURY N/B 2.25 17-24 31/10S 1,627,062.03 0.22
1,774,900.00 US TREASURY N/B 1.625 16-23 30/04S 1,442,452.45 0.19 1,278,500.00 US TREASURY NOTE 2.25 17-24 31/12S 1,054,423.64 0.14
1,842,900.00 USA TREASURY NOTES 1.625 16-26 15/05S 1,435,612.99 0.19 700,000.00 US TREASURY NOTES 2.25 18-20 29/02S 598,596.28 0.08
1,580,100.00 USA T NOTES 2.50 16-46 15/05S 1,186,520.42 0.16 200,000.00 WI TREASURY SEC. 2.00 18-20 31/01S 170,580.20 0.02
155,600.00 USA T NOTES 1.625 16-23 31/05S 126,324.53 0.02 6,812,800.00 US TREASURY NOTES 2.125 17-24 30/11S 5,580,720.52 0.75
3,123,200.00 USA TREASURY NOTES 1.125 16-21 30/06S 2,565,938.97 0.35 1,643,300.00 USA TREASURY BONDS 2.5 18-25 31/01S 1,374,409.09 0.19
1,508,300.00 USA TREASURY NOTES 1.50 16-23 31/03S 1,220,411.05 0.16 2,400,600.00 US TREASURY N/B 2.8750 18-28 15/05S 2,035,646.49 0.27
7,587,600.00 USA T NOTES 1.375 16-23 30/06S 6,081,940.58 0.82 2,318,900.00 ETATS-UNIS 2.875 18-25 30/04S 1,981,106.64 0.27
1,155,000.00 USA T NOTES 2.25 16-46 15/08S 821,082.29 0.11 1,855,400.00 US TREASURY N/B 3.1250 18-48 15/05S 1,576,326.20 0.21
1,616,300.00 US TREASURY NOTES 1.50 16-26 15/08S 1,242,676.29 0.17 6,176,400.00 US TREASURY N/B 2.5000 18-20 31/05S 5,292,887.92 0.71
181,700.00 US TREASURY N/B 1.375 16-23 31/08S 145,234.60 0.02 8,141,300.00 US TREASURY NOTES 2.500 18-23 31/03S 6,879,790.67 0.93
2,403,400.00 US TREASURY N/B 1.125 16-21 31/08S 1,968,346.21 0.27 10,983,600.00 WI TREASURY SEC 2.3750 18-20 30/04S 9,398,767.23 1.28
517,000.00 USA T NOTES 1.125 16-21 30/09S 422,771.43 0.06 759,800.00 WI TREASURY SEC. 2.75 18-23 30/06S 644,955.07 0.09
597,400.00 USA TREASURY NOTES 2.00 16-26 15/11S 475,940.60 0.06 1,202,100.00 ETATS-UNIS 2.75 18-25 30/06S 1,018,581.44 0.14
1,846,500.00 US TREASURY N/B 2.875 16-46 15/11S 1,495,362.95 0.20 1,371,300.00 WI TREASURY SEC 2.7500 18-23 31/07S 1,170,298.00 0.16
1,503,400.00 USA TREASURY BONDS 1.75 16-21 30/11 1,249,816.55 0.17 1,807,300.00 US 2.875 18-25 31/07S 1,542,876.30 0.21
794,800.00 US T NOTES 2.125 16-23 30/11S 657,183.34 0.09 1,440,100.00 WI TREASURY SEC. 2.750 18-23 30/04S 1,229,739.89 0.17
726,200.00 US TREASURY NOTE 1.625 16-23 31/10S 586,271.45 0.08 897,200.00 US TREASURY N/B 3.0000 18-48 15/08S 743,603.22 0.10
2,239,600.00 US TREASURY N/B 1.375 16-23 30/09S 1,787,874.90 0.24 7,092,000.00 ETATS-UNIS 2.5 18-20 30/06S 6,075,487.13 0.82
996,700.00 USA T NOTES 1.25 16-21 31/10S 816,918.33 0.11 1,140,500.00 WI TREASURY SEC 2.8750 18-23 31/05S 973,941.78 0.13
1,378,200.00 USA T NOTES 1.25 16-23 31/07S 1,096,603.07 0.15 2,038,300.00 USA TREASURY NOTES 2.625 18-25 31/03S 1,715,812.25 0.23
2,373,900.00 US TREASURY N/B 2.00 17-21 31/12S 1,987,218.37 0.27 9,799,000.00 USA 2.625 18-20 31/07S 8,409,810.58 1.13
4,116,500.00 USA 1.625 17-20 15/03S 3,488,054.88 0.47 2,686,800.00 US TREASURY NOTES 2.875 18-25 31/05S 2,294,511.12 0.31
1,197,700.00 US TREASURY N/B 3.00 17-47 15/02S 993,947.92 0.13 Transferable securities dealt in on another regulated market 123,629,391.12 16.67
1,181,800.00 US TREASURY N/B 2.125 17-24 29/02S 974,870.53 0.13
2,759,100.00 USA T NOTES B 2.25 17-27 15/02S 2,236,182.73 0.30 Bonds 123,629,391.12 16.67
2,648,900.00 US TREASURY N/B 1.875 17-22 31/201 2,202,635.72 0.30 Belgium 4,692,098.65 0.63
200,000.00 US T-NOTE 1.375 17-20 15/01S 169,288.77 0.02
486,413.00 BELGIQUE REGS 72 2.60 14-24 22/06A 552,312.24 0.07
2,831,500.00 WI TREASURY SEC. 1.875 17-22 31/01S 2,358,282.00 0.32
353,010.00 BELGIUM OLO 75 1.00 15-31 22/06A 349,885.86 0.05
485,800.00 USA TREASURY NOTES 2.25 17-24 31/01S 403,597.10 0.05
836,128.00 BELGIQUE 1.00 16-26 22/06A 864,163.37 0.12
4,353,600.00 USA T NOTES 1.50 17-20 15/05S 3,672,779.05 0.50
285,534.00 BELGIUM 1.60 16-47 22/06A 278,272.87 0.04
821,600.00 US TREASURY NOTES 2.00 17-24 31/05S 671,633.91 0.09
464,520.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 466,549.95 0.06
1,773,600.00 USA TREASURY NOTES 3.00 17-47 15/05S 1,470,921.76 0.20
546,852.00 BELGIUM OLO 144A/REGS 0.80 17-27 22/06A 551,336.18 0.07
1,447,200.00 US TREASURY N/B FL.R 17-22 30/05S 1,195,795.39 0.16
249,800.00 BELGIUM KINGDOM 2.25 17-57 22/06A 272,544.29 0.04
2,467,500.00 USA T NOTES 2.375 17-27 15/05S 2,017,108.81 0.27
726,717.00 BELGIUM OLO 0.50 17-24 22/10A 735,750.10 0.10
6,293,800.00 USA T NOTES 1.50 17-20 15/06S 5,303,535.73 0.71
623,097.00 BELGIUM KINGDOM 0.80 18-28 22/06A 621,283.79 0.08
1,757,900.00 US TREASURY N/B 2.125 17-24 31/03S 1,449,092.21 0.20
1,347,800.00 USA TREASURY NOTES 2.00 17-24 30/04S 1,102,693.50 0.15 Canada 3,955,860.11 0.53
2,179,700.00 US TREASURY N/B 2.00 17-24 30/06S 1,780,154.79 0.24 507,000.00 CANADA GOVT BONDS 4.00 08-41 01/06S 428,787.32 0.06
2,711,800.00 WI TREASURY SEC. 1.75 17-22 30/06A 2,238,705.07 0.30 543,000.00 CANADA 2.75 14-48 01/12S 387,241.88 0.05
3,132,600.00 WI TREASURY SEC. 1.875 17-22 30/04S 2,602,317.43 0.35 706,000.00 CANADIAN GOVT 0.75 15-21 01/03S 453,923.64 0.06
1,131,600.00 US TREASURY 2.125 17-24 31/07S 929,806.88 0.13 230,000.00 CANADA 1.00 17-22 01/09S 145,783.87 0.02
1,008,200.00 WI TREASURY SEC. 1.75 17-22 31/07S 835,295.35 0.11 10,000.00 CANADIAN GOVERNMENT 1.25 17-19 01/11S 6,603.39 0.00
2,256,400.00 US TREASURY N/B 2.25 17-27 15/08S 1,821,851.16 0.25 1,334,000.00 CANADIAN GOVERNMENT 1.75 18-20 01/05S 882,580.48 0.11
1,284,600.00 USA T NOTES 1.875 17-24 31/08S 1,040,099.81 0.14 300,000.00 CANADIAN GOVERNMENT 1.25 17-20 01/02S 197,491.26 0.03
2,136,100.00 US TREASURY NOTES 1.625 17-22 31/08S 1,751,156.12 0.24 170,000.00 CANADA 2.00 17-51 01/12S 102,595.22 0.01
2,194,400.00 US TREASURY NOTES 2.750 17-47 15/08S 1,730,463.31 0.23 1,198,000.00 CANADA GOV 1.75 18-20 01/08S 791,413.31 0.11
5,614,600.00 WI TREASURY SEC. 1.875 17-22 31/10S 4,661,712.94 0.63 570,000.00 CANADA GVT 2.0 18.23 06/04S 373,793.23 0.05
4,273,000.00 US TREASURY NOTES 2.750 17-47 15/11S 3,368,459.42 0.45 280,000.00 CANADA GOVT 2 18-20 01/11S 185,646.51 0.03
5,101,400.00 US TREASURY NOTE 2.25 17-27 15/11S 4,111,226.39 0.55
8,810,400.00 USA TREASURY BONDS 2.25 18-20 31/03S 7,529,658.37 1.02

The accompanying notes form an integral part of these financial statements

192
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Italy 13,332,157.61 1.80 175,800,000.00 JAPAN GOVT 149 1.50 14-34 20/06S 1,545,860.44 0.21
2,022,000.00 ITALIE BTP 0.65 15-20 01/11S 1,997,109.18 0.27 35,550,000.00 JAPAN GOVT 043 1.70 14-44 20/06S 325,352.47 0.04
1,126,000.00 ITALY BTP 0.95 16-23 15/03S 1,065,612.62 0.14 76,300,000.00 JAPAN 122 0.10 14-19 20/12S 579,926.03 0.08
654,000.00 ITALY BTP 1.60 16-26 01/06S 600,502.80 0.08 92,000,000.00 JAPAN 123 0.10 15-20 20/03S 699,597.21 0.09
2,051,000.00 ITALIE 0.45 16-21 01/06S 1,991,131.31 0.27 60,050,000.00 JAPAN -80- 2.10 05-25 20/06S 519,206.81 0.07
683,000.00 ITALIE 0.05 16-19 15/10S 680,548.03 0.09 156,550,000.00 JAPAN (20 YEAR ISSUE 2.10 10-30 20/03S 1,439,326.37 0.19
1,214,000.00 ITALY BTP 1.20 17-22 01/04S 1,182,479.10 0.16 31,400,000.00 JAPAN (30 YEAR ISS 1.60 15-45 20/06S 282,092.81 0.04
1,097,000.00 ITALY 1.85 17-24 15/05S 1,056,838.83 0.14 58,500,000.00 JAPAN 339 0.40 15-25 20/06S 455,179.83 0.06
2,100,000.00 ITALY 0.35 17-20 15/06S 2,076,354.00 0.28 141,250,000.00 JAPAN 30 2.30 09-39 20/03S 1,402,403.76 0.19
853,000.00 ITALY TREASURY BONDS 0.90 17-22 01/08S 816,141.87 0.11 95,250,000.00 JAPAN 122 1.80 10-30 20/09S 854,520.19 0.12
1,472,000.00 ITALY 1.45 17-24 15/10S 1,372,625.28 0.19 124,200,000.00 JAPAN 125 0.10 15-20 20/09S 945,407.06 0.13
512,000.00 ITALY 0.05 18-21 15/04S 492,814.59 0.07 66,900,000.00 JAPAN 1.00 15-35 20/12S 547,288.04 0.07
41,450,000.00 JAPAN 0.30 15-25 20/12S 320,524.38 0.04
Japan 82,777,967.70 11.16
65,000,000.00 JAPAN 49 1.40 15-45 20/12S 560,015.23 0.08
157,850,000.00 JAPAN 048 JGB 2.50 00-20 21/12S 1,265,884.53 0.17 27,650,000.00 JAPAN 343 0.10 16-26 20/06S 210,548.60 0.03
89,650,000.00 JAPAN 025 JGB 2.30 06-36 20/12S 882,297.77 0.12 116,850,000.00 JAPAN 157 0.20 16-36 20/06S 834,306.30 0.11
65,650,000.00 JAPAN 072 JGB 2.10 04-24 20/09S 560,669.08 0.08 94,100,000.00 JAPAN N52 0.50 16-46 20/09S 650,958.97 0.09
112,600,000.00 JAPAN 026 JGB 2.40 07-37 20/03S 1,123,823.60 0.15 186,400,000.00 JAPAN -129- 0.10 16-21 20/09S 1,421,075.89 0.19
160,350,000.00 JAPAN 027 JGB 2.50 07-37 20/09S 1,626,738.96 0.22 160,900,000.00 JAPAN 130 0.10 16-21 20/12S 1,227,266.65 0.17
75,200,000.00 JAPAN 075 JGB 2.10 05-25 20/03S 647,603.85 0.09 261,550,000.00 JAPAN 53 2.10 01-21 20/12S 2,122,668.89 0.29
49,300,000.00 JAPAN 001 JGB 2.40 07-48 20/03S 520,596.70 0.07 160,200,000.00 JAPAN 0.10 16-21 20/03S 1,220,433.81 0.16
130,800,000.00 JAPAN 106 JGB 2.20 08-28 20/09S 1,194,013.87 0.16 61,250,000.00 JAPAN 127 1.90 11-31 20/03S 557,206.05 0.08
56,850,000.00 JAPAN 110 JGB 2.10 09-29 20/03S 517,492.76 0.07 30,900,000.00 JAPAN 0.60 16-36 20/12S 235,376.26 0.03
78,800,000.00 JAPAN GOVT 70 2.40 04-24 20/06S 680,224.82 0.09 94,950,000.00 JAPAN 85 2.10 06-26 20/03S 830,676.66 0.11
174,800,000.00 JAPAN 045 JGB 2.40 00-20 20/03S 1,373,978.42 0.19 39,100,000.00 JAPAN -316- 1.10 11-21 20/06S 306,062.88 0.04
102,000,000.00 JAPAN GOVT 118 2.00 10-30 20/06S 930,879.79 0.13 231,550,000.00 JAPAN 52 2.10 01-21 21/09S 1,869,666.78 0.25
119,750,000.00 JAPAN 116 JGB 2.20 10-30 20/03S 1,111,160.99 0.15 138,800,000.00 JAPAN 120 1.60 10-30 20/06S 1,218,625.47 0.16
113,950,000.00 JAPAN 35 2.00 11-12 20/09S 1,092,392.59 0.15 111,100,000.00 JAPAN -345- 0.10 16-26 20/12S 844,873.35 0.11
42,500,000.00 JAPAN GOVT 133 1.80 11-31 20/12S 384,313.34 0.05 160,600,000.00 JAPON 0.10 17-27 20/03S 1,220,389.09 0.16
44,650,000.00 JAPAN-123 2.10 11-30 20/12S 413,410.76 0.06 92,700,000.00 JAPON 0.90 17-57 20/03S 676,547.20 0.09
9,700,000.00 JAPAN-81 2.00 06-25 20/09S 83,714.88 0.01 211,000,000.00 JAPON 0.10 17-27 20/06S 1,602,111.96 0.22
142,750,000.00 JAPAN -321- 1.00 12-22 20/03S 1,123,019.17 0.15 279,900,000.00 JAPON 0.10 17-22 20/03S 2,135,980.13 0.29
114,750,000.00 JAPAN 036 JGB 2.00 12-42 20/03S 1,102,123.27 0.15 251,650,000.00 JAPAN 134 0.10 17-22 20/12S 1,922,000.27 0.26
93,450,000.00 JAPAN 37 1.90 12-42 20/09S 883,712.34 0.12 201,300,000.00 JAPON 0.60 17-37 20/09S 1,523,211.56 0.21
107,550,000.00 JAPAN GOVT 140 1.70 12-32 20/09S 965,642.14 0.13 144,850,000.00 JAPAN 349 0.10 17-27 20/12S 1,097,939.04 0.15
143,050,000.00 JAPAN GOVT 328 0.60 13-23 20/03S 1,117,084.43 0.15 230,600,000.00 JAPAN 163 0.60 17-37 20/12S 1,740,411.33 0.23
130,650,000.00 JAPAN GOVT 34 2.20 11-41 20/03S 1,291,199.79 0.17 112,350,000.00 JAPON 0.80 17-47 20/09S 836,827.77 0.11
158,450,000.00 JAPAN -32- 2.30 10-40 20/03S 1,583,262.94 0.21 123,850,000.00 JAPAN 57 0.80 17-47 20/12S 921,301.53 0.12
92,150,000.00 JAPAN -142- 1.80 12-13 20/12S 837,360.90 0.11 28,650,000.00 JAPAN 383 0.10 17-19 15/12S 217,750.77 0.03
145,900,000.00 JAPAN GOVT 1.90 11-31 20/06S 1,329,167.59 0.18 115,650,000.00 JAPON 0.10 18-20 15/02S 879,316.60 0.12
66,900,000.00 JAPAN NO 59 1.70 02-22 20/12S 545,183.61 0.07 226,600,000.00 JAPON 0.1 18-20 15/05S 1,723,705.15 0.23
87,100,000.00 JAPAN -137- 1.70 12-32 20/06S 780,948.23 0.11 103,950,000.00 JAPAN 71 2.20 04-24 20/06S 888,305.30 0.12
113,850,000.00 JAPAN -145- 1.70 13-33 20/06S 1,024,588.74 0.14 50,600,000.00 JAPON 0.8 18-58 20/03S 355,295.77 0.05
166,650,000.00 JAPAN 330 0.80 13-23 20/09S 1,317,319.31 0.18 94,800,000.00 JAPON 0.1 18-20 01/06S 721,205.47 0.10
61,450,000.00 JAPAN JGB -6 1.90 13-53 20/03S 592,985.58 0.08 Spain 11,402,625.61 1.54
78,050,000.00 JAPAN JGB 146 1.70 13-33 20/09S 703,212.57 0.09
32,400,000.00 JAPAN GOVT 040 1.80 13-43 20/09S 301,720.38 0.04 655,000.00 SPANISH 4.90 07-40 30/07A 951,420.25 0.13
268,550,000.00 JAPAN GOVT 329 0.80 13-23 20/06S 2,119,389.14 0.29 41,000.00 SPAIN 4.80 08-24 31/01A 49,883.47 0.01
176,850,000.00 JAPAN GOVT 039 1.90 13-43 20/06S 1,674,156.06 0.23 480,000.00 SPAIN 4.70 09-41 30/07A 682,646.40 0.09
135,950,000.00 JAPAN -332- 0.60 13-23 20/12S 1,065,246.86 0.14 319,000.00 SPAIN 4.65 10-25 30/07A 396,842.38 0.05
113,800,000.00 JAPAN GOVT 148 1.50 14-34 20/03S 1,000,779.95 0.13 1,170,000.00 SPAIN 4.85 10-20 31/10A 1,290,861.00 0.17
186,950,000.00 JAPAN GOVT 65 1.90 03-23 20/12S 1,561,234.93 0.21 279,000.00 SPAIN GOVT 5.40 13-23 31/01A 339,127.29 0.05
58,200,000.00 JAPAN 68 2.20 04-24 20/03S 495,138.28 0.07 2,312,000.00 SPAIN 4.40 13-23 31/10A 2,751,095.04 0.37
49,850,000.00 JAPAN 136 1.60 12-32 20/03S 441,428.81 0.06 1,502,000.00 SPAIN 1.40 14-20 31/01A 1,535,547.17 0.21
97,000,000.00 JAPAN -334- 0.60 14-24 20/06S 761,771.56 0.10 773,000.00 SPAIN GOVT 1.95 15-30 30/07A 793,994.64 0.11
33,000,000.00 JAPAN 07 1.70 14-54 20/03S 304,341.20 0.04 1,173,000.00 SPAIN 2.15 15-25 31/10A 1,263,285.81 0.17
109,350,000.00 JAPAN -138- 1.50 12-32 20/06S 958,007.08 0.13 586,000.00 SPAIN 1.15 15-20 30/07A 600,362.86 0.08

The accompanying notes form an integral part of these financial statements

193
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
495,000.00 SPAIN 2.90 16-46 31/10A 534,124.80 0.07
185,000.00 SPAIN 3.45 16-66 30/07A 213,434.50 0.03
United States of America 7,468,681.44 1.01

1,118,300.00 USA TREASURY NOTES 4.375 11-41 15/05S 1,147,770.89 0.15


4,919,300.00 USA T NOTES 2.00 13-20 31/07S 4,175,243.90 0.57
2,279,600.00 USA TREASURY NOTES 1.875 17-22 15/02S 1,897,392.34 0.26
298,600.00 US TREASURY N/B 2.25 17-23 31/12S 248,274.31 0.03
Total securities portfolio 737,477,052.81 99.42

The accompanying notes form an integral part of these financial statements

194
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
27,000.00 ENBRIDGE INC 4.25 16-26 01/12S 27,155.79 0.01
Long positions 254,485,833.17 98.17
300,000.00 BANK OF NOVA SCOTIA 2.70 17-22 07/03S 292,539.00 0.11
Other transferable securities 2,215,998.05 0.85 32,000.00 MANULIFE FINANCIAL 4.90 10-20 17/09S 32,947.52 0.01
250,000.00 CANADIAN NATL RESO FL.R 17-23 15/01S 241,275.00 0.09
Bonds 2,215,998.05 0.85
250,000.00 CANADIAN NATL RESOURCE 3.85 17-27 01/06S 243,325.00 0.09
United States of America 2,215,998.05 0.85 190,000.00 ENBRIDGE INC 3.7 17-27 15/07S 183,287.30 0.07
130,000.00 DIAMOND 1 FIN 144A 8.35 16-46 15/07S 161,872.10 0.06 100,000.00 ENBRIDGE 2.90 17-22 15/07S 97,019.00 0.04
600,000.00 DIAMOND 1 FIN 144A 4.42 16-21 15/06S 608,808.00 0.23 65,000.00 CANADA PAC RAILWAY CO 4.80 15-45 01/08S 69,235.40 0.03
170,000.00 DIAMOND 1 FIN 144A 5.45 16-23 15/06S 178,639.40 0.07 135,000.00 FORTIS INC 2.10 17-21 04/10S 128,962.80 0.05
200,000.00 DIAMOND 1 FIN 144A 6.02 16-26 15/06S 213,616.00 0.08 70,000.00 TORONTO DOMINION BANK 1.85 17-20 11/09S 68,296.90 0.03
150,000.00 DIAMOND 1 FIN 144A 8.10 16-36 15/07S 179,850.00 0.07 500,000.00 ROYAL BANK OF CANADA 2.15 17-20 26/10S 489,735.00 0.18
25,000.00 MAPLE ESCROW 5.085 18-48 25/05S 25,413.50 0.01 200,000.00 CENOVUS ENERGY INC 5.25 17-37 15/06S 198,480.00 0.08
100,000.00 MAPLE ESCROW 4.985 18-38 25/05S 101,159.00 0.04 250,000.00 SUNCOR ENERGY INC 4.00 17-47 15/11S 234,757.50 0.09
150,000.00 MAPLE ESCROW 4.597 18-28 25/05S 151,009.50 0.06 150,000.00 BANK OF MONTREAL 1.9 16-21 27/08S 144,051.00 0.06
300,000.00 MAPLE ESCROW SUBS 4.057 18-23 25/05S 300,378.03 0.12 150,000.00 CANADIAN NATL RESO FL.R 17-47 30/06S 156,426.00 0.06
200,000.00 AT ET T 4.9 18-37 15/08S 191,090.00 0.07 25,000.00 ENBRIDGE INC 5.50 16-46 01/12S 27,959.25 0.01
24,000.00 DISCOVERY COMM 3.9 17-24 15/11S 23,512.08 0.01 42,000.00 CENOVUS ENERGY INC 4.25 17-27 15/04S 40,600.98 0.02
30,000.00 DISCOVERY COMM LLC 3.5 17-22 15/06S 29,563.20 0.01 450,000.00 BANK OF MONTREA 3.1000 18-21 13/04S 448,065.00 0.16
50,000.00 REGENCY CENTERS 4.125 18-28 15/03S 49,112.00 0.02 250,000.00 CANADIAN IMPERIAL 2.70 18-21 02/02S 246,105.00 0.09
2,000.00 NISOURCE INC 3.65 18-23 15/06S 1,975.24 0.00 200,000.00 BANQUE TORONTO-DOMIN 2.55 18-21 25/01S 196,928.00 0.08
50,000.00 ROGERS COMMUNICATIONS 4.30 18-48 15/02S 48,095.50 0.02
Transferable securities admitted to an official stock exchange 251,661,441.42 97.09
100,000.00 KINROSS 4.5 18-27 15/07S 89,828.00 0.03
listing
Bonds 235,090,245.33 90.70 50,000.00 ROYAL BANK OF C 3.2000 18-21 30/04S 49,898.00 0.02
36,000.00 CENOVUS ENERGY 5.40 17-47 15/06S 35,982.00 0.01
Australia 1,271,519.08 0.49
100,000.00 NUTRIEN LTD 3.3750 18-25 15/03S 94,951.00 0.04
70,000.00 WESTPAC BK CORP 2.65 18-21 25/01S 68,858.30 0.03 200,000.00 ROYAL BANK OF CANADA 2.125 17-20 02/03S 197,532.00 0.08
120,000.00 WESTPAC BKING CORP 3.40 18-28 25/01S 114,400.80 0.04 300,000.00 TORONTO DOMINION BANK 3 18-20 11/06S 299,472.00 0.12
300,000.00 WESTPAC BANKING CORP 3.05 18-20 15/05S 299,280.00 0.12 80,000.00 BANK OF NOVA SCOTIA 2.5 18-21 08/01S 78,636.00 0.03
300,000.00 WESTPAC BANKING CO 2.60 15-20 23/11S 295,716.00 0.11 100,000.00 CANADIAN NATL R 6.2000 06-36 01/06S 123,715.00 0.05
200,000.00 WESTPAC BANKING CORP 3.65 18-23 15/05S 200,061.98 0.08 20,000.00 NUTRIEN LTD 5.875 17-36 01/12S 21,821.80 0.01
300,000.00 WESTPAC BANKING CO 2.80 17-22 11/01S 293,202.00 0.11 200,000.00 NUTRIEN LTD 4.1250 18-35 15/03S 183,432.00 0.07
Bermuda 593,903.60 0.23 100,000.00 MANULIFE 4.15 16-26 04/03S 100,873.01 0.04
100,000.00 THOMSON REUTERS CORP 4.50 13-43 23/05S 93,044.00 0.04
200,000.00 AIRCASTLE 7.625 12-20 15/04S 211,616.00 0.08
40,000.00 CANADIAN NATL R 2.7500 16-26 01/03S 37,534.00 0.01
18,000.00 XLIT SUB 4.45 15-25 31/03S 17,838.00 0.01
500,000.00 BK OF NOVA SCOTIA 3.125 18-21 20/04S 497,415.00 0.18
300,000.00 AIRCASTLE 5.50 15-22 15/02S 311,742.00 0.12
35,000.00 ROGERS COMMUNICATI 4.50 13-43 15/03S 34,039.60 0.01
36,000.00 ATHENE HOLDING LTD 4.125 18-28 12/01S 33,694.56 0.01
100,000.00 CANADIAN PACIFIC RAIL 4 18-28 01/06S 100,532.00 0.04
18,000.00 XLIT SUB 5.50 15-45 31/03S 19,013.04 0.01
70,000.00 BANK OF MONTREAL 2.35 17-22 11/09S 67,092.20 0.03
Canada 7,635,316.86 2.95 100,000.00 CANADIAN NATL R 2.4000 18-20 03/02S 99,127.00 0.04
20,000.00 CANADIAN NATL RESOURCE 6.25 07-38 15/03S 23,582.60 0.01 120,000.00 ROGERS COMMUNIC 2.9000 16-26 15/11S 110,191.20 0.04
150,000.00 ENCANA 3.90 11-21 15/11S 150,559.52 0.06 60,000.00 NUTRIEN LTD 6.1250 18-41 15/01S 67,584.00 0.03
50,000.00 ENCANA CORP 6.50 04-34 15/08S 58,142.50 0.02 100,000.00 TELUS CORP 4.6000 18-48 16/11S 99,710.00 0.04
50,000.00 CENOVUS ENERGY 3.00 12-22 15/05S 48,083.00 0.02 60,000.00 CANADIAN PACIFI 4.8000 15-35 15/09S 63,556.80 0.02
23,000.00 TOTAL CAPITAL 2.75 13-23 15/07S 22,251.58 0.01 300,000.00 TORONTO-DOMINIO 3.2500 18-21 11/06S 299,631.00 0.12
40,000.00 PETRO CANADA 6.80 08-38 15/05S 50,692.40 0.02 60,000.00 HUSKY ENERGY INC 7.25 09-19 15/12S 62,833.80 0.02
100,000.00 ENCANA 6.50 07-38 01/02S 117,902.00 0.05 Cayman Islands 1,534,060.80 0.59
60,000.00 CENOVUS ENERGY 6.75 10-39 15/11S 67,725.60 0.03
200,000.00 BAIDU INC 3.00 15-20 30/06U 198,160.00 0.08
89,000.00 ROGERS COMMUNICATIONS 5.00 14-44 15/03S 93,156.30 0.04
200,000.00 ALIBABA GRP 4.20 17-47 06/12S 181,784.00 0.07
70,000.00 CANADIAN PACIFIC RR 2.90 15-25 01/02S 66,530.80 0.03
200,000.00 ALIBABA GROUP 4.0 17-37 06/12S 183,426.00 0.07
20,000.00 CANADIAN PACIFIC 6.125 15-15 15/09S 23,589.00 0.01
200,000.00 ALIBABA GROUP 3.40 17-27 06/12S 186,866.00 0.07
50,000.00 CANADIAN NATURAL RES. 3.45 11-21 15/11S 49,755.50 0.02
250,000.00 ALIBABA GROUP 2.80 17-23 06/06S 240,675.00 0.08
22,000.00 CENOVUS ENERGY INC 5.70 10-19 15/10S 22,511.06 0.01
100,000.00 FIBRIA OVERSEAS 4.00 17-25 14/01S 92,509.00 0.04
30,000.00 MANULIFE FINANCIAL 5.375 16-46 04/03S 33,842.10 0.01
200,000.00 BAIDU 4.375 18-28 29/03S 197,236.00 0.08
35,000.00 ROGERS COMMUNICATIONS 3.625 15-25 15/12S 34,138.65 0.01
60,000.00 SEAGATE 4.875 17-24 03/02S 59,098.80 0.02
50,000.00 GOLDCORP 5.45 14-44 09/06S 51,958.50 0.02
150,000.00 SEAGATE HDD CAYMAN 4.25 17-22 01/03S 149,068.50 0.06
70,000.00 SUNCOR ENERGY INC 3.60 14-24 01/12S 69,294.40 0.03
50,000.00 SEAGATE HDD 5.75 15-16 01/12S 45,237.50 0.02
100,000.00 SUNCOR ENERGY 6.85 08-39 01/06S 127,923.00 0.05

The accompanying notes form an integral part of these financial statements

195
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Chile 200,587.98 0.08 200,000.00 SUMITOMO MITSUI FIN 3.544 18-28 17/01S 191,062.00 0.07
200,000.00 ARAUCO 4.50 14-24 01/08S 200,587.98 0.08 Jersey Island 53,977.80 0.02
France 2,155,945.05 0.83 60,000.00 APTIV 4.40 17-46 01/10S 53,977.80 0.02
50,000.00 AXA SUB 8.60 00-30 15/12S 65,247.00 0.03 Liberia 196,624.00 0.08
300,000.00 TOTAL CAPITAL 4.45 10-20 24/06S 307,194.00 0.12 200,000.00 ROYAL CARIBBEAN 2.65 17-20 28/11S 196,624.00 0.08
130,000.00 ORANGE 4.125 11-21 14/09S 132,901.60 0.05
Luxembourg 2,172,695.60 0.84
100,000.00 ORANGE 5.375 12-42 13/01S 109,953.00 0.04
36,000.00 TOTAL CAPITAL 2.875 12-22 17/02S 35,512.92 0.01 150,000.00 ARCELORMITTAL 7.75 09-39 15/10S 174,613.50 0.07
36,000.00 TOTAL CAP INT 3.70 13-24 15/01S 36,299.52 0.01 133,000.00 HOWARD HUGHES MEDICAL 3.50 13-23 01/09S 133,851.20 0.05
120,000.00 ORANGE 5.50 14-44 06/02S 134,934.00 0.05 220,000.00 ACTAVIS FUNDING SCS 3.85 14-24 15/06S 217,661.40 0.08
250,000.00 BPCE 2.25 15-20 27/01S 246,855.00 0.10 200,000.00 ACTAVIS FUNDING SCS 3.00 15-20 12/03S 199,686.00 0.08
400,000.00 BNP PARIBAS 2.375 15-20 21/05 394,516.00 0.16 200,000.00 ALLERGAN FUNDING 3.45 15-22 15/03S 198,618.00 0.08
250,000.00 BPCE SA 2.65 16-21 03/02S 245,320.00 0.09 300,000.00 ALLERGAN FUNDING 4.55 15-35 15/03S 290,991.00 0.10
100,000.00 SANOFI 3.3750 18-23 19/06S 100,040.01 0.04 170,000.00 ALLERGAN FUNDING SCS 3.80 15-25 15/03S 166,392.60 0.06
350,000.00 SANOFI 3.6250 18-28 19/06S 347,172.00 0.13 200,000.00 ACTAVIS FUNDING 4.75 15-45 15/03S 194,946.00 0.08
200,000.00 ARCELORMITTAL 6.125 15-25 01/06 217,392.00 0.08
Germany 153,738.80 0.06
200,000.00 MEDTRONIC 3.35 17-27 01/04S 195,006.00 0.08
60,000.00 DEUTSCHE BANK AG 2.95 15-20 20/08S 59,044.80 0.02 90,000.00 COVIDIEN INTER FIN 4.2 10-20 15/06S 91,584.90 0.04
100,000.00 MYLAN NV 3.95 17-26 15/06S 94,694.00 0.04 90,000.00 TECO FINANCE INC 5.15 10-20 15/03S 91,953.00 0.04
Guernsey 1,002,152.50 0.39 Mexico 918,602.80 0.35
250,000.00 CS GR FUNDING 3.80 16-22 15/09S 248,575.00 0.10 20,000.00 AMX 6.375 05-35 01/03S 23,633.80 0.01
250,000.00 CS GR FUNDING 3.45 16-21 16/04S 248,925.00 0.10 100,000.00 AMERICA MOVIL 5.00 10-20 30/03S 102,400.00 0.04
250,000.00 CS GR FDG 4.55 16-26 17/04S 250,965.00 0.10 100,000.00 AMERICA MOVIL SAB DE 6.125 07-37 15/11S 115,905.00 0.04
250,000.00 CREDIT SUISSE GROUP 4.875 15-45 15/05S 253,687.50 0.09 60,000.00 GRUPO TELEVISA S.A. 6.625 10-40 15/01S 68,160.00 0.03
Ireland 1,540,207.10 0.59 200,000.00 AMERICA MOVIL 4.375 12-42 16/07S 195,156.00 0.08
200,000.00 AMERICA MOVIL SA 3.125 12-22 16/07S 195,922.00 0.08
200,000.00 PERRIGO FINANCE 4.375 16-26 15/03S 196,208.00 0.08
200,000.00 GRUPO TELEVISA SAB 6.125 15-49 31/01 217,426.00 0.07
250,000.00 SHIRE ACQ INV IRL 3.20 16-26 23/09S 230,557.50 0.08
100,000.00 JOHNSON CONTROLS INTL FL.R 16-44 02/07S 97,905.00 0.04 Netherlands 3,150,425.90 1.22
170,000.00 JOHNSON CONTROLS 3.625 16-24 02/07S 167,555.40 0.06 50,000.00 DEUTSCHE TELEKOM 8.75 00-30 15/06S 67,594.50 0.03
20,000.00 JOHNSON CONTROLS INTL 4.50 17-47 15/02S 19,198.00 0.01 100,000.00 TELEFONICA EUROPE GLOB8.25 00-30 15/09S 128,479.00 0.05
50,000.00 SHIRE ACQ INV IRL 1.90 16-19 23/09S 49,462.00 0.02 180,000.00 DEUTSCHE TELEKOM INTL 9.25 02-32 01/06S 260,661.60 0.10
400,000.00 AERCAP IRELAND CAP 4.50 15-21 15/05S 405,984.00 0.15 100,000.00 RABOBANK NEDERLAND 4.50 11-21 11/01A 102,338.00 0.04
150,000.00 AERCAP IRELAND CAP 3.875 18-28 23/01S 139,375.50 0.05 80,000.00 DELHAIZE GROUP 5.70 10-40 01/10S 86,901.60 0.03
40,000.00 JOHNSON CONTROLS INTL 5.125 16-45 14/09S 41,599.20 0.02 20,000.00 LYB INTL FIN 4.875 14-44 15/03S 19,503.00 0.01
50,000.00 JOHNSON CONTROLS 4.95 16-64 02/07S 47,884.00 0.02 250,000.00 RABOBANK NL SUB 4.375 15-25 04/08S 247,225.00 0.10
150,000.00 AERCAP IRELAND 3.3000 18-23 23/01S 144,478.50 0.06 200,000.00 CNH INDUSTRIAL FIN 4.50 16-23 15/08S 203,264.00 0.08
Japan 3,622,494.90 1.40 420,000.00 LYB INTERNATIONAL 3.5 17-27 02/03S 393,388.80 0.15
300,000.00 ING GROEP 3.15 17-22 29/03S 292,713.00 0.11
200,000.00 MITSUBISHI CORP 3.85 16-26 01/03S 196,364.00 0.08
200,000.00 MYLAN NV 3.15 17-21 15/06S 196,954.00 0.08
250,000.00 SUMITOMO MITSUI FINL 2.632 16-26 14/07S 225,250.00 0.09
20,000.00 CNH INDUSTRIAL NV 3.85 17-27 15/11S 18,970.20 0.01
300,000.00 MITSUBISHI UFJ FIN 2.998 17-22 22/02S 293,547.00 0.11
100,000.00 RABOBANK NED. 5.25 11-41 24/05S 112,311.00 0.04
150,000.00 MITSUBISHI UFJ FIN 2.665 17-22 25/07S 144,583.50 0.06
200,000.00 MYLAN NV 3.75 17-20 15/12S 200,124.00 0.08
500,000.00 SUMITOMO MITSUI FINL 2.784 17-22 12/07S 483,625.00 0.19
30,000.00 LYONDELLBASELL 4.6250 15-55 26/02S 26,956.20 0.01
160,000.00 SUMITOMO MITSUI FINL 3.352 17-27 18/10S 150,646.40 0.06
100,000.00 ROYAL PHILIPS NV 6.875 08-38 11/03S 129,922.00 0.05
180,000.00 MITSUBISHI UFJ 3.9610 18-28 02/03S 176,893.20 0.07
500,000.00 COOPERATIEVE RABOB 3.75 16-26 21/07S 472,050.00 0.18
220,000.00 SUMITOMO MITSUI 3.102 18-23 17/01S 213,932.40 0.08
200,000.00 RABOBANK UA 1.875 16-21 19/07A 191,070.00 0.07
200,000.00 SUMITOMO MITSUI 2.778 17-22 18/10S 192,642.00 0.07
250,000.00 SUMITOMO MITSUI 2.514 18-20 17/01S 247,967.50 0.10 Spain 1,699,441.02 0.66
200,000.00 MIZUHO FINANCIAL 4.0180 18-28 05/03S 197,606.00 0.08 100,000.00 TELEFONICA EMIS SA 7.045 06-36 20/06S 120,376.00 0.05
150,000.00 MITSUBISHI UFJ FIN 3.287 17-27 25/07S 141,081.00 0.05 40,000.00 TELEFONICA EMIS SA 5.462 11-21 16/02S 41,752.00 0.02
300,000.00 MITSUBISHI UFJ 2.95 16-21 01/03S 296,097.00 0.11 320,000.00 TELEFONICA EMISIONES 5.134 10-20 27/04S 329,008.00 0.12
270,000.00 MIZUHO FINANCIA 3.5490 18-23 05/03S 266,603.40 0.10 200,000.00 SANTANDER ISSUANCE 5.179 15-25 19/11S 201,146.02 0.08
60,000.00 MITSUBISHI UFJ FIN 3.455 18-23 02/03S 59,130.00 0.02 150,000.00 TELEFONICA EMISION 4.103 17-27 08/03S 144,454.50 0.06
50,000.00 MITSUBISHI UFJ FIN 3.777 18-25 02/03S 49,388.50 0.02 200,000.00 BANCO SANTANDER 3.50 17-22 11/04S 195,800.00 0.08
100,000.00 SUMITOMO MITSUI FINL 2.058 16-21 14/07S 96,076.00 0.04 150,000.00 TELEFONICA EMISIONES 4.895 18-48 06/03S 140,242.50 0.05

The accompanying notes form an integral part of these financial statements

196
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
200,000.00 BANCO SANTANDER 4.3790 18-28 12/04S 190,056.00 0.07 360,000.00 BP CAPITAL MKTS 2.52 17-22 19/09S 347,320.80 0.12
200,000.00 BANCO SANTANDER 3.8480 18-23 12/04S 195,150.00 0.08 600,000.00 GLAXOSMITHKLINE 3.125 18-21 14/05S 598,962.00 0.22
150,000.00 TELEFONICA EMISIONES 4.665 18-38 06/03S 141,456.00 0.05 200,000.00 SANTANDER UK 2.125 17-20 03/11S 194,564.00 0.08
Sweden 739,887.50 0.29 70,000.00 HSBC HOLDINGS P 7.6250 05-32 17/05S 87,778.60 0.03
200,000.00 BARCLAYS PLC 4.95 17-47 10/01S 184,914.00 0.07
250,000.00 SVENSKA HANDELS 3.3500 18-21 24/05S 249,507.50 0.10 200,000.00 BARCLAYS BANK PLC 2.65 18-21 11/01S 196,002.00 0.08
250,000.00 SVENSKA HANDELSBANK 1.950 17-20 08/09S 243,622.50 0.09 250,000.00 SANTANDER UK PL 3.4000 18-21 01/06S 248,925.00 0.10
250,000.00 SKANDINAVISKA ENSK BK 2.30 17-20 11/03S 246,757.50 0.10 100,000.00 HSBC HOLDING PLC 6.1 11-42 14/01S 119,321.00 0.05
United Kingdom 9,896,658.23 3.82 200,000.00 LLOYDS BANKING GROUP 4.45 18-25 08/05S 200,042.00 0.08
100,000.00 HSBC HOLDINGS SUB GBL 6.80 08-38 01/06S 122,652.00 0.05 United States of America 196,552,005.81 75.81
50,000.00 RBS 5.625 10-20 24/08S 51,625.50 0.02 20,000.00 FORD MOTOR CO 7.45 99-31 16/07S 22,227.80 0.01
200,000.00 HSBC HOLDINGS 6.50 07-37 15/09S 237,286.00 0.09 100,000.00 TIME WARNER DEBTS 8.375 93-23 15/03S 115,987.00 0.04
114,000.00 LLOYDS TSB 6.375 11-21 21/01S 121,170.60 0.05 36,000.00 CITIGROUP SUB GLOBAL 6.625 02-32 15/06S 42,376.68 0.02
100,000.00 VODAFONE GROUP 4.375 11-21 16/03S 102,277.00 0.04 20,000.00 CS FIRST BOSTON USA 7.125 02-32 15/07S 25,317.20 0.01
50,000.00 VODAFONE GROUP PLC 6.15 07-27 27/02S 55,276.00 0.02 100,000.00 WEYERHAEUSER CO DEBS 7.375 02-32 15/03S 126,403.00 0.05
150,000.00 BP CAPITAL MKTS 3.561 11-21 01/11S 150,980.99 0.06 100,000.00 GOLDMAN SACHS 6.345 04-34 15/02S 116,132.00 0.04
30,000.00 BP CAPITAL MARKETS 3.245 12-22 06/05S 29,799.90 0.01 200,000.00 KINDER MORGAN ENERGY 5.80 05-35 15/03S 216,498.00 0.08
200,000.00 ASTRAZENECA 4.00 12-42 18/09S 185,750.00 0.07 200,000.00 HOME DEPOT INC 5.875 06-36 16/12S 243,592.00 0.09
69,000.00 VODAFONE GROUP 4.375 13-43 19/02S 61,835.73 0.02 100,000.00 MERRILL LYNCH 6.11 07-37 29/01S 114,997.00 0.04
300,000.00 RBS 6.10 13-23 10/06S 312,675.00 0.11 300,000.00 GOLDMAN SACHS GROUP 6.75 07-37 01/10S 361,077.00 0.14
53,000.00 BP CAPITAL MARKETS 2.75 13-23 10/05S 51,230.86 0.02 410,000.00 JP MORGAN CHASE & JPM 6.40 08-38 15/05S 512,910.00 0.19
44,000.00 BP CAPITAL MARKETS 3.814 14-24 10/02S 44,472.56 0.02 130,000.00 TIME WARNER 7.30 08-38 01/07S 150,317.70 0.06
200,000.00 RBS SUB TIER 2 5.125 14-24 28/05S 199,926.00 0.08 250,000.00 CONOCOPHILLIPS 6.50 09-39 01/02S 323,922.50 0.12
63,000.00 BP CAPITAL MARKETS 2.521 14-20 15/01S 62,627.04 0.02 27,000.00 AMERICAN INTL SUB A6 8.175 09-58 15/05S 33,890.67 0.01
170,000.00 WPP FINANCE 2010 3.75 14-24 19/09S 164,089.10 0.06 250,000.00 ORACLE CORP 6.125 09-39 08/07S 310,277.50 0.12
200,000.00 AON PLC 3.50 14-24 16/01S 195,478.00 0.08 220,000.00 COMCAST 6.50 05-35 15/11S 264,981.20 0.10
200,000.00 LLOYDS BANKING GROUP 4.50 14-24 04/11S 196,740.00 0.08 100,000.00 CREDIT SUISSE NY 5.30 09-19 13/08S 102,027.00 0.04
200,000.00 BARCLAYS 5.25 15-45 17/08S 194,094.00 0.07 15,000.00 COMCAST 9.455 02-22 15/11S 18,266.85 0.01
300,000.00 BP CAPITAL MARKETS 2.315 15-20 13/02S 297,318.00 0.11 200,000.00 CISCO SYSTEMS 4.45 09-20 15/01S 203,982.00 0.08
53,000.00 BP CAPITAL MARKETS 3.535 14-24 04/11S 52,664.51 0.02 50,000.00 NEWMONT MINING 5.125 09-19 01/10S 50,775.50 0.02
350,000.00 HSBC HLDGS 3.40 16-21 08/03S 349,111.00 0.12 50,000.00 HESS CORP 6.00 09-40 15/01S 52,017.00 0.02
200,000.00 HSBC HLDGS 4.30 16-26 08/03S 198,970.00 0.08 123,000.00 CREDIT SUISSE 5.40 10-20 14/01S 126,164.79 0.05
50,000.00 AON 3.875 16-25 15/12S 49,481.50 0.02 150,000.00 SIMON PROPERTY GROUP 6.75 10-40 01/02S 193,690.50 0.07
200,000.00 ROYAL BK SCOTLND G 3.875 16-23 12/09S 194,206.00 0.07 50,000.00 COMCAST 5.15 10-20 01/03S 51,391.00 0.02
200,000.00 HSBC HLDGS SUB 4.25 15-25 18/08S 196,122.00 0.08 100,000.00 MERRILL LYNCH 7.75 08-38 14/05S 135,601.00 0.05
70,000.00 SANTANDER UK GROUP 3.125 16-21 08/01S 69,075.30 0.03 100,000.00 EL PASO PIPELINE 6.50 10-20 01/04S 104,415.00 0.04
300,000.00 HSBC HLDGS 4.375 16-26 23/11S 294,162.00 0.11 200,000.00 DISCOVERY COMM. 5.05 10+20 01/06S 205,382.00 0.08
200,000.00 LLOYDS BANK 4.582 16-25 10/12S 196,030.00 0.08 16,000.00 PRUDENTIAL FINANCIAL 5.375 10-20 21/06S 16,565.76 0.01
43,000.00 BP CAPITAL MARKETS 3.216 16-23 28/11 42,229.44 0.02 100,000.00 WILLIAMS PARTNERS 6.30 10-40 15/04S 113,264.00 0.04
500,000.00 BP CAPITAL MARKETS 3.224 17-24 14/04S 490,540.00 0.18 400,000.00 SIMON PROPERTY 4.375 10 21 01/03S 409,632.00 0.15
260,000.00 ASTRAZENECA PLC 2.375 17-22 12/06S 249,860.00 0.10 200,000.00 MOODY S CORP 5.50 10-20 01/09S 207,888.00 0.08
200,000.00 BARCLAYS PLC 3.684 17-23 10/01S 194,810.00 0.08 21,000.00 MICROSOFT 4.50 10-40 01/10S 22,557.78 0.01
300,000.00 ASTRAZENECA PLC 3.125 17-27 12/06S 279,048.00 0.11 200,000.00 PFIZER INC 5.95 07-37 01/04S 242,340.00 0.09
30,000.00 ASTRAZENECA 4.375 15-45 16/11S 29,472.60 0.01 100,000.00 COMCAST 6.95 92-12 15/07S 125,907.00 0.05
100,000.00 ASTRAZENECA 6.45 07-37 15/09S 125,253.00 0.05 69,000.00 UNITEDHEALTH GROUP 6.875 08-38 15/02S 92,088.09 0.04
100,000.00 BP CAPITAL MARKETS 3.279 17-27 19/09S 95,532.00 0.04 150,000.00 PFIZER INC 7.20 09-39 15/03S 206,782.50 0.08
230,000.00 VODAFONE GROUP 5.2500 18-48 30/05S 230,556.60 0.09 50,000.00 JABIL CIRCUIT 5.625 10-20 15/12S 51,928.50 0.02
98,000.00 VODAFONE GROUP 3.75 18-24 16/01S 96,886.72 0.04 100,000.00 FORD MOTOR CREDIT 8.125 09-20 15/01S 105,620.00 0.04
300,000.00 VODAFONE 4.125 18-25 30/05S 297,891.00 0.11 100,000.00 TIMES WARNER CABLE 5.875 10-40 15/11S 101,039.00 0.04
200,000.00 VODAFONE GROUP 4.375 18-28 30/05S 196,914.00 0.08 70,000.00 TIME WARNER CABLE 4.125 10-21 15/02 70,570.49 0.03
32,000.00 VODAFONE GROUP PLC 7.875 00-30 15/02 39,683.20 0.02 300,000.00 PRUDENTIAL FINANCIAL 4.50 10-20 15/11S 307,515.00 0.12
130,000.00 VODAFONE GROUP PLC 5.00 18-38 30/05S 128,685.70 0.05 20,000.00 ANADARKO PETROLEUM 6.20 10-40 15/03S 22,237.20 0.01
300,000.00 LLOYDS BANK PLC 3.3000 18-21 07/05S 298,731.00 0.12 200,000.00 PLAINS ALL AMERICAN P 5.00 11-21 01/02S 204,652.00 0.08
46,000.00 AXIS SPECIALTY FIN 4 17-27 06/12S 43,464.48 0.02 50,000.00 NOBLE ENERGY INC 6.00 11-41 01/03S 53,598.50 0.02
50,000.00 AON 4.6 14-44 28/05S 48,828.50 0.02 110,000.00 MCDONALD'S CORP 6.30 07-37 15/10S 132,608.30 0.05
200,000.00 ROYAL BANK OF SCOOT 4.892 18-29 18/05S 198,308.00 0.08 100,000.00 XEROX 4.50 11-21 15/05S 100,388.00 0.04
200,000.00 LLOYDS 4.375 18-28 22/03S 195,008.00 0.08

The accompanying notes form an integral part of these financial statements

197
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
75,000.00 REINSURANCE GRP AMER 5.00 11-21 01/06S 77,754.75 0.03 14,000.00 DISCOVERY COMM. 4.875 13-43 01/04S 13,072.08 0.01
200,000.00 HEWLETT PACKARD 4.30 11-21 01/06S 204,200.00 0.08 100,000.00 DEVON ENERGY 4.00 11-21 15/07S 100,973.00 0.04
40,000.00 VALERO ENERGY CORP 6.125 10-20 01/02S 41,499.60 0.02 150,000.00 JPMORGAN CHASE SUB 3.375 13-23 01/05S 147,084.00 0.06
200,000.00 NBC UNIVERSAL 5.15 11-20 30/04S 206,198.00 0.08 25,000.00 MICROSOFT 2.375 13-23 01/05S 24,133.00 0.01
240,000.00 GOLDMAN SACHS GROUP 6.25 11-41 01/02S 290,227.20 0.11 300,000.00 APPLE 2.40 13-23 03/05S 288,225.00 0.11
16,000.00 TIME WARNER 4.00 11-22 15/01S 16,163.20 0.01 250,000.00 APPLE INC 3.85 13-43 04/05S 240,457.50 0.09
100,000.00 ORACLE CORP 5.375 11-40 15/07S 114,293.00 0.04 100,000.00 ESSEX PTF 3.625 13-22 15/08S 99,194.00 0.04
100,000.00 AT T 5.55 11-41 15/08S 100,850.00 0.04 36,000.00 MORGAN STANLEY 4.10 13-23 22/05S 36,193.68 0.01
104,000.00 TIME WARNER CABLE 4.00 11-21 01/09S 104,542.88 0.04 90,000.00 ILFC 5.875 12-22 15/08S 95,549.40 0.04
50,000.00 SIMON PROPERTY 4.75 12-42 15/03S 52,422.50 0.02 50,000.00 FFTH THRD BANCORP 8.25 08-38 01/03M 68,032.50 0.03
200,000.00 CONOCOPHILLIPS 5.90 08-38 15/05S 240,484.00 0.09 170,000.00 VIACOM INC 6.875 06-36 30/04S 194,393.30 0.07
100,000.00 AT T INC 5.35 11-40 01/09S 99,090.00 0.04 18,000.00 AETNA INC 4.50 12-42 15/03S 17,563.50 0.01
27,000.00 METLIFE INC 6.375 04-15 15/06S 32,616.81 0.01 40,000.00 BUCKEYE PARTNERS LP 4.15 13-23 01/07S 39,444.00 0.02
50,000.00 PROGRESSIVE CORP 3.75 12-21 23/08S 50,449.50 0.02 100,000.00 STANLEY BLACK DECKER 2.90 12-22 01/11S 97,632.00 0.04
100,000.00 AMGEN 5.65 11-42 15/06S 111,245.00 0.04 80,000.00 INTEL CORP 2.70 12-22 15/12S 78,256.00 0.03
100,000.00 OMNICOM GROUP 3.625 12-22 01/05S 99,449.00 0.04 40,000.00 CIGNA 5.375 11-42 15/02S 42,230.80 0.02
40,000.00 SERVICES REPUBLIC 3.55 12-22 01/06S 39,976.00 0.02 40,000.00 CHUBB CORP 6.00 07-37 11/05S 48,393.60 0.02
200,000.00 EASTMAN CHEMICAL 3.60 12-22 15/08S 200,120.00 0.08 100,000.00 ORACLE CORP 3.625 13-23 15/07S 101,101.00 0.04
25,000.00 TIME WARNER SUB 4.90 12-42 15/06S 23,385.75 0.01 100,000.00 JABIL INC 4.70 12-22 15/09S 101,670.00 0.04
40,000.00 NISOURCE FINANCE 5.25 12-43 15/02S 42,753.20 0.02 40,000.00 TIME WARNER CABLE 6.75 09-39 15/06S 43,845.20 0.02
49,000.00 COMCAST 3.125 12-22 15/07S 48,376.72 0.02 150,000.00 CISCO SYSTEMS 5.50 09-40 15/01S 178,773.00 0.07
80,000.00 COMCAST 4.65 12-42 15/07S 79,069.60 0.03 11,000.00 PPL CAPITAL FUNDING 4.70 13-43 01/06S 11,008.58 0.00
289,000.00 TIME WARNER CABLE 5.50 11-41 01/09S 278,439.94 0.11 100,000.00 EXPRESS SCRIPTS HDG 6.125 12-41 15/11S 113,762.00 0.04
150,000.00 PRUDENTIAL FINANCIAL 5.70 06-36 14/12S 170,611.50 0.07 100,000.00 IBM 3.375 13-23 01/08S 99,726.00 0.04
120,000.00 NEWMONT MINING 6.25 09-39 01/10S 135,757.20 0.05 38,000.00 AMERICAN INTL GROUP 3.375 13-20 15/08S 38,026.98 0.01
250,000.00 US BANCORP MTN 2.95 12-22 15/07S 244,800.00 0.09 65,000.00 JUNIPER NETWORKS 5.95 11-41 15/03S 64,940.85 0.03
100,000.00 EBAY 4.00 12-42 15/07S 82,195.00 0.03 300,000.00 ABBVIE 2.90 13-22 06/11S 291,363.00 0.11
200,000.00 TIME WARNER 3.40 12-22 15/06S 197,990.00 0.08 6,000.00 METLIFE INC 4.368 13-23 15/09Q 6,222.42 0.00
150,000.00 ENTERPRISE PRODUCTS 4.45 12-43 15/02S 145,344.00 0.06 50,000.00 NIKE INC 3.625 13-43 01/05S 46,178.00 0.02
74,000.00 TIME WARNER INC 4.50 12-42 15/09S 63,278.88 0.02 250,000.00 CITIGROUP SUB 5.50 13-25 13/09S 266,220.00 0.10
70,000.00 PRUDENTIAL FINANCIAL 5.875 12-42 15/09S 74,206.30 0.03 38,000.00 VERIZON COMMUNICATION 6.55 13-43 15/09S 46,010.40 0.02
250,000.00 THERMO FISHER 3.15 12-23 15/01S 244,740.00 0.09 300,000.00 VERIZON COMMUNICATION 5.15 13-23 15/09S 320,796.00 0.12
300,000.00 WALGREEN 3.10 12-22 15/09S 293,451.00 0.11 36,000.00 AMERICAN INTL GRP SUB 4.125 13-24 15/02S 36,126.72 0.01
150,000.00 MERCK AND CO INC 3.60 12-42 15/09S 141,354.00 0.05 18,000.00 COMCAST CORP 4.50 13-43 15/01S 17,434.62 0.01
200,000.00 CLOROX CO 3.05 12-22 15/09S 197,808.00 0.08 210,000.00 ONCOR ELEC.DEL. 5.30 12-42 01/06S 242,619.30 0.09
100,000.00 DEERE AND CO 3.90 12-42 09/06S 98,449.00 0.04 18,000.00 SIMON PROPERTY 2.75 12-23 01/02S 17,399.70 0.01
17,000.00 NBC 4.45 12-43 15/01S 16,231.94 0.01 18,000.00 SEMPRA ENERGY 2.875 12-22 01/10S 17,460.18 0.01
202,000.00 UNITEDHEALTH GROUP 2.75 12-23 15/02S 196,071.30 0.08 171,000.00 STATE STREET SUB 3.10 13-23 15/05S 166,995.18 0.06
2,000.00 UNITEDHEALTH GROUP 3.95 12-42 15/10S 1,908.70 0.00 300,000.00 AMERICAN EXPRESS 2.65 12-22 02/12S 288,684.00 0.11
32,000.00 MICROSOFT 3.50 12-42 15/11S 29,830.08 0.01 100,000.00 CITIGROUP 4.05 13-22 30/07S 100,957.00 0.04
120,000.00 DAIMLER FINANCE 8.50 01-31 18/01S 167,031.60 0.06 200,000.00 WALT DISNEY 69 2.35 12-22 01/12S 192,036.00 0.07
150,000.00 JP MORGAN CHASE EMTN 5.60 11-41 15/07S 173,200.50 0.07 300,000.00 EATON CORP 2.75 13-22 02/11S 291,027.00 0.11
200,000.00 ORACLE CORP 2.50 12-22 15/10S 193,988.00 0.07 18,000.00 SEMPRA ENERGY 4.05 13-23 01/12S 18,093.42 0.01
50,000.00 CBS CORP 3.375 12-22 01/03S 49,305.50 0.02 200,000.00 MORGAN STANLEY 5.00 13-25 24/11S 206,960.00 0.08
250,000.00 APACHE CORP 4.75 12-43 15/04S 236,635.00 0.09 20,000.00 CONS EDISON CO 3.95 13-43 01/03S 19,098.40 0.01
50,000.00 DEVON ENERGY 4.75 12-42 15/05S 47,996.00 0.02 200,000.00 KINDER MORGAN ENERGY 3.50 13-23 01/09S 196,072.00 0.08
60,000.00 AT T INC 2.625 12-22 01/12S 57,413.40 0.02 60,000.00 WILLIAMS PARTNERS 5.25 10-20 15/03S 61,593.60 0.02
150,000.00 HCP 2.625 12-20 01/02S 148,713.00 0.06 150,000.00 VENTAS REALTY 2.70 13-20 01/04S 148,618.50 0.06
60,000.00 TEXAS INSTRUMENTS 1.65 09-18 03/08S 59,475.60 0.02 100,000.00 WEYERHAEUSER CO 4.625 13-23 15/09S 103,052.00 0.04
50,000.00 CATHOLIC HEALTH 4.35 12-42 01/11S 45,361.00 0.02 25,000.00 BOSTON PPTY 3.80 13-24 01/02S 24,840.50 0.01
200,000.00 FORD MOTOR COMPANY 4.75 13-43 15/01S 166,192.00 0.06 50,000.00 JP MORGAN CHASE SUB 5.625 13-43 16/08S 56,726.50 0.02
100,000.00 AMERICAN TOWER 3.50 13-23 31/03S 98,373.00 0.04 100,000.00 UNITEDHEALTH GROUP 2.875 13-23 15/03S 97,266.00 0.04
277,000.00 COMCAST CORP 2.85 13-23 15/01S 268,820.19 0.10 10,000.00 PIONEER NAT RES CO 3.95 12-22 15/07S 10,088.20 0.00
150,000.00 CONAGRA FOODS 3.20 13-23 25/01S 146,065.50 0.06 100,000.00 ENTERPRISE PRODUCTS 4.05 11-22 15/02S 101,473.00 0.04
200,000.00 KRAFT FOODS 6.875 12-39 26/01S 234,430.00 0.09 50,000.00 VALERO ENERGY 6.625 07-37 15/06S 60,444.00 0.02
30,000.00 WELLPOINT 3.125 12-22 15/05S 29,508.60 0.01 18,000.00 MICROSOFT 4.875 13-43 15/12S 20,411.64 0.01
41,000.00 APACHE CORP 2.625 12-23 15/01S 39,068.49 0.02 250,000.00 AMERICAN TOWER 5.00 13-24 15/02S 261,435.00 0.10

The accompanying notes form an integral part of these financial statements

198
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
200,000.00 OWENS CORNING 4.20 12-22 15/12S 200,781.98 0.08 100,000.00 ORACLE 4.30 14-34 08/07S 102,210.00 0.04
21,000.00 NATL RURAL UTILITIES 4.023 12-32 01/11S 20,955.27 0.01 400,000.00 ORACLE 2.80 14-21 08/07S 396,704.00 0.14
20,000.00 VIACOM INC 4.375 13-43 15/03S 17,506.60 0.01 150,000.00 GOLDMAN SACHS GRP 4.80 14-44 08/07S 153,093.00 0.06
150,000.00 ZOETIS 4.70 13-43 01/02S 153,703.50 0.06 400,000.00 ORACLE CORP 3.40 14-24 08/07S 397,212.00 0.14
42,000.00 OCCIDENTAL PETROLEUM 2.70 12-23 15/02S 40,605.18 0.02 50,000.00 CBS 4.90 14-44 15/08S 48,764.00 0.02
60,000.00 FIFTH THIRD BANCORP 4.30 13-24 16/01S 60,561.00 0.02 36,000.00 COMCAST 4.20 14-34 15/08S 34,619.04 0.01
18,000.00 ALLSTATE 4.50 13-43 15/06S 18,280.08 0.01 265,000.00 CONS EDISON 5.85 06-36 15/03S 312,835.15 0.12
60,000.00 AETNA 4.125 12-42 15/11S 54,925.20 0.02 200,000.00 BLACK ROCK 3.375 12-22 01/06S 200,754.00 0.08
250,000.00 BANK OF AMERICA SUB 5.00 14-44 21/01S 267,247.50 0.10 218,000.00 MARSH & MCLENNANN COS 3.50 14-25 10/03S 212,379.96 0.08
500,000.00 BANK OF AMERICA 4.125 14-24 22/01S 507,895.00 0.19 300,000.00 CONTINENTAL RESOURCES 3.80 14-24 01/06S 294,258.00 0.11
40,000.00 APACHE CORP 4.25 13-44 15/01S 35,661.60 0.01 110,000.00 MARATHON PETROLEUM 4.75 14-44 15/09S 106,328.20 0.04
2,000.00 HOST HOTELS RESORTS 5.25 12-22 15/03S 2,070.24 0.00 77,000.00 MORGAN STANLEY SUB F 4.35 14-26 08/09S 76,343.19 0.03
100,000.00 AT T 4.35 13-45 15/06S 86,048.00 0.03 40,000.00 ONE GAS 4.658 14-44 01/02S 41,818.80 0.02
50,000.00 TRAVELERS COS INC 4.60 13-43 01/08S 51,688.00 0.02 250,000.00 VERIZON COMM 4.40 14-34 01/11S 243,585.00 0.09
100,000.00 21ST CENTURY FOX 4.00 13-23 01/10S 101,586.00 0.04 30,000.00 TIME WARNER 4.65 14-44 01/06S 26,985.30 0.01
49,000.00 COMCAST 4.75 14-44 01/03S 48,791.26 0.02 100,000.00 TIME WARNER INC 3.55 14-24 01/06S 97,218.00 0.04
200,000.00 AMGEN 5.75 10-40 15/03S 225,236.00 0.09 80,000.00 ENTERPRISE PRODUCTS 3.75 14-25 15/02S 79,764.00 0.03
200,000.00 KINDER MORGAN ENERGY 3.50 14-21 01/03S 200,415.98 0.08 200,000.00 GILEAD SCIENCES INC 4.50 14-45 01/02S 198,874.00 0.08
43,000.00 COMCAST 3.60 14-24 01/03S 42,662.45 0.02 20,000.00 PHILLIPS 66 4.65 14-34 15/11S 20,221.80 0.01
300,000.00 UNITEDHEALTH GROUP 6.50 07-37 15/06S 383,793.00 0.14 100,000.00 EXPEDIA 4.50 14-24 15/08S 100,763.00 0.04
50,000.00 CISCO SYSTEMS 3.625 14-24 04/03S 50,698.50 0.02 40,000.00 BED BATH BEYOND 5.165 14-44 01/08S 28,364.40 0.01
70,000.00 US BANCORP MTN 3.70 14-24 30/01S 70,401.10 0.03 100,000.00 WALGREENS BOOTS 4.80 14-44 18/11S 96,954.00 0.04
20,000.00 CONS EDISON CO NY 4.45 14-44 15/03S 20,372.20 0.01 200,000.00 WALGREENS BOOTS 3.30 14-21 18/11S 198,968.00 0.08
50,000.00 PPL CAPITAL FUNDING 3.95 14-24 15/03S 49,946.50 0.02 10,000.00 CITIGROUP SUB G 4.30 14-26 20/11S 9,846.00 0.00
50,000.00 MCKESSON CORP 3.796 14-24 15/03S 49,547.00 0.02 100,000.00 KINDER MORGAN INC/D 5.55 14-45 01/06S 105,907.00 0.04
60,000.00 VIACOM 3.875 14-24 01/04S 58,987.20 0.02 200,000.00 SABINE PASS 5.75 14-24 15/05S 214,736.00 0.08
83,000.00 COMCAST 4.25 13-33 15/01S 81,193.92 0.03 100,000.00 METLIFE INC 3.60 14-24 10/04S 100,384.99 0.04
150,000.00 HALLIBURTON 4.50 11-41 15/11S 147,205.50 0.06 100,000.00 NOBLE ENERGY INC 5.05 14-44 15/11S 96,703.00 0.04
80,000.00 UNUM GROUP 4.00 14-24 15/03S 79,002.40 0.03 150,000.00 EASTMAN CHEMICAL 3.80 14-25 15/03S 148,179.00 0.06
60,000.00 UNITED PARCEL SVC 8.375 89-20 01/04S 64,516.20 0.02 40,000.00 QVC 4.45 14-25 15/02S 38,020.40 0.01
75,000.00 VORNADO REALTY 5.00 11-22 05/01S 77,562.75 0.03 300,000.00 KINDER MORGAN INC/D 4.30 14-25 08/06S 302,801.97 0.12
36,000.00 BOSTON PROPERTIES LP 3.85 12-23 01/02S 36,111.24 0.01 80,000.00 AMERICAN INTL GROUP 4.50 14-44 16/07S 75,967.20 0.03
40,000.00 PRINCIPAL FINANCING 6.05 06-36 15/10S 47,012.80 0.02 150,000.00 PHILIPS 66 4.875 14-44 15/11S 155,445.00 0.06
100,000.00 SABINE PASS 5.625 14-23 15/04S 106,392.00 0.04 27,000.00 AETNA INC 3.50 14-24 04/03S 26,359.29 0.01
50,000.00 KINDER MORGAN ENERGY 6.50 09-39 01/09S 56,620.50 0.02 277,000.00 AFLAC INC 3.625 14-24 15/11S 276,279.80 0.11
40,000.00 UNITED PARCEL 6.20 08-38 15/01S 50,274.80 0.02 5,000.00 CONSOLIDATED EDISON 6.30 07-37 15/08S 6,234.15 0.00
150,000.00 HESS CORP 7.30 01-31 15/08S 173,380.50 0.07 40,000.00 MOODY'S CORPORATION 4.875 13-24 15/02S 41,802.80 0.02
75,000.00 AETNA 6.75 07-37 15/12S 93,401.25 0.04 150,000.00 CBS 4.85 12-42 01/07S 145,479.00 0.06
85,000.00 CORNING INC 4.75 12-42 15/03S 84,688.05 0.03 21,000.00 FEDEX 3.20 15-25 01/02S 20,400.03 0.01
80,000.00 TIME WARNER 5.35 13-43 15/12S 78,805.60 0.03 500,000.00 MORGAN STANLEY EMTN 2.65 15-20 27/01S 496,735.00 0.18
90,000.00 MOSAIC 5.45 13-33 15/11S 91,719.90 0.04 80,000.00 TYSON FOODS 3.95 14-24 15/08S 79,894.40 0.03
50,000.00 PLAINS ALL AMERICAN 4.70 14-44 15/06S 45,204.50 0.02 244,000.00 BANK OF AMERICA CORP 4.00 15-25 22/01S 240,520.56 0.09
18,000.00 BOSTON PROPERTIES 3.125 13-23 01/09S 17,473.86 0.01 150,000.00 MORGAN STANLEY -F- 4.30 15-45 27/01S 144,337.50 0.06
50,000.00 PNC FIN SERV SUB 3.90 14-24 29/04S 49,723.50 0.02 50,000.00 BRIXMOR OPERATING PART 3.85 15-25 01/02S 48,096.50 0.02
200,000.00 AUTOZONE 3.125 13-23 15/07S 194,664.00 0.08 100,000.00 JPMORGAN CHASE CO 2.25 15-20 23/01S 98,966.00 0.04
200,000.00 LIBERTY PROPERTY 4.40 13-24 15/02S 202,622.00 0.08 400,000.00 BNY MELLON 2.15 15-20 24/02S 395,556.00 0.14
100,000.00 APPLE 2.85 14-21 06/05S 99,514.00 0.04 150,000.00 CSX 3.40 14-24 01/08S 148,012.50 0.06
150,000.00 CITIGROUP 5.30 14-44 06/05S 156,954.00 0.06 300,000.00 MERCK & CO 2.75 15-25 10/02A 287,997.00 0.11
100,000.00 AT&T 4.30 13-42 15/12S 86,709.00 0.03 50,000.00 APPLE 3.45 15-45 09/02S 44,926.50 0.02
5,000.00 ATMOS ENERGY CORP 4.15 13-43 15/01S 4,883.25 0.00 40,000.00 MERCK AND CO 2.35 15-22 10/02S 38,924.80 0.02
50,000.00 NATL RURAL UTIL 8.00 02-32 01/03S 68,647.50 0.03 2,000.00 AIR LEASE 4.25 14-24 15/09S 1,985.56 0.00
150,000.00 AT&T 4.80 14-44 15/06S 138,225.00 0.05 180,000.00 KINDER MORGAN ENERGY 5.05 15-46 15/02S 179,296.20 0.07
220,000.00 HSBC USA INC 3.50 14-24 23/06S 215,641.80 0.08 53,000.00 MICROSOFT 2.375 15-22 12/02S 51,744.43 0.02
150,000.00 INTL PAPER CO 3.65 14-24 15/06S 148,438.50 0.06 250,000.00 HSBC USA 2.35 15-20 05/03S 247,252.50 0.10
40,000.00 INGERSOLL RAND 5.75 14-43 15/06S 46,065.60 0.02 240,000.00 FEDEX 2.30 15-20 01/02S 237,808.80 0.09
23,000.00 UNUM GROUP 5.75 12-42 15/08S 24,086.98 0.01 290,000.00 WILLIAMS PARTNERS 3.60 15-22 15/03S 288,355.70 0.11
200,000.00 HESS 3.50 14-24 15/07S 190,216.00 0.07 150,000.00 MERCK & CO 3.70 15-45 10/02S 143,382.00 0.06

The accompanying notes form an integral part of these financial statements

199
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
400,000.00 JP MORGAN CHASE 3.125 15-25 23/01S 383,472.00 0.15 100,000.00 CISCO SYSTEM 2.45 15-20 15/06S 99,204.00 0.04
73,000.00 RELIANCE STEEL ALUM 4.50 13-23 15/04S 73,954.11 0.03 20,000.00 JPMORGAN CHASE 4.25 15-27 01/10S 19,878.80 0.01
100,000.00 VERIZON COMM 2.625 15-20 21/02S 99,400.00 0.04 180,000.00 BIOGEN 5.20 15-45 15/09S 190,962.00 0.07
500,000.00 VERIZON COMM 5.012 15-54 21/08S 501,250.05 0.18 150,000.00 MEDTRONIC 2.50 15-20 15/03S 148,966.50 0.06
80,000.00 WILLIAMS PARTNERS 4.00 12-21 15/11S 80,597.60 0.03 50,000.00 HEWLETT PACKARD 6.00 11-41 15/09S 50,814.00 0.02
100,000.00 21ST CENTURY FOX 6.65 15-37 15/11S 132,320.00 0.05 150,000.00 MERCK & CO INC 1.85 15-20 10/02S 147,963.00 0.06
60,000.00 AT T INC 4.50 15-35 15/05S 56,013.60 0.02 250,000.00 CITIGROUP 4.45 15-27 29/09S 247,080.00 0.10
150,000.00 AT T INC 3.40 15-25 15/05S 142,749.00 0.06 550,000.00 MEDTRONIC INC 3.50 15-25 15/0 545,209.50 0.20
88,000.00 BANK OF AMERICA SUB 3.95 15-25 21/04S 86,113.28 0.03 50,000.00 MARRIOTT INTL 2.875 15-21 01/03S 49,313.50 0.02
170,000.00 AT T INC 4.75 15-46 15/05S 155,155.60 0.06 310,000.00 MEDTRONIC 4.625 15-45 15/03S 327,989.30 0.13
98,000.00 ORACLE CORP 4.125 15-45 15/05S 95,195.24 0.04 300,000.00 BRANCH BANKING & T 3.625 15-25 16/09S 294,552.00 0.11
200,000.00 ORACLE 2.95 15-25 15/05S 191,786.00 0.07 200,000.00 MEDTRONIC INC 3.15 15-22 15/0 198,590.00 0.08
76,000.00 ORACLE CORP 4.375 15-55 15/05S 75,563.00 0.03 50,000.00 BIOGEN 4.05 15-25 15/09S 50,174.50 0.02
200,000.00 BANK OF AMERICA 2.25 15-20 21/04S 197,274.00 0.08 250,000.00 CREDIT SUISSE LONDON 3.625 14-24 09/09S 246,292.50 0.10
300,000.00 MORGAN STANLEY 3.95 15-27 23/04S 287,658.00 0.11 203,000.00 CAPITAL ONE FINANCIAL 4.20 15-25 29/10S 197,935.15 0.08
100,000.00 ADOBE SYSTEM 4.75 10-20 01/02S 102,194.00 0.04 200,000.00 ACE INA HOLDINGS 2.875 15-22 03/11S 195,550.00 0.08
200,000.00 ABBVIE 2.50 15-20 14/05S 197,736.00 0.08 420,000.00 GOLDMAN SACHS GR SUB 4.25 15-25 21/10S 415,934.40 0.15
2,000.00 HCP INC 3.40 15-25 01/02S 1,895.40 0.00 374,000.00 ACE INA HOLDINGS 3.35 15-26 03/05S 363,348.48 0.14
100,000.00 TIME WARNER INC 3.60 15-25 15/07S 95,869.00 0.04 80,000.00 MICROSOFT CORP 3.125 15-25 03/11S 78,247.20 0.03
50,000.00 HOST HOTELS 4.00 15-25 15/06S 48,440.50 0.02 70,000.00 KEURIG DR PEPPER 3.40 15-25 15/11S 66,103.80 0.03
150,000.00 BOSTON SCIENTIFIC 3.85 15-25 15/05S 149,179.50 0.06 80,000.00 CITIGROUP 2.65 15-20 26/10S 78,910.40 0.03
60,000.00 COMCAST CORP 4.60 15-45 15/08S 58,641.00 0.02 150,000.00 DOLLAR GENERAL 4.15 15-25 01/11S 150,517.50 0.06
250,000.00 GOLDMAN SACHS GROUP 5.15 15-45 22/05S 255,680.00 0.10 200,000.00 COCA-COLA 2.875 15-25 27/10S 191,164.00 0.07
100,000.00 INTERNATIONAL PAPER 5.00 15-35 15/09S 101,901.00 0.04 40,000.00 UNION PACIFIC 4.05 15-45 15/11S 37,758.00 0.01
150,000.00 ABBVIE 3.60 15-25 14/05S 145,038.00 0.06 190,000.00 FEDEX 4.75 15-45 15/11S 189,868.90 0.07
260,000.00 ABBVIE 4.50 15-35 14/05S 250,075.80 0.10 50,000.00 FIDELITY NATIONAL INF 5.00 15-25 15/10S 52,644.50 0.02
70,000.00 FEDEX 3.90 15-35 01/02S 65,856.70 0.03 356,000.00 MICROSOFT CORP 4.45 15-45 03/11S 382,778.32 0.15
200,000.00 GOLDMAN SACHS GROUP 3.75 15-25 22/05S 195,934.00 0.08 150,000.00 JM SMUCKER CO 4.25 15-45 15/03S 140,811.00 0.05
30,000.00 AMGEN 2.125 15-20 01/05S 29,526.90 0.01 22,000.00 CENTERPOINT ENERGY 4.50 14-44 01/04S 23,131.02 0.01
39,000.00 COMCAST CORP 4.40 15-35 15/08S 38,276.16 0.01 10,000.00 NORDSTROM 5.00 14-44 15/01S 9,207.20 0.00
100,000.00 COMCAST CORP 3.375 15-25 15/08 96,423.00 0.04 2,000.00 UNITEDHEALTH GROUP 3.75 15-25 15/07S 2,005.84 0.00
400,000.00 MORGAN STANLEY 2.80 15-20 16/06S 396,828.00 0.14 27,000.00 OCCIDENTAL PETROLEUM 4.625 15-45 15/06S 28,109.70 0.01
50,000.00 EXXON MOBIL CORPOR FL.R 14-24 15/03S 49,619.50 0.02 100,000.00 UNION PACIFIC 4.375 15-65 15/11S 92,642.00 0.04
190,000.00 AMERICAN TOWER 5.90 11-21 01/11S 202,232.20 0.08 82,000.00 UNITEDHEALTH GROUP 4.75 15-45 15/07S 87,771.98 0.03
300,000.00 CIGNA 3.25 15-25 15/04S 283,920.00 0.11 120,000.00 DEVON ENERGY 5.00 15-45 15/06S 119,570.40 0.05
30,000.00 BLACK HILLS CORP 4.25 13-23 30/11S 30,420.30 0.01 29,000.00 ANTHEM 3.50 14-24 15/08S 28,349.82 0.01
100,000.00 LEAR 5.25 14-25 15/01S 103,357.00 0.04 200,000.00 GLAXOSMITHKLINE 6.375 08-38 15/05S 256,934.00 0.10
150,000.00 ACE INA HLDG 3.15 15-25 15/03S 144,967.50 0.06 490,000.00 HALLIBURTON CO 3.80 15-25 15/11S 485,575.30 0.18
50,000.00 BORGWARNER INC 4.375 15-45 15/03S 47,013.00 0.02 70,000.00 TIME WARNER 3.875 15-26 15/01S 67,704.70 0.03
100,000.00 HUMANA 4.95 14-44 01/10S 104,081.00 0.04 300,000.00 PNC BANK NA 2.45 15-20 05/11S 294,975.00 0.11
27,000.00 EQT CORP FL.R 11-21 15/11S 27,724.14 0.01 120,000.00 CAPITAL ONE FINL 3.20 15-25 05/02S 112,897.20 0.04
18,000.00 ARCH CAPITAL 5.144 13-43 01/11S 19,091.16 0.01 300,000.00 MICROSOFT 2.65 11-22 03/11S 293,931.00 0.11
200,000.00 QUALCOMM INC 3.00 15-22 20/05S 196,948.00 0.08 110,000.00 MACY S RETAIL 4.50 14-34 15/12S 90,195.60 0.03
250,000.00 CARDINAL HEALTH 3.75 15-25 15/09S 240,700.00 0.09 70,000.00 PHILLIPS 66 5.875 12-42 01/05S 81,237.10 0.03
53,000.00 UNITEDHEALTH GROUP 2.70 15-20 15/07S 52,664.51 0.02 50,000.00 HALLIBURTON CO 5.00 15-45 15/11S 53,291.00 0.02
350,000.00 CVS HEALTH 4.875 15-35 20/07S 352,544.50 0.14 50,000.00 CONSOLIDATED EDISO 4.50 15-45 01/12S 51,266.50 0.02
150,000.00 AMERICAN INTL GRP 3.75 15-25 10/07S 145,876.50 0.06 200,000.00 BIOGEN INC 2.90 15-20 15/09S 198,988.00 0.08
300,000.00 CVS HEALTH 3.875 15-25 20/07S 295,371.00 0.11 40,000.00 HUMANA INC 2.625 14-19 01/10 39,842.40 0.02
70,000.00 UNITEDHEALTH GROUP 4.625 15-35 15/07S 74,657.10 0.03 50,000.00 OCCIDENTAL PETROLE 3.50 15-25 15/06S 49,555.00 0.02
200,000.00 BANK OF AMERICA CO 3.875 15-25 01/08S 198,518.00 0.08 60,000.00 HCP INC 4.00 15-22 01/12S 60,038.40 0.02
340,000.00 INTEL CORP 3.70 15-25 29/07S 341,931.17 0.13 100,000.00 JUNIPERS NETWORKS 3.30 15-20 15/06S 99,896.00 0.04
80,000.00 KOHL'S CORPORATION 4.25 15-25 17/07S 79,886.40 0.03 250,000.00 MCDONALD S 4.875 15-45 09/12S 261,045.00 0.10
150,000.00 IBM 4.00 12-42 20/06S 146,161.50 0.06 350,000.00 VISA INC 3.15 15-25 14/12S 339,136.00 0.13
400,000.00 BNY MELLON 2.60 15-20 17/08S 396,584.00 0.14 300,000.00 MC DONALD 2.75 15-20 09/12S 297,885.00 0.11
144,000.00 TIME WARNER 4.85 15-45 15/07S 134,140.32 0.05 200,000.00 VISA INC 2.20 15-20 14/12S 196,544.00 0.08
150,000.00 PLAINS ALL AMERICANS 4.65 15-25 15/10S 151,815.00 0.06 40,000.00 SOUTHWEST AIRLINES 2.65 15-20 05/11S 39,468.00 0.02
200,000.00 CELGENE 5.00 15-45 15/08S 198,056.00 0.08 44,000.00 WELLTOWER INC 4.00 15-25 01/06S 43,384.00 0.02

The accompanying notes form an integral part of these financial statements

200
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
200,000.00 DEVON ENERGY 5.85 15-25 15/12S 218,254.00 0.08 100,000.00 ALPHABET 3.375 16-24 25/02S 100,532.00 0.04
30,000.00 EOG RESOURCES INC 4.15 16-26 15/01S 30,658.20 0.01 100,000.00 BOARDWALK PIPE 5.95 16-26 01/06S 105,698.00 0.04
200,000.00 AMERICAN TOWER 3.30 16-21 15/02S 198,724.00 0.08 200,000.00 ABBVIE INC 2.30 16-21 14/05S 194,590.00 0.08
30,000.00 21 ST CENT FOX 3.70 15-25 15/10S 29,842.50 0.01 200,000.00 ALPHABET 1.998 16-26 15/08S 180,126.00 0.07
30,000.00 FEDEX 4.55 16-46 01/04S 29,271.00 0.01 370,000.00 MICROSOFT 2.40 16-26 08/08S 341,128.90 0.13
50,000.00 JOHNSON & JOHNSON 3.70 16-46 01/03S 47,604.50 0.02 70,000.00 AT&T 5.65 16-47 15/02S 72,001.30 0.03
160,000.00 AT T 3.95 16-25 15/01S 157,500.80 0.06 177,000.00 METLIFE 4.60 15-46 13/05S 179,734.65 0.07
64,000.00 DISCOVERY COMM 4.90 16-26 11/03M 65,629.44 0.03 69,000.00 COMCAST 2.35 16-27 15/01S 60,683.43 0.02
300,000.00 BANK OF AMERICA SUB 4.45 16-26 03/03S 300,249.03 0.12 200,000.00 MICROSOFT 3.45 16-36 08/08S 190,388.00 0.07
100,000.00 APPLE 4.65 16-46 23/03S 108,003.00 0.04 165,000.00 CITIGROUP SUB 4.75 16-46 18/05S 161,411.25 0.06
40,000.00 NORFOLK SOUTHERN 4.837 12-41 01/10S 42,064.80 0.02 20,000.00 CITIGROUP 4.65 15-45 30/07S 20,158.61 0.01
100,000.00 CSX CORP 3.35 15-25 01/11S 97,176.00 0.04 200,000.00 VERIZON COMM 1.75 16-21 15/08S 191,798.00 0.07
150,000.00 AT T 4.45 15-24 01/04S 152,833.50 0.06 200,000.00 MICROSOFT CORP 2.00 16-23 08/08S 188,980.00 0.07
158,000.00 ELECTRONIC ARTS IN 3.70 16-21 01/03S 159,294.02 0.06 20,000.00 UNION PACIFIC CORP 4.05 16-46 01/03S 18,876.80 0.01
100,000.00 IBM CORP 2.25 16-21 19/02S 97,965.00 0.04 200,000.00 CROWN CASTLE INTL 2.25 16-21 01/09S 192,214.00 0.07
200,000.00 IBM CORP 3.45 16-26 19/02S 197,524.00 0.08 100,000.00 ORACLE 2.40 16-23 15/09S 95,362.00 0.04
54,000.00 COMCAST CORP 2.75 16-23 01/03S 52,219.08 0.02 60,000.00 METLIFE INC 3.60 15-25 13/11A 59,172.00 0.02
100,000.00 AT T 2.80 16-21 17/02S 98,472.00 0.04 60,000.00 UNION PACIFIC 2.75 16-26 01/03S 55,914.00 0.02
36,000.00 UNITEDHEALTH GROUP 3.10 16-26 15/03S 34,512.12 0.01 120,000.00 AMGEN 2.60 16-26 19/08S 108,816.00 0.04
400,000.00 JP MORGAN CHASE 2.70 16-23 18/05S 384,608.00 0.14 100,000.00 ABBVIE INC 4.45 16-46 14/05S 92,131.00 0.04
61,000.00 INTEL CORP 4.10 16-46 19/05S 60,246.65 0.02 200,000.00 KRAFT HEINZ FOODS 5.20 16-45 15/07S 195,266.00 0.08
164,000.00 AMERICAN INTL GROU 3.90 16-26 01/04S 160,383.80 0.06 79,000.00 VERIZON COMM 2.625 16-26 15/08S 71,618.24 0.03
373,000.00 PPL CAPITAL FUNDING 3.10 16-26 15/05S 346,375.26 0.13 256,000.00 AETNA 2.80 16-23 15/06S 245,191.68 0.09
70,000.00 AMERICAN TOWER 3.375 16-26 15/10S 65,204.30 0.03 120,000.00 CITIGROUP INC 4.125 16-28 25/07S 115,801.20 0.04
310,000.00 MORGAN STANLEY 3.875 16-26 27/01S 304,342.50 0.12 60,000.00 AT&T INC 6.00 16-40 15/08S 64,164.60 0.02
60,000.00 WALGREENS BOOTS 3.45 16-26 01/06S 57,048.60 0.02 150,000.00 JPMORGAN CHASE & C 2.95 16-26 01/10S 139,314.00 0.05
73,000.00 QUALCOMM 4.80 15-45 20/05S 73,821.25 0.03 50,000.00 INTERNATIONAL PAPE 3.00 16-27 15/02S 45,904.50 0.02
220,000.00 PFIZER 2.75 16-26 03/06S 207,303.80 0.08 150,000.00 ENTERPRISE PRODUCTS 2.85 16-21 15/04S 148,072.50 0.06
200,000.00 AT&T INC 4.125 16-26 17/02S 197,582.00 0.08 100,000.00 UNITEDHEALTH GROUP 2.125 16-21 15/03S 97,593.00 0.04
150,000.00 NORFOLK SOUTHERN 2.90 16-26 15/06S 140,823.00 0.05 100,000.00 MEDTRONIC 4.375 15-35 15/03S 103,317.00 0.04
180,000.00 WALGREENS BOOTS ALLIA 4.65 16-46 01/06S 171,738.00 0.07 60,000.00 METLIFE INC 10.75 09-39 01/08S 92,098.20 0.04
370,000.00 NEWELL RUBBERMAID 4.20 16-26 01/04S 351,770.10 0.14 20,000.00 KRAFT HEINZ FOODS 3.00 16-26 01/06S 18,208.60 0.01
40,000.00 REPUBLIC SERVICES 2.90 16-26 01/07S 37,154.00 0.01 60,000.00 APPLE INC 4.50 16-36 23/02S 64,545.60 0.02
100,000.00 TOTAL SYSTEM SERVICES 3.80 16-21 01/04S 100,375.00 0.04 281,000.00 MICROSOFT CORP 3.70 16-46 08/08S 269,335.69 0.10
118,000.00 WESTERN GAS PARTNE 4.65 16-26 01/07S 115,965.68 0.04 50,000.00 CONOCOPHILIPS 5.95 16-46 15/03S 63,420.50 0.02
30,000.00 QVC 5.45 14-34 15/08S 26,778.30 0.01 100,000.00 CONSOLIDATED EDISO 2.00 16-21 15/05S 96,646.00 0.04
100,000.00 ORACLE 2.65 16-26 15/07S 92,826.00 0.04 250,000.00 HALLIBURTON CO 4.85 15-35 15/11S 261,302.50 0.10
300,000.00 US BANK NA 2.80 15-25 27/01S 284,709.00 0.11 200,000.00 WALT DISNEY F 1.85 16-26 30/07S 175,564.00 0.07
40,000.00 MARSH & MCLENNAN C 2.35 14-19 10/09S 39,786.00 0.02 150,000.00 HOME DEPOT INC 2.125 16-26 15/09S 134,467.50 0.05
50,000.00 ITC HOLDINGS 3.25 16-26 30/06S 46,932.00 0.02 24,000.00 CBS CORP 2.90 16-27 15/01S 21,476.88 0.01
107,556.19 AMER AIRLN 15-2 AA 3.60 15-27 22/09S 104,641.42 0.04 110,000.00 KRAFT HEINZ FOODS 4.375 16-46 01/06S 96,835.20 0.04
200,000.00 ABBVIE INC 2.85 16-23 14/05S 192,396.00 0.07 69,000.00 COMCAST 3.40 16-46 15/07S 55,949.34 0.02
300,000.00 ANADARKO PETROLEUM 6.60 16-46 15/03S 355,326.00 0.14 100,000.00 APPLE 3.85 16-46 04/08S 95,602.00 0.04
100,000.00 AMERICAN INTL GROUP 3.30 16-21 01/03S 99,736.00 0.04 100,000.00 ORACLE CORP 4.00 16-46 15/07S 95,273.00 0.04
200,000.00 NEWELL RUBBERMAID 3.85 16-23 01/04S 195,684.00 0.08 302,000.00 AIR LEASE 3.00 16-23 15/09S 286,501.36 0.11
100,000.00 MARATHON OIL 2.70 15-20 01/06S 98,650.00 0.04 300,000.00 GILEAD SCIENCES 2.50 16-23 01/09S 286,362.00 0.11
300,000.00 CONOCOPHILIPS 4.95 16-26 15/03S 322,506.00 0.12 80,000.00 ENTERPRISE PRODUCT 5.10 14-45 15/02S 84,352.00 0.03
500,000.00 CITIGROUP INC 4.60 16-26 09/03S 503,145.00 0.18 200,000.00 INTERNATIONAL PAPE 4.40 16-47 15/08S 184,388.00 0.07
250,000.00 MORGAN STANLEY -F- 2.50 16-21 21/04S 244,145.00 0.09 200,000.00 ARES CAPITAL CORP 3.625 16-22 19/01S 195,540.00 0.08
100,000.00 MARATHON OIL 3.85 15-25 01/06S 97,799.00 0.04 100,000.00 CAPITAL ONE FIN 3.75 16-26 28/07S 93,198.00 0.04
280,000.00 ANADARKO PETROLEUM 4.85 16-21 15/03S 287,439.60 0.11 50,000.00 UNIV SOUTH CALIFORNIA 3.028 16-39 01/10S 44,394.00 0.02
100,000.00 TIME WARNER 2.95 16-26 15/07S 90,668.00 0.03 40,000.00 ANTHEM INC 2.25 14-19 15/08S 39,778.00 0.02
300,000.00 GOLDMAN SACHS GROUP 2.625 16-21 25/04S 293,742.00 0.11 100,000.00 SYSCO 3.30 16-26 15/07S 95,306.00 0.04
100,000.00 APPLE 4.45 14-44 06/05S 105,044.00 0.04 85,000.00 VERISK ANALYTICS INC 4.00 15-25 15/06S 83,871.20 0.03
60,000.00 EXPRESS SCRIPTS HLDG 3.00 16-23 15/07S 57,815.40 0.02 40,000.00 WASTE MANAGEMENT I 2.40 16-23 15/05S 38,151.20 0.01
120,000.00 WELLTOWER INC 4.25 16-26 01/04S 119,442.00 0.05 400,000.00 KRAFT HEINZ FOODS 3.50 16-22 15/07S 397,508.00 0.14
220,000.00 TARGET CORP 2.50 16-26 15/04S 203,405.40 0.08 20,000.00 ARCHER DANIEL MIDLAND 2.50 16-26 11/08S 18,279.40 0.01

The accompanying notes form an integral part of these financial statements

201
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
60,000.00 BOSTON PROPERTIES 2.75 16-26 01/10S 54,328.20 0.02 40,000.00 KRAFT HEINZ FOODS CO 3.95 16-25 15/07S 39,381.20 0.02
20,000.00 VALEO ENERGY 4.90 15-45 15/03S 20,405.00 0.01 200,000.00 OCCIDENTAL PETROLEUM 4.40 16-46 15/04S 202,254.00 0.08
100,000.00 AMGEN 2.25 16-23 19/08S 93,848.00 0.04 20,000.00 KANSAS CITY SOUTHE 3.125 16-26 01/06A 18,437.20 0.01
50,000.00 CISCO SYSTEMS 2.95 16-26 28/02S 47,960.00 0.02 260,000.00 PLAINS ALL AMER PI 4.5 16-26 15/12S 259,654.20 0.10
30,000.00 VISA INC 4.15 15-35 14/12S 30,998.10 0.01 100,000.00 ORACLE 6.50 08-38 15/04S 128,304.00 0.05
130,000.00 MICROSOFT CORP 3.95 16-56 08/08S 126,740.90 0.05 75,000.00 BANK OF AMERICA 2.151 16-20 09/11S 73,323.75 0.03
100,000.00 TARGET CORP 3.625 16-46 15/04S 90,404.00 0.03 130,000.00 HOME DEPOT 3.50 16-56 15/09S 113,055.80 0.04
370,000.00 COMCAST CORP 1.625 16-22 15/01S 349,106.10 0.13 100,000.00 SANTANDER HLDG USA 4.50 15-25 17/07S 98,761.00 0.04
230,000.00 LOWE S COM 3.70 16-46 15/04S 209,934.80 0.08 200,000.00 ONEOK PARTNERS 4.90 15-25 15/03S 207,562.00 0.08
50,000.00 COMCAST 3.15 16-26 01/03S 47,139.00 0.02 100,000.00 MPLX 4.875 16-24 01/12S 103,781.00 0.04
39,000.00 INTEL CORP 2.60 16-26 19/05S 36,411.57 0.01 110,000.00 AT&T 4.25 17-27 01/03S 108,681.10 0.04
50,000.00 EXXON MOBIL CORP 4.114 16-46 01/03S 50,670.00 0.02 90,000.00 JOHNSON & JOHNSON 3.625 17-37 03/03S 86,560.20 0.03
50,000.00 EXXON MOBIL CORP 3.043 16-26 01/03S 48,443.00 0.02 59,000.00 COMCAST CORP 3.30 17-27 01/02S 55,713.70 0.02
100,000.00 AT&T INC 5.20 16-20 15/03S 102,937.00 0.04 500,000.00 VERIZON COMMUNICAT 4.125 17-27 16/03S 501,875.00 0.18
100,000.00 CISCO SYSTEMS 2.60 16-23 28/02S 97,306.00 0.04 40,000.00 DELTA AIR LINES 2.875 17-20 13/03S 39,684.40 0.02
169,000.00 MICROSOFT 1.10 16-19 08/08S 166,882.43 0.06 80,000.00 MORGAN STANLEY 4.375 17-47 22/01S 77,804.00 0.03
5,000.00 NUCOR CORP 4.00 13-23 01/08S 5,096.75 0.00 20,000.00 FORD MOTOR COMPANY 4.346 16-26 08/12 18,839.60 0.01
100,000.00 AT T 6.375 16-41 01/03S 110,251.00 0.04 100,000.00 MPLX LP 5.20 17-47 01/03S 100,212.01 0.04
100,000.00 KROGER CO 2.65 16-26 15/10S 89,247.00 0.03 550,000.00 AT&T INC 3.8 17-24 01/03S 543,988.50 0.20
20,000.00 NIKE 3.375 16-46 01/11S 17,557.20 0.01 60,000.00 MICROSOFT 4.50 17-57 06/02S 64,816.20 0.03
150,000.00 VIACOM INC 3.45 16-26 04/10S 140,940.00 0.05 500,000.00 GOLDMAN SACHS GROU 3 17-22 26/04S 489,545.00 0.18
100,000.00 FORD MOTOR 5.291 16-46 08/12S 88,947.00 0.03 550,000.00 MICROSOFT CORP 4.10 17-37 06/02S 567,776.00 0.21
200,000.00 GOLDMAN SACHS GROU 3.50 16-26 16/11S 189,848.00 0.07 110,000.00 VERIZON COMMUNICAT 5.25 17-37 16/03S 117,290.80 0.05
150,000.00 PRES AND FELLOWS 3.15 16-46 15/07S 130,840.50 0.05 200,000.00 SABINE PASS 5.625 15-25 01/03S 213,140.00 0.08
480,000.00 BANK OF AMERICA CORP 4.183 16-27 25/11S 468,657.60 0.17 60,000.00 FEDEX CORP 4.4 17-47 15/01S 57,270.60 0.02
200,000.00 TIME WARNER INC 3.80 16-27 15/02S 190,988.00 0.07 100,000.00 DISCOVER FINANCIAL 4.1 17-27 09/02S 95,881.00 0.04
190,000.00 SPECTRA ENERGY PART 3.375 16-26 15/10S 178,999.00 0.07 617,000.00 VERIZON COMMUNICATION 5.50 17-47 16/03S 672,931.05 0.25
830,000.00 JP MORGAN CHASE SUB 3.625 16-27 01/12S 782,407.80 0.29 200,000.00 APPLE 4.25 17-47 09/02S 203,536.00 0.08
50,000.00 CITIGROUP INC 2.90 16-21 08/12S 48,955.00 0.02 200,000.00 APPLE 3.35 17-27 09/02S 195,492.00 0.08
100,000.00 PHILLIPS 66 PARTNE 3.55 16-26 01/10S 94,507.00 0.04 200,000.00 CA INC 3.60 17-22 15/08S 197,956.00 0.08
145,000.00 CHARTER COMM OPT L 6.484 16-45 23/10S 155,912.70 0.06 79,000.00 MICROSOFT CORP 2.875 17-24 06/02S 77,224.87 0.03
250,000.00 GILEAD SCIENCES INC 4.15 16-47 01/03S 236,837.50 0.09 250,000.00 ABBOTT LABORATORIES 4.75 17-43 15/04S 263,617.50 0.10
90,000.00 ALLSTATE CORP 4.20 16-46 15/12S 87,822.00 0.03 10,000.00 NATL RURAL UTIL COOP 2.85 15-25 27/01S 9,523.80 0.00
200,000.00 CSX 4.25 16-66 01/11S 180,314.00 0.07 10,000.00 PROGRESSIVE 2.45 16-27 15/01S 9,058.70 0.00
150,000.00 GOLDMAN SACHS GROU 2.30 16-19 13/12S 148,686.00 0.06 40,000.00 FEDEX CORP 4.10 15-45 01/02S 36,432.40 0.01
50,000.00 KEURIG DR PEPPER 3.13 16-23 15/12S 47,660.50 0.02 200,000.00 CISCO SYSTEMS INC 2.20 16-21 28/02S 195,796.00 0.08
292,000.00 CHARTER COM OPER 4.908 16-25 23/07S 296,864.72 0.11 153,000.00 HEWLETT PACKARD 6.35 16-45 15/10S 157,718.52 0.06
200,000.00 CHARTER COM OPER 3.579 16-20 23/07S 200,086.00 0.08 50,000.00 HEWLETT PACKARD 4.90 16-25 15/10S 51,421.00 0.02
40,000.00 S&P GLOBAL 4.40 15-26 15/02S 41,047.20 0.02 100,000.00 AT&T INC 5.45 17-47 01/03S 99,963.00 0.04
320,000.00 BANK OF AMERICA 2.625 15-20 19/10S 316,204.80 0.12 100,000.00 EMERA US FINANCE L 2.7 17-21 15/06S 97,079.00 0.04
23,000.00 NOBLE ENERGY INC 3.90 14-24 15/11S 22,593.82 0.01 50,000.00 SUNTRUST BANKS INC 2.25 17-20 31/01S 49,411.50 0.02
70,000.00 EXXON MOBIL CORP 2.726 16-23 01/03S 68,447.40 0.03 40,000.00 DIGITAL REALTY TRU 5.875 10-20 01/02S 41,010.80 0.02
100,000.00 ORACLE CORP 3.85 16-36 15/07S 96,500.00 0.04 200,000.00 FIDELITY NATIONAL 2.25 16-21 15/08S 193,100.00 0.07
210,000.00 AT T 4.50 16-48 09/03S 183,663.90 0.07 60,000.00 SANTANDER HLDGS 2.65 15-20 17/04S 59,206.20 0.02
300,000.00 GILEAD SCIENCES 1.95 16-22 01/03S 286,836.00 0.11 350,000.00 ELI LILLY 2.75 15-25 01/06Q 334,778.50 0.13
150,000.00 KIMCO REALTY CORP 2.80 16-26 01/10S 133,765.50 0.05 50,000.00 TRAVELERS COS INC 3.75 16-46 15/05S 45,964.50 0.02
36,000.00 MARRIOTT INTL 3.125 16-26 15/06S 33,558.12 0.01 50,000.00 HOSPITALITY PROPER 4.25 16-21 15/02S 50,298.50 0.02
30,000.00 MPLX 4.875 16-25 01/06S 30,985.20 0.01 200,000.00 AMGEN INC 1.85 16-21 19/08S 191,932.00 0.07
110,000.00 CHARTER COM OPERATING 6.384 16-35 23/10S 118,608.60 0.05 100,000.00 ARES CAPITAL CORP 3.875 14-20 15/01S 100,432.00 0.04
150,000.00 AT T 5.15 16-42 15/03S 144,771.00 0.06 50,000.00 ZIMMER BIOMET 2.70 15-20 01/04S 49,510.50 0.02
300,000.00 STRYKER 2.625 16-21 15/03S 295,341.00 0.11 100,000.00 GATX CORP 2.60 14-20 30/03S 98,729.00 0.04
190,000.00 HESS 4.30 16-27 01/04S 184,417.80 0.07 200,000.00 AMGEN 4.563 16-48 15/06S 195,850.00 0.08
70,000.00 OCCIDENTAL PETROLE 3.40 16-26 15/04S 68,464.20 0.03 120,000.00 EOG RESOURCES INC 2.45 14-20 01/04S 118,828.80 0.05
250,000.00 KRAFT HEINZ FOODS 5.00 16-35 15/07S 246,845.00 0.10 300,000.00 ABBOTT LABORATORIE 3.75 16-26 30/03M 298,893.00 0.12
100,000.00 ABBOTT LABORATORIE 4.9 16-46 30/11S 108,624.00 0.04 200,000.00 PFIZER 4.125 16-46 15/12S 198,308.00 0.08
300,000.00 OCCIDENTAL PETROLE 3 16-27 15/02S 284,871.00 0.11 100,000.00 LABORATORY CORP OF 2.625 15-20 01/02S 99,257.00 0.04
50,000.00 ANALOG DEVICES 3.125 16-23 05/12S 48,337.00 0.02 55,000.00 MORGAN STANLEY 3.625 17-27 20/01S 52,740.60 0.02

The accompanying notes form an integral part of these financial statements

202
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
94,000.00 EMERA US FINANCE L 4.75 17-46 15/06S 92,615.38 0.04 470,000.00 BECTON DICKINSON 2.404 17-20 05/06S 462,602.20 0.17
340,000.00 HEWLETT PACKARD 3.60 16-20 15/10S 342,125.00 0.13 100,000.00 JEFFERIES GROUP LL 4.85 17-27 15/01S 98,244.00 0.04
380,000.00 MICROSOFT CORP 3.30 17-27 06/02S 372,882.60 0.14 100,000.00 ACTIVISION BLIZ 3.40 17-26 15/09S 95,101.00 0.04
400,000.00 JPMORGAN CHASE 2.295 16-21 15/08S 388,572.00 0.14 250,000.00 DISCOVER BANK 3.20 14-21 09/08S 246,432.50 0.10
80,000.00 KINDER MORGAN ENER 5.30 10-20 15/09S 82,827.20 0.03 320,000.00 AT&T INC 5.25 17-37 01/03S 318,630.40 0.12
100,000.00 FIDELITY NAT REGS 3.625 15-20 15/10S 100,546.99 0.04 200,000.00 FORTIVE 2.35 17-21 15/06S 193,284.00 0.07
100,000.00 PRINCIPAL FINANCIA 3.1 16-26 15/11S 92,875.00 0.04 400,000.00 APPLE INC 2.50 17-22 09/02S 391,204.00 0.14
100,000.00 NORFOLK SOUTHERN 9.75 04-20 15/06S 110,560.00 0.04 45,000.00 BAXALTA 2.875 16-20 23/06S 44,604.90 0.02
200,000.00 QUALCOMM 3.25 17-27 20/05S 187,914.00 0.07 260,000.00 AMGEN 2.20 17-20 11/05S 256,328.80 0.10
270,000.00 BECTON DICKINSON CO 4.669 17-47 06/06S 268,374.60 0.10 300,000.00 CAPITAL ONE FIN CORP 2.50 17-20 12/05S 296,214.00 0.11
50,000.00 HOST HOTELS RESORTS 3.875 17-24 01/04. 48,796.50 0.02 100,000.00 MARATHON PETROLEUM 3.40 15-20 15/12S 100,104.00 0.04
100,000.00 BECTON DICKINSON CO 2.894 17-22 06/06S 97,170.00 0.04 400,000.00 JP MORGAN CHASE 2.40 16-21 07/06S 389,948.00 0.14
140,000.00 BANK OF NY MELLON 3.25 17-27 16/05S 134,478.40 0.05 62,000.00 COMCAST CORP 3.00 17-24 01/02S 59,733.28 0.02
260,000.00 SHERWIN-WILLIAMS CO 2.25 17-20 15/05S 256,276.80 0.10 250,000.00 SYNCHRONY 3.00 17-22 15/06S 239,552.50 0.09
200,000.00 SHERWIN-WILLIAMS C 3.125 17-24 01/06S 192,250.00 0.07 40,000.00 AIR LEASE CORP 2.125 16-20 15/01S 39,362.40 0.02
100,000.00 INTEL CORP 4.10 17-47 11/05S 99,063.00 0.04 200,000.00 SYNCHRONY FINANCIAL 2.70 15-20 03/02S 197,670.00 0.08
100,000.00 ACTIVIZION BLIZ 2.30 17-21 15/09S 97,046.00 0.04 215,000.00 AMGEN INC 4.663 16-51 15/06S 212,368.40 0.08
300,000.00 NISOURCE FINANCE CORP 3.49 17-27 15/05S 284,487.00 0.11 100,000.00 ALEXANDRIA REAL ES 2.75 14-20 15/01S 99,112.00 0.04
100,000.00 VOYA FINANCIAL 3.65 16-26 15/06S 95,373.00 0.04 50,000.00 MACYS RETAIL HLDGS 3.45 15-21 15/01S 49,737.50 0.02
200,000.00 APPLE INC 3.20 17-27 11/05S 193,012.00 0.07 300,000.00 AM EXPRESS CRDT F 2.20 17-20 03/03S 296,460.00 0.11
125,000.00 CSX 3.25 17-27 01/06S 118,301.25 0.05 60,000.00 FIFTH THIRD BANCOR 2.6 17-22 15/06S 57,751.20 0.02
300,000.00 ATMOS ENERGY CORP 3.00 17-27 15/06S 283,068.00 0.11 200,000.00 CARDINAL HEALTH IN 2.616 17-22 15/06S 191,372.00 0.07
21,000.00 TOTAL SYSTEM SERVICES 4.80 16-26 01/04S 21,601.23 0.01 100,000.00 CATERPILLAR 3.75 13-23 24/05S 101,275.00 0.04
200,000.00 KAISER FOUNDATION 4.15 17-47 01/05S 199,870.00 0.08 350,000.00 VERIZON COMMUNICATION 2.946 17-22 15/03S 344,400.00 0.13
280,000.00 AMGEN 2.65 17-22 11/05S 271,916.40 0.10 100,000.00 WELLTOWER INC 4.95 10-21 15/01S 102,524.00 0.04
100,000.00 AMERICAN INTL GRP 4.80 15-45 10/07S 99,070.00 0.04 100,000.00 CSX CORP 2.6 16-26 01/11S 90,972.00 0.04
200,000.00 WILLIS NORTH AMERI 3.6 17-24 15/05S 194,308.00 0.07 70,000.00 TYSON FOODS 2.25 17-21 23/08S 67,389.70 0.03
130,000.00 SHERWIN-WILLIAMS CO 4.50 17-47 01/06S 124,965.10 0.05 90,000.00 BAXALTA 3.60 15-22 23/06S 89,475.30 0.03
97,000.00 XILINX 2.95 17-24 01/06S 92,143.21 0.04 200,000.00 VMWARE 2.30 17-20 21/08S 195,716.00 0.08
50,000.00 SABINE PASS LIQUEFAC 5.00 17-27 15/03S 51,313.00 0.02 40,000.00 GOVERNMENT PROPERT 3.75 14-19 15/08S 40,191.42 0.02
250,000.00 21ST CENTURY FOX 3.375 16-26 15/11S 243,982.50 0.09 500,000.00 ERP OPERATING LP 2.979 17-22 03/08S 474,110.00 0.17
210,000.00 SABINE PASS LIQUEFAC 5.875 17-26 30/06S 226,600.50 0.09 80,000.00 WEC ENERGY GROUP I 2.45 15-20 15/06S 79,046.40 0.03
300,000.00 PFIZER INC 4.00 16-36 15/12S 296,916.00 0.11 50,000.00 DIGITAL REALTY TRU 3.40 16-20 01/10S 49,950.00 0.02
100,000.00 OWENS CORNING 4.30 17-47 15/07S 81,421.00 0.03 100,000.00 WALT DISNEY COMPANY 2.95 17-27 15/06S 94,793.00 0.04
150,000.00 MCDONALD'S CORP 4.7 15-35 09/12S 155,265.00 0.06 350,000.00 KINDER MORGAN INC 3.15 17-23 15/01S 340,462.50 0.13
240,000.00 GILEAD SCIENCES 4.00 16-36 01/09S 230,268.00 0.09 100,000.00 CROWN CASTLE INTL 3.650 17-27 01/09S 93,932.00 0.04
200,000.00 CROWN CASTLE INTL 3.25 17-27 01/03A 193,380.00 0.07 58,000.00 COMCAST CORP 3.150 17-28 15/02S 53,787.46 0.02
500,000.00 EBAY 2.15 17-20 05/06S 491,600.00 0.18 20,000.00 UNION PACIFIC CORP 3.60 17-37 15/09S 18,361.00 0.01
20,000.00 MCDONALD'S CORP 3.50 17-27 01/03S 19,365.80 0.01 50,000.00 CONCHO RESOURCES INC 4.875 17-47 01/10S 50,603.50 0.02
100,000.00 HEALTHCARE TR 3.75 17-27 01/07S 94,220.00 0.04 60,000.00 MAGELLAN MIDSTREAM 4.20 17-47 03/10S 55,158.00 0.02
150,000.00 TYSON FOODS 4.55 17-47 02/06S 140,211.00 0.05 50,000.00 NORTHWELL HEALTH 4.26 17-47 26/09S 47,484.50 0.02
50,000.00 TRAVELERS COS INC 4.00 17-47 30/05S 47,781.00 0.02 200,000.00 AETNA 3.875 17-47 15/08S 176,366.00 0.07
100,000.00 QUALCOMM 2.90 17-24 20/05S 95,506.00 0.04 520,000.00 VERIZON COMMUNICATION 4.50 17-33 10/08S 515,855.60 0.19
290,000.00 LOWE S COM 3.10 17-27 03/05S 276,570.10 0.11 60,000.00 INTERNATIONAL PAPER 4.35 17-48 15/08S 54,903.00 0.02
60,000.00 CBS CORP 2.50 17-23 15/02S 56,547.60 0.02 100,000.00 ARES CAPITAL CORP 3.50 17-23 10/02S 95,585.00 0.04
120,000.00 MCDONALD'S CORP 4.45 17-47 01/03S 117,394.80 0.05 200,000.00 BUNGE LTD FIN CORP 3.00 17-22 25/09S 191,214.00 0.07
130,000.00 KROGER CO 4.45 17-47 01/02S 119,121.60 0.05 36,000.00 COMCAST 3.20 16-36 15/07S 30,249.36 0.01
140,000.00 LOWE'S COS INC 4.05 17-47 03/05S 134,558.20 0.05 100,000.00 DISCOVERY COMMUNIC 2.950 17-23 20/03S 95,692.00 0.04
400,000.00 MORGAN STANLEY 2.625 16-21 17/11S 388,832.00 0.14 67,000.00 WASTE MANAGEMENT INC 3.90 15-35 01/03S 65,050.97 0.03
300,000.00 UNILEVER CAPITAL CORP 2.20 17-22 05/05S 288,519.00 0.11 200,000.00 VISA INC 2.75 17-27 15/09S 186,244.00 0.07
120,000.00 CISCO SYSTEMS INC 1.85 16-21 20/09S 115,657.20 0.04 200,000.00 THE PRICELINE GROUP 2.75 17-23 15/03S 192,048.00 0.07
100,000.00 VERIZON COMMUNICATION 3.125 17-22 16/03S 98,983.00 0.04 250,000.00 NATIONAL AUSTRALIA 2.25 17-20 10/01S 247,162.50 0.10
340,000.00 AT T 3.20 17-22 01/03S 334,859.20 0.13 30,000.00 FORTIVE 4.30 17-46 15/06S 28,531.20 0.01
100,000.00 MICROSOFT 1.85 17-20 06/02S 98,793.00 0.04 100,000.00 EXPRESS SCRIPT 3.40 16-27 01/03S 92,867.00 0.04
220,000.00 MICROSOFT 2.40 17-22 06/02S 215,014.80 0.08 50,000.00 DXC TECHNOLOGY 4.25 17-24 15/04S 49,995.50 0.02
200,000.00 FORD MOTOR CREDIT 3.81 17-24 09/01S 190,692.00 0.07 100,000.00 VOYA FINANCIAL INC 3.125 17-24 15/07S 94,513.00 0.04
55,000.00 GOLDMAN SACHS GROU 3.85 17-27 26/01S 53,391.80 0.02 50,000.00 VERISK ANALYTICS I 5.80 11-21 01/05S 52,524.00 0.02

The accompanying notes form an integral part of these financial statements

203
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
121,000.00 CHARTER COM OPER 5.375 17-47 01/05S 115,388.02 0.04 50,000.00 NOBLE ENERGY INC 3.85 17-28 15/01S 47,179.00 0.02
500,000.00 VERIZON COMMUNICATION 5.012 17-49 15/04S 509,620.00 0.19 60,000.00 GILEAD SCIENCES 1.85 17-19 20/09S 59,500.20 0.02
161,000.00 DISCOVERY COMMUNICA 5.20 17-47 20/09S 157,264.80 0.06 50,000.00 HUMANA INC 4.80 17-47 15/03S 51,227.00 0.02
100,000.00 CELGENE CORP 4.35 17-47 15/11S 90,188.00 0.03 200,000.00 JOHNSON & JOHNSON 2.90 17-28 15/01S 190,092.00 0.07
20,000.00 HESS CORP 5.8 16-47 01/04S 21,046.60 0.01 30,000.00 COSTCO WHOLESALE C 3.00 17-27 18/05S 28,483.50 0.01
330,000.00 AT&T INC 4.30 17-30 15/02S 317,918.70 0.12 200,000.00 COSTCO WHOLESALE C 2.30 17-22 18/05S 193,606.00 0.07
120,000.00 SYNCHRONY FINANCIAL 3.95 17-27 01/12S 108,812.40 0.04 200,000.00 PROCTER & GAMBLE 3.50 17-47 25/10S 185,408.00 0.07
300,000.00 CELGENE CORP 2.75 17-23 15/02S 287,784.00 0.11 300,000.00 REPUBLIC SERVICES 3.20 15-25 15/03S 288,915.00 0.11
200,000.00 AT T 144A 4.10 17-28 15/02S 194,090.00 0.07 20,000.00 UNION PACIFIC CORP 3.25 15-25 15/08S 19,376.80 0.01
80,000.00 21ST CENTURY FOX A 4.95 16-45 15/10S 88,822.40 0.03 100,000.00 CINTAS CORPORATION 3.70 17-27 01/04S 97,352.00 0.04
150,000.00 APPLE INC 3.75 17-47 13/11S 140,880.00 0.05 15,000.00 SANDIEGO GAS ELECT 3.75 17-47 01/06S 13,648.95 0.01
30,000.00 NORTHWESTERN UNIVERS 3.662 17-57 01/12S 28,587.90 0.01 70,000.00 MPLX LP 4.70 18-48 15/04S 65,518.60 0.03
50,000.00 ANDEAVOR LOGISTICS 5.20 17-47 01/12S 49,553.50 0.02 80,000.00 ARES CAPITAL CORP 4.25 18-25 01/03S 76,654.40 0.03
160,000.00 ORACLE CORP 4.00 17-47 15/11S 152,438.40 0.06 235,000.00 QUALCOMM 4.30 17-47 20/05S 221,520.40 0.09
220,000.00 MICROSOFT CORP 4.25 17-47 06/02S 230,463.20 0.09 300,000.00 CVS HEALTH CORP 3.70 18-23 09/03S 298,686.00 0.12
60,000.00 3M COMPANY 2.25 17-23 15/03S 57,693.60 0.02 450,000.00 CVS HEALTH CORP 5.05 18-48 25/03S 459,693.00 0.17
40,000.00 3M COMPANY 2.875 17-27 15/10S 37,815.20 0.01 20,000.00 GEORGE WASHINGTON UNI 4.126 18-48 15/09S 19,890.80 0.01
40,000.00 VEREIT OPERATING 3.95 17-27 15/08S 37,632.80 0.01 400,000.00 CVS HEALTH CORP 3.35 18-21 09/03S 399,088.00 0.14
470,000.00 KROGER CO 2.80 17-22 01/08S 454,673.30 0.17 880,000.00 CVS HEALTH CORP 4.78 18-38 25/03S 877,368.80 0.33
190,000.00 WASTE MANAGEMENT INC 3.15 17-27 15/11S 180,940.80 0.07 150,000.00 EXPRESS SCRIPTS HOL 3.05 17-22 30/11S 145,450.50 0.06
20,000.00 HOME DEPOT 2.80 17-27 14/09S 18,698.20 0.01 100,000.00 DISCOVERY COMM 5.00 17-37 20/09S 97,394.00 0.04
140,000.00 KROGER CO 4.65 17-48 15/01S 132,336.40 0.05 70,000.00 AMER AIRLINE 17-2 3.35 17-29 15/10S 66,607.80 0.03
200,000.00 BOSTON PROPERTIES 3.20 17-25 15/01S 191,102.00 0.07 70,000.00 NISOURCE 3.95 17-48 30/03S 62,664.00 0.02
100,000.00 DEUTSCHE BANK AG NY 3.30 17-22 16/11S 95,066.00 0.04 110,000.00 LABORATORY CORP OF 4.70 15-45 01/02S 107,074.00 0.04
200,000.00 XEROX CORP 3.625 17-23 15/03S 190,534.00 0.07 200,000.00 GILEAD SCIENCES IN 4.60 15-35 01/09S 206,282.00 0.08
40,000.00 KELLOGG 3.40 17-27 15/11S 37,206.00 0.01 50,000.00 SEMPRA ENERGY 2.90 18-23 01/02S 48,298.50 0.02
70,000.00 WESTERN GAS PARTNERS 3.95 15-25 01/06S 66,842.30 0.03 250,000.00 DISCOVER BANK 3.35 18-23 06/02S 242,657.50 0.09
60,000.00 METLIFE INC 3.00 15-25 01/03S 57,268.80 0.02 260,000.00 BROADCOM CORP 2.375 18-20 15/01S 256,945.00 0.10
100,000.00 MOSAIC 4.05 17-27 15/11S 96,681.00 0.04 100,000.00 VIACOM INC 5.85 13-43 01/09S 105,724.00 0.04
83,000.00 DISCOVERY COMM 3.95 17-28 20/03S 78,791.90 0.03 22,000.00 CIGNA CORP 3.050 17-27 15/10S 19,851.04 0.01
30,000.00 ORACLE 3.25 17-27 15/11S 28,855.20 0.01 100,000.00 COMCAST CORP 3.969 17-47 01/11S 89,214.00 0.03
190,000.00 UNITED PARCEL SERVICE 2.80 17-24 15/11S 182,232.80 0.07 50,000.00 INTEL 1.85 17-20 11/05S 49,176.00 0.02
80,000.00 AMERISOURCEBERGEN 3.45 17-27 15/12S 74,750.40 0.03 250,000.00 CAPITAL ONE FINANC 3.30 17-24 30/10S 238,402.50 0.09
160,000.00 ORACLE 3.80 17-37 15/11S 152,358.40 0.06 250,000.00 FORD MOTOR 3.47 18-21 05/03S 246,712.50 0.10
320,000.00 ORACLE 2.95 17-24 15/11S 308,848.00 0.12 200,000.00 EQT CORP 2.50 17-20 01/10S 195,442.00 0.08
300,000.00 ANTHEM INC 3.35 17-24 01/12S 290,850.00 0.11 180,000.00 SANTANDER HOLD USA 3.70 17- 177,667.20 0.07
220,000.00 ANTHEM INC 4.375 17-47 01/12S 208,025.40 0.08 150,000.00 CAPITAL ONE 3.20 18-23 30/01S 145,435.50 0.06
240,000.00 UNITED PARCEL SERV 3.75 17-47 15/11S 222,556.80 0.09 32,000.00 UNITEDHEALTH GROUP 1.95 17-20 15/10S 31,285.76 0.01
150,000.00 ANTHEM INC 3.65 17-27 01/12S 142,698.00 0.06 50,000.00 ZOETIS INC 3.95 17-47 12/09S 45,549.50 0.02
40,000.00 AMERISOURCEBERGEN 4.30 17-47 15/12S 36,173.60 0.01 100,000.00 BROADCOM CORP 3.00 18-22 15/01S 97,362.00 0.04
120,000.00 QUALCOMM 2.60 17-23 30/01S 115,275.60 0.04 60,000.00 CROWN CASTLE INTL 3.80 18-28 15/02S 56,858.40 0.02
250,000.00 AUST & NZ BANKING 2.625 17-22 09/11S 240,252.50 0.09 70,000.00 ABBOTT LABORATORIES 2.80 17-20 15/09S 69,387.50 0.03
216,000.00 MARATHON OIL CORP 4.40 17-27 15/05S 215,790.48 0.08 27,000.00 KENTUCKY UTIL CO 5.125 11-40 01/11S 30,573.99 0.01
496,000.00 MORGAN STANLEY 2.75 17-22 19/05S 481,000.96 0.18 200,000.00 BROADCOM CORP 3.625 18-24 15/01S 194,416.00 0.07
200,000.00 EXXON MOBIL CORPORAT 3.567 15-23 06/03S 186,862.00 0.07 160,000.00 HOME DEPOT INC 1.80 17-20 05/06S 157,124.80 0.06
20,000.00 CATERPILLAR 5.30 05-35 15/09S 22,642.00 0.01 20,000.00 CBS CORP 4.6 15-45 15/01S 18,859.20 0.01
200,000.00 FORD MOTOR CREDIT 2.425 17-20 12/06S 195,810.00 0.08 100,000.00 AIR LEASE CORP 3.625 17-27 01/12S 91,727.00 0.04
200,000.00 FORD MOTOR CREDIT 3.219 15-22 09/01S 193,256.00 0.07 250,000.00 HOME DEPOT INC 5.95 11-41 01/04S 311,502.50 0.12
98,000.00 COMCAST CORP 3.999 17-49 01/11S 87,396.40 0.03 250,000.00 ENTERPRISE PRODUCTS 2.80 18-21 15/02S 246,860.00 0.10
250,000.00 VISA INC 3.65 17-47 15/09S 232,802.50 0.09 60,000.00 CELGENE CORP 3.25 18-23 20/02S 58,791.60 0.02
50,000.00 CIGNA CORP 3.875 17-47 15/10S 42,803.00 0.02 360,000.00 DEUTSCHE BANK NY 3.95 18-23 27/02S 349,927.20 0.13
36,000.00 NISOURCE FINANCE C 4.375 17-47 15/05S 34,447.32 0.01 300,000.00 UNITED PARCEL SERVI 2.05 17-21 01/04S 292,098.00 0.11
200,000.00 TRANSCONT GAS PIPE 7.90 17-26 01/02S 243,956.00 0.09 160,000.00 MCDONALD'S CORP 3.35 18-23 01/04S 158,585.60 0.06
40,000.00 HUMANA INC 3.95 17-27 15/03S 39,284.00 0.02 110,000.00 INGERSOLL-RAND 2.90 18-21 21/02S 108,699.80 0.04
100,000.00 UNITEDHEALTH GROUP 2.95 17-27 15/10S 93,579.00 0.04 200,000.00 CHURCH AND DWIGHT CO 2.45 17-22 01/08S 191,914.00 0.07
50,000.00 JOHNSON & JOHNSON 3.50 17-48 15/01S 45,861.50 0.02 150,000.00 ANDEAVOR LOGIS LP 3.50 17-22 01/12S 147,706.50 0.06
90,000.00 KIMBERLY-CLARK CORP 3.90 17-47 04/05S 86,345.10 0.03 150,000.00 AIR LEASE 2.50 18-21 01/03S 146,535.00 0.06

The accompanying notes form an integral part of these financial statements

204
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
50,000.00 MARATHON PETROLEUM 6.50 11/41 01/03S 58,696.00 0.02 100,000.00 INTEL 2.875 17-24 11/05S 96,961.00 0.04
270,000.00 AMERICAN WATER CAP 2.95 17-27 01/09S 252,360.90 0.10 150,000.00 MCKESSON 3.95 18-28 16/02S 144,726.00 0.06
200,000.00 HASBRO INC 3.50 17-27 15/09S 185,670.00 0.07 100,000.00 FEDEX CORP 4.05 18-48 15/02S 90,394.00 0.03
100,000.00 XYLEM INC 3.25 16-26 01/11S 93,916.00 0.04 70,000.00 INTEL 3.15 17-27 11/05S 67,690.70 0.03
100,000.00 THERMO FISHER SCIENCE 4.10 17-47 15/08S 93,663.00 0.04 36,000.00 ANTHEM INC 4.65 12-43 15/01S 35,445.24 0.01
130,000.00 CARDINAL HEALTH 3.079 17-24 15/06S 122,833.10 0.05 70,000.00 HEWLETT PACKARD 6.20 16-35 15/10S 72,330.30 0.03
50,000.00 STARBUCKS 3.5 18-28 28/02S 48,044.50 0.02 30,000.00 MARTIN MARIETTA 4.2500 17-47 15/12S 25,719.60 0.01
150,000.00 KINDER MORGAN 4.30 18-28 01/03S 148,567.50 0.06 200,000.00 BOSTON EDISON 3.2 17-27 15/05S 191,274.00 0.07
60,000.00 THERMO FISCHER 3.2 17-27 14/08S 56,044.20 0.02 70,000.00 BOSTON SCIENTIFIC 4.00 18-28 01/03S 69,209.70 0.03
90,000.00 UNITEDHEALTH GROUP 2.375 17-22 15/10S 86,346.90 0.03 120,000.00 ANTHEM INC 4.550 18-48 01/03S 116,512.80 0.04
200,000.00 APPLE 2.40 17-23 13/01S 192,982.00 0.07 100,000.00 VULCAN MATERIALS C 4.5 17-47 15/06S 89,463.00 0.03
200,000.00 AMERICAN EXPRESS 3.00 17-24 30/10S 190,834.00 0.07 40,000.00 CAMPBELL 4.8 18-48 15/03S 36,422.40 0.01
150,000.00 FEDEX CORP 3.4 18-28 15/02S 143,796.00 0.06 50,000.00 FIDELITY NATIONAL 4.5 16-46 15/08S 47,567.50 0.02
260,000.00 ANALOG 2.95 18-21 12/03S 257,639.20 0.10 10,000.00 GENERAL MILLS 4.5500 18-38 17/04S 9,603.40 0.00
50,000.00 UNITEDHEALTH GROUP 3.75 17-47 15/10S 46,388.50 0.02 230,000.00 KINDER MORGAN 5.20 18-48 01/03S 234,606.90 0.09
300,000.00 EXPRESS SC HLDG 2.6000 17-20 30/11S 294,975.00 0.11 70,000.00 CAMPBELL SOUP CO 4.15 18-28 15/03S 66,735.20 0.03
40,000.00 CAMPBELL SOUP 3.30 18-21 15/03S 39,724.40 0.02 50,000.00 STARBUCKS CORP 3.75 17-47 01/12S 43,346.50 0.02
100,000.00 EQT MIDSTREAM P 5.5000 18-28 15/07S 102,816.00 0.04 60,000.00 MARTIN MARIETTA 3.5000 17-27 15/12S 55,324.20 0.02
150,000.00 ANDEAVOR 4.7500 17-23 15/12S 155,400.00 0.06 180,000.00 CHARTER COM 5.7500 18-48 01/04S 179,782.20 0.07
100,000.00 HUMANA INC 2.50 17-20 15/12S 98,156.00 0.04 300,000.00 KEY BANK NA 3.3500 18-21 15/06S 299,631.00 0.12
780,000.00 CVS HEALTH CORP 3.125 18-20 09/03S 779,586.60 0.29 100,000.00 ASCENSION HEALTH 3.945 16-46 15/11S 97,123.00 0.04
150,000.00 AXA EQUITABLE H 4.3500 18-28 20/04S 145,201.50 0.06 20,000.00 LINCOLN NATIONAL CORP 4.35 18-48 01/03S 18,607.40 0.01
70,000.00 BANK OF NY MELL 3.5000 18-23 28/04S 69,799.80 0.03 100,000.00 PUGET SOUND ENE 4.2230 18-48 15/06S 100,516.00 0.04
100,000.00 CONCHO RESOURCE 4.8500 18-48 15/08S 100,711.00 0.04 200,000.00 AMERICAN WATER CAPITAL 4.20 18-48 01/09S 196,488.00 0.08
100,000.00 CONCHO RESOURCE 4.3000 18-28 15/08S 99,495.00 0.04 100,000.00 AMERICAN INTL G 4.7500 18-48 01/04S 98,180.00 0.04
250,000.00 CAMPBELL SOUP CO 3.65 18-23 15/03S 244,905.00 0.09 120,000.00 INTERCONTINENTAL 4.25 18-48 13/08S 117,982.80 0.05
215,000.00 UNITEDHEALTH 4.25 18-48 19/06S 216,072.85 0.08 50,000.00 BROADCOM CORP 3.125 18-25 15/01S 46,430.00 0.02
100,000.00 EQT MIDSTREAM P 4.7500 18-23 15/07S 101,518.00 0.04 60,000.00 DISCOVER FINANC 5.2000 12-22 27/04S 62,068.80 0.02
160,000.00 CHARTER COM OPE 5.3750 18-38 01/04S 155,611.20 0.06 1,000.00 PPL ELECTRIC UT 4.1500 18-48 15/06S 990.85 0.00
570,000.00 BROADCOM CORP 3.875 18-27 15/01S 537,230.70 0.20 100,000.00 CITIGROUP INC 4.6500 18-48 23/07S 100,984.00 0.04
200,000.00 DELTA AIR LINES 3.8000 18-23 19/04S 196,312.00 0.08 150,000.00 UNION PACIFIC CORP 5.70 17-47 15/04S 141,976.50 0.05
2,000.00 AIR LEASE CORP 3.8750 18-23 03/07S 1,982.34 0.00 100,000.00 REPUBLIC SERVICES 3.95 18-28 15/05S 99,323.00 0.04
100,000.00 O'REILLY AUTOMO 4.3500 18-28 01/06S 100,266.01 0.04 150,000.00 MYLAN INC 5.2 18-48 15/04S 139,221.00 0.05
300,000.00 CHARTER COMM OP 4.5000 18-24 01/02S 301,703.97 0.12 135,000.00 SOUTHERN CALIFORNIA 4.125 18-48 01/06S 133,760.70 0.05
100,000.00 GENERAL MILLS 4.2000 18-28 17/04S 98,562.00 0.04 75,000.00 ALEXANDRIA REAL EST 3.90 13-23 15/06S 75,278.25 0.03
100,000.00 JOHN DEERE CAP CORP 2.875 18-21 12/03S 99,101.00 0.04 320,000.00 MPLX LP 3.375 18-23 15/03S 313,328.00 0.12
200,000.00 JOHN DEERE CAP CORP 3.45 18-25 13/03S 197,740.00 0.08 100,000.00 CAPITAL ONE FINANC 4.25 18-25 30/04S 99,681.00 0.04
100,000.00 SALESFORCE.COM 3.7000 18-28 11/04S 99,669.00 0.04 100,000.00 APPLIED MATERIALS 3.3 17-27 01/2017S 96,310.00 0.04
400,000.00 STARBUCKS 3.1 18-23 28/02 S 393,940.00 0.14 400,000.00 ILLINOIS TOOL WORK 2.65 16-26 15/11S 369,516.00 0.14
50,000.00 EPR PROPERTIES 4.9500 18-28 15/04S 49,174.50 0.02 1,350,000.00 CITIBANK NA 3.0500 18-20 01/05S 1,346,841.00 0.51
300,000.00 NAT AUSTRALIA BANK 3.625 18-23 20/06S 298,851.00 0.12 200,000.00 PNC FINANCIAL SERV 3.15 17-27 19/05S 189,682.00 0.07
100,000.00 ALEXANDRIA REAL 4.7000 18-30 01/07S 100,985.00 0.04 100,000.00 SPECTRA ENERGY 3.5000 15-25 15/03S 96,360.00 0.04
27,000.00 SIMON PROPERTY 3.375 17-27 01/12S 25,726.68 0.01 27,000.00 UNITEDHEALTH GROUP 3.45 16-27 15/01S 26,410.86 0.01
200,000.00 MPLX LP 4.50 18-38 15/04S 188,208.00 0.07 400,000.00 TOYOTA MOTOR CREDIT 2.6 17-22 11/01S 391,164.00 0.14
60,000.00 GENERAL MILLS I 2.6000 17-22 12/10S 57,478.80 0.02 42,000.00 COMCAST CORP 4.00 17-47 15/08S 37,604.28 0.01
200,000.00 TOYOTA MOTOR CREDIT 2.70 18-23 11/01S 194,284.00 0.07 150,000.00 LOUISVILLE GAS 3.3000 15-25 01/10S 145,939.50 0.06
480,000.00 CVS HEALTH CORP 4.10 18-25 25/03S 478,348.80 0.17 140,000.00 GLAXOSMITHKLINE 4.2000 13-43 18/03S 139,620.60 0.05
170,000.00 CROWN CASTLE INTL 3.15 18-23 15/07S 163,523.00 0.06 150,000.00 HUBBELL INC 3.35 16-26 01/03S 142,107.00 0.05
60,000.00 INGERSOLL RAND 3.75 18-28 21/08S 58,369.20 0.02 100,000.00 STRYKER 4.625 16-46 15/03S 101,044.00 0.04
100,000.00 UNITEDHEALTH GR 3.8500 18-28 15/06S 100,217.99 0.04 250,000.00 COOPERAT RABOBANK 2.75 18-23 10/01S 240,377.50 0.09
40,000.00 CELGENE CORP 3.9 18-28 20/02S 38,522.40 0.01 60,000.00 NORFOLK SOUTHER 3.1500 17-27 01/06S 56,785.20 0.02
50,000.00 PLAINS ALL AMER 3.6000 14-24 01/11S 48,171.00 0.02 200,000.00 CMS ENERGY CORP 3.45 17-27 15/08S 191,888.00 0.07
200,000.00 BRISTOL-MYERS S 3.2500 17-27 27/02S 194,768.00 0.08 250,000.00 CITIZENS BANK NA 2.25 17-20 30/10S 243,545.00 0.09
20,000.00 NEWELL BRANDS INC 5.375 16-36 01/04S 19,352.20 0.01 100,000.00 PLAINS ALL AMERICAN 4.90 14-45 15/02S 92,951.00 0.04
200,000.00 ABB FINANCE 3.80 18-28 03/04S 200,478.02 0.08 170,000.00 CONSOLI EDISON CO 3.8 18-28 15/05S 170,579.70 0.07
80,000.00 SYSCO CORP 4.5 16-46 01/04S 78,267.20 0.03 100,000.00 ENABLE MIDSTREA 4.9500 18-28 15/05S 99,313.00 0.04
100,000.00 GENERAL MILLS 4.7000 18-48 17/04S 96,070.00 0.04 30,000.00 PROGRESSIVE CORP 4.125 17-47 15/04S 29,226.30 0.01

The accompanying notes form an integral part of these financial statements

205
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
250,000.00 BRANCH BANKING 2.2500 17-20 01/06S 246,110.00 0.09 240,000.00 KIMCO REALTY CORP 3.30 17-25 01/02S 226,749.60 0.09
160,000.00 UNION PACIFIC CORP 4.5000 18-48 10/09S 163,041.60 0.06 30,000.00 BAXALTA INC 5.25 15-45 23/06S 31,933.50 0.01
50,000.00 WESTLAKE CHEMIC 4.3750 17-47 15/11S 44,627.50 0.02 320,000.00 APPLE 2.0 17-20 13/11S 314,284.80 0.12
100,000.00 EASTMAN 4.8 12-42 05/06S 99,258.00 0.04 150,000.00 AMERICAN INTERN 4.20 18-28 01/04S 148,438.50 0.06
18,000.00 CENTERPOINT ENE 3.5500 12-42 01/08S 16,385.94 0.01 50,000.00 SEMPRA ENERGY 4 18-48 01/02S 44,531.00 0.02
200,000.00 AMERICAN EXPRESS CO 3.375 18-21 17/05S 199,966.00 0.08 40,000.00 RYDER SYSTEM INC 2.45 14-19 03/09S 39,812.40 0.02
300,000.00 HOME DEPOT 3.35 15-25 15/09S 296,220.00 0.11 250,000.00 NATIONAL AUST BK 2.875 18-23 12/04S 241,077.50 0.09
20,000.00 PPL CAPITAL FUNDING INC 4.0 17-47 15/09S 17,988.40 0.01 50,000.00 GATX CORP 4.55 18-28 07/11S 49,832.50 0.02
60,000.00 PYDER SYSTEM INC 3.4 18-23 01/03S 59,130.00 0.02 100,000.00 HARTFORD FINL S 4.4000 18-48 15/03S 96,392.00 0.04
150,000.00 IBM CORP 5.6 12-39 30/11S 178,825.50 0.07 53,000.00 BRIGHTHOUSE 4.7 17-47 22/12S 43,794.43 0.02
90,000.00 EXPRESS SCRIPTS HO 4.80 16-46 15/07S 87,783.30 0.03 60,000.00 AMERICAN CAMPUS CM 3.35 15-20 01/10S 59,767.20 0.02
200,000.00 CARLISLE COS INC 3.50 17-24 01/12S 191,720.00 0.07 50,000.00 CME GROUP INC 4.1500 18-48 15/06S 49,730.00 0.02
22,000.00 PRUDENTIAL FINANCIAL 3.935 17-49 07/12S 19,790.32 0.01 550,000.00 CITIBANK NA 2.85 18-21 12/02S 543,532.00 0.20
18,000.00 NETAPP INC 3.30 17-24 29/09S 17,145.72 0.01 100,000.00 OKLAHOMA GAS & ELECT 3.85 17-47 15/08S 92,104.00 0.04
50,000.00 NORFOLK SOUTHERN 4.15 18-48 28/02S 48,314.00 0.02 200,000.00 CATERPILLAR FIN 2.4000 17-22 06/06S 193,572.00 0.07
20,000.00 UNION PACIFIC CORP4.3 12-42 15/06S 19,622.40 0.01 100,000.00 TD AMERITRADE HOLD 3.30 17-27 01/04S 95,613.00 0.04
20,000.00 TRAVELERS COS I 4.0500 18-48 07/03S 19,267.20 0.01 60,000.00 MEAD JOHNSON NUTRI CO 5.9 10-39 01/11S 71,398.20 0.03
200,000.00 MICROSOFT CORP 4.2000 15-35 03/11S 208,602.00 0.08 18,000.00 SAN DIEGO GAS & ELEC 2.5 16-26 15/05S 16,545.60 0.01
100,000.00 VENTAS REALTY L 4.3750 15-45 01/02S 90,680.00 0.03 100,000.00 EQT MIDSTREAM P 6.5000 18-48 15/07S 106,178.00 0.04
100,000.00 METLIFE INC 5.875 10-41 06/02S 117,781.00 0.05 200,000.00 NEWELL BRANDS INC 3.90 15-25 01/11S 185,818.00 0.07
400,000.00 GOLDMAN SACHS BANK 3.2 18-20 05/06S 400,768.00 0.14 200,000.00 UNITEDHEALTH GR 3.5000 18-23 15/06S 200,320.00 0.08
40,000.00 BOARDWALK PIPELINE 5.75 09-19 15/09S 40,980.40 0.02 87,000.00 AMER AIRLINE 16-2 3.2 16-28 15/06S 82,114.95 0.03
50,000.00 KIRBY CORP 4.2 18-28 01/03S 48,937.50 0.02 80,000.00 DOVER CORP 3.15 15-25 15/11S 76,168.00 0.03
50,000.00 FIRST NIAGARA FIN 6.75 10-20 19/03S 52,392.50 0.02 150,000.00 BOSTON PROPERTIES 3.65 16-26 01/02S 145,308.00 0.06
160,000.00 VERIZON COMMUNICATION 3.376 17-25 15/02S 155,462.40 0.06 50,000.00 ONEOK INC 4.0000 17-27 13/07S 48,371.50 0.02
200,000.00 AMERICAN EXPRESS 2.20 17-20 30/10S 195,780.00 0.08 100,000.00 CLECO CORP HLDG 3.743 17-26 01/05S 94,167.00 0.04
50,000.00 CORNING INC 4.3750 17-57 15/11S 43,879.00 0.02 40,000.00 KAISER 3.15 17-27 03/05S 38,299.20 0.01
200,000.00 THE HERSHEY CO 3.375 18-23 15/05S 199,862.00 0.08 10,000.00 MARATHON OIL CORP 5.20 15-45 06/01S 10,445.30 0.00
85,000.00 CSX CORP 4.30 18-48 01/03S 82,744.95 0.03 100,000.00 CBS 3.50 15-25 15/01S 95,586.00 0.04
110,000.00 PROCTER GAMBLE 1.9 17-20 25/10S 107,615.20 0.04 25,000.00 TIME WARNER INC 5.375 11-41 15/10S 24,827.75 0.01
50,000.00 MARSH & MCLENNA 4.2000 18-48 01/03S 47,182.00 0.02 150,000.00 KRAFT HEINZ 4.0 18-23 15/06S 150,427.50 0.06
500,000.00 ABBVIE 4.30 16-36 14/05S 469,060.00 0.17 120,000.00 BRIGHTHOUSE 3.7 17-27 22/12S 106,611.60 0.04
200,000.00 DOLLAR TREE INC 4.0000 18-25 15/05S 196,024.00 0.08 100,000.00 CATERPILLAR FIN 2.9500 18-20 15/05S 99,803.00 0.04
300,000.00 ANTHEM INC 2.50 17-20 21/11S 295,365.00 0.11 230,000.00 AMERICAN EXPRESS CO 3.4 18-23 27/02S 226,471.80 0.09
300,000.00 PHILLIPS 66 3.90 18-28 15/03S 295,128.00 0.11 40,000.00 BANK OF NY MELON 3.4 18-28 29/01S 38,816.40 0.01
350,000.00 ABBOTT LAB. 3.25 16-23 15/10S 347,312.00 0.13 100,000.00 PACCAR FINANCIAL CORP 2.05 17-20 13/11S 97,639.00 0.04
110,000.00 BANK OF NY MELL 3.8500 18-28 28/04S 110,412.50 0.04 50,000.00 KIMCO REALTY CORP 4.45 17-47 01/09S 45,756.00 0.02
100,000.00 BUCKEYE PARTNER 4.1250 17-27 01/12S 92,422.00 0.04 207,000.00 VERIZON COMMUNICATIO 4.329 18-28 21/09S 208,045.35 0.08
100,000.00 FISERV INC 3.8500 15-25 01/06S 99,170.00 0.04 250,000.00 INTERCONTINENTAL EXCH 2.75 15-20 01/12S 247,852.50 0.10
50,000.00 UNITEDHEALTH GROUP 4.25 17-47 15/04S 50,048.50 0.02 50,000.00 WISCONSIN PUBLI 4.7520 13-44 01/11S 54,054.50 0.02
80,000.00 METLIFE INC 5.7 05-35 15/06S 91,430.40 0.04 100,000.00 AVALONBAY COMMU 3.6250 13-20 01/10S 100,453.01 0.04
50,000.00 NYU HOSPITALS CENTER 4.368 17-47 01/07S 50,606.00 0.02 100,000.00 ERP OPERATING LTD 3 13-23 15/04S 97,371.00 0.04
22,000.00 ANTHEM INC 5.1 13-44 15/01S 22,909.04 0.01 50,000.00 EXXON MOBIL CORP 2.222 16-21 01/03S 49,009.00 0.02
100,000.00 DEUTSCHE BANK AG 3.70 18-24 30/05S 93,821.00 0.04 20,000.00 NUCOR CORP 5.20 13-43 01/08S 21,811.20 0.01
100,000.00 SEMPRA ENERGY 2.40 18-20 01/02S 98,884.00 0.04 205,000.00 NATIONAL RURAL 3.4000 18-28 07/02S 198,813.10 0.08
200,000.00 FIFTH THIRD BANK 2.875 14-21 01/10S 196,470.00 0.08 40,000.00 INGERSOLL-RAND 4.3000 18-48 21/02S 38,400.00 0.01
50,000.00 CONSOLIDATED EDISON 2.00 17-20 15/03S 49,144.50 0.02 120,000.00 LABORATORY CORP 3.6000 15-25 01/02S 116,437.20 0.04
100,000.00 ZIMMER HLDGS 4.45 15-45 15/08S 93,424.00 0.04 27,000.00 UNITEDHEALTH GROUP IN 4.25 15/03S 26,875.26 0.01
40,000.00 MEDTRONIC INC 6.50 09-39 15/03S 50,829.20 0.02 200,000.00 SELECT INCOME REIT 4.50 15-25 01/02S 191,898.00 0.07
46,000.00 AMERICAN INTL GROUP 4.375 15-55 15/01S 40,537.04 0.02 44,000.00 OCCIDENTAL PETROLEUM 4.10 10-21 01/02S 44,730.84 0.02
18,000.00 NISOURCE INC 5.65 13-45 01/02S 20,250.72 0.01 430,000.00 GOLDMAN SACHS G 2.6000 17-20 27/12S 422,978.10 0.15
14,000.00 AVISTA CORP 4.35 18-48 01/06S 14,113.54 0.01 100,000.00 SYSCO CORP 4.85 15-45 01/10S 103,170.00 0.04
300,000.00 BB&T CORP 2.625 15-20 29/06S 297,282.00 0.11 300,000.00 US BANK NATIONAL 3.104 18-21 21/05S 299,163.00 0.12
1,000.00 GATX CORP 4.5 15-45 30/03S 922.87 0.00 30,000.00 MONDELEZ INTERN 4.6250 18-48 07/05S 29,202.60 0.01
50,000.00 ONCOR 4.1 18-48 10/08S 49,578.50 0.02 20,000.00 JM SMUCKER CO 4.375 15-45 15/03S 18,520.60 0.01
100,000.00 VENTAS REALTY L 4.0000 18-28 01/03S 96,560.00 0.04 27,000.00 SEMPRA ENERGY 6.00 09-39 15/10S 31,099.14 0.01
200,000.00 HOSPITALITY PRO 4.3750 18-30 15/02S 183,444.00 0.07 82,000.00 COMCAST 3.375 14-25 15/02S 79,296.46 0.03

The accompanying notes form an integral part of these financial statements

206
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
160,000.00 21ST CENTURY FO 6.9000 10-39 15/08S 217,518.40 0.08 120,000.00 JOHN DEERE CAPITAL 2.65 17-24 24/06S 114,310.80 0.04
250,000.00 COMPASS BANK 3.5 18-21 11/06S 248,617.50 0.10 75,000.00 MAGELLAN MIDSTR 5.1500 13-43 15/10S 78,226.50 0.03
150,000.00 AMERICAN FIN GROUP 3.5 16-26 15/08S 139,788.00 0.05 120,000.00 SOUTHWEST AIRLINES 2.75 14-19 06/11S 119,482.80 0.05
50,000.00 ERP OPERATING L 4.5000 15-45 01/06S 50,185.50 0.02 200,000.00 LINCOLN NATIONAL C 4.85 11-21 24/06S 206,516.00 0.08
100,000.00 SPIRIT REALTY LP 4.450 17-26 15/09S 95,737.00 0.04 65,000.00 ENTERPRISE PRODS. 5.7 11-42 24/08S 73,400.60 0.03
180,000.00 KELLOGG CO 4.3000 18-28 15/05S 178,779.60 0.07 50,000.00 CH ROBINSON WOR 4.2000 18-28 15/04S 49,246.50 0.02
130,000.00 3M COMPANY 3.625 17-47 15/10S 122,036.20 0.05 80,000.00 BB T CORP 2.15 17-21 01/02S 77,916.80 0.03
250,000.00 REGIONS BK BIRMINGHAM 2.75 18-21 01/04S 245,222.50 0.09 200,000.00 STATE STREET CORP 1.95 16-21 19/05S 193,406.00 0.07
70,000.00 UNITED AIR 2018 3.5000 18-30 01/03S 67,275.60 0.03 200,000.00 WHIRLPOOL CORP 3.7 14-25 01/05S 192,956.00 0.07
340,000.00 CAPITAL ONE FIN 3.4500 18-21 30/04S 339,602.20 0.13 100,000.00 JOHN DEERE CAPI 2.7000 18-23 06/01S 97,110.00 0.04
20,000.00 SIMON PROPERTY GRO 4.25 16-46 30/11S 19,458.40 0.01 100,000.00 AMGEN INC 3.2 17-27 02/11S 93,724.00 0.04
250,000.00 AT T INC 4.45 11-21 15/05S 255,842.50 0.10 100,000.00 COSTCO WHOLESAL 2.2500 15-22 15/02S 96,988.00 0.04
200,000.00 TEXAS INSTRUMEN 1.7500 15-20 01/05S 196,402.00 0.08 100,000.00 KRAFT HEINZ FOO 3.3750 18-21 15/06S 99,611.00 0.04
400,000.00 APPLE INC 2.85 17-24 11/05S 387,892.00 0.14 350,000.00 PNC 2.625 17-22 17/02S 340,070.50 0.13
20,000.00 ALLSTATE CORP5.55 05-35 09/05S 22,774.60 0.01 250,000.00 THERMO FISHER S 3.6500 15-25 15/12S 245,197.50 0.09
130,000.00 BANK OF NEW YORK MEL 3.4 14-24 15/05S 128,115.00 0.05 250,000.00 HUNTINGTON NAT BANK 2.375 17-20 10/03S 247,027.50 0.10
50,000.00 EVERSOURCE ENERGY 2.50 16-21 15/03S 49,069.50 0.02 200,000.00 APPLE INC 1.80 17-20 11/05S 196,588.00 0.08
200,000.00 O'REILLY AUTOMOTIV 3.55 16-26 15/03S 191,852.00 0.07 100,000.00 MCDONALD'S CORP 3.8 18-28 01/04S 98,475.00 0.04
70,000.00 ONCOR ELECTRIC DEL 2.95 15-25 01/04S 67,151.70 0.03 50,000.00 SYSCO CORPORATI 4.4500 18-48 15/03S 48,923.50 0.02
10,000.00 OWENS CORNING INC 4.40 18-48 30/01S 8,286.60 0.00 100,000.00 COMCAST CORP 4.09 17-52 01/11S 88,318.00 0.03
300,000.00 MOODYS 3.25 18-21 07/06S 298,611.00 0.12 200,000.00 EVERSOURCE ENERGY 2.90 17-24 01/10S 190,876.00 0.07
33,000.00 EQT CORP 3.90 17-27 01/10S 30,928.59 0.01 300,000.00 GENERAL MILLS 4.0000 18-25 17/04S 296,862.00 0.11
70,000.00 ONEOK INC 4.9500 17-47 13/07S 69,353.20 0.03 50,000.00 VALMONT INDUSTRIES 5.25 14-54 01/10S 43,434.00 0.02
200,000.00 REALTY INCOME CORP 3.65 17-28 15/01S 192,524.00 0.07 200,000.00 CATERPILLAR FIN SERVI 2.55 17-22 29/11S 193,872.00 0.07
150,000.00 CAPITAL ONE FINANCIAL 3.8 18-28 31/01S 141,483.00 0.05 200,000.00 ABB FINANCE 3.375 18-23 03/04S 199,198.00 0.08
170,000.00 WILLIAMS PARTNERS 4.85 18-48 01/03S 164,145.20 0.06 70,000.00 FIDELITY NATIONAL 4.25 18-28 15/02S 70,210.00 0.03
200,000.00 IBM CREDIT CORP 2.65 18-21 05/02S 197,610.00 0.08 130,000.00 CITIGROUP INC 3.30 15-25 27/04S 125,011.90 0.05
100,000.00 APPLE 3.75 17-47 12/09S 94,010.00 0.04 50,000.00 SIMON PROPERTY GRO 2.35 16-22 30/01S 48,267.00 0.02
50,000.00 MARKEL CORP 4.30 17-47 01/11S 45,756.50 0.02 50,000.00 ENABLE MIDSTREAM PART 5.00 15-44 15/05S 44,959.00 0.02
250,000.00 HSBC BANK USA NA 7.00 08-39 15/01S 321,630.00 0.12 50,000.00 APPLIED MATERIALS 5.1 15-35 01/10S 54,584.50 0.02
60,000.00 CONSOLIDATED ED 4.5000 18-58 15/05S 59,495.40 0.02 13,000.00 PPL ELECTRIC UTIL CO 4.75 13-43 15/07S 13,964.60 0.01
50,000.00 CONSUMERS ENERGY CIE 4.05 18-48 15/05S 49,259.00 0.02 100,000.00 ERP OPERATING L 3.5000 18-28 01/03S 96,499.00 0.04
200,000.00 FORD MOTOR CREDIT CO 4.14 18-23 15/02S 196,676.00 0.08 250,000.00 KEY BANK NA 3.3750 18-23 07/03S 247,952.50 0.10
300,000.00 UNION PACIFIC CORP 3.5 18-23 08/06S 299,217.00 0.12 50,000.00 NORFOLK SOUTHERN CORP 5.1 18-18 01/08S 49,312.00 0.02
100,000.00 E TRADE FINANCIAL 2.950 17-22 24/08S 96,715.00 0.04 100,000.00 AMERIPRISE FINA 3.7000 14-24 15/10S 99,364.00 0.04
30,000.00 DISCOVERY COMMU 3.2500 13-23 01/04S 28,919.40 0.01 100,000.00 APPLIED MATERIALS 5.85 11-41 15/06S 119,254.00 0.05
50,000.00 SYSCO CORPORATI 3.5500 18-25 15/03S 48,906.50 0.02 150,000.00 BANK OF AMERICA CO 4.75 15-45 21/04S 151,821.00 0.06
20,000.00 CATERPILLAR 4.3 14-44 08/05S 20,539.20 0.01 50,000.00 PFIZER INC 5.6000 15-40 15/09S 59,029.00 0.02
56,000.00 BANK OF AMERICA CORP 3.946 18-49 23/01S 51,430.96 0.02 40,000.00 AVALONBAY COM 4.20 13-23 15/12S 40,988.40 0.02
250,000.00 NUCOR CORP 3.9500 18-28 01/05S 249,397.50 0.10 27,000.00 BANK OF NY MELL 3.3000 17-29 23/08S 25,262.28 0.01
50,000.00 SANTANDER HLD USA 4.4 18-27 13/07S 47,784.00 0.02 20,000.00 NOBLE ENERGY INC 4.95 17-47 15/08S 19,233.80 0.01
100,000.00 IBM 3.30 17-27 27/01S 97,628.00 0.04 138,000.00 AMERICAN INTER 4.7 15-35 10/07S 137,381.76 0.05
50,000.00 UNITEDHEALTH GROUP 4.375 12/42 15/03S 50,749.50 0.02 160,000.00 LOEWS CORP 4.125 13-43 15/05S 149,275.20 0.06
300,000.00 AUSTRALIA & NEW ZEALAN 2.3 16-21 01/06S 291,015.00 0.11 250,000.00 DDR CORP 3.625 15-25 01/02S 238,092.50 0.09
50,000.00 VIACOM INC 4.50 11-21 01/03S 50,824.00 0.02 200,000.00 FIFTH THIRD BAN 2.2000 17-20 30/10S 195,822.00 0.08
50,000.00 AFLAC INC 4.0000 16-46 15/10S 46,381.50 0.02 200,000.00 DEUTSCHE BK 3.125 18-21 13/01S 195,030.00 0.08
30,000.00 WESTERN GAS PAR 5.3000 18-48 01/03S 27,599.40 0.01 80,000.00 SEMPRA ENERGY 3.8 18-38 12/01S 72,013.60 0.03
10,000.00 KANSAS CITY 4.7 18-48 01/05S 9,949.80 0.00 200,000.00 HOME DEPOT 3.90 17-47 15/06S 192,756.00 0.07
150,000.00 INTERNATIONAL PAPE 4.8 14-44 15/06S 146,092.50 0.06 290,000.00 CELGENE 4.55 18-48 20/02S 269,488.30 0.10
120,000.00 EATON CORP 3.103 17-27 15/09S 111,868.80 0.04 300,000.00 VALERO ENERGY CORP 4.35 18-28 01/06S 301,857.00 0.12
100,000.00 ARCH CAPITAL FI 4.0110 16-26 15/12S 98,680.00 0.04 70,000.00 CBS CORP 3.375 17-28 15/02S 64,126.30 0.02
50,000.00 KANSAS CITY SOU 4.3000 16-43 15/05S 46,782.00 0.02 40,000.00 TAMPA ELECTRIC CO 4.35 14-44 15/05S 39,013.20 0.02
40,000.00 PRUDENTIAL FINANCIAL 4.418 18-48 27/03S 39,269.20 0.02 50,000.00 KEURIG DR PEPPER 4.5 15-45 15/11S 46,304.00 0.02
20,000.00 UNION PACIFIC 2.25 15-20 19/06S 19,718.40 0.01 70,000.00 UNION PACIFIC CORP 4.8 18-58 10/09S 72,186.80 0.03
250,000.00 COMCAST CORP 7.05 03-33 15/03S 312,592.50 0.12 220,000.00 LINCOLN NATIONAL CORP 3.8 18-28 01/03S 212,201.00 0.08
250,000.00 STATE STREET 4.375 11-21 07/03S 256,810.00 0.10 300,000.00 UNILEVER CAPITA 3.1250 18-23 22/03S 296,163.00 0.11
250,000.00 UBS AG STAMFORD 2.35 15-20 26/03S 246,985.00 0.10 100,000.00 INTERSTATE POWE 3.7000 16-46 15/09S 89,869.00 0.03

The accompanying notes form an integral part of these financial statements

207
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
30,000.00 AMERICAN WATER 3.85 13-24 01/03S 30,346.20 0.01 100,000.00 DIGNITY HEALTH 3.125 12-22 01/11S 97,624.00 0.04
100,000.00 REGIONS FINANCIAL 7.375 07-37 10/12S 128,186.00 0.05 50,000.00 CHUBB INA HOLD 4.15 13-43 13/03S 49,359.50 0.02
50,000.00 PRUDENTIAL FINANCIAL 3.905 17-47 07/12S 45,051.00 0.02 250,000.00 PRAXAIR 3.20 15-26 30/01S 243,332.50 0.09
150,000.00 FS INVESTMENT CORP 4.25 14-20 15/01S 150,241.50 0.06 300,000.00 US BANK NA CINC 3.1500 18-21 26/04S 299,166.00 0.12
48,000.00 ZOETIS INC 3.00 17-27 12/09S 44,416.32 0.02 42,000.00 DISCOVERY COMM 6.35 10-40 01/06S 46,245.78 0.02
150,000.00 COCA COLA 2.9 17-27 05/05S 141,277.50 0.05 10,000.00 EMERA US FINANCE LP 3.55 16-26 15/06S 9,424.90 0.00
300,000.00 ENBRIDGE ENERGY PART 5.875 15-25 15/10S 329,457.00 0.13 200,000.00 SUNTRUST BANK ATLANTA 2.59 18-21 29/01S 198,014.00 0.08
20,000.00 ANALOG DEVICES INC 5.3 15-45 15/12S 21,340.60 0.01 250,000.00 ZIMMER BIOMET HOLD 3.7000 18-23 19/03S 248,412.50 0.10
150,000.00 UNILEVER CAPITA 3.5000 18-28 22/03S 146,923.50 0.06 300,000.00 US BANCORP 2.35 16-21 29/01S 294,693.00 0.11
120,000.00 DISCOVERY COMMU 3.4500 15-25 15/03S 114,094.80 0.04 600,000.00 JPMORGAN CHASE & C 2.55 16-21 01/03S 588,810.00 0.22
50,000.00 PHILLIPS 66 4.68 15-45 23/02S 47,401.00 0.02 100,000.00 ECOLAB INC 3.95 17-18 01/12S 95,182.00 0.04
50,000.00 MASTERCARD 3.950 18-48 26/02S 49,439.50 0.02 320,000.00 OMEGA HEALTHCARE 5.25 15-26 15/01S 323,283.20 0.12
200,000.00 BB&T CORPORATION 3.2 18-21 03/09S 199,066.00 0.08 600,000.00 JOHN DEERE 3.45 18-23 07/06S 599,502.00 0.22
300,000.00 JPMORGAN CHASE CO 3.514 18-22 18/06S 300,165.00 0.12 300,000.00 ABBOTT LABORATO 3.8750 17-25 15/09S 301,920.00 0.12
90,000.00 PROGRESSIVE 4.2 18-48 14/03S 88,745.40 0.03 200,000.00 JEFF GROUP 4.15 18-30 23/01S 179,514.00 0.07
200,000.00 ASSURANT INC 4.9 18-28 27/03S 199,270.00 0.08 220,000.00 APPLE INC 2.75 17-25 13/01S 210,815.00 0.08
150,000.00 EMERSON ELECTRIC CO 3.15 15-25 01/06S 145,009.50 0.06 70,000.00 COLGATE PALMOLIVE 3.70 17-47 01/08S 66,125.50 0.03
20,000.00 CONNECTICUT LIGHT 4.00 18-48 01/04S 19,662.00 0.01 250,000.00 MASTERCARD INC 2.00 16-21 21/11S 241,397.50 0.09
300,000.00 ONEOK INC 4.55 18-28 15/07S 301,245.00 0.12 88,000.00 COMCAST CORP 4.0 18-48 01/03S 78,980.88 0.03
100,000.00 UDR INC 3.5 17-27 01/07S 94,448.00 0.04 100,000.00 LEGG MASON INC 4.75 16-26 15/03S 102,001.00 0.04
20,000.00 METLIFE -E- TR2 4.721 14-44 15/12Q 20,678.20 0.01 100,000.00 JOHN DEERE BANK -G- 2.15 17-22 08/09S 95,459.00 0.04
50,000.00 NUCOR CORP 4.1250 10-22 15/09S 50,990.00 0.02 370,000.00 COMCAST CORP 3.90 18-38 01/03S 339,149.40 0.13
18,000.00 SAN DIEGO GAS & ELEC 4.5 11-40 15/08S 18,443.88 0.01 40,000.00 REALTY INCOME CORP 3.875 18-25 15/04S 39,673.20 0.02
22,000.00 METLIFE INC 6.5 02-32 15/12S 26,883.56 0.01 40,000.00 EATON CORP 3.9150 17-47 15/09S 36,284.40 0.01
5,000.00 CONSOLIDATED EDISO 4.625 14-54 01/12S 5,072.20 0.00 250,000.00 PNC BANK NA 2.15 16-21 29/04S 242,617.50 0.09
120,000.00 ARCHER 3.75 17-47 14/09S 109,818.00 0.04 10,000.00 HASBRO INC 5.10 14-44 15/05S 9,468.00 0.00
100,000.00 ALLEGHANY CORP 4.95 12-22 27/06S 104,130.00 0.04 200,000.00 MORGAN STANLEY 2.721 15-20 05/11S 197,102.00 0.08
100,000.00 MARRIOTT 4.0 18-28 97,932.00 0.04 100,000.00 CONTINENTAL RESOURCES 4.375 18-28 15/01S 99,216.00 0.04
100,000.00 ELI LILLY & CO 3.95 17-47 15/05S 99,083.00 0.04 70,000.00 CENTERPOINT ENERGY 3.55 18-23 01/04S 69,095.60 0.03
50,000.00 RAYMOND JAMES FIN. 4.95 16-46 15/07S 50,858.00 0.02 15,000.00 SAN DIEGO G & E 4.1500 18-48 15/05S 14,676.60 0.01
70,000.00 PUGET SOUND ENERGY 5.638 11-41 15/04S 82,853.40 0.03 50,000.00 AVALONBAY COMMU 4.3500 18-48 15/04S 49,623.50 0.02
200,000.00 JOHNSON & JOHNSON 3.55 16-36 01/03S 190,940.00 0.07 200,000.00 GILEAD SCIENCES 2.95 16-27 01/03S 185,998.00 0.07
98,000.00 APPLE INC 4.375000 15-45 13/05S 101,723.02 0.04 50,000.00 CMS ENERGY CORP 3 16-26 15/05S 46,839.00 0.02
60,000.00 MARSH MCLENNAN 2.75 17-22 30/01S 58,444.80 0.02 100,000.00 CC HOLDINGS GS V L 3.849 13-23 15/04S 99,341.00 0.04
18,000.00 UNITED PARCEL SER INC 3.4 16-46 15/11S 15,677.28 0.01 200,000.00 DANAHER CORP 2.4 15-20 15/09S 197,050.00 0.08
400,000.00 IBM CORP 1.90 17-20 27/01S 394,924.00 0.14 120,000.00 KINDER MORGAN ENERGY 7.5 10-40 15/11S 149,067.60 0.06
225,580.68 UNITED AIR 2014-2 3.75 14-26 03/09S 222,275.92 0.09 100,000.00 AUTODESK INC 4.375 15-25 15/06S 100,293.01 0.04
50,000.00 UNION PACIFIC CORP 4.3750 18-38 10/09S 50,899.00 0.02 250,000.00 COLGATE-PALMOLI 2.2500 17-22 15/11S 241,040.00 0.09
36,000.00 COMCAST CORP 3.55 18-28 01/05S 34,463.16 0.01 5,000.00 TRAVELERS COMPANIES 6.375 03-33 15/03S 6,175.90 0.00
350,000.00 TOYOTA MOTOR CREDI 3.3 12-22 12/01S 349,937.00 0.13 125,000.00 WESTROCK RKT CO 3.50 13-20 01/03S 124,988.75 0.05
110,000.00 AMERICAN 3.5 18-28 15/02S 107,596.50 0.04 180,000.00 DIGITAL REALTY 4.7500 15-25 01/10S 184,604.40 0.07
70,000.00 WW GRAINGER INC 4.2000 17-47 15/05S 68,563.60 0.03 9,000.00 VEREIT OPERATING 4.6 14-24 06/02S 9,027.00 0.00
40,000.00 JOHN DEERE CAPI 3.0500 18-28 06/01S 37,848.80 0.01 100,000.00 HARLEY-DAVIDSON 3.5000 15-25 28/07S 95,775.00 0.04
80,000.00 AT&T INC 5.15 17-46 15/11S 76,549.60 0.03 150,000.00 ALEXANDRIA 4.5 14-29 18/07S 149,298.00 0.06
20,000.00 ERP OPERATING L 4.0000 17-47 01/08S 18,686.40 0.01 100,000.00 AXA EQUITABLE H 3.9000 18-23 20/04S 99,166.00 0.04
100,000.00 PARKER-HANNIFIN CO 4.1 17-47 01/03S 97,747.00 0.04 50,000.00 SIMON PROPERTY 3.375 17-27 15/06S 47,871.50 0.02
50,000.00 WALT DISNEY 2.45 17-22 06/03S 48,572.50 0.02 260,000.00 ORACLE 2.625 17-23 09/11S 252,278.00 0.10
250,000.00 MONDELEZ INTERN INC 3.625 18-23 07/05S 248,520.00 0.10 200,000.00 PROCTER GAMBLE CO 2.15 17-22 11/08S 192,504.00 0.07
300,000.00 CATERPILLAR FIN SERV 3.45 18-23 15/05S 300,441.03 0.12 120,000.00 ROPER TECHNOLOGIES 3.80 16-26 15/12S 116,700.00 0.05
200,000.00 BANK OF NY MELLON 2.95 18-23 29/01S 195,136.00 0.08 100,000.00 WESTERN GAS PART. 5.5 18-48 09/08S 94,739.00 0.04
100,000.00 BUCKEYE PARTNERS L 4.875 11-21 01/02S 101,887.00 0.04 250,000.00 COMMONWEALTH BK AUST 2.55 16-21 15/03S 244,565.00 0.09
100,000.00 AMERICAN TOWER COR 2.80 15-20 01/06S 99,071.00 0.04 350,000.00 AMERICAN HONDA 2.6500 18-21 12/02S 345,800.00 0.13
500,000.00 APPLE INC 1.55 16-21 04/08S 479,410.00 0.17 100,000.00 CONSOLIDATED ED 3.8750 17-47 15/06S 93,208.00 0.04
200,000.00 LOWE'S COS INC 3.375 15-25 15/09S 196,060.00 0.08 50,000.00 FIDELITY NATIONAL 4.75 18-48 15/06S 49,535.50 0.02
250,000.00 WALT DISNEY 3.00 16-46 30/07S 203,850.00 0.08 80,000.00 ITC HOLDINGS CORP 3.65 14-24 15/06S 78,495.20 0.03
250,000.00 CITIBANK NA 3.4000 18-21 23/07S 249,837.50 0.10 29,000.00 SIMON PROPERTY GRO 3.30 16-26 15/01S 27,849.86 0.01
27,000.00 SEMPRA ENERGY 3.25 17-27 15/06S 25,075.44 0.01 200,000.00 QUEST DIAGNOSTICS 3.45 16-26 01/06S 189,676.00 0.07

The accompanying notes form an integral part of these financial statements

208
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
11,000.00 CENTERPOINT ENE 4.1000 17-47 01/09S 10,131.66 0.00 130,000.00 ENTERPRISE PROD. 7.55 09-38 15/10S 170,383.20 0.07
50,000.00 BRIXMOR OPERATI 3.8750 15-22 15/08S 49,667.50 0.02 150,000.00 ECOLAB INC 2.25 15-20 12/01S 148,336.50 0.06
150,000.00 COCA-COLA 2.20 17-22 25/05S 144,711.00 0.06 100,000.00 PARKER-HANNIFIN CORP 3.50 10-22 15/09S 99,977.00 0.04
20,000.00 AMERICAN INTERN 5.75 18-48 01/04S 19,455.20 0.01 150,000.00 BLACK HILLS CORP 3.15 16-27 15/01S 137,919.00 0.05
20,000.00 CATERPILLAR FIN 2.9000 18-21 15/03S 19,857.20 0.01 60,000.00 MOSAIC CO 4.8750 11-41 15/11S 55,081.20 0.02
200,000.00 KELLOGG CO 3.25 18-21 14/05S 199,344.00 0.08 50,000.00 NUCOR CORP 4.4000 18-48 01/05S 49,003.50 0.02
200,000.00 CME GROUP INC 3.75 18-28 15/06S 200,086.00 0.08 280,000.00 APPLE 2.10 17-22 12/09S 268,380.00 0.10
100,000.00 OMNICOM GROUP 3.60 16-26 15/04S 94,910.00 0.04 50,000.00 ORACLE 4.50 14-44 08/07S 51,258.00 0.02
100,000.00 CNA FINANCIAL CORP 4.5 16-26 01/03S 101,061.00 0.04 50,000.00 PPL ELECTRIC UT 3.9500 17-47 01/06S 47,985.50 0.02
100,000.00 TARGET CORP 4.0000 12-42 01/07S 96,797.00 0.04 110,000.00 STRYKER CORP 3.65 18-28 07/03S 106,445.90 0.04
40,000.00 NATL RURAL UTILITIES 2.3 14-19 15/11S 39,722.40 0.02 100,000.00 COSTCO WHOLESALE CORP 2.15 17-21 18/05S 97,773.00 0.04
100,000.00 NEWMONT MINING CORP 4.875 12-42 15/03S 97,215.00 0.04 190,000.00 TOYOTA MOTOR CR 3.4000 18-25 14/04S 187,148.10 0.07
200,000.00 PACKAGING CORP 2.4500 17-20 15/12S 196,100.00 0.08 200,000.00 AMERICAN HONDA FIN 2.15 15-20 13/03S 197,406.00 0.08
20,000.00 CSX CORP 5.5000 10-41 15/04S 22,466.60 0.01 70,000.00 CSX 3.8 18-28 20/02S 69,036.10 0.03
100,000.00 KENNAMETAL INC 4.625 18-28 15/06S 97,845.00 0.04 20,000.00 STRYKER CORP 4.3750 14-44 15/05S 19,378.40 0.01
50,000.00 CSX CORP 4.65 18-68 01/03S 48,281.50 0.02 50,000.00 EBAY INC 2.75 17-23 30/01 48,114.50 0.02
50,000.00 CONSOLIDATED ED 5.5000 09-39 01/12S 57,707.50 0.02 150,000.00 21ST CENTURY FOX 7.75 14-45 01/12S 224,491.50 0.09
100,000.00 EVERSOURCE ENER 3.3000 18-28 15/01S 94,199.00 0.04 50,000.00 CENTERPOINT ENERGY 3.95 18-48 01/03S 48,379.50 0.02
250,000.00 PNC BANK NATL ASSO 3.5 18-23 08/06S 248,870.00 0.10 410,000.00 SOUTHERN CALIFOR 2.6 16-26 15/06S 377,638.70 0.15
100,000.00 RPM INTERNATIONAL 4.25 17-48 15/01S 87,584.00 0.03 130,000.00 AT&T INC 4.55 16-49 09/03S 114,121.80 0.04
150,000.00 JOHNSON & JOHNSON 2.625 17-25 15/01S 144,160.50 0.06 420,000.00 JOHNSON & JOHNSON 3.40 17-38 15/01S 391,162.80 0.14
100,000.00 ESTEE LAUDER CO IN 4.15 17-47 15/03S 100,088.00 0.04 270,000.00 VISA INC 2.1500 17-22 15/09S 258,759.90 0.10
70,000.00 MICROSOFT CORP 4.75 15-55 03/11S 79,060.10 0.03 2,000.00 AMERICAN HOMES 4 RENT 4.25 18-28 15/02S 1,910.74 0.00
100,000.00 NATIONAL RURAL 2.3000 17-22 15/09S 95,879.00 0.04 6,000.00 HEALTHCARE REALTY 3.625 17-28 15/01S 5,583.06 0.00
295,000.00 INTEL CORP 3.734 18-47 08/12S 273,925.20 0.11 30,000.00 UNITED PARCEL 2.404 16-26 15/11S 27,380.70 0.01
20,000.00 SIMON PROPERTY LP 2.75 17-23 01/06S 19,259.60 0.01 100,000.00 NORDSTROM INC 4 17-27 15/03S 97,081.00 0.04
100,000.00 S&P GLOBAL INC 4.5000 18-48 15/05S 99,876.00 0.04 300,000.00 CATERPILLAR INC 6.05 06-36 15/08S 368,037.00 0.14
50,000.00 HCP INC 6.75 11-41 01/02S 61,603.00 0.02 150,000.00 TRANSCONTINENTAL GAS 4.45 12/42 01/08S 142,983.00 0.06
200,000.00 INTEL CORP 2.35 17-22 11/05S 194,206.00 0.07 150,000.00 PFIZER INC 1.7000 16-19 15/12S 148,005.00 0.06
54,000.00 TUCSON ELECTRIC PO 3.05 15-25 15/03S 51,247.08 0.02 160,000.00 JOHNSON & JOHNSON 1.95 17-20 10/11S 156,932.80 0.06
250,000.00 SUNTRUST BANK 2.45 17-22 01/08S 239,975.00 0.09 100,000.00 TOTAL SYSTEM 4.45 18-28 11/05S 100,287.01 0.04
200,000.00 CHARLES SCHWAB CORP 3.25 18-21 21/05S 199,658.00 0.08 70,000.00 ANTHEM INC 4.6250 12-42 15/05S 68,724.60 0.03
70,000.00 METLIFE 4.05 15-45 01/03S 65,613.10 0.03 60,000.00 CSX CORP 3.80 16-46 01/11S 54,263.40 0.02
70,000.00 OCCIDENTAL PETROLEUM 2.60 16-22 15/04S 68,100.90 0.03 100,000.00 COMCAST CORP 6.40 08-38 15/05S 118,396.00 0.05
90,000.00 CISCO SYSTEMS I 2.2000 16-23 20/09S 85,502.70 0.03 20,000.00 CARDINAL HEALTH 4.368 17-47 15/06S 17,837.00 0.01
100,000.00 SPIRIT AEROSYST 3.8500 16-26 15/06S 95,446.00 0.04 20,000.00 OCCIDENTAL PETE 4.2 18-48 02/03S 19,724.60 0.01
150,000.00 ERP OPERATING LP 3.25 17-27 01/08S 142,261.50 0.05 300,000.00 PRUDENTIAL FIN INC 3.878 18-28 27/03S 297,369.00 0.11
200,000.00 FORD MOTOR CRED 3.815 17-27 02/11S 179,090.00 0.07 100,000.00 TRAVELERS COMPAGNI INC 6.25 07-37 15/06S 123,512.00 0.05
300,000.00 CELGENE CORP 2.8750 18-21 19/02S 296,205.00 0.11 200,000.00 CENTERPOINT ENERGY 4 18-28 01/04S 197,756.00 0.08
150,000.00 COCA COLA 1.55 16-21 01/09S 143,658.00 0.06 80,000.00 NATL RETAIL PROPER 5.50 11-21 15/07S 84,234.40 0.03
80,000.00 UNION PACIFIC 3.875 15-55 01/02S 70,540.80 0.03 300,000.00 MANUF & TRADERS TRUST 2.625 18-21 25/01S 295,053.00 0.11
80,000.00 STARBUCK 4.5 18-48 10/08S 78,408.80 0.03 460,000.00 GOLDMAN SACHS GROUP 3.20 18-23 23/02S 449,456.80 0.16
150,000.00 ONEOK INC 5.2000 18-48 15/07S 153,240.00 0.06 40,000.00 AIR LEASE CORP 3.25 18-25 01/03S 37,364.40 0.01
120,000.00 TARGET CORP 3.90 17-47 15/11S 113,120.40 0.04 50,000.00 MASCO CORP 4.5000 17-47 15/05S 43,298.50 0.02
100,000.00 TEXAS INSTRUMENTS INC 4.15 18-48 15/05S 100,402.00 0.04 95,000.00 AMERICAN WATER 3.750 17-47 01/09S 87,134.95 0.03
250,000.00 COOPERAT RABOBA 3.1250 18-21 26/04S 248,282.50 0.10 150,000.00 WESTROCK CO 3.00 17-24 15/09S 141,795.00 0.05
50,000.00 HCP 3.875 14-24 15/08S 48,863.50 0.02 200,000.00 CHARTER COM OPER 3.75 17-28 15/02S 184,332.00 0.07
150,000.00 CISCO SYSTEMS I 2.5000 16-26 20/09S 138,739.50 0.05 150,000.00 PROLOGIS LP 3.875 18-28 15/09S 150,409.50 0.06
230,000.00 MORGAN STANLEY 3.125 18-23 23/01S 224,286.80 0.09 40,000.00 TAMPA ELECTRIC 4.30 18-48 15/06S 39,690.00 0.02
100,000.00 AMEX CREDIT CORP 3.30 17-27 03/05S 96,005.00 0.04 90,000.00 21ST CENTURY FOX 4.75 17-46 15/11S 96,538.50 0.04
200,000.00 WELLTOWER INC 4.2500 18-28 15/04S 196,904.00 0.08 400,000.00 EXXON MOBIL CORPOR 2.397 15-22 06/03S 389,416.00 0.14
50,000.00 ARCHER DANIELS MID 5.375 05-35 15/09S 56,110.50 0.02 50,000.00 TRANSCONTINENTAL GAS 4.6 18-18 15/03S 48,651.00 0.02
10,000.00 TOYOTA MOTOR 3.05 18-28 11/01S 9,451.70 0.00 40,000.00 TRANSCONTINENTAL GAS 4.0 18-28 15/03S 39,060.00 0.02
240,000.00 ENTERPRISE PRODUCTS 4.25 18-48 15/02S 225,674.40 0.09 Floating rate bonds 16,470,161.49 6.35
100,000.00 MID-AMERICA APA 4.3000 13-23 15/10S 101,129.00 0.04
Canada 310,971.10 0.12
50,000.00 FEDERAL REALTY 3.2500 17-27 15/07S 46,842.50 0.02
160,000.00 NORFOLK SOUTHERN CRP 4.05 18-52 15/08S 149,955.20 0.06 150,000.00 TORONTO DOMINION BK FL.R 16-31 15/09S 140,653.50 0.05

The accompanying notes form an integral part of these financial statements

209
AMUNDI INDEX US CORP SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
100,000.00 MANULIFE FINANCIAL FL.R 17-32 24/02S 95,284.00 0.04 100,000.00 BANK OF AMERICA FL.R 18-29 23/07S 99,932.00 0.04
80,000.00 BANK OF NOVA SCOTIA FL.R 17-XX 12/04S 75,033.60 0.03 100,000.00 GOLDMAN SACHS GROUP FL.R 18-29 23/04S 95,404.00 0.04
France 113,327.20 0.04 200,000.00 GOLDMAN SACHS GROU FL.R 18-39 23/04S 193,862.00 0.07
210,000.00 BANK OF AMERICA CORP FL.R 18-24 05/03S 207,469.50 0.08
80,000.00 FRANCE TELECOM FL.R 01-31 01/03S 113,327.20 0.04 40,000.00 JPMORGAN CHASE FL.R 18-49 23/01S 36,351.60 0.01
Netherlands 193,030.00 0.07 50,000.00 JPMORGAN CHASE & C FL.R 17-48 24/07S 46,436.00 0.02
200,000.00 AEGON FL.R 18-48 11/04S 193,030.00 0.07 150,000.00 CITIGROUP INC FL.R 17-48 24/04S 143,661.00 0.06
650,000.00 MORGAN ST. FL.R 18-39 24/04S 645,476.00 0.25
United Kingdom 2,553,324.98 0.98
250,000.00 CITIGROUP INCFL.R 18-24 01/06S 250,835.00 0.10
200,000.00 BT GROUP FL.R 00-30 15/12S 284,594.00 0.11 640,000.00 JPMORGAN CHASE BANK FL.R 18-21 26/04S 638,028.80 0.25
200,000.00 ROYAL BK OF SCOTLAND FL.R 17-23 15/05S 193,812.00 0.07 150,000.00 JPMORGAN CHASE SUB. FL.R 18-29 23/01S 141,960.00 0.05
350,000.00 HSBC HOLDINGS PLC FLR 17-23 13/03S 342,741.00 0.13 160,000.00 BANK OF AMERICA CORP FL.R 17-25 01/10S 152,339.20 0.06
400,000.00 HSBC HOLDINGS PLC FL.R 17-28 13/03S 386,120.00 0.15 720,000.00 CITIGROUP INC FL.R 18-39 24/01S 663,998.40 0.26
200,000.00 SANTANDER UK GRP HDG FL.R 17-28 03/11S 183,896.00 0.07 180,000.00 JPMORGAN CHASE CO FL.R 17-48 15/11S 165,166.20 0.06
200,000.00 LLOYDS BANK PLC FL.R 17-23 07/11S 190,634.00 0.07 60,000.00 STATE STREET CORP FL.R 17-23 15/05S 58,104.00 0.02
200,000.00 LLOYDS BANKING GR FL.R 17-28 07/11S 183,108.00 0.07 150,000.00 WESTERN UNION 4.25 18-23 09/06S 149,731.50 0.06
400,000.00 BARCLAYS PLC FL.R 18-24 16/05S 395,148.00 0.16 800,000.00 GOLDMAN SACH FL.R 17-22 31/10S 779,968.00 0.30
200,000.00 HSBC HOLDINGS P FL.R 18-29 19/06S 200,187.98 0.08 250,000.00 JPMORGAN CHASE FL.R 18-29 23/07S 249,125.00 0.10
200,000.00 HSBC HLDG FL.R 17-23 22/11S 193,084.00 0.07 300,000.00 JP MORGAN CHASE FL.R 18-21 01/02S 297,447.00 0.11
United States of America 13,299,508.21 5.14 220,000.00 JPMORGAN CHASE FL.R 17-25 01/03S 213,026.00 0.08
400,000.00 BANK OF AMERICA CORP FL.R 18-22 23/01S 393,216.00 0.15
100,000.00 METLIFE INC FL.R 10-36 15/12S 106,175.00 0.04
203,000.00 PRUDENTIAL FINANCIAL FL.R 12-43 15/06S 210,815.50 0.08 Mortgage and asset backed securities 101,034.60 0.04
18,000.00 PRUDENTIAL FINANCIAL FL.R 13-44 15/03S 17,995.68 0.01 United States of America 101,034.60 0.04
50,000.00 ALLSTATE CORP B FL.R 13-53 15/08S 51,721.00 0.02
100,269.55 CONTINENTAL AIRLINES 4.15 12-24 22/03S 101,034.60 0.04
170,000.00 JPMORGAN CHASE & C FL.R 17-48 22/02S 163,975.20 0.06
Transferable securities dealt in on another regulated market 608,393.70 0.23
250,000.00 BANK OF AMERICA FL.R 17-48 20/01S 248,852.50 0.10
50,000.00 PRINCIPAL FINANCIA FL.R 15-55 15/05S 50,285.00 0.02 Bonds 608,393.70 0.23
400,000.00 JPM CHASE FIN CO LLC FL.R 17-23 25/04S 388,112.00 0.15
United Kingdom 69,699.20 0.03
120,000.00 GOLDMAN SACHS GROU 3.691 17-28 05/06S 114,200.40 0.04
200,000.00 BANK OF AMERICA FL.R 17-21 21/07S 196,386.00 0.08 64,000.00 HBOS 144A SUB 6.00 03-33 01/11S 69,699.20 0.03
300,000.00 BANK OF AMERICA CORP FL.R 17-23 21/07S 289,764.00 0.11 United States of America 538,694.50 0.20
150,000.00 MORGAN STANLEY & CO FL.R 17-38 22/07S 140,704.50 0.05
50,000.00 AXA EQUITABLE HOLD 5 18-48 20/04S 46,837.50 0.02
200,000.00 ENTERPRISE PRODUCTS FL.R 17-77 16/08S 191,532.00 0.07
50,000.00 CBS CORP 3.7 17-28 01/06S 46,897.00 0.02
380,000.00 JP MORGAN CHASE FL.R 17-38 24/07S 354,171.40 0.14
200,000.00 AT ET T 5.15 18-50 15/02S 189,542.00 0.06
150,000.00 GOLDMAN SACHS FL.R 17-25 29/09S 143,463.00 0.06
130,000.00 AT&T INC 5.3 18-58 15/08S 123,471.40 0.05
50,000.00 CITIGROUP FL.R 17-28 24/07S 47,631.00 0.02
125,000.00 WESTROCK CO 4.00 18-28 15/03S 122,740.00 0.05
800,000.00 BANK OF AMERICA CORP FL.R 17-21 01/10S 781,640.00 0.30
10,000.00 VULCAN MATERIALS CO 4.7 18-48 01/03S 9,206.60 0.00
50,000.00 CITIGROUP INC FL.R 17-28 27/10S 46,973.50 0.02
55,000.00 MORGAN STANLEY FL.R 17-28 22/07S 52,164.75 0.02 Total securities portfolio 254,485,833.17 98.17
380,000.00 GOLDMAN SACHS GROUP FL.R 17-38 31/10S 351,340.40 0.14
210,000.00 GOLDMAN SACHS GROU FL.R 17-23 05/06S 203,042.70 0.08
148,000.00 BANK OF AMERICA CORP FL.R 18-26 23/01S 142,466.28 0.05
330,000.00 CITIGROUP INC FL.R 18-23 24/01S 323,485.80 0.12
40,000.00 ENTERPRISE PRODUCTS FL.R 18-78 15/02S 37,321.20 0.01
20,000.00 PRUDENTIAL FINANCIAL FL.R 17-47 15/09S 18,579.80 0.01
600,000.00 BANK OF AMERICA CORP FL.R 17-38 24/04S 586,584.00 0.23
100,000.00 ENTERPRISE PRODS E FL.R 17-77 16/08S 93,675.00 0.04
300,000.00 CITIGROUP INC FL.R 18-29 23/04S 294,405.00 0.11
150,000.00 BK OF AMERICA FL.R 18-28 20/12S 140,689.50 0.05
150,000.00 JPMORGAN CHASE FL.R 18-29 23/04S 147,400.50 0.06
200,000.00 JPMORGAN CHASE FL.R 18-24 23/04S 197,974.00 0.08
200,000.00 GOLDMAN SACHS G FL.R 18-29 01/05S 197,014.00 0.08
100,000.00 MORGAN STANLEY FL.R 18-29 24/01S 96,039.00 0.04
600,000.00 MORGAN STANLEY FL.R 18-24 24/04S 595,512.00 0.23
240,000.00 BANK OF AMERICA FL.R 18-22 17/05S 239,841.60 0.09
230,000.00 GOLDMANN SACHS FL.R 17-23 24/07S 222,101.80 0.09
200,000.00 BANK OF AMERICA FL.R 17/23 193,936.00 0.07

The accompanying notes form an integral part of these financial statements

210
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Germany 21,829,575.72 11.35
Long positions 191,816,556.94 99.73
33,030.00 BRD STRIP (6.50) 0.00 -22 04/07U 33,272.77 0.02
Other transferable securities 5,560,395.01 2.89 374,212.00 ALLEMAGNE 0% INTEREST-STRIPS 04 07 2024 371,225.79 0.19
Bonds 957,587.38 0.50 81,769.00 ALLEMAGNE 0% INTEREST-STRIPS 04 07 2025 80,392.83 0.04
1,110,459.13 BRD STRIPS (5.625) 0.00 98-28 04/01U 1,069,982.89 0.56
France 99,110.00 0.05
1,002.00 ALLEMAGNE CAP STRIPS 0.00 03-34 04/07U 882.89 0.00
100,000.00 BPIFRANCE FINANCE SA 0.125 17-23 25/11A 99,110.00 0.05 66,130.49 ALLEMAGNE CAPITAL STRIPS 00-30 04/01U 62,100.50 0.03
Germany 301,911.84 0.16 1,080,223.37 ALLEMAGNE CAP STRIPS 0.00 05-37 04/01U 916,364.29 0.48
15,097.00 ALLEMAGNE CAPITAL STRIPS 00-31 04/01U 13,958.08 0.01
306,000.00 COMMERZBANK AG 0.5000 18-23 28/08A 301,911.84 0.16
694,048.01 ALLEMAGNE INT. STRIP 0.00 94-04 04/01U 691,563.32 0.36
Netherlands 556,565.54 0.29 1,001.00 GERMANY 3.75 08-19 04/01A 1,012.63 0.00
557,000.00 DAIMLER INTL FI 0.2500 18-21 09/08A 556,565.54 0.29 321,220.31 BRD STRIPS (5.625) 0.00 98-27 04/01U 310,375.91 0.16
Floating rate bonds 4,602,807.63 2.39 57,611.00 ALLEMAGNE INT STRIP 0.00 00-30 04/01U 54,167.59 0.03
59,786.00 BRD STRIPS (JU39) 0.00 07-39 04/07U 48,956.96 0.03
United Kingdom 4,602,807.63 2.39
1,000.00 GERMANY STRIPS 0.00 97-21 04/07U 1,009.57 0.00
4,607,000.00 ROYAL BK OF SCOTLAND FL.R 18-20 02/03Q 4,602,807.63 2.39 150,000.00 BUNDESREPUB. DEUTS. 0.00 97-21 04/01U 151,419.00 0.08
Transferable securities admitted to an official stock exchange 161,790,547.45 84.12 408,002.00 BUNDESREPUB. DEUTS. 0.00 97-22 04/01U 411,616.90 0.21
listing 1,709.00 BUNDESREPUB. DEUTS. 0.00 00-29 04/01U 1,612.80 0.00
Bonds 140,177,019.03 72.88 7,114.00 BUNDESREPUB. DEUTS. 0.00 05-32 04/01U 6,451.69 0.00
Austria 5,383,666.08 2.80 1,223,479.00 BUNDESREPUB. DEUTS. 0.00 05-34 04/01U 1,073,040.02 0.56
216,197.00 BUNDESREPUB. DEUTS. 0.00 97-23 04/07U 216,238.08 0.11
1,000,000.00 OEBB INFRASTRUKTUR 4.50 09-19 02/07A 1,037,620.00 0.54
310,500.45 BUNDESREPUB. DEUTS. 0.00 97-27 04/07U 297,990.39 0.15
3,157,000.00 AUSTRIA 1.95 12-19 18/06A 3,213,762.86 1.67
193,328.69 BUNDESREPUB. DEUTS. 0.00 98-28 04/07U 183,105.47 0.10
949,000.00 AUSTRIA 2.40 13-34 23/05A 1,131,293.41 0.59
1,015.00 BUNDESREPUB. DEUTS. 0.00 03-30 04/07U 941.05 0.00
1,000.00 OMV 1.00 17-26 14/12A 989.81 0.00
1,290,241.92 BRD 1.00 13-18 12/10A 1,290,809.62 0.67
Belgium 2,970,036.91 1.54 579,076.00 GERMANY 0.25 14-19 11/10A 584,229.78 0.30
1,065,319.63 BELGIUM OLO 5.50 98-28 28/03A 1,532,377.06 0.79 2,479,000.00 EVONIK INDUSTRIES 1.00 15-23 23/01A 2,543,776.27 1.32
87,625.00 BELGIAN 4.00 09-19 28/03A 89,593.93 0.05 7,297,244.88 BRD INDEX 0.10 15-26 15/04A 8,353,221.11 4.35
1,011,786.78 BELGIUM KINGDOM 2.25 13-23 22/06A 1,119,967.03 0.58 58,000.00 HEIDELBERGCEMENT 2.25 16-23 30/03A 61,484.64 0.03
235,000.00 ANHEUSER-BUSCH INBEV 1.50 15-30 18/04A 226,504.75 0.12 63,000.00 DAIMLER AG 1.50 17-29 03/07A 61,557.93 0.03
1,108.00 BELGIUM BE-STRIP 0.00 10-41 28/03U 759.37 0.00 1,000.00 VOLKSWAGEN LEASING 0.25 17-20 05/10A 1,001.64 0.00
1,038.00 BELGIUM BE-STRIP 0.00 13-34 22/06U 834.77 0.00 52,161.09 GERMANY STRIPS 0.00 10-42 04/07U 40,853.61 0.02
1,101,166.00 GERMANY STRIPS 0.00 10-42 04/07U 849,979.02 0.44
Canada 571,100.10 0.30
10,000.00 NORTH RHINE W 1339 0.50 14-21 15/12A 10,212.90 0.01
570,000.00 BANK OF MONTREAL 0.25 18-21 17/11A 571,100.10 0.30 1,197,000.00 LANDWIRTSCHAFTLICHE 0.05 18-23 12/06A 1,193,097.78 0.62
Finland 1,943,215.36 1.01 1,000,000.00 BUNDESREPUB. DEUTSCHL 0.00 05-37 04/01U 841,670.00 0.44
1,728,000.00 FINLAND 3.375 10-20 15/04A 1,832,319.36 0.95 Guernsey 2,651,969.84 1.38
100,000.00 NORDEA BANK 3.25 12-22 05/07A 110,896.00 0.06 2,606,000.00 CREDIT SUISSE GR FDG 1.25 15-22 14/04A 2,651,969.84 1.38
France 39,714,374.57 20.65 Italy 7,423,165.84 3.86
3,000.00 SUEZ GIE ALLIANCE 5.75 03-23 24/06A 3,749.10 0.00 125,381.47 ITALY BTP 5.25 98-29 01/11S 149,572.58 0.08
336,026.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 416,488.24 0.22 4,904,000.00 ITALY BTP 4.00 05-37 01/02S 5,290,386.16 2.74
12,554,225.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 17,338,095.43 9.02 400,000.00 INTESA SANPAOLO EMTN 5.00 09-19 23/09A 414,688.00 0.22
3,105.00 FRANCE OAT STRIP 0.00 09-38 25/10U 2,326.11 0.00 1,281,000.00 ITALY BTP 4.25 09-20 01/03S 1,339,618.56 0.70
3,900,000.00 RFF S95 3.30 12-42 18/12A 5,082,324.00 2.64 242,000.00 ATLANTIA SPA 1.625 17-25 03/02A 228,900.54 0.12
300,000.00 KERING 2.50 13-20 15/07A 313,407.00 0.16
Luxembourg 27,202,655.70 14.14
500,000.00 BPCE 4.625 13-23 18/07A 576,140.00 0.30
2,193,000.00 CARREFOUR 1.75 14-22 15/07A 2,282,277.03 1.19 10,000.00 EUROP.INVEST.BK 4.625 04-20 15/04A 10,784.00 0.01
700,000.00 SCHNEIDER ELECTRIC 1.50 15-23 08/09A 730,765.00 0.38 4,418,000.00 EUROPEAN UNION 2.375 11-18 04/10A 4,418,883.60 2.29
400,000.00 AFD EMTN 0.25 16-26 21/07A 385,464.00 0.20 570,000.00 EUROPEAN INVEST BANK 2.50 11-18 15/10A 570,615.60 0.30
2,300,000.00 CNP ASSUR. 1.875 16-22 20/10A 2,371,921.00 1.23 970,000.00 BEI 2.50 11-19 15/03S 983,114.40 0.51
500,000.00 BFCM SUB 1.875 16-26 04/11A 487,385.00 0.25 12,132,000.00 EUROP INVEST BK 2.75 13-30 13/09A 14,512,905.00 7.54
100,000.00 SNCF RESEAU REGS 0.10 16-21 27/05A 100,555.00 0.05 2,338,399.00 ESM 1.25 13-18 15/10A 2,339,802.04 1.22
5,926,000.00 LVMH 0.75 17-24 26/05A 5,970,326.48 3.11 25,000.00 BEI 1.625 14-23 15/03A 26,719.75 0.01
3,634,000.00 LVMH 0.375 17-22 26/05A 3,653,151.18 1.90 1,531,446.00 ESM 0.00 16-22 18/10A 1,530,664.96 0.80
1,702,000.00 EUROP.INVEST.BK 0.00 16-23 16/10A 1,687,481.94 0.88
653,000.00 EUR FIN STAB 0.50 17-25 11/07A 653,496.28 0.34

The accompanying notes form an integral part of these financial statements

211
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
471,000.00 BEI 0.375 18-25 03/07A 468,188.13 0.24 349,000.00 CITIGROUP INC FL.R 18-26 24/07A 347,607.49 0.18
Mexico 2,585,285.25 1.34 Transferable securities dealt in on another regulated market 24,465,614.48 12.72
2,505,000.00 FOMENTO ECONOMICO 1.75 16-23 20/03A 2,585,285.25 1.34 Bonds 24,465,614.48 12.72
Netherlands 19,543,370.53 10.16 Belgium 10,921,418.18 5.68
59,000.00 ENEL FINANCE INTL 5.00 09-22 14/09A 69,329.72 0.04 10,377,510.00 BELGIUM BE-STRIP 0.00 10-20 28/09U 10,471,945.34 5.45
1,384,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 1,674,806.08 0.86 447,437.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 449,472.84 0.23
1,209,000.00 SIEMENS FIN EMTN 1.75 13-21 12/03A 1,262,002.56 0.66
Italy 5,688,578.37 2.96
636,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 645,762.60 0.34
1,014,657.00 NETHERLAND GOVT ST 0.00 98-25 15/01U 998,331.17 0.52 52,851.00 ITALY STRIP 0.00 07-39 01/08U 23,974.27 0.01
500,000.00 NEDERLAND STRIPS-JA28-0.00 98-24 15/01U 496,670.00 0.26 1,833,000.00 ITALY BTP 1.60 16-26 01/06S 1,682,620.68 0.87
272,614.00 DUTCH FUNGIBLE STR 0.00 16-22 15/01U 274,680.41 0.14 310,000.00 ITALIE 0.05 16-19 15/10S 308,155.50 0.16
16,245,521.70 DUTCH FUNGIBLE STR 0.00 16-42 15/01U 12,517,336.93 6.50 3,730,000.00 ITALY INFL. INDEX 1.30 16-28 15/05S 3,673,827.92 1.92
248,892.00 DUTCH FUNGIBLE STR 0.00 16-24 15/01U 247,587.81 0.13 Ivory Coast 1,423,042.69 0.74
21,971.00 DUTCH FUNGIBLE STR 0.00 16-27 15/01U 21,099.41 0.01
831,249.00 DUTCH FUNGIBLE STR 0.00 16-21 15/01U 838,813.37 0.44 1,423,000.00 BK AFRICAINE 0.875 18-28 24/05A 1,423,042.69 0.74
208,703.00 DUTCH FUNGIBLE STR 0.00 16-28 15/01U 197,506.08 0.10 Luxembourg 6,197,576.24 3.22
298,796.00 DUTCH FUNGIBLE STR 0.00 16-19 15/01U 299,444.39 0.16 5,354,000.00 EUROPEAN UNION 2.50 12-27 04/11A 6,197,576.24 3.22
Slovakia 2,786.04 0.00 Netherlands 234,999.00 0.12
2,368.00 SLOVAKIA -223- 3.375 12-24 15/11A 2,786.04 0.00 300,000.00 NETHERLAND STRIP 10-42 15/01U 234,999.00 0.12
Spain 2,320,317.91 1.21 Total securities portfolio 191,816,556.94 99.73
2,000,000.00 SPAIN STRIP 0.00 10-25 30/07U 1,869,660.00 0.98
431,000.00 SPAIN 1.60 15-25 30/04A 450,657.91 0.23
Sweden 242,184.03 0.13

227,000.00 ORLEN CAPITAL 2.50 16-23 07/06A 242,184.03 0.13


United Kingdom 2,411,338.06 1.25

1,670,000.00 VODAFONE GROUP 4.65 10-22 20/01A 1,905,136.00 0.99


498,000.00 VODAFONE GROUP PLC 1.00 14-20 11/09A 506,202.06 0.26
United States of America 3,381,977.09 1.76

362,000.00 PRICELINE COM 2.375 14-24 23/09A 387,274.84 0.20


2,639,000.00 GOLDMAN SACHS GROUP 1.625 16-26 27/07A 2,622,321.52 1.37
171,000.00 AT&T INC 3.15 17-36 04/09A 171,962.73 0.09
200,000.00 AT T INC 1.80 17-26 05/09A 200,418.00 0.10
Floating rate bonds 21,613,528.42 11.24
Belgium 2,061,205.90 1.07

2,041,000.00 ANHEUSER-BUSCH INB FL.R 16-20 17/03Q 2,061,205.90 1.07


Finland 1,706,982.00 0.89

1,704,000.00 NORDEA BANK AB FL.R 16-19 22/02Q 1,706,982.00 0.89


France 1,500,465.00 0.78

1,500,000.00 DANONE SA FL.R 16-18 03/11Q 1,500,465.00 0.78


Germany 5,566,520.10 2.89

5,500,000.00 DAIMLER FL.R 17-24 03/07Q 5,484,270.00 2.85


82,000.00 BASF SE FL.R 17-19 15/11Q 82,250.10 0.04
Netherlands 7,306,424.00 3.80

7,300,000.00 VOLKSWAGEN INTL FIN FL.R 17-19 30/03Q 7,306,424.00 3.80


United States of America 3,471,931.42 1.81

2,881,000.00 COCA COLA FL.R 15-19 09/09Q 2,884,889.35 1.51


118,000.00 GOLDMAN SACHS GROUP FL.R 17-22 09/09Q 118,325.68 0.06
121,000.00 GOLDMAN SACHS GROUP FL.R 17-18 31/12Q 121,108.90 0.06

The accompanying notes form an integral part of these financial statements

212
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Mexico 290,006.05 2.07
Long positions 13,899,977.69 99.19
281,000.00 FOMENTO ECONOMICO 1.75 16-23 20/03A 290,006.05 2.07
Other transferable securities 648,233.55 4.63
Netherlands 1,829,132.19 13.04
Bonds 648,233.55 4.63 271,000.00 E.ON INTL FINANCE 5.75 08-20 07/05A 296,211.13 2.10
Germany 648,233.55 4.63 974,000.00 LINDE FINANCE BV 1.00 16-28 20/04A 965,058.68 6.88
4,000.00 EVONIK FINANCE BV 0.375 16-24 07/09A 3,903.84 0.03
639,000.00 DAIMLER AG 1.50 16-26 09/03A 648,233.55 4.63
30,000.00 INNOGY FINANCE 1.25 17-27 19/10A 29,139.90 0.21
Transferable securities admitted to an official stock exchange 11,640,587.68 83.06
522,000.00 BMW FINANCE NV 0.375 18-23 10/07A 515,156.58 3.67
listing
Bonds 10,277,716.14 73.33 1,015.00 DUTCH FUNGIBLE STR 0.00 16-27 15/01U 974.73 0.01
18,000.00 DAIMLER INTL 1.00 18-25 11/05A 17,670.24 0.13
Austria 4,949.05 0.04
1,000.00 INNOGY FINANCE 1.625 18-26 30/05A 1,017.09 0.01
5,000.00 OMV 1.00 17-26 14/12A 4,949.05 0.04
Singapore 578,197.00 4.13
Belgium 729,272.79 5.20
575,000.00 BRIGHT FOOD 1.125 17-20 18/07A 578,197.00 4.13
111,000.00 ANHEUSER-BUSCH INBEV 1.50 15-30 18/04A 106,987.35 0.76
United States of America 557,266.44 3.98
546,000.00 ANHEUSER-BUSCH INB 2.00 16-28 17/03A 569,221.38 4.06
47,000.00 ANHEUSER-BUSCH INB 2.75 16-36 17/03A 48,913.84 0.35 23,000.00 GECC EMTN SUB 4.125 05-35 19/09A 28,194.32 0.20
3,460.00 BELGIUM BE-STRIP 0.00 10-41 28/03U 2,371.31 0.02 125,000.00 ROCHE HLDG INC -3- 6.50 09-21 04/03A 145,291.25 1.04
2,212.00 BELGIUM BE-STRIP 0.00 13-34 22/06U 1,778.91 0.01 14,000.00 TOYOTA MOTOR CREDIT 1.00 14-21 10/09A 14,354.34 0.10
200,000.00 ZF NA CAPITAL 2.25 15-19 26/04A 202,676.00 1.46
British Virgin Islands 764,404.08 5.45
14,000.00 BMW US CAP LLC REGS 0.625 15-22 20/04A 14,153.44 0.10
759,000.00 TALENT YIELD 1.30 17-22 21/04A 764,404.08 5.45 32,000.00 BMW US CAP 1.125 15-21 18/09A 32,898.56 0.23
Cayman Islands 1,314,180.18 9.38 119,000.00 VERIZON COMMUNICATION 2.875 17-38 15/01A 119,698.53 0.85
1,278,000.00 HUTCH WHAMPOA FIN 14 1.375 14-21 31/10A 1,314,180.18 9.38 Floating rate bonds 1,362,871.54 9.73
France 1,781,848.20 12.71 France 209,908.64 1.50

4,000.00 ELECT.DE FRANCE EMTN 5.625 03-33 21/02A 5,657.36 0.04 200,000.00 TOTAL CAPITAL SA FL.R 14-20 19/03Q 200,864.00 1.43
191,205.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 236,989.50 1.69 8,000.00 RCI BANQUE FL.R 17-21 12/04Q 8,044.16 0.06
464,000.00 CARREFOUR SA EMTN 3.875 10-21 25/04A 507,523.20 3.62 1,000.00 LVMH MOET HENNESSY FL.R 17-18 26/11Q 1,000.48 0.01
622,151.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 859,225.75 6.12 Germany 588,790.35 4.20
73,000.00 RCI BANQUE SA 0.50 16-23 15/09A 70,907.82 0.51
102,096.09 FRANCE OAT FUNGIBL 0.00 14-24 25/11U 100,575.88 0.72 587,000.00 BASF SE FL.R 17-19 15/11Q 588,790.35 4.20
1,195.00 FRANCE OAT 0.00 09-35 25/04U 968.69 0.01 Netherlands 207,199.80 1.48

Germany 518,837.98 3.70 7,000.00 DEUTSCHE TEL INT FIN FL.R 16-20 03/04Q 7,023.80 0.05
200,000.00 VOLKSWAGEN INTL FIN FL.R 17-19 30/03Q 200,176.00 1.43
541.00 ALLEMAGNE 0% INTEREST-STRIPS 04 07 2024 536.68 0.00
574.00 ALLEMAGNE CAP STRIPS 0.00 03-34 04/07U 505.77 0.00 United States of America 356,972.75 2.55
198,658.00 ALLEMAGNE 3.50 09-19 04/07A 204,881.95 1.46 257,000.00 COCA COLA FL.R 15-19 09/09Q 257,706.75 1.84
6,000.00 VOLKSWAGEN LEAS REGS 2.625 14-24 15/01A 6,402.66 0.05 100,000.00 DAIMLER INTL FIN FL.R 18-23 11/01Q 99,266.00 0.71
13,000.00 SAP EMTN 1.125 14-23 20/02A 13,482.43 0.10
Transferable securities dealt in on another regulated market 1,611,156.46 11.50
78,000.00 HEIDELBERGCEMENT 2.25 16-24 03/06A 82,617.60 0.59
87,000.00 DEUTSCHE POST AG 0.375 16-21 01/04A 87,658.59 0.63 Bonds 1,611,156.46 11.50
58,000.00 E ON SE 1.625 17-29 22/05A 58,052.20 0.41
Ireland 1,010,802.32 7.22
12,000.00 VOLKSWAGEN LEASING 0.25 17-20 05/10A 12,019.68 0.09
42,000.00 BASF 0.875 17-27 15/11A 40,706.40 0.29 892,580.09 IRLANDE 2.40 14-30 15/05A 1,010,802.32 7.22
10,000.00 LANDWIRTSCHAFTLICHE 0.05 18-23 12/06A 9,967.40 0.07 Italy 600,354.14 4.28
2,000.00 BASF SE 0.875 18-25 22/05A 2,006.62 0.01
131,651.00 ITALY STRIP 0.00 07-39 01/08U 59,719.53 0.43
Ireland 131,965.47 0.94 1,040.00 ITALY STRIP 0.00 03-34 01/08U 601.17 0.00
131,000.00 RYANAIR LTD 1.125 15-23 10/03A 131,965.47 0.94 690,974.00 ITALY STRIP 0.00 07-39 01/02U 314,711.02 2.24
253,151.35 ITALY STRIP 0.00 08-23 01/08U 225,322.42 1.61
Luxembourg 1,777,656.71 12.69
Total securities portfolio 13,899,977.69 99.19
781,000.00 BEI 3.625 11-21 15/01A 852,055.38 6.08
198,298.00 ESM 1.25 13-18 15/10A 198,416.98 1.42
1,000.00 BEI 0.00 16-26 13/03U 959.65 0.01
460,000.00 EUROP.INVEST.BK 0.00 16-23 16/10A 456,076.20 3.25
270,000.00 RICHEMONT INTL 1.00 18-26 26/03A 270,148.50 1.93

The accompanying notes form an integral part of these financial statements

213
AMUNDI EURO CORPORATE FINANCIALS IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
3,834,000.00 NORDDEUTSCHE 1 16-21 20/01A 3,835,955.34 3.82
Long positions 99,962,451.25 99.17
15,000.00 NRW BANK 0.1 17-23 10/01A 15,012.45 0.01
Other transferable securities 2,904,419.58 2.88 Ireland 4,403,585.53 4.37
Bonds 609,650.12 0.60 1,431,543.00 IRISH GOVT TREASURY 4.50 04-20 18/04A 1,541,270.77 1.53
Germany 609,650.12 0.60 107,950.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 115,234.46 0.11
78,058.00 IRISH GOVT TREASURY 5.00 10-20 18/10A 86,737.27 0.09
600,000.00 DAIMLER AG 1.50 16-26 09/03A 608,670.00 0.60
422,387.00 IRISH TSY 3.40 14-24 18/03A 493,825.31 0.49
1,000.00 NRW BANK EX LANDESBA 0.5 17-27 13/09A 980.12 0.00
250,000.00 RYANAIR LTD 1.875 14-21 17 06A 260,402.50 0.26
Floating rate bonds 2,294,769.46 2.28 400,000.00 RYANAIR LTD 1.125 15-23 10/03A 402,948.00 0.40
Canada 271,914.30 0.27 1,499,000.00 FCA CAPITAL IRELAND 1.00 17-21 15/11A 1,503,167.22 1.49

270,000.00 THE TORONTO DOMIN BKFL.R 18-20 13/07Q 271,914.30 0.27 Italy 1,088,366.68 1.08

United Kingdom 2,022,855.16 2.01 500,000.00 INTESA SAN PAOLO 5.15 10-20 16/07A 531,345.00 0.52
107,000.00 INTESA SAN PAOLO 3.928 14-26 15/09A 107,346.68 0.11
2,074,000.00 ROYAL BK SCOTLND FL.R 18-26 02/03A 2,022,855.16 2.01
500,000.00 INTESA SANPAOLO SPA 1.75 18-28 20/03A 449,675.00 0.45
Transferable securities admitted to an official stock exchange 93,185,490.75 92.45
listing Luxembourg 6,350,550.87 6.30
Bonds 82,671,147.20 82.02
4,407,000.00 BEI 3.625 11-21 15/01A 4,807,948.86 4.77
Belgium 1,203,984.78 1.19 266,147.00 ESM 1.25 13-18 15/10A 266,306.69 0.26
1,154,000.00 ANHEUSER-BUSCH INB 2.00 16-28 17/03A 1,203,079.62 1.19 20,000.00 EUROP.INVEST.BK 0.00 16-23 16/10A 19,829.40 0.02
1,046.00 BELGIUM BE-STRIP 0.00 13-31 22/06U 905.16 0.00 300,000.00 CPI PROPERTY GROUP 2.125 17-24 04/10A 298,221.00 0.30
964,000.00 BEI 0.375 18-25 03/07A 958,244.92 0.95
Canada 475,916.75 0.47
Mexico 4,832,758.35 4.79
475,000.00 BANK OF MONTREAL 0.25 18-21 17/11A 475,916.75 0.47
Czech Republic 779,636.88 0.77 2,968,000.00 AMERICA MOVIL SAB 4.75 10-22 28/06A 3,434,747.68 3.41
871,000.00 FOMENTO ECONOMICO 1.75 16-23 20/03A 898,915.55 0.89
684,000.00 CEZ AS EMTN -9- 5.00 09-21 19/10A 779,636.88 0.77 300,000.00 AMERICA MOVIL SAB 1.50 16-24 10/03A 307,251.00 0.30
Finland 7,343,011.64 7.28 186,000.00 PEMEX 3.75 17-24 21/02A 191,844.12 0.19
288,000.00 NORDEA BANK EMTN 4.50 10-20 26/03A 306,846.72 0.30 Netherlands 8,929,010.25 8.86
772,000.00 NORDEA BANK EMTN 4.00 10-21 29/03A 841,881.44 0.84
401,000.00 RABOBANK NEDERL.EMTN 4.75 07-22 06/06A 466,306.86 0.46
5,134,000.00 FINNVERA 0.625 14-21 19/11A 5,258,294.14 5.21
100,000.00 NWB 3.00 11-23 16/11A 114,235.00 0.11
913,000.00 NORDEA BANK AB 1.00 16-23 22/02A 935,989.34 0.93
800,000.00 EDP FINANCE EMTN 2.625 14-22 18/01A 854,952.00 0.85
France 9,684,398.12 9.61 350,000.00 REN FINANCE 2.50 15-25 12/02A 372,638.00 0.37
4,825,386.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 5,980,836.37 5.94 646,000.00 DEUTSCHE TEL.INTL FIN 0.625 16-23 03/04A 647,595.62 0.64
1,052,204.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 1,453,153.29 1.44 3,395,000.00 LINDE FINANCE BV 1.00 16-28 20/04A 3,363,833.90 3.34
1,643,400.83 FRANCE OAT 0.00 09-23 25/04U 1,644,863.46 1.64 750,000.00 MYLAN 1.25 16-20 23/11A 762,795.00 0.76
200,000.00 UNEDIC 1.25 13-20 29/05A 205,220.00 0.20 283,000.00 INNOGY FINANCE 1.00 17-25 13/04A 280,707.70 0.28
100,000.00 UNEDIC 1.50 14-21 16/04A 104,282.00 0.10 84,000.00 INNOGY FINANCE 1.25 17-27 19/10A 81,591.72 0.08
300,000.00 DANONE SA 1.208 16-28 03/11A 296,043.00 0.29 1,957,000.00 BMW FINANCE NV 0.375 18-23 10/07A 1,931,343.73 1.92
54,000.00 DAIMLER INTL 1.00 18-25 11/05A 53,010.72 0.05
Germany 19,984,704.72 19.84
Poland 68,017.73 0.07
200,000.00 COMMERZBANK AG 7.75 11-21 16/03A 233,148.00 0.23
58,000.00 BASF SE 2.00 12-22 05/12A 62,435.26 0.06 67,000.00 POLOGNE 0.50 16-21 20/12A 68,017.73 0.07
123,000.00 BASF 1.875 13-14 04/02A 128,665.38 0.13 Sweden 2,242,602.78 2.22
3,885,000.00 VOLKSWAGEN LEAS REGS 2.625 14-24 15/01A 4,145,722.35 4.12 2,102,000.00 ORLEN CAPITAL 2.50 16-23 07/06A 2,242,602.78 2.22
2,380,000.00 NRW BANK 1.25 13-18 22/10A 2,382,427.60 2.36
United Kingdom 3,423,754.29 3.40
763,000.00 NORDRHEIN WESTFALEN 4.375 07-22 29/04A 884,622.20 0.88
738,000.00 KRED.ANST.WIEDER.EMTN 1.50 14-24 11/06A 790,250.40 0.78 50,000.00 HSBC BANK 4.00 10-21 15/01A 54,518.00 0.05
86,000.00 SAP EMTN 1.125 14-23 20/02A 89,191.46 0.09 500,000.00 HSBC HOLDINGS PLC 3.00 15-25 30/06U 542,980.00 0.54
1,000.00 EVONIK INDUSTRIES 1.00 15-23 23/01A 1,026.13 0.00 2,873,000.00 HSBC HLDGS 0.875 16-24 06/09A 2,826,256.29 2.81
4,565,000.00 COMMERZBANK AG 4.00 16-26 23/03A 4,928,784.85 4.90 United States of America 11,860,847.83 11.77
165,000.00 VOLKSWAGEN LEASING 1.375 17-25 20/01A 162,767.55 0.16
50,000.00 ROCHE HLDG INC -3- 6.50 09-21 04/03A 58,116.50 0.06
1,000.00 DAIMLER AG 1.50 17-29 03/07A 977.11 0.00
3,222,000.00 GOLDMAN SACHS GROUP 2.625 13-20 19/08A 3,379,813.56 3.35
119,000.00 VOLKSWAGEN LEASING 0.25 17-20 05/10A 119,195.16 0.12
10,000.00 TOYOTA MOTOR CREDIT 1.00 14-21 10/09A 10,253.10 0.01
31,000.00 VOLKSWAGEN LEASING 1.125 17-24 04/04A 30,546.16 0.03
1,896,000.00 COCA COLA 1.875 14-26 22/09A 2,015,922.00 2.00
2,241,000.00 BASF 0.875 17-27 15/11A 2,171,977.20 2.15
500,000.00 AT T 2.60 14-29 17/12A 515,540.00 0.51
2,000.00 KFW 0.00 17-22 15/12U 2,000.12 0.00

The accompanying notes form an integral part of these financial statements

214
AMUNDI EURO CORPORATE FINANCIALS IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
936,000.00 WELLS FARGO 1.375 16-26 26/10A 923,747.76 0.92 Total securities portfolio 99,962,451.25 99.17
2,004,000.00 GOLDMAN SACHS GROUP 1.625 16-26 27/07A 1,991,334.72 1.98
2,078,000.00 WELLS FARGO & COMP 1.00 16-27 02/02A 1,977,798.84 1.96
500,000.00 CITIGROUP 0.75 16-23 26/10A 494,640.00 0.49
180,000.00 HONEYWELL INTL INC 2.25 16-28 22/02A 196,259.40 0.19
295,000.00 GOLDMAN SACHS GROUP 1.375 17-24 15/05A 297,421.95 0.30
Floating rate bonds 10,514,343.55 10.43
Finland 592,002.25 0.59

100,000.00 NORDEA BANK FL.R 16-26 07/09A 100,143.00 0.10


491,000.00 NORDEA BANK AB FL.R 16-19 22/02Q 491,859.25 0.49
France 45,115.20 0.04

45,000.00 RCI BANQUE FL.R 17-20 08/07Q 45,115.20 0.04


Germany 199,684.00 0.20

200,000.00 VOLKSWAGEN LEASING FL.R 17-21 06/07Q 199,684.00 0.20


Italy 424,392.00 0.42

400,000.00 UNICREDIT SPA EMTN FL.R 13-25 28/10A 424,392.00 0.42


Netherlands 309,294.60 0.31

9,000.00 DEUTSCHE TEL INT FIN FL.R 16-20 03/04Q 9,030.60 0.01
300,000.00 VOLKSWAGEN INTL FIN FL.R 17-19 30/03Q 300,264.00 0.30
Sweden 102,563.00 0.10

100,000.00 NORDEA BANK AB 1.875 15-25 10/11 102,563.00 0.10


United Kingdom 3,205,312.00 3.18

186,000.00 RBS SUB EMTN FL.R 14-24 25/03A 188,633.76 0.19


1,883,000.00 RBS FL.R 17-20 08/06Q 1,881,550.09 1.86
1,131,000.00 UBS AG LDN FL.R 17-19 05/09Q 1,135,128.15 1.13
United States of America 5,635,980.50 5.59

2,951,000.00 WELLS FARGO FL.R 15-20 02/06Q 2,962,626.94 2.95


200,000.00 WELLS FARGO REGS 56 FL.R 14-19 24/04Q 200,452.00 0.20
742,000.00 MORGAN STANLEY FL.R 16-19 03/12Q 742,511.98 0.74
65,000.00 GOLDMAN SACHS GROUP FL.R 17-22 09/09Q 65,179.40 0.06
55,000.00 GOLDMAN SACHS GROUP FL.R 17-18 31/12Q 55,049.50 0.05
1,112,000.00 CITIGROUP INC FL.R 18-23 21/03Q 1,112,155.68 1.10
500,000.00 CITIGROUP INC FL.R 18-26 24/07A 498,005.00 0.49
Transferable securities dealt in on another regulated market 3,872,540.92 3.84

Bonds 3,710,052.20 3.68


Belgium 164,751.72 0.16

50,000.00 ROYAUME DE BELGIQUE 0.00 13-20 22/06U 50,348.50 0.05


2,220.00 BELGIUM BE-STRIP 0.00 04-32 28/03U 1,895.79 0.00
41,129.00 ROYAUME DE BELGIQUE 0.00 13-19 22/06U 41,299.27 0.04
72,250.00 ROYAUME DE BELGIQUE 0.00 13-24 22/06U 71,208.16 0.07
Ireland 1,679,482.24 1.67

1,483,052.00 IRLANDE 2.40 14-30 15/05A 1,679,482.24 1.67


Netherlands 1,865,818.24 1.85

1,856,000.00 NWB REGS 1371 1.125 14-19 28/01A 1,865,818.24 1.85


Floating rate bonds 162,488.72 0.16
Denmark 162,488.72 0.16

157,000.00 DANSKE BANK EMTN FL.R 14-26 19/05A 162,488.72 0.16

The accompanying notes form an integral part of these financial statements

215
AMUNDI EURO CORPORATES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,174,000.00 SUEZ GIE ALLIANCE 5.75 03-23 24/06A 1,467,147.80 0.29
Long positions 495,766,093.47 99.38
3,001,586.00 FRANCE OAT INDEX 2.10 08-23 25/07A 3,966,837.79 0.80
Other transferable securities 11,468,359.00 2.30 18,000.00 TOTAL CAPITAL EMTN 5.125 09-24 26/03A 22,490.10 0.00
15,837,857.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 19,630,270.24 3.93
Bonds 3,257,454.54 0.65
9,381,535.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 12,956,430.93 2.60
Germany 135,169.68 0.03 100,000.00 EDF 1.875 16-36 13/10A 92,169.00 0.02
137,000.00 COMMERZBANK AG 0.5000 18-23 28/08A 135,169.68 0.03 7,460,000.00 LVMH 0.75 17-24 26/05A 7,515,800.80 1.51
Netherlands 1,663,401.96 0.33 Germany 66,280,309.19 13.28

100,000.00 ABN AMRO BANK NV 1.375 17-37 12/01A 98,510.00 0.02 4,521,000.00 LINDE AG 1.75 12-20 17/09A 4,685,338.35 0.94
1,300,000.00 BAYER CAPITAL CORP 1.5 18-26 26/06A 1,297,101.00 0.26 1,000.00 CONTINENTAL AG 3.125 13-20 09/09A 1,058.39 0.00
268,000.00 DAIMLER INTL FI 0.2500 18-21 09/08A 267,790.96 0.05 1,100,350.26 BRD 1.00 13-18 12/10A 1,100,834.41 0.22
1,899,634.09 ALLEMAGNE 0.50 14-19 12/04A 1,911,107.88 0.38
Switzerland 100,432.00 0.02
87,894.00 GERMANY 0.25 14-19 11/10A 88,676.26 0.02
100,000.00 RICHEMONT INTL 1.5 18-30 26/03A 100,432.00 0.02 18,200,458.90 BRD INDEX 0.10 15-26 15/04A 20,834,227.18 4.17
United States of America 1,358,450.90 0.27 1,296,000.00 HEIDELBERGCEMENT 2.25 16-23 30/03A 1,373,863.68 0.28
2,585,000.00 HEIDELBERGCEMENT 2.25 16-24 03/06A 2,738,032.00 0.55
1,370,000.00 GOLDMAN SACHS GROUP 2.0 18-28 01/11A 1,358,450.90 0.27
83,000.00 DEUTSCHE POST AG 1.255 16-26 01/04A 84,249.98 0.02
Floating rate bonds 8,210,904.46 1.65
1,000.00 LAND NORDRHEIN-WEST. 0.75 16-41 16/08A 848.37 0.00
Canada 6,918,485.46 1.39 19,000.00 DAIMLER AG 1.50 17-29 03/07A 18,565.09 0.00
6,879,000.00 ROYAL BANK OF CANADA FL.R 15-20 06/08Q 6,918,485.46 1.39 2,211,000.00 E ON SE 1.625 17-29 22/05A 2,212,989.90 0.44
1,636,000.00 BASF 0.875 17-27 15/11A 1,585,611.20 0.32
France 803,104.00 0.16
9,653,000.00 LANDWIRT.RENTENBANK 0.625 17-27 18/05A 9,605,314.18 1.93
800,000.00 SANOFI FL.R 18-20 21/03Q 803,104.00 0.16 4,102,000.00 NORDDEUTSCHE 1 16-21 20/01A 4,104,092.02 0.82
United Kingdom 489,315.00 0.10 5,000.00 NORTH RHINE W 1339 0.50 14-21 15/12A 5,106.45 0.00
1,635,000.00 BASF SE 0.875 18-25 22/05A 1,640,411.85 0.33
500,000.00 NATIONWIDE BUILDING FL.R 17-29 25/07A 489,315.00 0.10
14,152,000.00 LANDWIRTSCH. RENTENBA 2.00 12-19 20/02A 14,289,982.00 2.86
Transferable securities admitted to an official stock exchange 447,916,098.47 89.79
listing Ireland 2,232,331.92 0.45
Bonds 327,340,785.96 65.62
2,216,000.00 RYANAIR LTD 1.125 15-23 10/03A 2,232,331.92 0.45
Australia 103,789.00 0.02
Italy 43,256,167.97 8.67
100,000.00 AURIZON NETWORK EMTN 2.00 14-24 18/09A 103,789.00 0.02
963,870.00 ITALY BTP 5.25 98-29 01/11S 1,149,839.08 0.23
Austria 891,683.32 0.18 34,608,000.00 ITALY BTP 4.00 05-37 01/02S 37,334,764.32 7.48
748,000.00 AUSTRIA 2.40 13-34 23/05A 891,683.32 0.18 100,000.00 INTESA SANPAOLO EMTN 5.00 09-19 23/09A 103,672.00 0.02
Belgium 25,091,686.03 5.03 1,799,000.00 ITALY BTP 4.25 09-20 01/03S 1,881,322.24 0.38
603,000.00 INTESA SAN PAOLO 3.928 14-26 15/09A 604,953.72 0.12
1,967,875.02 BELGIUM OLO 5.50 98-28 28/03A 2,830,630.79 0.57 152,000.00 ENI 1.50 15-26 02/02A 152,448.40 0.03
622,772.00 BELGIAN 4.00 09-19 28/03A 636,765.69 0.13 95,000.00 ITALIE BTP 0.65 16-23 15/10S 87,453.20 0.02
4,071,000.00 ANHEUSER-BUSCH INBEV 1.50 15-30 18/04A 3,923,833.35 0.79 1,682,000.00 TERNA SPA 1.375 17-27 26/07A 1,602,660.06 0.32
2,504,000.00 ANHEUSER-BUSCH INB 2.00 16-28 17/03A 2,610,495.12 0.52 377,000.00 INTESA SANPAOLO SPA 1.75 18-28 20/03A 339,054.95 0.07
453,000.00 ANHEUSER-BUSCH INB 2.75 16-36 17/03A 471,446.16 0.09
Japan 101,435.00 0.02
14,994,232.00 BELGIUM BE-STRIP 0.00 10-41 28/03U 10,276,296.90 2.06
860,432.00 BELGIUM BE-STRIP 0.00 13-34 22/06U 691,968.02 0.14 100,000.00 SUMITOMO MITSUI FIN 1.546 16-26 15/06A 101,435.00 0.02
5,000,000.00 BELGIUM BE-STRIP 0.00 13-38 22/06U 3,650,250.00 0.73 Luxembourg 22,395,249.06 4.49
British Virgin Islands 1,211,565.36 0.24 200,000.00 BEI 2.50 10-19 16/09A 205,740.00 0.04
1,203,000.00 TALENT YIELD 1.30 17-22 21/04A 1,211,565.36 0.24 1,000.00 BEI 3.625 11-21 15/01A 1,090.98 0.00
Canada 330,636.90 0.07 370,000.00 BEI 3.625 12-42 14/03A 531,068.40 0.11
2,089,000.00 BEI 2.75 12-25 15/09A 2,416,325.41 0.48
330,000.00 BANK OF MONTREAL 0.25 18-21 17/11A 330,636.90 0.07 2,323,000.00 EUROP INVEST BK 2.75 13-30 13/09A 2,778,888.75 0.56
Cayman Islands 6,115,359.57 1.23 515,786.00 ESM 1.25 13-18 15/10A 516,095.47 0.10
5,947,000.00 HUTCH WHAMPOA FIN 14 1.375 14-21 31/10A 6,115,359.57 1.23 1,000.00 BEI 1.625 14-23 15/03A 1,068.79 0.00
1,000,000.00 EIB REGS 0.00 16-24 15/03U 985,800.00 0.20
Finland 1,745,369.02 0.35
22,228.00 ESM 0.00 16-22 18/10A 22,216.66 0.00
1,646,000.00 FINLAND 3.375 10-20 15/04A 1,745,369.02 0.35 1,398,000.00 BEI 0.00 16-26 13/03U 1,341,590.70 0.27
France 49,694,744.72 9.96 27,000.00 EUR FIN STAB 0.50 17-25 11/07A 27,020.52 0.01
9,560,000.00 BEI 0.05 17-23 15/12A 9,496,426.00 1.90
2,859,000.00 ELECT.DE FRANCE EMTN 5.625 03-33 21/02A 4,043,598.06 0.81
247,000.00 EFSF 1.45 17-40 05/09A 245,895.91 0.05

The accompanying notes form an integral part of these financial statements

216
AMUNDI EURO CORPORATES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
3,849,000.00 BEI 0.375 18-25 03/07A 3,826,021.47 0.77 849,000.00 IBRD 0.625 16-33 12/01A 790,019.97 0.16
Netherlands 39,491,138.01 7.92 Floating rate bonds 120,575,312.51 24.17
51,513.00 NETHERLAND STRIP -JA37- 05-37 15/01U 43,322.95 0.01 Belgium 20,695,004.50 4.15
1,950,000.00 ING BANK 4.75 09-19 27/05A 2,014,506.00 0.40 18,650,000.00 ANHEUSER-BUSCH INB FL.R 16-20 17/03Q 18,834,635.00 3.78
1,519,000.00 ENEL FINANCE INTL 5.00 09-22 14/09A 1,784,946.52 0.36 1,870,000.00 ANHEUSER-BUSCH FL.R 18-24 15/04Q 1,860,369.50 0.37
6,871,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 8,314,734.52 1.67
Canada 9,838,122.00 1.97
200,000.00 ABN AMRO BANK EMTN 6.375 11-21 27/04A 230,628.00 0.05
94,000.00 NWB 3.875 05-20 17/02A 99,609.92 0.02 9,800,000.00 BANK OF NOVA SCOTIA FL.R 15-20 14/01Q 9,838,122.00 1.97
48,000.00 SIEMENS FINANCIERING 1.50 12-20 10/03A 49,172.16 0.01 Denmark 8,629,881.70 1.73
180,000.00 NWB 1.75 13-20 09/07A 186,814.80 0.04
8,626,000.00 DANSKE BANK FL.R 14-18 19/11Q 8,629,881.70 1.73
4,762,000.00 SHELL INTL FINANCE 1.625 14-27 10/01A 4,989,575.98 1.00
3,446,000.00 ENEL FINANCE INTL 1.966 15-25 27/01A 3,551,723.28 0.71 Finland 21,292,540.86 4.27
1,310,000.00 RABOBANK NEDERLAND 1.375 15-27 03/02A 1,346,928.90 0.27 10,575,000.00 NORDEA BANK FL.R 15-20 05/06Q 10,616,454.00 2.13
5,006,000.00 DEUTSCHE TEL INT FIN 1.50 16-28 03/04A 4,979,918.74 1.00 10,586,000.00 NORDEA BANK FL.R 18-22 07/02Q 10,676,086.86 2.14
1,400,000.00 VOLKSWAGEN INTL FI 1.875 17-27 30/03A 1,384,054.00 0.28
France 5,471,443.08 1.10
500,000.00 GAS NAT FENOSA 1.375 17-27 19/01A 492,055.00 0.10
731,343.00 NETHERLAND GOVT ST 0.00 98-25 15/01U 719,575.69 0.14 1,100,000.00 DANONE SA FL.R 16-18 03/11Q 1,100,341.00 0.22
596,460.00 DUTCH FUNGIBLE STR 0.00 16-24 15/01U 593,334.55 0.12 398,000.00 RCI BANQUE FL.R 17-21 12/04Q 400,196.96 0.08
41,336.00 DUTCH FUNGIBLE STR 0.00 16-27 15/01U 39,696.20 0.01 3,969,000.00 LVMH MOET HENNESSY FL.R 17-18 26/11Q 3,970,905.12 0.80
455,649.00 DUTCH FUNGIBLE STR 0.00 16-21 15/01U 459,795.41 0.09 Germany 7,284,524.37 1.46
293,000.00 BMW FINANCE NV 0.5000 18-22 22/11A 292,950.19 0.06
5,727,000.00 SAP SE FL.R 14-18 20/11Q 5,729,634.42 1.15
200,000.00 NIBC BANK NV 1.1250 18-23 19/04A 198,802.00 0.04
1,500,000.00 DAIMLER FL.R 17-24 03/07Q 1,495,710.00 0.30
4,000,000.00 ABN AMRO BANK NV 1.25 18-33 10/01A 3,960,080.00 0.79
59,000.00 BASF SE FL.R 17-19 15/11Q 59,179.95 0.01
60,000.00 DUTCH FUNGIBLE STR 0.00 16-35 15/01U 51,025.20 0.01
3,800,000.00 ABN AMRO BANK 1.00 16-31 13/04A 3,707,888.00 0.74 Sweden 104,423.00 0.02

Singapore 2,310,776.88 0.46 100,000.00 SEB FL.R 14-26 28/05A 104,423.00 0.02
2,298,000.00 BRIGHT FOOD 1.125 17-20 18/07A 2,310,776.88 0.46 United Kingdom 507,055.00 0.10

Spain 10,721,364.92 2.15 500,000.00 BARCLAYS PLC FL.R 15-25 11/11A 507,055.00 0.10
9,712,000.00 SPAIN 1.60 15-25 30/04A 10,154,964.32 2.04 United States of America 46,752,318.00 9.37
540,000.00 SPAIN 2.35 17-33 30/07A 566,400.60 0.11 6,081,000.00 AT T FL.R 14-19 04/06Q 6,095,107.92 1.22
United Kingdom 10,097,042.31 2.02 437,000.00 WELLS FARGO FL.R 15-20 02/06Q 438,721.78 0.09
383,000.00 GOLDMAN SACHS GROUP FL.R 15-20 29/05Q 386,021.87 0.08
6,714,000.00 HSBC BANK 4.00 10-21 15/01A 7,320,677.04 1.46
1,537,000.00 WELLS FARGO FL.R 16-21 26/04Q 1,549,434.33 0.31
50,000.00 NATIONWIDE BUILDING 6.75 10-20 22/07A 55,744.50 0.01
11,269,000.00 MORGAN STANLEY FL.R 16-19 03/12Q 11,276,775.61 2.26
973,000.00 BRITISH SKY BROADCAST 1.50 14-21 15/09A 1,006,558.77 0.20
1,473,000.00 COCA COLA FL.R 15-19 09/09Q 1,474,988.55 0.30
366,000.00 VODAFONE GROUP 2.20 16-26 25/08A 384,014.52 0.08
463,000.00 GOLDMAN SACHS GROUP FL.R 17-22 09/09Q 464,277.88 0.09
111,000.00 HSBC HOLDINGS PLC 1.50 16-22 15/03A 114,631.92 0.02
17,825,000.00 GOLDMAN SACHS GROUP FL.R 17-18 31/12Q 17,841,042.50 3.57
956,000.00 BARCLAYS PLC 1.875 16-21 23/03A 988,723.88 0.20
5,643,000.00 BAT CAPITAL CORP FL.R 17-21 16/08Q 5,649,263.73 1.13
229,000.00 SANTANDER UK GROUP 1.125 16-23 08/09A 226,691.68 0.05
1,583,000.00 CITIGROUP INC FL.R 18-26 24/07A 1,576,683.83 0.32
United States of America 45,270,136.78 9.08
Transferable securities dealt in on another regulated market 36,381,636.00 7.29
4,489,000.00 WAL-MART STORES INC 4.875 09-29 21/09A 6,107,239.61 1.22
Bonds 26,252,475.66 5.26
300,000.00 MICROSOFT 2.625 13-33 02/05A 348,993.00 0.07
220,000.00 PRICELINE COM 2.375 14-24 23/09A 235,360.40 0.05 Belgium 1,758,582.35 0.35
100,000.00 BERKSHIRE HATHAWAY 1.625 15-35 16/03A 97,749.00 0.02 1,479,037.00 BELGIUM OLO STRIP 0.00 98-20 28/03U 1,489,050.08 0.30
2,100,000.00 ZF NA CAPITAL 2.25 15-19 26/04A 2,128,098.00 0.43 266,420.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 267,632.21 0.05
200,000.00 WELLS FARGO CO 1.50 15-22 12/09A 207,524.00 0.04 2,225.00 BELGIUM BE-STRIP 0.00 04-32 28/03U 1,900.06 0.00
119,000.00 WELLS FARGO CO 2.00 15-26 27/04A 123,544.61 0.02
Ireland 3,486,285.67 0.70
100,000.00 BORG WARNER 1.80 15-22 07/11A 103,411.00 0.02
664,000.00 AMGEN 1.25 16-22 25/02A 684,398.08 0.14 3,078,533.86 IRLANDE 2.40 14-30 15/05A 3,486,285.67 0.70
313,000.00 GOLDMAN SACHS GROUP 1.625 16-26 27/07A 311,021.84 0.06 Italy 2,643,266.53 0.53
2,525,000.00 THERMO FISHER SCIENT 0.75 16-24 12/09A 2,476,898.75 0.50
31,472.00 ITALY STRIP 0.00 07-39 01/08U 14,276.33 0.00
1,579,000.00 MORGAN STANLEY 1.875 17-27 27/04A 1,597,553.25 0.32
597,526.00 ITALY STRIP 0.00 07-39 01/02U 272,149.19 0.05
14,867,000.00 AT&T INC 3.15 17-36 04/09A 14,950,701.21 3.00
1,000.00 ITALIE BTP 0.65 15-20 01/11S 987.77 0.00
3,671,000.00 NESTLE HOLDING 0.875 17-25 18/07A 3,694,017.17 0.74
2,237,000.00 ITALY BTP 1.60 16-26 01/06S 2,053,476.52 0.42
11,347,000.00 VERIZON COMMUNICATION 2.875 17-38 15/01A 11,413,606.89 2.29

The accompanying notes form an integral part of these financial statements

217
AMUNDI EURO CORPORATES

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
307,000.00 ITALY INFL. INDEX 1.30 16-28 15/05S 302,376.72 0.06
Luxembourg 145,852.56 0.03

126,000.00 EUROPEAN UNION 2.50 12-27 04/11A 145,852.56 0.03


Netherlands 156,666.00 0.03

200,000.00 NETHERLAND STRIP 10-42 15/01U 156,666.00 0.03


Spain 18,061,822.55 3.62

2,545,000.00 SPAIN 1.40 14-20 31/01A 2,601,982.55 0.52


26,400,000.00 SPAIN STRIP 0.00 07-37 30/07U 15,459,840.00 3.10
Floating rate bonds 10,129,160.34 2.03
United States of America 10,129,160.34 2.03

9,997,000.00 AT T INC FL.R 18-23 05/09Q 10,129,160.34 2.03


Total securities portfolio 495,766,093.47 99.38

The accompanying notes form an integral part of these financial statements

218
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,425,000.00 WIND TRE SPA 3.125 17-25 20/01S 1,305,499.50 0.28
Long positions 457,148,162.17 99.38
12,946,000.00 TELECOM ITALIA SPA 2.375 17-27 12/10A 12,210,149.36 2.65
Other transferable securities 5,647,003.99 1.23 906,000.00 WIND TRE SPA 2.625 17-23 20/01S 855,834.78 0.19

Bonds 5,647,003.99 1.23 Japan 19,035,959.46 4.14

Netherlands 5,547,822.99 1.21 200,000.00 SOFTBANK GROUP CORP 4.75 15-25 30/07S 209,838.00 0.05
19,258,000.00 SOFTBANK GROUP CORP 3.125 17-25 19/09S 18,417,773.46 4.00
5,667,000.00 SAIPEM FIN INTL BV 2.625 17-25 07/01A 5,547,822.99 1.21
450,000.00 SOFTBANK GROUP 4.00 17-29 19/09S 408,348.00 0.09
United Kingdom 99,181.00 0.02
Luxembourg 18,848,874.66 4.10
100,000.00 NATWEST MARKETS 1.125 18-23 14/06A 99,181.00 0.02
16,737,000.00 FIAT FINANCE TRADE 4.75 14-22 15/07A 18,848,874.66 4.10
Transferable securities admitted to an official stock exchange 446,982,137.69 97.17
listing Netherlands 44,658,765.49 9.71
Bonds 382,755,996.08 83.21
25,639,000.00 ALTICE REGS 7.25 14-22 15/05S 25,599,515.94 5.57
Belgium 10,584,151.71 2.30 8,117,000.00 ZIGGO FIN REGS 3.75 15-25 15/01S 8,140,052.28 1.77
36,054.00 BELGIUM OLO 5.50 98-28 28/03A 51,860.79 0.01 965,000.00 ZIGGO SEC FIN REGS 4.25 16-27 15/01S 965,762.35 0.21
0.11 BELGIAN 4.00 09-19 28/03A 0.11 0.00 9,867,000.00 SELECTA GROUP BV 5.875 18-24 01/02S 9,953,434.92 2.16
12,171,134.00 BELGIUM BE-STRIP 0.00 13-31 22/06U 10,532,290.81 2.29 Slovakia 1,334,571.67 0.29
Canada 22,114,814.67 4.81 1,134,319.00 SLOVAKIA -223- 3.375 12-24 15/11A 1,334,571.67 0.29
22,347,000.00 VRX ESCROW 4.50 15-23 15/05S 22,114,814.67 4.81 Spain 352,672.58 0.08
France 81,362,658.78 17.69 302,000.00 SPAIN 3.80 14-24 30/04A 352,672.58 0.08
250,000.00 ORANO EMTN 4.375 09-19 06/11A 256,510.00 0.06 Sweden 11,870,823.64 2.58
782,228.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 969,534.39 0.21 11,674,000.00 VERISURE MIDHOLDING 5.75 17-23 01/12S 11,870,823.64 2.58
5,293,600.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 7,310,761.28 1.59
The Netherlands Antilles 23,707,381.86 5.15
300,000.00 CASINO GUICHARD PER. 5.976 11-21 26/05A 310,173.00 0.07
140,000.00 CADES EMTN 2.50 12-22 25/10A 154,292.60 0.03 24,054,000.00 TEVA PHARMA 0.375 16-20 25/07A 23,707,381.86 5.15
9,000,000.00 ORANO SA 3.125 14-23 20/03A 8,894,160.00 1.93 United Kingdom 19,570,946.72 4.25
18,298,000.00 ALTICE FRANCE 5.625 14-24 15/05S 19,155,444.28 4.17
100,000.00 TESCO EMTN 2.125 13-20 12/11A 103,488.00 0.02
7,356,000.00 CROWN EURO HLDG REGS 4.00 14-22 15/07S 8,142,429.96 1.77
8,663,000.00 TESCO CORP 1.375 14-19 01/07A 8,742,179.82 1.90
400,000.00 SANOFI AVENTIS EMTN 1.75 14-26 10/09A 424,704.00 0.09
7,561,000.00 TESCO CORP 2.50 14-24 01/07A 8,013,147.80 1.74
300,000.00 CMA CGM REGS 7.75 15-21 15/01A 305,757.00 0.07
2,511,000.00 INTER GAME TECH REGS 4.75 15-23 15/02S 2,712,131.10 0.59
200,000.00 SNCF 1.00 16-31 09/11A 194,356.00 0.04
8,854,000.00 PEUGEOT EMTN 2.00 17-24 23/03A 9,042,678.74 1.97 United States of America 29,365,033.93 6.38
7,565,000.00 VALLOUREC SA 6.625 17-22 15/10S 8,013,831.45 1.74 17,594,000.00 QUINTILES IMS INC 3.25 17-25 15/03S 17,940,073.98 3.89
10,770,000.00 CMA CGM REGS 5.25 17-25 15/01S 9,574,099.20 2.08 120,000.00 WELLS FARGO & COMP 1.5 17-27 24/05A 118,500.00 0.03
8,648,000.00 EUROPCAR REGS 4.125 17-24 15/11S 8,613,926.88 1.87 11,449,000.00 EQUINIX 2.875 17-26 01/02S 11,306,459.95 2.46
Germany 65,118,323.09 14.16 Floating rate bonds 64,226,141.61 13.96
3,638,122.04 ALLEMAGNE 3.50 09-19 04/07A 3,752,104.41 0.82 France 25,580,684.25 5.56
180,000.00 KFW 1.875 12-19 20/03A 182,007.00 0.04
9,000,000.00 CASINO GUICHARD FL.R 14-24 07/03A 8,603,460.00 1.87
13,565,000.00 LANDW RENTENBK 1.875 12-20 11/05A 14,072,059.70 3.07
17,115,000.00 PICARD GROUPE FL.R 17-23 30/11Q 16,977,224.25 3.69
12,846,000.00 UNITYMEDIA HESSEN REGS4.00 14-25 15/01S 13,543,409.34 2.94
200,000.00 THYSSENKRUPP AG 1.75 15-20 25/11A 205,074.00 0.04 Germany 7,279,122.00 1.58
4,703,697.00 BRD INDEX 0.10 15-26 15/04A 5,384,363.79 1.17 7,300,000.00 DAIMLER FL.R 17-24 03/07Q 7,279,122.00 1.58
767,000.00 THYSSENKRUPP AG 2.75 16-21 08/03A 803,256.09 0.17 Italy 21,249,212.40 4.62
5,319,000.00 HEIDELBERGCEMENT 2.25 16-23 30/03A 5,638,565.52 1.23
12,897,000.00 THYSSENKRUPP 1.375 17-22 03/03A 13,052,924.73 2.84 22,724,000.00 WIND TRE SPA FL.R 17-24 20/01Q 21,249,212.40 4.62
7,876,000.00 K S REGS 2.625 17-23 06/04A 8,049,744.56 1.75 United Kingdom 10,117,122.96 2.20
445,000.00 DAIMLER AG 1.50 17-29 03/07A 434,813.95 0.09 10,024,000.00 SYNLAB BONDCO REGS FL.R 16-22 01/07Q 10,117,122.96 2.20
Ireland 8,790,623.38 1.91 Transferable securities dealt in on another regulated market 4,519,020.49 0.98
8,507,000.00 SMURFIT KAPPA ACQ 2.875 18-26 15/01S 8,790,623.38 1.91 Bonds 4,519,020.49 0.98
Italy 26,040,394.44 5.66
Belgium 932.52 0.00
2,927,000.00 ITALY BTP 4.25 09-20 01/03S 3,060,939.52 0.67
1,092.00 BELGIUM BE-STRIP 0.00 04-32 28/03U 932.52 0.00
125,000.00 FINMECCANICA FINANCE 5.25 09-22 21/01A 141,220.00 0.03
Italy 4,518,087.97 0.98
100,000.00 TELECOM ITALIA EMTN 5.25 10-22 10/02A 112,461.00 0.02
7,693,000.00 FINMEC FINANCE 4.50 13-21 19/01A 8,354,290.28 1.82 1,013.00 ITALY STRIP 0.00 02-31 01/02U 658.42 0.00

The accompanying notes form an integral part of these financial statements

219
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
1,063,000.00 ITALIE BTP 0.65 15-20 01/11S 1,049,999.51 0.23
1,304,000.00 ITALY BTP 1.60 16-26 01/06S 1,197,019.84 0.26
2,284,000.00 ITALIE 0.05 16-19 15/10S 2,270,410.20 0.49
Total securities portfolio 457,148,162.17 99.38

The accompanying notes form an integral part of these financial statements

220
AMUNDI FLOATING RATE EURO CORPORATE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Finland 14,112,109.07 1.69
Long positions 832,360,613.13 99.50
1,000,000.00 SAMPO 1.50 14-21 16/09A 1,036,020.00 0.12
Other transferable securities 41,807,472.40 5.00 12,767,000.00 FINNVERA 0.625 14-21 19/11A 13,076,089.07 1.57
Bonds 4,556,787.64 0.54 France 83,250,346.53 9.96
Australia 101,896.00 0.01 1,095,000.00 SUEZ GIE ALLIANCE 5.75 03-23 24/06A 1,368,421.50 0.16
100,000.00 WESTPAC BANKING 0.875 15-21 16/02A 101,896.00 0.01 11,965,951.00 FRANCE OAT INDEX 2.25 03-20 25/07A 16,291,272.78 1.95
943,000.00 ORANGE 3.875 10-20 09/04A 999,410.26 0.12
Netherlands 498,885.00 0.06
45,213,955.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 56,040,546.10 6.71
500,000.00 BAYER CAPITAL CORP 1.5 18-26 26/06A 498,885.00 0.06 3,660,000.00 CARREFOUR SA EMTN 3.875 10-21 25/04A 4,003,308.00 0.48
Spain 3,956,006.64 0.47 1,042,697.92 FRANCE OAT STRIPS 0.00 09-21 25/04U 1,052,311.59 0.13
1,000,000.00 ACCOR SA 2.375 15-23 17/09A 1,064,720.00 0.13
3,928,000.00 SPAIN 0.40 17-22 30/04A 3,956,006.64 0.47
1,200,000.00 BFCM 3.00 15-25 11/09A 1,279,296.00 0.15
Floating rate bonds 37,250,684.76 4.46
100,000.00 SOCIETE FONCIERE L 1.875 14-21 26/11A 104,181.00 0.01
Canada 4,654,658.20 0.56 815,000.00 RCI BANQUE SA 0.50 16-23 15/09A 791,642.10 0.09
4,280,000.00 ROYAL BANK OF CANADA FL.R 15-20 06/08Q 4,304,567.20 0.52 57,000.00 RENAULT SA 1.00 17-23 08/03A 57,319.20 0.01
350,000.00 ROYAL BANK OF CANADA FL.R 15-18 22/10Q 350,091.00 0.04 100,000.00 VALEO SA 0.625 16-23 11/01A 99,883.00 0.01
100,000.00 CIE DE SAINT GOBAIN 1.125 18-26 23/03A 98,035.00 0.01
Germany 200,196.00 0.02
Germany 123,839,625.08 14.81
200,000.00 VW FIN SERV FL.R 18-19 11/10Q 200,196.00 0.02
1,096,052.26 GERMANY 3.75 08-19 04/01A 1,108,788.38 0.13
Luxembourg 17,833,967.96 2.14
38,174,144.60 ALLEMAGNE 3.50 09-19 04/07A 39,370,140.55 4.72
17,819,000.00 ICBC FL.R 17-20 12/10Q 17,833,967.96 2.14 323,000.00 COMMERZBANK AG 4.00 10-20 16/09A 347,040.89 0.04
Netherlands 10,941,038.13 1.31 4,382,000.00 BASF 1.875 13-14 04/02A 4,583,834.92 0.55
20,000.00 NORTH RHINE W 1.25 13-20 13/03A 20,494.00 0.00
10,893,000.00 RABOBANK NEDERLAND FL.R 15-20 29/05Q 10,941,038.13 1.31
350,000.00 VIER GAS TRANSPORT 2.00 13-20 12/06A 361,732.00 0.04
United Kingdom 3,620,824.47 0.43
1,491,000.00 VOLKSWAGEN LEAS REGS 2.625 14-24 15/01A 1,591,061.01 0.19
1,796,000.00 HSBC HOLDING FL.R 17-23 05/10Q 1,792,048.80 0.21 5,257,770.59 BRD 1.00 14-19 22/02A 5,291,893.52 0.63
1,821,000.00 UBS LONDON FL.R 18-20 10/01Q 1,828,775.67 0.22 1,120,000.00 NRW BANK 1.25 13-18 22/10A 1,121,142.40 0.13
Transferable securities admitted to an official stock exchange 762,687,691.11 91.17 18,000.00 SAP EMTN 1.125 14-23 20/02A 18,667.98 0.00
listing 1,684,000.00 EVONIK INDUSTRIES 1.00 15-23 23/01A 1,728,002.92 0.21
Bonds 608,285,770.63 72.71 15,535,288.65 BRD INDEX 0.10 15-26 15/04A 17,783,383.08 2.13
Australia 2,632,949.28 0.31 8,058,000.00 DAIMLER AG 1.40 16-24 12/01A 8,258,483.04 0.99
100,000.00 HEIDELBERGCEMENT 2.25 16-23 30/03A 106,008.00 0.01
598,000.00 AUST & NZ BANK 5.125 09-19 10/09A 626,321.28 0.07
156,000.00 HEIDELBERG CEMENT 1.50 16-25 07/02A 157,430.52 0.02
1,976,000.00 NATIONAL AUSTRALIA BK 0.875 15-22 20/01A 2,006,628.00 0.24
452,297.00 ALLEMAGNE FED TN 0.00 17-19 14/06A 454,287.11 0.05
Austria 10,518,346.63 1.26 4,096,000.00 VOLKSWAGEN LEASING 1.125 17-24 04/04A 4,036,034.56 0.48
217,000.00 AUSTRIA 3.40 12-22 22/11A 248,966.27 0.03 8,499,000.00 KFW 0.00 17-22 28/04A 8,534,100.87 1.02
3,214,000.00 TELEKOM FINANZ 4.00 12-22 04/04A 3,619,317.54 0.43 28,628,000.00 LANDWIRTSCHAFTLICHE 0.05 18-23 12/06A 28,534,672.72 3.42
2,159,000.00 TELEKOM FINANZ 3.125 13-21 03/12A 2,350,330.58 0.28 431,000.00 BASF SE 0.875 18-25 22/05A 432,426.61 0.05
4,278,000.00 AUTRICHE 0.00 17-22 20/09A 4,299,732.24 0.52 Ireland 29,298,652.92 3.50
Belgium 3,299,357.65 0.39 2,176,337.84 IRISH GOVT TREASURY 4.50 04-20 18/04A 2,343,154.13 0.28
1,298,392.00 BELGIQUE OLO -48- 4.00 06-22 28/03A 1,491,436.93 0.17 4,144,700.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 4,424,384.35 0.53
790,785.00 BELGIAN 4.00 09-19 28/03A 808,553.94 0.10 3,164,713.22 IRISH GOVT TREASURY 5.00 10-20 18/10A 3,516,597.69 0.42
282,000.00 BELGIUM KINGDOM 64 4.50 11-26 28/03A 365,545.32 0.04 6,859,421.00 IRISH TSY 3.40 14-24 18/03A 8,019,554.88 0.96
204,482.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 210,070.50 0.03 511,548.06 IRISH TSY REGS 0.80 15-22 15/03A 527,498.13 0.06
429,028.00 BELGIUM BE-STRIP 0.00 98-24 28/03U 423,750.96 0.05 1,169,000.00 RYANAIR LTD 1.125 15-23 10/03A 1,177,615.53 0.14
9,078,412.00 IRLANDE 1.00 16-26 15/05A 9,289,848.21 1.11
Czech Republic 7,285,878.86 0.87
Italy 54,131,522.31 6.47
2,776,000.00 CEZ AS EMTN -9- 5.00 09-21 19/10A 3,164,140.32 0.38
3,373,000.00 CEZ 4.875 10-25 16/04A 4,121,738.54 0.49 46,911,000.00 ITALY BTP 4.50 08-19 01/03S 47,730,535.17 5.70
144,000.00 TERNA SPA 4.75 11-21 15/03A 159,564.96 0.02
Denmark 498,340.00 0.06
400,000.00 UNICREDIT SPA REGS 6.95 12-22 31/10A 460,980.00 0.06
200,000.00 DANSKE BANK A/S 0.50 16-21 06/05A 201,028.00 0.03 300,000.00 ENI 1.50 15-26 02/02A 300,885.00 0.04
200,000.00 DANSKE BANK 0.75 16-23 02/06A 199,202.00 0.02 5,017,000.00 ITALY BOT 2.00 15-25 01/12S 4,761,935.72 0.57
100,000.00 DANSKE BANK A/S 0.25 17-22 28/11A 98,110.00 0.01 658,000.00 ATLANTIA SPA 1.625 17-25 03/02A 622,382.46 0.07
100,000.00 FERROVIE DELLO STATO 0.875 17-23 07/12A 95,239.00 0.01

The accompanying notes form an integral part of these financial statements

221
AMUNDI FLOATING RATE EURO CORPORATE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Japan 99,895.00 0.01 3,410,000.00 BRITISH SKY BROADCAST 1.50 14-21 15/09A 3,527,610.90 0.42
100,000.00 SUMITOMO MITSUI FIN 0.819 18-23 23/07A 99,895.00 0.01 615,000.00 VODAFONE GROUP PLC 1.00 14-20 11/09A 625,129.05 0.07
206,000.00 CREDIT SUISSE LONDON 1.375 14-22 31/01A 212,931.90 0.03
Luxembourg 105,161,993.64 12.58
852,000.00 LLOYDS BANK 1.00 14-21 19/11A 872,763.24 0.10
250,000.00 EUROP.INVEST.BK 4.25 09-19 15/04A 256,362.50 0.03 10,402,000.00 BRITISH TELECOM 0.625 16-21 10/03A 10,506,956.18 1.27
1,000,000.00 SES EMTN 4.625 10-20 09/03A 1,065,830.00 0.13 319,000.00 RBS 2.50 16-23 22/03A 334,327.95 0.04
32,323,000.00 BEI 3.625 11-21 15/01A 35,263,746.54 4.21 1,091,000.00 BARCLAYS PLC 1.875 16-21 23/03A 1,128,344.93 0.13
44,000.00 EUROPEAN UNION 2.375 11-18 04/10A 44,008.80 0.01 4,710,000.00 HSBC HLDGS 0.875 16-24 06/09A 4,633,368.30 0.55
29,475,917.00 ESM 1.25 13-18 15/10A 29,493,602.55 3.53 200,000.00 LLOYDS BANK GRP 0.75 16-21 09/11A 202,538.00 0.02
1,000.00 EUROP INVEST BK 2.125 14-24 15/01A 1,101.02 0.00 1,250,000.00 ROYAL BANK OF SCOT 0.625 18-22 02/03A 1,233,425.00 0.15
33,492,000.00 EUROP.INVEST.BK 0.00 16-23 16/10A 33,206,313.24 3.97
United States of America 40,417,409.32 4.83
4,492,000.00 BEI 0.05 17-23 15/12A 4,462,128.20 0.53
365,000.00 EUROP.INVEST.BK 0.875 15-24 13/09A 376,858.85 0.05 1,239,000.00 ROCHE HLDG INC -3- 6.50 09-21 04/03A 1,440,126.87 0.17
998,000.00 BEI 0.375 18-25 03/07A 992,041.94 0.12 1,985,000.00 BIRD EMTN -10268- 3.875 09-19 20/05A 2,040,063.90 0.24
4,277,000.00 TOYOTA MOTOR CREDIT 1.80 13-20 23/07A 4,423,016.78 0.53
Mexico 4,869,638.09 0.58
6,488,000.00 MORGAN STANLEY 2.375 14-21 31/03A 6,849,835.76 0.82
647,000.00 AMERICA MOVIL SAB 4.75 10-22 28/06A 748,747.22 0.09 708,000.00 AT T 2.40 14-24 15/03A 753,949.20 0.09
603,000.00 FOMENTO ECONOMICO 1.75 16-23 20/03A 622,326.15 0.07 100,000.00 WELLS FARGO 1.125 14-21 29/10A 102,669.00 0.01
3,416,000.00 AMERICA MOVIL SAB 1.50 16-24 10/03A 3,498,564.72 0.42 437,000.00 CITIGROUP 1.75 15-25 28/01A 449,415.17 0.05
Netherlands 83,082,001.78 9.93 16,360,000.00 TOYOTA MOTOR CREDIT 0.75 15-22 21/07A 16,664,950.40 2.00
986,000.00 BMW US CAP LLC REGS 0.625 15-22 20/04A 996,806.56 0.12
2,355,000.00 E.ON INTL FINANCE 5.75 08-20 07/05A 2,574,085.65 0.31
300,000.00 ECOLAB 2.625 15-25 08/07A 330,324.00 0.04
1,239,000.00 RWE FINANCE 6.50 09-21 10/08A 1,462,676.67 0.17
3,759,000.00 PROCTER & GAMBLE C 1.125 15-23 02/11 3,879,325.59 0.46
3,267,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 3,953,462.04 0.47
1,131,000.00 WELLS FARGO CO 2.00 15-26 27/04A 1,174,192.89 0.14
2,831,841.00 NEDERLAND 144A 1.25 13-19 15/01A 2,847,076.31 0.34
337,000.00 AMGEN 1.25 16-22 25/02A 347,352.64 0.04
200,000.00 ABN AMRO BANK EMTN 2.125 13-20 26/11A 209,392.00 0.03
250,000.00 UNITED TECH 1.125 16-21 15/12A 255,950.00 0.03
6,572,000.00 EDP FINANCE EMTN 2.625 14-22 18/01A 7,023,430.68 0.84
249,000.00 CITIGROUP 0.75 16-23 26/10A 246,330.72 0.03
6,831,000.00 ENEL FINANCE INTL 1.966 15-25 27/01A 7,040,575.08 0.84
464,000.00 TOYOTA MOTOR 0.00 17-21 21/07A 463,099.84 0.06
4,615,000.00 ROCHE HOLDINGS REGS 0.875 15-25 25/02A 4,696,085.55 0.56
29,917,000.00 DEUTSCHE TEL.INTL FIN 0.625 16-23 03/04A 29,990,894.99 3.58 Floating rate bonds 154,401,920.48 18.46
300,000.00 JAB HOLDINGS 1.75 16-23 25/05A 313,422.00 0.04 Australia 11,209,103.91 1.34
814,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 826,494.90 0.10
11,159,000.00 COMMONW BK AUSTRALIA FL.R 15-20 21/01Q 11,209,103.91 1.34
3,652,000.00 LINDE FINANCE BV 0.25 17-22 18/01A 3,671,246.04 0.44
Belgium 497,425.00 0.06
1,274,000.00 INNOGY FINANCE 1.00 17-25 13/04A 1,263,680.60 0.15
12,273,000.00 BMW FINANCE NV 0.375 18-23 10/07A 12,112,100.97 1.45 500,000.00 ANHEUSER-BUSCH FL.R 18-24 15/04Q 497,425.00 0.06
5,178,000.00 DAIMLER INTL 1.00 18-25 11/05A 5,083,139.04 0.61 Canada 2,308,947.00 0.28
14,000.00 INNOGY FINANCE 1.625 18-26 30/05A 14,239.26 0.00
2,300,000.00 BANK OF NOVA SCOTIA FL.R 15-20 14/01Q 2,308,947.00 0.28
Norway 100,053.00 0.01
Finland 2,673,670.75 0.32
100,000.00 SPAREBANK 1 SMN 0.50 17-22 09/03A 100,053.00 0.01
2,669,000.00 NORDEA BANK AB FL.R 16-19 22/02Q 2,673,670.75 0.32
Spain 18,351,445.65 2.19
France 23,668,232.24 2.83
286,000.00 SPANISH 4.00 10-20 30/04A 305,116.24 0.04
3,400,000.00 HSBC FL.R 15-19 27/11Q 3,419,822.00 0.41
320,000.00 SPAIN 5.85 11-22 31/01A 380,502.40 0.05
14,800,000.00 BFCM FL.R 16-20 03/06Q 14,890,724.00 1.78
12,706,000.00 SPAIN 3.75 13-18 31/10A 12,747,675.68 1.51
200,000.00 DANONE SA FL.R 16-18 03/11Q 200,062.00 0.02
3,295,000.00 SPAIN 3.80 14-24 30/04A 3,847,868.05 0.46
1,752,000.00 RCI BANQUE FL.R 17-21 12/04Q 1,761,671.04 0.21
448,000.00 SPAIN 1.60 15-25 30/04A 468,433.28 0.06
983,000.00 RCI BANQUE FL.R 17-20 08/07Q 985,516.48 0.12
400,000.00 SANTANDER ISSUANCES 2.50 15-25 18/03A 403,720.00 0.05
59,000.00 LVMH MOET HENNESSY FL.R 17-18 26/11Q 59,028.32 0.01
100,000.00 SANTANDER INTL DEB 1.375 16-21 03/03A 102,871.00 0.01
2,376,000.00 RCI BANQUE SA FL.R 18-23 12/01Q 2,351,408.40 0.28
100,000.00 SPAIN STRIP 0.00 14-24 31/10U 95,259.00 0.01
Germany 24,667,973.00 2.95
Sweden 291,260.97 0.03
11,600,000.00 VOLKSWAGEN LEASING FL.R 17-21 06/07Q 11,581,672.00 1.38
273,000.00 ORLEN CAPITAL 2.50 16-23 07/06A 291,260.97 0.03
5,000,000.00 VOLKSWAGEN LEASING FL.R 17-19 06/07Q 5,004,850.00 0.60
United Kingdom 27,044,944.85 3.23 8,100,000.00 VOLKSWAGEN BANK GMBH FL.R 17-21 15/06Q 8,081,451.00 0.97
50,000.00 VODAFONE GROUP 4.65 10-22 20/01A 57,040.00 0.01 Netherlands 16,079,741.18 1.92
3,112,000.00 LLOYDS TSB 6.50 10-20 24/03A 3,402,816.40 0.41
9,607,000.00 SHELL INTL FINANCE FL.R 15-19 15/09Q 9,642,930.18 1.15
100,000.00 LEEDS BS 2.625 14-21 01/04A 105,241.00 0.01
6,415,000.00 DEUTSCHE TEL INT FIN FL.R 16-20 03/04Q 6,436,811.00 0.77
200,000.00 ROYAL BK SCOTLAND 1.625 14-19 25/06A 202,452.00 0.02

The accompanying notes form an integral part of these financial statements

222
AMUNDI FLOATING RATE EURO CORPORATE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
United Kingdom 24,375,390.65 2.91

2,974,000.00 CREDIT SUISSE LDN FL.R 14-19 16/10Q 2,986,580.02 0.36


1,947,000.00 RBS FL.R 17-20 08/06Q 1,945,500.81 0.23
9,878,000.00 UBS AG LDN FL.R 17-19 05/09Q 9,914,054.70 1.18
9,476,000.00 UBS AG FL.R 18-21 23/04Q 9,529,255.12 1.14
United States of America 48,921,436.75 5.85

960,000.00 MORGAN STANLEY FL.R 14-19 19/11Q 966,374.40 0.12


14,072,000.00 COCA COLA FL.R 15-19 09/09Q 14,110,698.00 1.69
16,916,000.00 WELLS FARGO FL.R 15-20 02/06Q 16,982,649.04 2.03
1,919,000.00 GOLDMAN SACHS GROUP FL.R 15-20 29/05Q 1,934,140.91 0.23
100,000.00 WELLS FARGO REGS 56 FL.R 14-19 24/04Q 100,226.00 0.01
1,118,000.00 WELLS FARGO FL.R 16-21 26/04Q 1,127,044.62 0.13
4,280,000.00 MORGAN STANLEY FL.R 16-19 03/12Q 4,282,953.20 0.51
3,738,000.00 COCA COLA FL.R 15-19 09/09Q 3,743,046.30 0.45
1,000,000.00 BAT CAPITAL CORP FL.R 17-21 16/08Q 1,001,110.00 0.12
1,100,000.00 BANK OF AMERICA CORP FL.R 17-21 21/09Q 1,100,209.00 0.13
1,519,000.00 CITIGROUP INC FL.R 18-23 21/03Q 1,519,212.66 0.18
2,062,000.00 CITIGROUP INC FL.R 18-26 24/07A 2,053,772.62 0.25
Transferable securities dealt in on another regulated market 27,865,449.62 3.33

Bonds 26,561,328.62 3.17


Belgium 16,310,481.84 1.95

2,034,513.00 BELGIUM OLO STRIP 0.00 98-20 28/03U 2,048,286.65 0.24


171,000.00 BELGIUM BE STRIP 0.00 98-23 28/03U 170,820.45 0.02
13,348,674.00 BELGIUM KINGDOM 79 0.20 16-23 22/10A 13,409,410.47 1.61
639,999.07 BELGIUM BE-STRIP MR2 0.00 98-22 28/03U 645,259.86 0.08
36,736.00 BELGIQUE 0.00 13-23 22/06U 36,704.41 0.00
Italy 1,493,963.09 0.18

117,000.00 ITALIE BTP 0.65 15-20 01/11S 115,569.09 0.01


1,420,000.00 ITALIE 0.45 16-21 01/06S 1,378,394.00 0.17
Netherlands 101,814.00 0.01

100,000.00 NEDER WATERSCHAPSBANK 0.50 15-22 22/10A 101,814.00 0.01


Spain 8,550,036.69 1.02

1,283,000.00 SPAIN GOVT 5.40 13-23 31/01A 1,559,653.29 0.19


108,000.00 SPAIN 1.40 14-20 31/01A 110,418.12 0.01
6,163,000.00 SPAIN 1.15 15-20 30/07A 6,314,363.28 0.75
600,000.00 ABERTIS 1.375 16-26 20/05A 565,602.00 0.07
United States of America 105,033.00 0.01

100,000.00 ILLINOIS TOOL WORKS 1.75 14-22 20/05A 105,033.00 0.01


Floating rate bonds 1,304,121.00 0.16
Norway 1,304,121.00 0.16

1,300,000.00 DNB BK ASA 611 FL.R 15-20 13/01Q 1,304,121.00 0.16


Total securities portfolio 832,360,613.13 99.50

The accompanying notes form an integral part of these financial statements

223
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
201,000.00 ROYAL BANK OF CANADA 2.15 17-20 26/10S 196,754.88 0.00
Long positions 5,320,432,036.57 100.12
228,000.00 EXPORT DVPT 2.3 18-20 08/02S 226,312.80 0.00
Other transferable securities 113,320,758.89 2.13 14,768,000.00 RBC 2.30 16-21 22/03S 14,447,386.72 0.28
67,000.00 BANK OF NOVA SC 4.3750 11-21 13/01S 68,515.54 0.00
Bonds 19,290,783.00 0.36
225,000.00 EXPORT DEVELOPMNT 1.625 14-19 03/12S 221,919.75 0.00
Canada 1,806,777.70 0.03
Finland 247,635.00 0.00
1,835,000.00 EXP ET DEV CANADA 1.625 17-20 17/01S 1,806,777.70 0.03
250,000.00 NORDIC INVESTME 2.8750 18-23 19/07S 247,635.00 0.00
France 248,672.50 0.00
France 3,346,102.21 0.06
250,000.00 BFCM 2.00 16-19 12/04S 248,672.50 0.00
332,000.00 ELECT.DE FRANCE REG S 6.50 09-19 26/01S 335,801.40 0.01
Mexico 15,420,916.87 0.30 67,000.00 ORANGE 4.125 11-21 14/09S 68,525.59 0.00
15,661,000.00 UNITED MEXICAN STATES 4.15 17-27 28/03S 15,420,916.87 0.30 100,000.00 ORANGE 2.75 14-19 06/02S 100,085.00 0.00
United States of America 1,814,415.93 0.03 250,000.00 BPCE 2.25 15-20 27/01S 246,882.50 0.00
971,000.00 SANOFI AVENTIS 4.00 11-21 29/03S 990,381.16 0.02
100,000.00 DIAMOND 1 FIN 144A 4.42 16-21 15/06S 101,533.00 0.00 1,628,000.00 DEXIA CREDIT LOCAL 2.5 18-21 25/01S 1,604,426.56 0.03
200,000.00 MAPLE ESCROW SUBS 4.057 18-23 25/05S 199,956.00 0.00
Germany 56,216,720.01 1.07
1,543,000.00 BQUE INTERAMERI. 1.625 17-20 12/04S 1,512,926.93 0.03
Floating rate bonds 94,029,975.89 1.77 40,000.00 KRED.WIEDERAUFBAU 2.00 12-22 04/10S 38,415.20 0.00
245,000.00 KREDITANS.FUER WIEDER.2.125 13-23 17/01S 235,641.00 0.00
Australia 1,322,150.55 0.02
107,000.00 KRED WIEDERAUFBAU 4.00 10-20 27/01S 108,610.35 0.00
242,000.00 COMMONWEALTH BANK FL.R 16-21 06/09Q 244,807.20 0.00 398,000.00 KREDIT.FUR WIEDERAUF. 1.625 12-19 15/08A 394,410.04 0.01
263,000.00 NATIONAL AUSTRALIA FL.R 17-20 22/05Q 264,112.49 0.00 6,913,000.00 KFW 1.25 16-19 30/09S 6,814,144.10 0.13
500,000.00 AUST & NZ BANKING FL.R 17-22 19/05Q 502,810.00 0.02 1,000,000.00 MYLAN NV 3.95 17-26 15/06S 948,400.00 0.02
137,000.00 COMMONWEALTH BANK FL.R 17-22 10/03Q 137,753.50 0.00 8,000,000.00 KRED WIEDERAUFBAU 1.625 17-20 29/05S 7,837,920.00 0.15
172,000.00 CWTH FL.R 18-23 16/03Q 172,667.36 0.00 1,000,000.00 KFW 1.75 17-21 15/09S 964,780.00 0.02
France 681,783.75 0.01 3,300,000.00 KREDITANSTALT FUER 2.875 18-28 03/04S 3,226,014.00 0.06
2,000,000.00 KFW 1.625 17-19 12/11A 1,974,820.00 0.04
675,000.00 BPCE FL.R 17-22 22/05Q 681,783.75 0.01 477,000.00 KRED WIEDERAUFBAU 1.00 16-19 15/07S 471,008.88 0.01
Netherlands 1,802,602.88 0.03 7,326,000.00 KRED WIEDER. 1.875 17-20 15/11S 7,159,040.46 0.13
1,798,000.00 SIEMENS FINANCIERI FL.R 17-20 16/03Q 1,802,602.88 0.03 928,000.00 LANDWIRT.RENTENBANK 2.375 18-20 21/02S 921,949.44 0.02
549,000.00 LANDWIRT.RENTENBANK 1.875 14-20 22/01A 542,170.44 0.01
Switzerland 2,766,578.33 0.05
10,207,000.00 KREDITANSTALT FUER 1.50 17-19 09/09S 10,094,518.86 0.19
2,729,000.00 UBS GR FUNDING FL.R 17-23 23/05Q 2,766,578.33 0.05 3,864,000.00 KFW 2.75 10-20 08/09S 3,852,408.00 0.07
United Kingdom 1,004,290.00 0.02 11,152,000.00 LANDWIRT 2.375 15-25 10/06S 10,631,536.16 0.21
1,000.00 KFW 2.00 15-25 02/05S 933.08 0.00
1,000,000.00 UBS LONDON 144A FL.R 17-20 08/06Q 1,004,290.00 0.02
United States of America 86,452,570.38 1.64 Guernsey 247,157.50 0.00

82,821,000.00 GOLDMAN SACHS GROUP FL.R 13-23 29/11Q 86,198,440.38 1.63 250,000.00 CS GR FUNDING 3.80 16-23 09/06S 247,157.50 0.00
250,000.00 NATIONAL AUSTRALIA FL.R 16-21 12/07Q 254,130.00 0.01 Hungary 1,806,383.68 0.03

Transferable securities admitted to an official stock exchange 5,154,540,138.83 97.00 836,000.00 HUNGARY 5.75 13-23 22/11S 907,544.88 0.01
listing 838,000.00 HUNGARY 5.375 14-24 25/03S 898,838.80 0.02
Bonds 760,071,015.15 14.30
Ireland 230,659.54 0.00
Australia 922,822.04 0.02
86,000.00 SHIRE ACQ INV IRL 2.875 16-23 23/09S 81,923.60 0.00
806,000.00 WESTPAC BANKING CORP 4.875 09-19 19/11S 822,797.04 0.02
160,000.00 AERCAP IRELAND CAP 3.65 17-27 21/07S 146,761.60 0.00
100,000.00 WESTPAC BANKING CORP 3.65 18-23 15/05S 100,025.00 0.00
2,000.00 JOHNSON CONTROLS INTL 3.90 16-26 14/02S 1,974.34 0.00
Canada 21,686,445.33 0.41
Italy 170,832.00 0.00
500,000.00 CPD FINL REGS 3.15 14-24 24/07S 493,930.00 0.01
200,000.00 INTESA SANPAOLO SPA 3.875 18-28 12/01S 170,832.00 0.00
100,000.00 RBC 2.35 15-20 30/10S 98,282.00 0.00
Japan 12,299,595.09 0.23
200,000.00 RBC 4.65 16-26 27/01S 204,436.00 0.00
30,000.00 SUNCOR ENERGY INC 3.60 14-24 01/12S 29,651.40 0.00 1,000,000.00 JBIC 2.125 15-25 10/02S 928,060.00 0.02
72,000.00 ROYAL BANK OF CANA 2.75 17-22 01/02S 70,549.92 0.00 600,000.00 MITSUBISHI CORP 3.85 16-26 01/03S 590,100.00 0.01
20,000.00 BANK OF NOVA SCOTIA 4.50 15-25 16/12S 20,025.60 0.00 788,000.00 SUMITOMO MITSUI FINL 2.632 16-26 14/07S 711,351.24 0.01
50,000.00 CANADIAN NATL RESOURCE 3.85 17-27 01/06S 48,660.50 0.00 400,000.00 MITSUBISHI UFG 2.19 16-21 13/09S 384,412.00 0.01
2,000.00 ENBRIDGE INC 3.7 17-27 15/07S 1,927.44 0.00 3,800,000.00 MIZUHO FIN GROUP 2.953 17-22 28/02S 3,701,542.00 0.07
5,094,000.00 TORONTO DOMINION BK FL.R 17-19 18/01Q 5,097,718.62 0.11 40,000.00 SUMITOMO MITSUI FINL 3.352 17-27 18/10S 37,729.20 0.00
502,000.00 FORTIS INC 3.055 17-26 04/10S 460,374.16 0.01 500,000.00 JAPAN BANK FOR INT CO 2.375 17-22 16/11S 481,835.00 0.01

The accompanying notes form an integral part of these financial statements

224
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
500,000.00 JAPAN BANK INTL COOP 2.375 16-26 20/04S 465,535.00 0.01 1,012,000.00 RBS SUB 6.00 13-23 19/12S 1,054,615.32 0.02
80,000.00 SUMITOMO MITSUI 3.102 18-23 17/01S 77,827.20 0.00 1,100,000.00 RBS SUB TIER 2 5.125 14-24 28/05S 1,100,726.00 0.02
1,000,000.00 JAPAN BANK INTL JBIC 1.875 16-26 21/07S 895,510.00 0.02 130,000.00 WPP FINANCE 2010 3.75 14-24 19/09S 125,409.70 0.00
4,000,000.00 MIZUHO FIN GROUP 2.601 17-22 11/09S 3,821,280.00 0.07 500,000.00 BARCLAYS BANK PLC 2.75 14-19 08/11S 497,705.00 0.01
140,000.00 MITSUBISHI UFJ FIN 3.287 17-27 25/07S 131,709.20 0.00 714,000.00 BAT INTERNATIONAL FIN 3.95 15-25 15/06S 700,105.56 0.01
75,000.00 MITSUBISHI UFJ FIN 3.677 17-27 22/02S 72,704.25 0.00 300,000.00 BP CAPITAL MARKETS 2.315 15-20 13/02S 297,324.00 0.01
Luxembourg 127,199,267.46 2.40 1,206,000.00 BARCLAYS PLC 4.375 16-26 12/01 1,173,112.38 0.03
100,000.00 AON 3.875 16-25 15/12S 99,045.00 0.00
166,000.00 ARCELORMITTAL 7.25 12-22 25/02S 178,249.14 0.00 100,000.00 ASTRAZENECA 2.375 15-20 16/11S 98,356.00 0.00
5,097,000.00 EUROP INVEST BK 4.00 11-21 16/02S 5,217,034.35 0.10 100,000.00 BP CAPITAL MARKETS 3.224 17-24 14/04S 98,130.00 0.00
12,773,000.00 EUROP INVEST BK 3.25 14-24 29/01S 12,857,046.34 0.24 100,000.00 ASTRAZENECA PLC 2.375 17-22 12/06S 96,143.00 0.00
1,034,000.00 ALLERGAN FUNDING SCS 3.80 15-25 15/03S 1,012,989.12 0.02 100,000.00 ASTRAZENECA PLC 3.125 17-27 12/06S 93,266.00 0.00
19,547,000.00 EUROPEAN INVESTMEN 1.375 16-21 15/09S 18,651,747.40 0.35 100,000.00 BP CAPITAL MARKETS 3.279 17-27 19/09S 95,751.00 0.00
3,162,000.00 EUROPEAN INVESTMENT BK 1.25 16-19 16/12S 3,104,483.22 0.06 400,000.00 IMPERIAL TOBACCO F 4.25 15-25 21/07S 396,928.00 0.01
72,664,000.00 BEI 2.5 18-23 15/03S 70,829,234.00 1.34 400,000.00 BARCLAYS BANK PLC 2.65 18-21 11/01S 392,280.00 0.01
645,000.00 BEI 1.125 16-19 15/08S 636,460.20 0.01
United States of America 509,745,957.76 9.60
4,388,000.00 BEI 2.375 17-22 15/06S 4,283,214.56 0.08
10,611,000.00 EUROPEAN INVESTMEN 1.625 15-20 16/03S 10,428,809.13 0.20 1,227,500.00 USA TREASURY BONDS 7.50 94-24 15/11S 1,535,813.47 0.03
Mexico 1,023,336.00 0.02 109,000.00 USA TREASURY INF.INDX 3.625 98-28 15/04S 210,969.59 0.00
102,000.00 USA TREASURY NTS INDX 1.75 08-28 15/01S 131,371.87 0.00
800,000.00 AMERICA MOVIL 5.00 10-20 30/03S 818,712.00 0.02 392,000.00 GENERAL MILLS INC 5.65 09-19 15/02S 396,076.80 0.01
200,000.00 PETROLEOS MEXICANOS 6.5 18-27 13/03S 204,624.00 0.00 2,272,500.00 US TREASURY NOTE 3.125 09-19 15/05S 2,281,643.26 0.05
Netherlands 8,018,062.50 0.15 99,000.00 USA T NOTES INDEXED 1.875 09-19 15/07S 118,320.00 0.00
30,000.00 GEORGIA-PACIFIC 7.75 99-29 15/11S 39,560.40 0.00
1,756,000.00 DEUTSCHE TELEKOM 8.75 00-30 15/06S 2,376,184.08 0.04
1,980,900.00 US TREASURY NOTES 3.50 10-20 15/05S 2,003,339.89 0.05
160,000.00 TELEFONICA EUROPE GLOB8.25 00-30 15/09S 206,187.20 0.00
4,891,000.00 US TREASURY NT F-2020 2.625 10-20 15/11S 4,869,219.76 0.10
25,000.00 COOP EMTN TR76 3.875 12-22 08/02S 25,219.00 0.00
100,000.00 BNY MELLON 3.55 11-21 23/09S 100,756.00 0.00
73,000.00 SHELL INTL FINANCE 3.40 13-23 12/08S 73,000.73 0.00
100,000.00 MORGAN STANLEY 5.50 11-21 28/07S 105,227.00 0.00
149,000.00 LYONDELLBASELL 5.00 12-19 15/04S 149,767.35 0.00
200,000.00 DEERE AND CO 4.375 09-19 16/10S 202,820.00 0.00
100,000.00 SHELL INTERNATIONA 3.25 15-25 11/05S 98,115.00 0.00
100,000.00 IBM 1.875 12-22 01/08S 94,673.00 0.00
4,194,000.00 ING REGS FL.R 16-19 22/03Q 4,212,998.82 0.09
100,000.00 GENERAL ELECTRIC 2.70 12-22 09/10S 96,626.00 0.00
130,000.00 LYB INTERNATIONAL 3.5 17-27 02/03S 121,976.40 0.00
50,000.00 DAIMLER FINANCE 8.50 01-31 18/01S 69,895.00 0.00
300,000.00 ENEL FIN INTL REGS 3.625 17-27 25/05S 272,448.00 0.01
1,952,000.00 BANK OF AMERICA 3.30 13-23 11/01A 1,924,125.44 0.05
12,000.00 BK NEDERLANDSE GEMEEN 2.625 14-21 28/04S 11,876.04 0.00
265,000.00 WALT MART INC 2.55 13-23 11/04S 256,901.60 0.00
400,000.00 NEDER WATERSCHAP 1.875 14-19 13/03S 398,764.00 0.01
100,000.00 JPMORGAN CHASE SUB 3.375 13-23 01/05S 98,000.00 0.00
76,000.00 BK NEDERLANDSE GEM 2.375 16-26 16/03S 71,525.88 0.00
2,536,000.00 APPLE 2.40 13-23 03/05S 2,437,958.24 0.06
Norway 74,499.00 0.00 8,417,900.00 USA T NOTES 1.750 13-23 15/05S 7,983,852.03 0.16
75,000.00 EQUINOR 2.25 14-19 08/11S 74,499.00 0.00 780,000.00 MERCK AND CO INC 2.80 13-23 18/05S 763,846.20 0.01
Poland 6,914,180.95 0.13 1,541,000.00 USA T NOTES 1.125 13-20 30/04S 1,501,933.25 0.03
23,000.00 HOME DEPOT INC 2.70 13-23 01/04S 22,454.67 0.00
923,000.00 POLAND 5.00 11-22 23/03S 972,057.45 0.02 2,582,000.00 VERIZON COMMUNICATION 5.15 13-23 15/09S 2,762,533.44 0.06
847,000.00 POLOGNE 3.00 12-23 17/03S 832,245.26 0.02 15,000.00 AMERICAN INTL GRP SUB 4.125 13-24 15/02S 15,057.30 0.00
4,267,000.00 POLOGNE (REP OF) 4.00 14-24 22/01S 4,355,412.24 0.08 105,000.00 USA T NOTES 1.375 13-20 31/05S 102,600.59 0.00
776,000.00 POLAND 3.25 16-26 06/04S 754,466.00 0.01 712,000.00 COCA COLA 3.20 13-23 01/11S 706,282.64 0.01
Spain 571,344.00 0.01 100,000.00 CITIGROUP 4.05 13-22 30/07S 101,019.00 0.00
790,000.00 EATON CORP 2.75 13-22 02/11S 766,228.90 0.01
200,000.00 BANCO SANTANDER 4.25 17-27 11/04S 189,936.00 0.00
690,000.00 IBM 3.625 14-24 12/02S 693,229.20 0.01
400,000.00 BANCO SANTANDER 4.3790 18-28 12/04S 381,408.00 0.01
100,000.00 CISCO SYSTEMS 2.125 14-19 01/03S 99,852.00 0.00
Switzerland 1,307,900.62 0.02 1,353,200.00 US TREAS N/B V-2019 1.50 14-19 28/02S 1,348,601.23 0.03
18,000.00 EUROFIMA 1.75 15-20 29/05A 17,643.96 0.00 100,000.00 WELLS FARGO COMPANY 4.48 13-24 16/01S 102,822.00 0.00
1,286,000.00 UBS GR FUNDING FL.R 17-23 15/08Q 1,290,256.66 0.02 100,000.00 SABINE PASS 5.625 14-23 15/04S 106,294.00 0.00
3,950,200.00 US T-N K-2021 2.25 14-21 30/04S 3,890,175.47 0.08
United Kingdom 8,042,114.46 0.15
350,000.00 US TREAS AA 2019 1.625 14-19 30/06S 347,675.78 0.01
200,000.00 LLOYDS TSB REGS 6.50 10-20 14/09S 209,986.00 0.00 100,000.00 CITIGROUP SUB 4.00 14-24 05/08S 99,221.00 0.00
200,000.00 HSBC HOLDINGS PLC 4.875 11-14 14/01S 207,472.00 0.00 7,100.00 US T-NOTE 1.625 14-19 31/07S 7,044.81 0.00
50,000.00 BP CAPITAL MKTS 3.561 11-21 01/11S 50,323.50 0.00 1,000.00 US TREASURY NOTES 2.375 14-24 15/08S 966.92 0.00
800,000.00 RBS 6.125 12-22 15/12S 837,912.00 0.02 570,000.00 GENERAL MOTORS 4.875 14-23 02/10S 583,429.20 0.01
400,000.00 RBS 6.10 13-23 10/06S 417,524.00 0.01

The accompanying notes form an integral part of these financial statements

225
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
575,700.00 US TREASURY NOTE 2.00 14-21 31/08S 561,644.83 0.01 100,000.00 CITIGROUP INC 4.125 16-28 25/07S 96,567.00 0.00
900,000.00 ROCHE HLDG REGS 3.35 14-24 30/09S 890,595.00 0.02 1,029,000.00 HOME DEPOT 2.00 16-21 01/04S 1,002,513.54 0.02
25,000.00 HOME DEPOT INC 3.75 13-24 15/02S 25,445.75 0.00 130,000.00 GOLDMAN SACHS GROU 2.00 16-19 25/04S 129,486.50 0.00
433,200.00 US TREASURY NOTE 1.50 14-19 31/10S 427,818.84 0.01 50,000.00 HOME DEPOT INC 2.125 16-26 15/09S 44,825.50 0.00
20,000.00 ENTERPRISE PRODUCTS 3.75 14-25 15/02S 19,959.20 0.00 150,000.00 US BANCORP 2.375 16-26 22/07S 135,847.50 0.00
25,000.00 CITIGROUP SUB G 4.30 14-26 20/11S 24,634.50 0.00 100,000.00 GILEAD SCIENCES 2.50 16-23 01/09S 95,480.00 0.00
100,000.00 WALGREENS BOOTS 3.80 14-24 18/11S 98,701.00 0.00 338,000.00 BIRD 1.625 16-21 09/03S 327,505.10 0.01
100,000.00 METLIFE INC 3.60 14-24 10/04S 100,120.00 0.00 13,000.00 IBRD 1.875 15-22 07/10S 12,423.71 0.00
50,000.00 BRIXMOR OPERATING PART 3.85 15-25 01/02S 48,194.50 0.00 1,000.00 BANQUE INTERAMER DEV 2.00 16-26 02/06S 922.33 0.00
1,590,000.00 JPMORGAN CHASE CO 2.25 15-20 23/01S 1,573,559.40 0.03 1,082,000.00 COMCAST 3.15 16-26 01/03S 1,021,451.28 0.02
50,000.00 MERCK & CO 2.75 15-25 10/02A 48,080.50 0.00 100,000.00 AT&T INC 5.20 16-20 15/03S 102,862.00 0.00
4,467,800.00 USA T NOTES 1.375 15-20 29/02S 4,383,330.66 0.09 100,000.00 WELLS FARGO & COMP 3 16-26 23/10S 92,733.00 0.00
911,600.00 USA TREASURY NOTES 1.75 15-22 28/02S 877,557.44 0.02 100,000.00 BANK OF AMERICA CORP 4.183 16-27 25/11S 97,648.00 0.00
953,000.00 ZIMMER HOLDINGS INC 3.55 15-25 01/04S 914,660.81 0.02 50,000.00 BANK OF NY MELLON 3.00 16-28 30/10S 45,781.00 0.00
2,824,000.00 AT T INC 3.40 15-25 15/05S 2,686,640.64 0.06 30,000.00 OCCIDENTAL PETROLE 3.40 16-26 15/04S 29,380.80 0.00
1,043,000.00 ORACLE 2.95 15-25 15/05S 1,000,862.80 0.02 100,000.00 AT&T INC 3.8 17-24 01/03S 98,897.00 0.00
4,443,400.00 US TREASURY INDEXEE FL.R 15-20 15/04S 4,720,927.30 0.10 100,000.00 WELLS FARGO 3.069 17-23 24/01S 97,507.00 0.00
2,319,600.00 US TREASURY NOTES 1.375 15-20 30/04S 2,269,674.24 0.05 761,000.00 SABINE PASS 5.625 15-25 01/03S 810,419.34 0.02
100,000.00 MORGAN STANLEY 3.95 15-27 23/04S 95,898.00 0.00 59,203,000.00 USA T NOTES INDEX 0.375 17-27 15/01S 58,976,932.99 1.12
200,000.00 ABBVIE 3.60 15-25 14/05S 193,572.00 0.00 1,352,000.00 CISCO SYSTEMS INC 2.20 16-21 28/02S 1,324,054.16 0.02
329,000.00 USA T NOTES 1.50 15-20 31/05S 322,124.41 0.01 50,000.00 HEWLETT PACKARD 4.90 16-25 15/10S 51,435.50 0.00
40,000.00 AMGEN 2.125 15-20 01/05S 39,393.20 0.00 45,000.00 MORGAN STANLEY 3.625 17-27 20/01S 43,143.75 0.00
100,000.00 QUALCOMM INC 3.00 15-22 20/05S 98,404.00 0.00 100,000.00 HEWLETT PACKARD 3.60 16-20 15/10S 100,453.00 0.00
371,000.00 USA TREASURY NOTES 1.625 15-20 30/06S 363,608.98 0.01 120,000.00 KINDER MORGAN ENER 5.30 10-20 15/09S 124,209.60 0.00
20,000.00 AMERICAN INTL GRP 3.75 15-25 10/07S 19,439.00 0.00 600,000.00 QUALCOMM 3.25 17-27 20/05S 564,732.00 0.01
119,800.00 WI TREASURY SEC. 1.625 15-20 31/07S 117,277.64 0.00 100,000.00 BECTON DICKINSON CO 2.894 17-22 06/06S 97,158.00 0.00
300,000.00 INTEL CORP 3.70 15-25 29/07S 302,088.00 0.01 100,000.00 BANK OF NY MELLON 3.25 17-27 16/05S 96,081.00 0.00
5,115,100.00 USA TREASURY NOTES 1.375 15-20 31/08S 4,978,430.92 0.10 146,000.00 BECTON DICKINSON CO 3.70 17-37 06/06S 139,650.46 0.00
5,000.00 GOLDMAN SACHS GROUP 2.75 15-20 15/09S 4,947.15 0.00 706,000.00 SHERWIN-WILLIAMS CO 3.45 17-27 01/06S 670,615.28 0.01
1,918,000.00 CITIGROUP 4.45 15-27 29/09S 1,895,981.36 0.05 100,000.00 NISOURCE FINANCE CORP 3.49 17-27 15/05S 94,908.00 0.00
100,000.00 BIOGEN 4.05 15-25 15/09S 100,446.00 0.00 100,000.00 ATMOS ENERGY CORP 3.00 17-27 15/06S 94,267.00 0.00
1,000,000.00 CREDIT SUISSE LONDON 3.625 14-24 09/09S 985,590.00 0.02 200,000.00 TOTAL SYSTEM SERVICES 4.80 16-26 01/04S 205,716.00 0.00
100,000.00 ACE INA HOLDINGS 2.875 15-22 03/11S 97,833.00 0.00 120,000.00 AMGEN 2.65 17-22 11/05S 116,518.80 0.00
100,000.00 GOLDMAN SACHS GR SUB 4.25 15-25 21/10S 99,057.00 0.00 50,000.00 SABINE PASS LIQUEFAC 5.00 17-27 15/03S 51,281.50 0.00
90,000.00 INTL FIN CORP 1.25 15-16 27/05S 89,850.60 0.00 635,000.00 FIRSTENERGY CORP 3.90 17-27 15/07S 617,772.45 0.01
975,000.00 LOCKHEED MARTIN 3.55 15-26 15/01S 963,972.75 0.02 80,000.00 MCDONALD'S CORP 3.50 17-27 01/03S 77,475.20 0.00
22,000.00 OCCIDENTAL PETROLE 3.50 15-25 15/06S 21,806.18 0.00 60,000.00 LOWE S COM 3.10 17-27 03/05S 57,199.20 0.00
91,000.00 VISA INC 3.15 15-25 14/12S 88,220.86 0.00 1,732,000.00 MORGAN STANLEY 2.625 16-21 17/11S 1,684,854.96 0.04
100,000.00 ANHEUSER BUSCH COS 2.65 16-21 01/02S 98,579.00 0.00 11,000.00 APPLE 3.00 17-27 20/06S 10,463.09 0.00
424,000.00 MORGAN STANLEY 2.45 16-19 01/02S 423,698.96 0.01 100,000.00 MICROSOFT 2.40 17-22 06/02S 97,768.00 0.00
100,000.00 AMERICAN TOWER 3.30 16-21 15/02S 99,432.00 0.00 1,000,000.00 CHEVRON 2.10 16-21 16/05S 974,740.00 0.02
100,000.00 AT T 2.80 16-21 17/02S 98,507.00 0.00 45,000.00 GOLDMAN SACHS GROU 3.85 17-27 26/01S 43,708.05 0.00
299,000.00 BERKSHIRE HATHAWAY 3.125 16-26 15/03S 287,913.08 0.01 200,000.00 BECTON DICKINSON 2.404 17-20 05/06S 196,952.00 0.00
120,000.00 VEREIT OPERATING PART 4.875 16-26 01/06S 121,075.20 0.00 25,000.00 JEFFERIES GROUP LL 4.85 17-27 15/01S 24,592.75 0.00
100,000.00 AMERICAN INTL GROU 3.90 16-26 01/04S 97,717.00 0.00 250,000.00 DISCOVER BANK 3.20 14-21 09/08S 246,542.50 0.00
100,000.00 MORGAN STANLEY 3.875 16-26 27/01S 98,245.00 0.00 226,000.00 CITIGROUP INC 2.45 17-20 10/01S 224,017.98 0.00
75,000.00 BANK OF NY MELLON 2.80 16-26 04/05S 70,353.00 0.00 76,073,400.00 TSY INFL INDEXEE 0.375 17-27 15/07S 74,890,050.33 1.42
1,695,000.00 WELLS FARGO & COMP 3.00 16-26 22/04S 1,579,248.45 0.03 3,651,000.00 INTER-AMERICAN DEV BK 2.125 17-22 18/01S 3,546,398.85 0.08
337,000.00 NEWELL RUBBERMAID 4.20 16-26 01/04S 321,032.94 0.01 100,000.00 CARDINAL HEALTH IN 2.616 17-22 15/06S 95,818.00 0.00
100,000.00 AMERICAN INTL GROUP 3.30 16-21 01/03S 99,679.00 0.00 804,000.00 VMWARE INC 2.950 17-22 21/08S 775,128.36 0.01
200,000.00 MOLSON COORS 3.00 16-26 15/07S 181,434.00 0.00 300,000.00 COMCAST CORP 3.150 17-28 15/02S 278,133.00 0.01
1,150,000.00 UBS AG STAMFORD CT 2.375 14-19 14/08S 1,145,411.50 0.02 100,000.00 VISA INC 2.75 17-27 15/09S 93,277.00 0.00
300,000.00 CHEVRON CORP 2.954 16-26 16/05S 286,440.00 0.01 4,938,000.00 APPLE FL.R 17-20 07/02Q 4,948,419.18 0.10
1,255,000.00 CELGENE 3.875 15-25 15/08S 1,233,890.90 0.02 100,000.00 AT T 144A 4.10 17-28 15/02S 97,207.00 0.00
8,580,000.00 BIRD 2.50 15-25 29/07S 8,247,782.40 0.17 80,000.00 HOME DEPOT 2.80 17-27 14/09S 74,763.20 0.00
1,010,000.00 ALPHABET 1.998 16-26 15/08S 910,373.60 0.02 100,000.00 DEUTSCHE BANK AG NY 3.30 17-22 16/11S 95,304.00 0.00
80,000.00 AMGEN 2.60 16-26 19/08S 72,617.60 0.00 705,000.00 DISCOVERY COMM 3.95 17-28 20/03S 669,030.90 0.01

The accompanying notes form an integral part of these financial statements

226
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
20,000.00 AMERISOURCEBERGEN 3.45 17-27 15/12S 18,702.40 0.00 585,000.00 BIRD 2 17-22 26/01S 566,198.10 0.01
100,000.00 ORACLE 2.95 17-24 15/11S 96,555.00 0.00 675,000.00 INTL BK RECON & DE 1.875 17-20 21/04S 664,989.75 0.01
100,000.00 ANTHEM INC 3.35 17-24 01/12S 96,915.00 0.00 200,000.00 FORD MOTOR CREDIT CO 4.14 18-23 15/02S 196,656.00 0.00
800,000.00 ANTHEM INC 3.65 17-27 01/12S 761,488.00 0.01 100,000.00 BANK OF NY MELON CO 2.2 16-23 16/08S 93,780.00 0.00
104,000.00 MORGAN STANLEY 2.75 17-22 19/05S 100,890.40 0.00 50,000.00 SANTANDER HLD USA 4.4 18-27 13/07S 47,890.00 0.00
1,309,000.00 DIAMOND 1 FINANCE 6.02 16-26 15/06S 1,398,195.26 0.03 200,000.00 IBM 3.30 17-27 27/01S 195,180.00 0.00
100,000.00 TRANSCONT GAS PIPE 7.90 17-26 01/02S 122,045.00 0.00 50,000.00 PHILIP MORRIS 3.125 17-28 02/03S 47,254.50 0.00
100,000.00 JOHNSON & JOHNSON 2.90 17-28 15/01S 95,063.00 0.00 100,000.00 BNY MELLON G 3.00 15-25 24/02S 95,891.00 0.00
5,000.00 NORTHROP GRUMMAN 2.93 17-25 15/01S 4,744.40 0.00 50,000.00 VALERO ENERGY CORP 4.35 18-28 01/06S 50,290.00 0.00
500,000.00 CVS HEALTH CORP 4.30 18-28 25/03S 495,555.00 0.01 500,000.00 BAYER US FIN II LLC 4.375 18-28 15/12S 489,380.00 0.01
50,000.00 CVS HEALTH CORP 3.70 18-23 09/03S 49,781.50 0.00 30,000.00 CBS CORP 3.375 17-28 15/02S 27,454.20 0.00
84,908,900.00 USA INFL. INDEX0.5 18-28 15/01S 83,260,347.76 1.58 200,000.00 CATERPILLAR FIN SERV 3.45 18-23 15/05S 200,186.00 0.00
192,000.00 BMW US CAPITAL LLC 2 16-21 11/04S 185,921.28 0.00 100,000.00 BANK OF NY MELLON 2.95 18-23 29/01S 97,603.00 0.00
100,000.00 NOVARTIS CAPITAL CORP 3.40 14-24 06/05S 100,067.00 0.00 100,000.00 BUCKEYE PARTNERS L 4.875 11-21 01/02S 101,895.00 0.00
120,000.00 SANTANDER HOLD USA 3.70 17- 118,422.00 0.00 900,000.00 EXXON MOBIL 1.819 14-19 15/03S 897,219.00 0.02
15,000.00 BROADCOM CORP 3.00 18-22 15/01S 14,592.45 0.00 100,000.00 AXA EQUITABLE H 3.9000 18-23 20/04S 99,133.00 0.00
5,000.00 ENTERPRISE PRODUCTS 2.80 18-21 15/02S 4,937.20 0.00 50,000.00 SIMON PROPERTY 3.375 17-27 15/06S 47,927.00 0.00
190,000.00 DEUTSCHE BANK NY 3.95 18-23 27/02S 184,894.70 0.00 708,000.00 SCHLUMBERGER REGS 4.00 15-25 21/12S 707,065.44 0.01
50,000.00 AIR LEASE 2.50 18-21 01/03S 48,867.00 0.00 140,000.00 ORACLE 2.625 17-23 09/11S 135,846.20 0.00
693,000.00 PEPSICO INC 3.00 17-27 15/10S 660,560.67 0.01 100,000.00 BANK OF NY MELON 3.65 14-24 04/02S 100,004.00 0.00
80,000.00 AMERICAN WATER CAP 2.95 17-27 01/09S 74,900.80 0.00 250,000.00 US BANK NA CINCINN 2.125 14-19 28/10S 248,215.00 0.00
170,000.00 CARDINAL HEALTH 3.079 17-24 15/06S 160,510.60 0.00 250,000.00 HCP 3.875 14-24 15/08S 244,435.00 0.00
100,000.00 KINDER MORGAN 4.30 18-28 01/03S 99,197.00 0.00 100,000.00 CISCO SYSTEMS I 2.5000 16-26 20/09S 92,564.00 0.00
30,000.00 BANK OF NY MELL 3.5000 18-23 28/04S 29,894.70 0.00 120,000.00 OMEGA HEALTHCARE 4.75 17-28 15/01S 116,578.80 0.00
4,779,000.00 INTL DEVPT ASSOC 2.75 18-23 24/04S 4,710,469.14 0.10 5,000.00 NORTHROP GRUMMAN 3.25 17-28 15/01S 4,700.10 0.00
430,000.00 BROADCOM CORP 3.875 18-27 15/01S 405,124.50 0.01 190,000.00 FIFTH THIRD BANCORP 3.95 18-28 14/03S 186,504.00 0.00
300,000.00 GENERAL MILLS 4.2000 18-28 17/04S 295,860.00 0.01 100,000.00 IBM CREDIT LLC 2.2 17-22 08/09S 95,627.00 0.00
500,000.00 SALESFORCE.COM 3.7000 18-28 11/04S 495,855.00 0.01 70,000.00 MORGAN STANLEY 3.125 18-23 23/01S 68,279.40 0.00
100,000.00 IBM 3.00 18-23 06/02S 98,270.00 0.00 100,000.00 AMEX CREDIT CORP 3.30 17-27 03/05S 96,156.00 0.00
145,000.00 GENERAL MILLS 3.7000 18-23 17/10S 144,085.05 0.00 1,700,000.00 INTL FINANCE CORP 1.625 15-20 16/07S 1,662,430.00 0.03
80,000.00 CVS HEALTH CORP 4.10 18-25 25/03S 79,732.00 0.00 Floating rate bonds 4,394,418,200.28 82.70
30,000.00 CROWN CASTLE INTL 3.15 18-23 15/07S 28,878.00 0.00
Australia 78,215,195.34 1.47
100,000.00 INTEL 2.875 17-24 11/05S 96,978.00 0.00
30,000.00 BOSTON SCIENTIFIC 4.00 18-28 01/03S 29,661.90 0.00 88,000.00 WESTPAC BANKING EMTN FL.R 16-19 19/08Q 88,344.96 0.00
163,328,500.00 US TREASURY INDEX 0.75 18-28 15/07S 161,409,951.57 3.05 10,229,000.00 WESTPAC BANKING FL.R 17-20 06/03Q 10,261,835.09 0.19
30,000.00 CAMPBELL SOUP CO 4.15 18-28 15/03S 28,704.30 0.00 3,731,000.00 WESTPAC BANKING FL.R 17-22 28/06Q 3,755,848.46 0.07
100,000.00 CAPITAL ONE FINANC 4.25 18-25 30/04S 99,678.00 0.00 6,300,000.00 ANZ BANK NEW ZEALA FL.R 17-20 09/11Q 6,305,733.00 0.12
100,000.00 APPLIED MATERIALS 3.3 17-27 01/2017S 96,323.00 0.00 17,173,000.00 MACQUARIE GRP REGS FL.R 17-23 28/11Q 17,171,282.70 0.33
120,000.00 ILLINOIS TOOL WORK 2.65 16-26 15/11S 110,976.00 0.00 5,969,000.00 WETPAC BANK CORP FL.R 18-21 25/01Q 5,975,446.52 0.11
100,000.00 CITIGROUP INC 3.875 15-25 26/03S 97,220.00 0.00 4,493,000.00 WESTPAC BANKING CO FL.R 16-21 19/08Q 4,552,217.74 0.09
500,000.00 CITIBANK NA 3.0500 18-20 01/05S 499,010.00 0.01 202,000.00 WESTPAC BANKING FL.R 17-22 11/01Q 204,345.22 0.00
900,000.00 BAYER US REGS 2.375 14-19 08/10S 892,962.00 0.02 13,815,000.00 MACQUARIE FL.R 18-24 27/03Q 13,977,326.25 0.26
150,000.00 US BANCORP 2.625 17-22 24/01S 146,571.00 0.00 813,000.00 MACQUARIE GROUP LTD FL.R 17-23 28/11Q 812,918.70 0.02
32,000.00 PNC FINANCIAL SERV 3.15 17-27 19/05S 30,357.44 0.00 13,009,000.00 UBS GR FUNDING FL.R 17-23 11/01Q 12,993,259.11 0.24
362,000.00 EMD FINANCE LLC 3.25 15-25 19/03S 345,891.00 0.01 1,857,000.00 WESTPAC BANKING CORP FL.R 18-23 15/05Q 1,865,115.09 0.04
100,000.00 DOLLAR TREE INC 4.0000 18-25 15/05S 98,085.00 0.00 250,000.00 NATIONAL AUS BK FL.R 17-22 22/05Q 251,522.50 0.00
200,000.00 ANTHEM INC 2.50 17-20 21/11S 196,964.00 0.00 Canada 184,524,528.24 3.47
50,000.00 PHILLIPS 66 3.90 18-28 15/03S 49,144.50 0.00
75,000.00 BANK OF NY MELLON 2.45 16-26 17/08S 68,281.50 0.00 5,522,000.00 ROYAL BANK CANADA FL.R 15-20 06/03Q 5,551,708.36 0.10
80,000.00 ABBOTT LAB. 3.25 16-23 15/10S 79,473.60 0.00 24,486,000.00 BANK OF MONTREAL FL.R 17-20 15/06Q 24,604,022.52 0.46
90,000.00 BANK OF NY MELL 3.8500 18-28 28/04S 90,385.20 0.00 19,146,000.00 ENBRIDGE INC FL.R 17-20 15/06Q 19,247,856.72 0.36
100,000.00 BRIGHTHOUSE 3.7 17-27 22/12S 88,774.00 0.00 26,961,000.00 ROYAL BANK OF CANADA FL.R 17-20 02/03Q 27,034,333.92 0.51
6,000.00 PNC FINANCIAL SERV 3.30 12-22 08/03S 5,963.88 0.00 1,003,000.00 CIBC FL.R 17-22 16/06Q 1,010,763.22 0.02
100,000.00 CATERPILLAR FIN 2.9500 18-20 15/05S 99,841.00 0.00 10,880,000.00 ROYAL BANK OF CANADA FL.R 17-22 01/02Q 11,010,342.40 0.21
58,000.00 BAXALTA INC 4.00 16-25 23/06S 57,653.74 0.00 5,591,000.00 CANADIAN IMPERIAL BK FL.R 17-20 05/10Q 5,600,896.07 0.11
70,000.00 AMERICAN EXPRESS CO 3.4 18-23 27/02S 68,965.40 0.00 9,490,000.00 ROYAL BANK OF CANADA FL.R 17-20 26/10Q 9,496,453.20 0.18
25,000.00 BANK OF NY MELON 3.4 18-28 29/01S 24,268.75 0.00 18,293,000.00 BANK OF NOVA SCOTI FL.R 17-22 07/03Q 18,419,221.70 0.35

The accompanying notes form an integral part of these financial statements

227
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
13,091,000.00 BANK OF NOVA SCOTIA FL.R 18-21 08/01Q 13,103,436.45 0.25 United Kingdom 681,547,028.28 12.83
13,086,000.00 TORONTO DOMINION BANK FL.R 16-21 07/04Q 13,327,436.70 0.25 1,420,000.00 BT GROUP FL.R 00-30 15/12S 2,018,714.60 0.04
564,000.00 TORONTO FL.R 18-21 25/01Q 564,016.92 0.01 41,698,000.00 HSBC HLDGS FL.R 16-21 08/03Q 43,496,851.72 0.82
9,723,000.00 ROYAL BANK CANADA FL.R 18-21 30/04Q 9,755,474.82 0.18 51,099,000.00 HSBC HOLDING FL.R 16-21 25/05Q 52,630,437.03 0.99
1,841,000.00 ENBRIDGE INC FL.R 17-20 10/01Q 1,841,294.56 0.03 65,977,000.00 BARCLAYS PLC FL.R 16-21 10/08Q 68,490,723.70 1.29
1,697,000.00 CIBC FL.R 18-21 02/02Q 1,699,155.19 0.03 69,428,000.00 HSBC HLDGS FL.R 16-22 05/01Q 71,326,161.52 1.34
9,095,000.00 BANK OF MONTREAL FL.R 16-21 27/08Q 9,212,598.35 0.17 35,643,000.00 BARCLAYS PLC FL.R 17-23 10/01Q 36,245,723.13 0.68
3,080,000.00 BANK OF MONTREAL FL.R 18-21 13/04Q 3,092,936.00 0.06 28,316,000.00 RECKITT BENCKISER FL.R 17-22 24/06Q 28,324,494.80 0.53
881,000.00 TORONTO DOMINION FL.R 18-21 12/06Q 885,034.98 0.02 90,817,000.00 UBS AG LONDON 1.8025 17-20 08/06 91,191,166.04 1.73
380,000.00 BANK OF NOVA SCOTIA FL.R 18/21 20/04Q 381,094.40 0.01 740,000.00 LLOYDS BANK PLC FL.R 17-23 07/11S 705,871.20 0.01
8,666,000.00 ROYAL BANK OF CANADA FL.R 18-20 22/07Q 8,686,451.76 0.16 1,004,000.00 UBS LONDON REGS FL.R 17-20 01/12Q 1,005,606.40 0.02
France 13,432,390.28 0.25 55,280,000.00 HSBC HOLDINGS P FL.R 18-24 18/05Q 55,200,396.80 1.04
16,498,000.00 UBS AG FL.R 17-19 28/05Q 16,513,343.14 0.31
1,200,000.00 FRANCE TELECOM FL.R 01-31 01/03S 1,707,144.00 0.03
26,015,000.00 VODAFONE GROUP PLC FL.R 18-24 16/01Q 26,115,938.20 0.49
11,351,000.00 BPCE SA FL.R 17-22 22/05Q 11,473,363.78 0.22
5,819,000.00 LLOYDS BANK PLC FL.R 18-21 07/05Q 5,837,097.09 0.11
250,000.00 BPCE SA FL.R 17-22 31/05Q 251,882.50 0.00
7,105,000.00 BARCLAYS BANK FL.R 18-21 11/01Q 7,118,925.80 0.13
Guernsey 53,087,631.54 1.00 15,743,000.00 HSBC HOLDINGS P FL.R 18-21 18/05Q 15,769,133.38 0.30
50,878,000.00 CRED SUIS GP FUN L FL.R 16-21 16/04Q 53,087,631.54 1.00 86,336,000.00 ROYAL BK OF SCOTL. FL.R 17-23 15/05Q 87,076,762.88 1.64
Japan 308,363,818.46 5.80 29,170,000.00 BARCLAYS PLC FL.R 18-24 16/05Q 28,966,976.80 0.55
24,413,000.00 SANTANDER UK PL FL.R 18-21 01/06Q 24,562,895.82 0.46
49,087,000.00 MITSUBISHI UFJ FIN FL.R 16-21 13/09Q 49,805,633.68 0.94 10,674,000.00 ROYAL BANK SCOTLAND FL.R 18-24 25/06Q 10,744,341.66 0.20
49,002,000.00 MIZUHO FINANCIAL G FL.R 16-21 13/09Q 49,753,200.66 0.94 8,167,000.00 GLAXOSMITHKLINE CAP FL.R 18-21 14/05Q 8,205,466.57 0.15
54,309,000.00 MIZUHO FIN GROUP FL.R 17-22 28/02Q 54,772,798.86 1.03
United States of America 2,816,160,443.81 52.99
53,722,000.00 MIZUHO FIN GRP FL.R 17-22 11/09Q 54,036,810.92 1.02
3,538,000.00 SUMITOMO MITS NY FL.R 17-19 18/10Q 3,542,528.64 0.07 48,244,000.00 GECC MTN S A TR 742 FL.R 06-26 05/05Q 46,219,681.76 0.87
32,000.00 SUMITOMO BANK FL.R 16-21 09/03Q 32,908.80 0.00 200,000.00 DOW CHEMICAL FL.R 09-19 15/05S 206,848.00 0.00
39,814,000.00 M BISHI UFG FINL FL.R 17-22 25/07Q 39,995,551.84 0.75 4,380,000.00 BANK OF AMERICA CORP FL.R 13-19 15/01Q 4,391,826.00 0.08
5,893,000.00 SUMITOMO MITSUI FIN FL.R 18-23 17/01Q 5,902,310.94 0.11 9,630,000.00 GOLDMAN SACH GROUP FL.R 13-18 15/11Q 9,641,170.80 0.18
1,292,000.00 SUMITOMO MITSUI FI 2.46917 16-21 14/0 1,312,349.00 0.02 3,241,000.00 FORD MOTOR CREDIT FL.R 14-19 12/03Q 3,244,791.97 0.06
4,875,000.00 SUMITOMO MITSUI FL.R 17-22 12/07Q 4,898,643.75 0.09 310,000.00 GOLDMAN SACHS GR -D- FL.R 14-19 23/10Q 312,653.60 0.01
725,000.00 MITSUBISHI UFJ FL.R 18-23 02/03Q 725,768.50 0.01 1,481,000.00 AT T INC FL.R 15-20 30/06Q 1,495,810.00 0.03
415,000.00 MITSUBISHI FL.R 18-23 26/07Q 416,182.75 0.01 315,000.00 MORGAN STANLEY FL.R 14-19 24/01Q 315,746.55 0.01
14,966,000.00 MITSUBISHI UFJ FIN FL.R 16-21 01/03Q 15,457,034.46 0.29 991,000.00 GOLDMAN SACHS GROUP FL.R 15-20 15/09Q 1,008,283.04 0.02
6,644,000.00 SUMITOMO MITSUI BANK FL.R 16-21 19/10Q 6,760,004.24 0.13 15,444,000.00 APPLE FL.R 14-19 06/05Q 15,476,895.72 0.29
14,256,000.00 MITSUBISHI UFJ FIN FL.R 17-22 22/02Q 14,397,419.52 0.27 100,270,000.00 CITIGROUP FL.R 16-23 01/09Q 102,745,666.30 1.94
6,538,000.00 SUMITOMO MITSUI FL.R 17-22 18/10Q 6,554,671.90 0.12 96,387,000.00 JPMORGAN CHASE & C FL.R 16-23 24/10Q 98,355,222.54 1.86
Netherlands 109,757,356.95 2.07 315,000.00 WELLS FARGO CO FL.R 15-20 30/01Q 316,997.10 0.01
58,000.00 MEDTRONIC FL.R 15-20 15/03Q 58,568.40 0.00
10,164,000.00 SHELL INTL FIN FL.R 16-19 12/09Q 10,198,151.04 0.19 40,000.00 MORGAN STANLEY FL.R 14-19 23/07Q 40,187.20 0.00
7,578,000.00 SIEMENS FINANCE FL.R 17-22 16/03Q 7,658,099.46 0.14 685,000.00 GOLDMAN SACH GRP FL.R 16-21 15/11Q 694,226.95 0.01
54,219,000.00 ING GROEP FL.R 17-22 29/03Q 55,015,477.11 1.05 69,924,000.00 MORGAN STANLEY FL.R 16-23 24/10Q 71,628,747.12 1.35
36,666,000.00 SHELL INTERNATIONA FL.R 15-20 11/05Q 36,885,629.34 0.69 97,936,000.00 WELLS FARGO FL.R 16-23 31/10Q 99,918,224.64 1.89
Spain 22,143,180.00 0.42 4,564,000.00 MORGAN STANLEY FL.R 16-21 24/04Q 4,674,129.32 0.09
80,611,000.00 MORGAN STANLEY FL.R 17-20 14/02Q 80,788,344.20 1.52
2,800,000.00 BANCO SANTANDER FL.R 17-22 11/04Q 2,864,820.00 0.05
82,137,000.00 WELLS FARGO & COMP 1.94854 17-22 11/0 82,950,977.67 1.57
400,000.00 BCO SANTANDER FL.R 18-23 12/04Q 401,656.00 0.01
172,000.00 CITIGROUP INC FL.R 16-21 08/12Q 174,898.20 0.00
18,800,000.00 BANCO SANTANDER FL.R 17-23 23/02Q 18,876,704.00 0.36
44,612,000.00 FORD MOTOR CREDIT FL.R 17-20 09/01Q 44,788,217.40 0.84
Sweden 17,825,248.02 0.34 54,945,000.00 WELLS FARGO FL.R 17-23 24/01Q 55,827,416.70 1.05
2,771,000.00 SHB FL.R 16-19 06/09Q 2,779,756.36 0.05 51,625,000.00 APPLE FL.R 17-22 09/02Q 52,348,266.25 0.99
10,696,000.00 SVENSKA HANDELSBANKEN FL.R 17-20 08/09Q 10,718,247.68 0.21 26,665,000.00 CITIGROUP INC FL.R 17-22 25/04S 27,008,445.20 0.51
4,314,000.00 SVENSKA FL.R 18-21 24/05Q 4,327,243.98 0.08 3,038,000.00 APPLE FL.R 16-21 23/02Q 3,115,347.48 0.06
9,880,000.00 MORGAN STANLEY FL.R 17-24 08/05Q 10,044,897.20 0.19
Switzerland 109,361,379.36 2.06
6,874,000.00 QUALCOMM FL.R 17-23 30/01Q 6,908,507.48 0.13
13,043,000.00 UBS GROUP FUNDING FL.R 17-23 23/05Q 13,224,819.42 0.25 10,586,000.00 JPMORGAN CHASE FL.R 17-28 01/05S 10,678,839.22 0.20
69,720,000.00 UBS GROUP FUNDING FL.R 17-23 15/08Q 69,952,864.80 1.32 38,008,000.00 EI DU PONT DE NEMOURS FL.R 17-20 01/05S 38,257,332.48 0.72
3,250,000.00 CREDIT SUISSE GROUP FL.R 17-23 14/12Q 3,276,715.00 0.06 22,737,000.00 CATERPILLAR FIN SERV FL.R 17-20 10/01Q 22,857,506.10 0.43
22,769,000.00 CREDIT SUISSE GP REGS FL.R 18-24 12/06Q 22,906,980.14 0.43 12,391,000.00 HOME DEPOT INC FL.R 17-20 05/06Q 12,410,329.96 0.23

The accompanying notes form an integral part of these financial statements

228
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
405,000.00 JPMORGAN CHASE FL.R 17-21 01/06Q 407,219.40 0.01 178,000.00 DAIMLER FL.R 18-21 04/05Q 178,453.90 0.00
1,304,000.00 GOLDMAN SACHS GROUP FL.R 17-20 27/12Q 1,309,854.96 0.02 70,000.00 GOLDMANN SACHS FL.R 17-23 24/07S 67,599.70 0.00
8,391,000.00 CAPITAL ONE FIN FL.R 17-20 12/05Q 8,441,262.09 0.16 169,000.00 GENERAL MOTORS FL.R 18-21 09/04Q 169,613.47 0.00
987,000.00 WELLS FARGO FL.R 15-20 22/07Q 997,442.46 0.02 1,914,000.00 AMERICAN EXPRESS CO FL.R 18-21 17/05Q 1,922,038.80 0.04
87,650,000.00 JPMORGAN CHASE & C FL.R 17-21 09/03Q 87,943,627.50 1.66 18,314,000.00 CVS HEALTH FL.R 18-20 09/03Q 18,413,811.30 0.35
80,000.00 GOLDMAN SACHS GROU 3.691 17-28 05/06S 76,060.00 0.00 100,000.00 BANK OF AMERICA FL.R 17/23 97,027.00 0.00
8,019,000.00 CAPITAL ONE NATL ASSO FL.R 17-23 30/01Q 8,091,892.71 0.15 46,053,000.00 BAYER FL.R 18-21 25/06Q 46,225,698.75 0.87
4,059,000.00 CITIGROUP INC FL.R 17-20 20/01Q 4,085,667.63 0.08 1,038,000.00 RABOBANK FL.R 18-21 26/04Q 1,039,920.30 0.02
74,617,000.00 GOLDMAN SACHS GROU FL.R 17-22 26/04Q 75,573,589.94 1.42 24,772,000.00 GENERAL MILLS FL.R 18-21 16/04Q 24,858,949.72 0.47
21,112,000.00 IBM CORP FL.R 17-20 27/01Q 21,171,958.08 0.40 100,000.00 GOLDMAN SACHS GROUP FL.R 18-29 23/04S 95,328.00 0.00
16,082,000.00 INTEL FL.R 17-20 11/05Q 16,089,076.08 0.30 40,800,000.00 INTEL CORP FL.R 17-22 11/05Q 41,113,344.00 0.77
50,000.00 GOLDMAN SACHS FL.R 17-25 29/09S 47,819.00 0.00 12,852,000.00 SEMPRA ENERGY FL.R 17-21 15/03Q 12,858,426.00 0.24
7,556,000.00 GENERAL MOTORS CO A FL.R 17-20 07/08Q 7,585,921.76 0.14 486,000.00 IBM FL.R 17-19 06/09Q 486,408.24 0.01
67,928,000.00 BANK OF AMERICA CORP FL.R 17-23 24/04Q 68,776,420.72 1.29 9,061,000.00 FORD MOTOR CREDIT FL.R 18-23 15/02Q 9,008,718.03 0.17
50,000.00 CITIGROUP FL.R 17-28 24/07S 47,560.00 0.00 11,613,000.00 GOLDMAN SACHS GROUP FL.R 15-20 23/04Q 11,769,543.24 0.22
400,000.00 BANK OF AMERICA CORP FL.R 17-21 01/10S 391,396.00 0.01 904,000.00 WALT DISNEY COMPAN FL.R 17-22 04/03Q 910,183.36 0.02
6,796,000.00 CITIGROUP FL.R 17-23 24/07Q 6,848,533.08 0.13 6,220,000.00 CONOCOPHILLIPS COM FL.R 15-22 15/05Q 6,341,476.60 0.12
114,000.00 GENERAL MOTORS FIN CO FL.R 17-22 30/06Q 115,586.88 0.00 49,657,000.00 SEMPRA ENERGY FL.R 18-21 15/01Q 49,667,924.54 0.93
92,969,000.00 MORGAN STANLEY FL.R 17-22 20/01Q 94,353,308.41 1.79 5,835,000.00 TOYOTA MOTOR FL.R 18-21 13/04Q 5,843,519.10 0.11
28,581,000.00 BAT CAP CORP REGS FL.R 17-22 15/08Q 28,871,954.58 0.54 57,837,000.00 BANK OF AMERICA CORP FL.R 18-26 05/02Q 56,871,122.10 1.07
2,971,000.00 MORGAN STANLEY EMTN FL.R 17-22 22/07Q 2,996,728.86 0.06 150,000.00 CITIGROUP INCFL.R 18-24 01/06S 150,541.50 0.00
22,208,000.00 AMERICAN EXPRESS CO FL.R 17-20 30/10Q 22,213,107.84 0.42 13,721,000.00 ANHEUSER FL.R 18-24 12/01Q 13,831,179.63 0.26
77,207,000.00 VERIZON COMMUNICATION FL.R 17-20 22/05Q 77,668,697.86 1.46 1,926,000.00 JPMORGAN CHASE FINAN FL.R 18-20 13/02Q 1,927,714.14 0.04
29,452,000.00 BANK OF AMERICA FL.R 17-21 21/07Q 29,644,616.08 0.56 5,081,000.00 BANK OF AMERICA CO FL.R 17-23 20/01Q 5,171,492.61 0.10
8,696,000.00 WELLS FARGO FL.R 16-21 04/03Q 8,899,312.48 0.17 797,000.00 NEXTERA ENERGY CAP FL.R 18-19 03/09Q 798,458.51 0.02
36,418,000.00 DEUTSCHE BANK NY FL.R 17-20 13/07Q 36,326,226.64 0.68 2,271,000.00 CONAGRA BRANDS INC FL.R 17-20 09/10Q 2,265,731.28 0.04
45,000.00 MORGAN STANLEY FL.R 17-28 22/07S 42,692.40 0.00 1,095,000.00 US BANK NA FL.R 17-19 14/03Q 1,095,591.30 0.02
10,288,000.00 NISSAN MOTOR ACCEP FL.R 16-19 13/09Q 10,308,781.76 0.19 315,000.00 MORGAN STANLEY FL.R 16-19 01/02Q 316,357.65 0.01
37,197,000.00 AT T FL.R 17-20 15/01Q 37,366,246.35 0.70 420,000.00 SEMPRA ENERGY FL.R 18-19 15/07Q 420,159.60 0.01
899,000.00 GOLDMAN SACHS GROUP FL.R 17-22 31/10Q 903,009.54 0.02 65,413,000.00 VERIZON COMMUNICATION FL.R 17-22 16/03Q 66,825,920.80 1.26
13,970,000.00 KRAFT FOODS INC FL.R 17-22 10/08Q 14,075,613.20 0.26 74,870,000.00 CITIGROUP INC FL.R 17-24 17/05Q 75,471,954.80 1.42
60,181,000.00 GENERAL MOTORS FIN CO FL.R 17-20 13/04Q 60,582,407.27 1.14 2,261,000.00 CITIBANK FL.R 18-20 01/05Q 2,263,283.61 0.04
26,497,000.00 MERCK & CO INC FL.R 15-20 10/02Q 26,608,287.40 0.50 50,000.00 JPMORGAN CHASE SUB. FL.R 18-29 23/01S 47,292.50 0.00
5,341,000.00 AMERICAN HONDA FIN FL.R 17-20 14/02Q 5,352,216.10 0.10 7,469,000.00 PNC BANK NA FL.R 17-20 19/05Q 7,490,958.86 0.14
24,996,000.00 RABOBANK NEDERLAND NY FL.R 17-22 10/01Q 25,319,698.20 0.48 3,047,000.00 BB&T CORPORATION FL.R 16-20 15/06S 3,062,935.81 0.06
88,000.00 GOLDMAN SACHS GROU FL.R 17-23 05/06S 85,119.76 0.00 3,518,000.00 US BANK NA CINCINNATI FL.R 18-21 26/04Q 3,525,317.44 0.07
641,000.00 DEUTSCHE BANK NY FL.R 17-22 16/11Q 629,481.23 0.01 4,424,000.00 JPMORGAN CHASE & C FL.R 16-23 15/01Q 4,482,794.96 0.08
52,000.00 BANK OF AMERICA CORP FL.R 18-26 23/01S 50,031.80 0.00 40,000.00 BANK OF AMERICA CORP FL.R 17-25 01/10S 38,069.60 0.00
2,937,000.00 AMEX CREDIT CORP FL.R 17-19 03/05Q 2,938,820.94 0.06 37,901,000.00 VERIZON COMM INC FL.R 18-25 15/05Q 38,232,254.74 0.72
3,567,000.00 WALT DISNEY FL.R 17-20 05/06Q 3,570,852.36 0.07 7,610,000.00 PNC BANK NA FL.R 17-22 27/07Q 7,640,363.90 0.14
4,268,000.00 APPLE INC FL.R 17-20 11/05Q 4,268,896.28 0.08 4,125,000.00 WALMART FL.R 18-21 27/06Q 4,142,778.75 0.08
41,495,000.00 CVS HEALTH FL.R 18-21 09/03Q 41,784,635.10 0.79 80,454,000.00 AT&T INC 2.025689 17-21 15/ 81,507,947.40 1.54
20,000.00 CITIGROUP INC FL.R 18-23 24/01S 19,606.40 0.00 109,000.00 JOHN DEERE FL.R 18-28 07/01Q 109,075.21 0.00
1,204,000.00 FORD MOTOR CREDIT FL.R 18-21 05/04Q 1,198,389.36 0.02 12,361,000.00 AMERICAN EXPRESS FL.R 14-19 18/03Q 12,386,216.44 0.23
8,108,000.00 UNITED PARCEL SERV 1.86289 17-23 01/04Q 8,149,594.04 0.15 2,223,000.00 GOLDMAN SACHS GROU FL.R 16-21 25/02Q 2,292,246.45 0.04
3,327,000.00 IBM CREDIT CORP FL.R 17-21 20/01Q 3,337,879.29 0.06 1,343,000.00 NBCUNIVERSAL ENTERP 2.09465 17-21 01/04Q 1,346,344.07 0.03
68,909,000.00 GOLDMAN SACHS GROUP FL.R 18-23 23/02Q 69,188,081.45 1.30 31,448,000.00 APPLE INC FL.R 17-22 11/05Q 31,785,122.56 0.60
1,500,000.00 BAYER US FINANC FL.R 18-23 15/12Q 1,505,055.00 0.03 15,000.00 STATE STREET CORP FL.R 15-20 18/08Q 15,207.45 0.00
1,500,000.00 BAYER US FINANC FL.R 18-21 25/06Q 1,505,370.00 0.03 132,000.00 GOLDMAN SACHS GROU FL.R 16-19 13/12Q 132,880.44 0.00
2,500,000.00 BK OF AMERICA FL.R 18-28 20/12S 2,342,050.00 0.04 1,119,000.00 CHARLES SCHWAB CORP FL.R 18-21 21/05Q 1,122,368.19 0.02
300,000.00 JPMORGAN CHASE FL.R 18-24 23/04S 296,949.00 0.01 3,813,000.00 DOLLAR TREE FL.R 18-20 17/04Q 3,819,062.67 0.07
100,000.00 BANK OF AMERICA MTN FL.R 18-29 05/03S 97,512.00 0.00 100,000.00 BANK OF NY MELLON FL.R 17-23 16/05S 96,765.00 0.00
70,000.00 GOLDMAN SACHS G FL.R 18-29 01/05S 68,873.70 0.00 12,825,000.00 DAIMLER FIN AM LLC FL.R 18-21 22/02Q 12,835,644.75 0.24
50,000.00 MORGAN STANLEY FL.R 18-24 24/04S 49,618.00 0.00 176,000.00 GOLDMAN SACHS GROUP FL.R 16-21 24/03Q 179,986.40 0.00
1,015,000.00 INTER-AMERICAN DEV FL.R 14-18 26/11M 1,015,040.60 0.02 88,000.00 BANK OF AMERICA L FL.R 16-21 19/04Q 90,304.72 0.00
38,181,000.00 BANK OF AMERICA CORP FL.R 18-24 05/03Q 38,107,692.48 0.72 2,067,000.00 DXC TECHNOLOGY CO FL.R 17-21 01/03Q 2,067,475.41 0.04
172,000.00 GOLDMAN SACHS GROUP FL.R 17-23 24/07Q 173,790.52 0.00 26,221,000.00 CHARTER COMM OP FL.R 18-24 01/02Q 26,753,548.51 0.50

The accompanying notes form an integral part of these financial statements

229
AMUNDI FLOATING RATE USD CORPORATE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
12,761,000.00 TOYOTA MOTOR CREDIT FL.R 17-22 08/09Q 12,832,206.38 0.24 Switzerland 411,424.00 0.01
41,711,000.00 BAYER US FINANC FL.R 18-23 15/12Q 41,884,517.76 0.79 200,000.00 UBS GROUP FUNDING FL.R 16-22 01/02Q 205,376.00 0.00
28,200,000.00 FORD MOTOR CREDIT FL.R 17-22 03/08Q 27,931,254.00 0.53 200,000.00 UBS GROUP FUNDING FL.R 16-21 14/04Q 206,048.00 0.01
132,000.00 JPMORGAN CHASE & C FL.R 16-21 01/03Q 135,550.80 0.00
1,249,000.00 BECTON DICKINSON A FL.R 17-22 06/06Q 1,256,169.26 0.02 Total securities portfolio 5,320,432,036.57 100.12
211,000.00 WELLS FARGO & COMP FL.R 16-21 26/07Q 214,587.00 0.00
5,132,000.00 VULCAN MATERIALS CO FL.R 18-21 01/03Q 5,148,781.64 0.10
37,253,000.00 BANK OF NY MELLON FL.R 16-23 30/10Q 37,913,868.22 0.71
9,182,000.00 TOYOTA MOTOR CREDI FL.R 17-20 17/04Q 9,194,854.80 0.17
33,786,000.00 US BANK NA CINCINN FL.R 17-19 24/05Q 33,798,500.82 0.64
16,841,000.00 GENERAL ELECTRIC C FL.R 13-23 15/03Q 16,982,127.58 0.32
22,780,000.00 EQT CORP FL.R 17-21 22/01Q 22,532,609.20 0.42
12,431,000.00 KRAFT HEINZ FOODS FL.R 17-21 10/02Q 12,453,251.49 0.23
5,622,000.00 EXXON MOBIL CORPOR FL.R 15-22 06/03Q 5,671,417.38 0.11
5,045,000.00 DEUTSCHE BANK NY FL.R 18-21 22/01Q 5,046,866.65 0.09
140,000.00 INTL FINANCE CORP FL.R 15-20 15/12Q 140,151.20 0.00
114,000.00 GENERAL MOTORS FL.R 17-22 14/01Q 116,341.56 0.00
114,000.00 BANK OF AMERICA CO FL.R 16-22 21/10Q 116,075.94 0.00
114,000.00 NISSAN MOTOR FL.R 17-22 13/01Q 115,003.20 0.00
172,000.00 GOLDMAN FL.R 17-23 05/06Q 173,720.00 0.00
Mortgage and asset backed securities 50,923.40 0.00
United States of America 50,923.40 0.00

50,511.73 CONTINENTAL AIRLINES 4.15 12-24 22/03S 50,923.40 0.00


Transferable securities dealt in on another regulated market 52,571,138.85 0.99

Bonds 50,500,471.66 0.95


Germany 398,564.00 0.01

400,000.00 EAA 1.6250 17-19 21/02S 398,564.00 0.01


Japan 19,182,449.62 0.36

19,198,000.00 JAPAN BANK INTL JBIC 1.75 13-18 13/11S 19,182,449.62 0.36
United Kingdom 185,866.00 0.00

200,000.00 RECKITT 144A 3.00 17-27 26/08S 185,866.00 0.00


United States of America 30,733,592.04 0.58

250,000.00 ZF NA CAPITAL -144A- 4.50 15-22 29/04S 253,522.50 0.00


1,052,000.00 US TREASURY INDEXEE 0.375 15-25 15/07S 1,082,469.54 0.02
40,000,000.00 US STRIPS 0.00 98-28 15/0 29,397,600.00 0.56
Floating rate bonds 2,070,667.19 0.04
Australia 597,745.69 0.02

88,000.00 COMMONWEALTH BANK FL.R 16-19 07/11Q 88,461.12 0.00


500,000.00 NATIONAL AUSTRALIA FL.R 17-22 10/01Q 506,245.00 0.02
3,000.00 MACQUARIE BK 144A FL.R 15-20 29/07Q 3,039.57 0.00
Finland 200,738.00 0.00

200,000.00 NORDEA BANK AB FL.R 17-20 29/05Q 200,738.00 0.00


Japan 204,474.00 0.00

200,000.00 MIZUHO FINANCIAL G FL.R 16-21 12/04Q 204,474.00 0.00


Netherlands 252,657.50 0.00

250,000.00 SIEMENS FIN NV FL.R 17-22 16/03Q 252,657.50 0.00


Sweden 403,628.00 0.01

400,000.00 SWEDBANK AB FL.R 17-22 14/03Q 403,628.00 0.01

The accompanying notes form an integral part of these financial statements

230
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Mexico 358,354.04 0.25
Long positions 142,136,566.43 98.49
36,000.00 UTD MEXICAN STS TR20 6.05 07-40 11/01S 40,009.32 0.03
Other transferable securities 12,585,464.67 8.72 316,000.00 MEXIQUE BONOS 4.00 13-23 02/10S 318,344.72 0.22
Bonds 12,585,464.67 8.72 Oman 3,992,417.82 2.77
Ecuador 4,295,959.07 2.98 4,089,000.00 OMAN GOV INTL 6.75 18-48 17/01S 3,992,417.82 2.77
695,000.00 ECUADOR REGS 7.95 16-22 28/03S 741,710.95 0.51 Peru 2,196,404.14 1.52
1,111,000.00 EQUATEUR 8.875 17-27 23/10S 1,059,416.27 0.73 2,129,000.00 PEROU (REP OF) 4.125 15-27 25/08S 2,196,404.14 1.52
2,765,000.00 REPUBLIC OF ECUADOR 7.875 18-28 23/01S 2,494,831.85 1.74
Philippines 8,196,694.53 5.68
Luxembourg 6,435,968.20 4.46
5,708,000.00 PHILIPPINES 3.70 17-42 02/02S 5,327,219.32 3.69
6,770,000.00 SAUDI INTERNATIONA 4.5 16-46 26/10S 6,435,968.20 4.46 3,073,000.00 PHILIPPINES 3.00 18-28 01/02S 2,869,475.21 1.99
Oman 1,853,537.40 1.28 Poland 49,319.70 0.03
1,881,000.00 OMAN GOV INTERNTL 5.625 18-28 17/01S 1,853,537.40 1.28 45,000.00 POLOGNE 3.00 12-23 17/03S 44,216.10 0.03
Transferable securities admitted to an official stock exchange 123,549,409.00 85.61 5,000.00 POLOGNE (REP OF) 4.00 14-24 22/01S 5,103.60 0.00
listing
Bonds 123,549,409.00 85.61 Qatar 6,511,301.91 4.51

Argentina 5,712,380.32 3.96 2,964,000.00 STATE OF QATAR 3.25 16-26 02/06S 2,843,631.96 1.97
2,837,000.00 STATE OF QUATAR REGS 2.375 16-21 02/06S 2,762,415.27 1.91
100,000.00 ARGENTINA 5.625 17-22 26/01S 90,683.00 0.06
869,000.00 STATE OF QATAR 5.1030 18-48 23/04S 905,254.68 0.63
3,108,000.00 ARGENTINA 6.875 16-21 22/04S 2,981,380.08 2.07
2,948,000.00 ARGENTINA REP 7.50 17-26 22/04S 2,640,317.24 1.83 Russia 9,647,366.00 6.69

Bahrain 4,690,964.53 3.25 6,200,000.00 RUSSIAN FEDERAT REGS 4.875 13-23 16/09A 6,393,626.00 4.44
3,000,000.00 RUSSIAN FEDERAT REGS 5.875 13-43 16/09S 3,253,740.00 2.25
4,709,000.00 BAHREIN REGS 7.00 16-28 12/10S 4,690,964.53 3.25
Brazil 13,470,977.16 9.33 Saudi Arabia 5,489,283.24 3.80

7,761,000.00 BRAZIL 4.25 13-25 07/01S 7,348,580.46 5.09 5,836,000.00 SAUDI INTERNATIONA 3.25 16-46 26/10S 5,489,283.24 3.80
7,413,000.00 BRAZIL 5.00 14-45 27/01S 6,122,396.70 4.24 South Africa 6,620,486.31 4.59

Cayman Islands 3,024,729.18 2.10 3,317,000.00 SOUTH AFRICA (REP OF) 5.875 13-25 16/09S 3,377,966.46 2.34
3,603,000.00 SOUTH AFRICA 4.30 16-28 12/10S 3,242,519.85 2.25
3,102,000.00 KSA SUKUK LTD 2.894 17-22 20/04S 3,024,729.18 2.10
Colombia 4,386,683.28 3.04 Turkey 15,508,301.00 10.75

3,864,000.00 COLOMBIA 6.125 09-41 18/01S 4,386,683.28 3.04 243,000.00 TURKEY 6.625 14-45 17/02S 211,429.44 0.15
2,114,000.00 TURKEY (REP OF) 4.875 16-26 09/10S 1,819,139.28 1.26
Egypt 5,192,292.76 3.60
8,912,000.00 TURKEY(REP.OF) 6.00 17-27 25/03S 8,142,537.92 5.64
100,000.00 EGYPT REG-S 5.75 10-20 29/04S 101,635.00 0.07 6,828,000.00 TURQUIE (REPU OF ) 5.75 17-47 11/05S 5,335,194.36 3.70
2,893,000.00 EGYPTE 8.50 17-47 31/01S 2,914,755.36 2.02
Transferable securities dealt in on another regulated market 6,001,692.76 4.16
2,170,000.00 EGYPT 6.125 17-22 31/01S 2,175,902.40 1.51
Hungary 3,938,125.32 2.73 Bonds 6,001,692.76 4.16
Bahrain 3,240,219.44 2.25
2,774,000.00 HUNGARY 5.75 13-23 22/11S 3,011,398.92 2.09
864,000.00 HUNGARY 5.375 14-24 25/03S 926,726.40 0.64 3,188,000.00 BAHREIN REGS 6.125 13-23 01/08S 3,240,219.44 2.25
Indonesia 16,902,406.76 11.70 Cayman Islands 2,761,473.32 1.91

2,114,000.00 PERUSAHAAN REGS 4.325 15-25 28/05S 2,104,021.92 1.46 2,854,000.00 KSA SUKUK LTD 3.628 17-27 20/04S 2,761,473.32 1.91
7,852,000.00 INDONESIA REP 4.75 15-26 08/01S 7,987,289.96 5.52 Total securities portfolio 142,136,566.43 98.49
7,038,000.00 PERUSAHAAN PENERBIT 4.15 17-27 29/03S 6,811,094.88 4.72
Lebanon 7,660,921.00 5.31

100,000.00 LEBANESE REP S-1 6.375 10-20 09/03S 94,667.00 0.07


108,000.00 LEBANESE REPUBLIC 61 6.60 11-26 27/11S 84,745.44 0.06
100,000.00 LEBANESE REPUBLIC 6.75 12-27 29/11S 77,901.00 0.05
1,180,000.00 LEBANESE REPUBLIC 6.00 12-23 27/01S 1,001,395.20 0.69
100,000.00 LEBANESE REPU OF 6.10 10-22 04/10S 85,574.00 0.06
3,032,000.00 LEBANESE REPUBLIC 6.65 15-30 26/02S 2,282,974.72 1.58
5,022,000.00 LEBANESE REPUBLIC 6.85 17-27 23/03S 3,957,938.64 2.75
100,000.00 LEBANESE REPUBLIC 7.00 17-32 23/03S 75,725.00 0.05

The accompanying notes form an integral part of these financial statements

231
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
6,181,900.47 BELGIUM BE-STRIP 0.00 12-22 28/09U 6,215,468.19 2.34
Long positions 264,880,836.71 99.77
1,103,004.98 BELGIUM BE-STRIP 0.00 98-25 28/03U 1,074,624.66 0.40
Other transferable securities 20,595,952.89 7.76 611,250.00 BELGIUM BE-STRIP 0.00 13-43 22/06U 397,019.10 0.15
59,500.00 BELGIUM BE-STRIP 0.00 13-30 22/06U 52,417.72 0.02
Bonds 16,789,988.66 6.33
9,500.00 BELGIUM BE-STRIP 0.00 13-28 22/06U 8,740.76 0.00
Canada 796,928.00 0.30 68,250.00 BELGIUM BE-STRIP 0.00 11-21 28/09U 68,890.19 0.03
800,000.00 BQUE TORONTO DOM. 0.625 18-25 06/06A 796,928.00 0.30 611,250.00 BELGIUM BE-STRIP 0.00 13-41 22/06U 413,804.03 0.16
611,250.00 BELGIUM BE-STRIP 0.00 13-42 22/06U 404,830.88 0.15
France 50,536.00 0.02
9,500.00 BELGIUM BE-STRIP 0.00 13-26 22/06U 9,088.84 0.00
50,000.00 DEXIA CRED LOCAL 0.625 17-24 03/02A 50,536.00 0.02 27,750.00 BELGIUM BE-STRIP 0.00 10-38 28/03U 20,435.66 0.01
Luxembourg 2,117,788.25 0.80 611,250.00 BELGIUM BE-STRIP 0.00 13-44 22/06U 388,803.90 0.15
611,250.00 BELGIUM BE-STRIP 0.00 13-40 22/06U 422,807.74 0.16
251,000.00 BON Y OBL DEL ESTADO 1.30 16-26 31/10A 252,814.73 0.10
9,500.00 BELGIUM BE-STRIP 0.00 13-29 22/06U 8,570.14 0.00
2,026,000.00 BUONI POLIENNALI 2.95 17-38 01/09S 1,864,973.52 0.70
27,750.00 BELGIUM BE-STRIP 0.00 10-39 28/03U 19,928.39 0.01
Spain 13,824,736.41 5.21
Canada 1,680,319.53 0.63
7,257,000.00 SPAIN 0.40 17-22 30/04A 7,308,742.41 2.76
277,000.00 TORONTO DOMINION BK 0.625 16-21 08/03A 280,897.39 0.11
13,700,000.00 SPAIN GOVT BOND STRIP 0.00 16-46 31/10U 6,515,994.00 2.45
388,000.00 CIBS REGS 0.375 14-19 15/10A 390,716.00 0.15
Floating rate bonds 3,805,964.23 1.43 1,006,000.00 BANK OF NOVA SCOTI 0.375 16-23 10/03A 1,008,706.14 0.37
Canada 1,590,410.21 0.60 Finland 307,554.00 0.12
384,000.00 THE TORONTO DOMIN BKFL.R 18-20 13/07Q 386,722.56 0.15 300,000.00 NORDEA BANK AB 1.00 16-23 22/02A 307,554.00 0.12
1,195,000.00 ROYAL BK CANADA FL.R 18-20 24/07Q 1,203,687.65 0.45
France 24,648,893.84 9.28
Netherlands 964,233.60 0.36
880,092.00 FRANCE OAT PRINCIPAL 0.00 01-32 25/10U 747,690.96 0.28
960,000.00 RABOBANK NEDERLAND FL.R 15-20 29/05Q 964,233.60 0.36 697.00 CRH 5.00 09-19 08/04A 716.27 0.00
United Kingdom 1,251,320.42 0.47 1,157.00 FRANCE OAT 0.00 09-32 25/10A 983.20 0.00
200,000.00 FRANCE OAT 0.00 09-41 25/04U 140,080.00 0.05
1,246,000.00 UBS LONDON FL.R 18-20 10/01Q 1,251,320.42 0.47
4,592.00 FRANCE OAT 0.00 09-55 25/04U 2,242.69 0.00
Transferable securities admitted to an official stock exchange 168,605,967.82 63.50
3,247.00 FRANCE OAT 0.00 10-57 25/04U 1,499.63 0.00
listing
Bonds 162,336,813.92 61.14 1,010,000.00 FRANCE OAT 0.00 09-37 25/04U 781,871.30 0.29
10,000.00 FRANCE OAT 0.00 09-34 25/04U 8,255.50 0.00
Australia 5,018,093.05 1.89
30,000.00 FRANCE OAT STRIP 0.00 09-38 25/10U 22,474.50 0.01
2,277,000.00 NATIONAL AUSTRALIA BK 4.00 10-20 13/07A 2,442,105.27 0.92 1,342,675.40 FRANCE OAT STRIPS 0.00 09-21 25/04U 1,355,054.87 0.51
1,385,000.00 NATIONAL AUSTRALIA BK 0.875 15-22 20/01A 1,406,467.50 0.53 142,996.00 FRANCE OAT STRIP 0.00 09-49 25/04U 81,865.21 0.03
360,000.00 NATL AUS BK REGS 1.375 14-21 28/05A 373,287.60 0.14 823,942.80 FRANCE OAT STRIP 0.00 09-36 25/04U 651,755.23 0.25
332,000.00 WESTPAC BANKING 0.25 16-22 17/01A 330,618.88 0.12 200,000.00 FRANCE OAT STRIP 0.00 09-33 25/10U 166,760.00 0.06
465,000.00 WESTPAC BANKING 0.25 17-22 06/04A 465,613.80 0.18 300,000.00 SANOFI 1.875 13-20 04/09A 309,930.00 0.12
Austria 3,438,588.36 1.30 1,950,000.00 DEXIA CLF EMTN 1.375 14-19 18/09A 1,982,175.00 0.75
200,000.00 FRANCE OAT 0.00 09-35 25/10U 160,048.00 0.06
2,920,000.00 AUSTRIA (REP OF)144A 1.50 16-86 02/11A 2,667,887.20 1.01
1,514,900.00 FRANCE OAT 0.00 09-36 25/10U 1,186,015.21 0.45
692,000.00 REPUBLIC OF AUSTRI 2.1 17-17 20/09A 770,701.16 0.29
10,583,916.00 FRANCE (GOVT OF) 1.25 16-36 25/05A 10,513,744.64 3.96
Belgium 39,996,630.72 15.06 900,000.00 BPI FRANCE FINANCE 0.00 17-22 25/11A 894,699.00 0.34
6,272,060.04 BELGIUM KINGDOM REGS 3.75 13-45 22/06A 9,136,008.10 3.44 3,500,000.00 DEXIA CRED LOCAL 0.25 17-22 02/06A 3,521,280.00 1.33
22,549,943.30 BELGIUM BE-STRIP 0.00 10-41 28/03U 15,454,603.64 5.83 327,814.00 FRANCE OAT FUNGIBL 0.00 14-24 25/11U 322,932.85 0.12
6,086,750.00 BELGIUM BE-STRIP 0.00 13-34 22/06U 4,895,025.22 1.84 1,710,085.82 FRANCE OAT STRIP 0.00 09-24 25/10U 1,685,101.47 0.63
421,250.00 BELGIUM BE-STRIP 0.00 13-38 22/06U 307,533.56 0.12 10,129.00 FRANCE OAT 0.00 09-35 25/04U 8,210.77 0.00
9,500.00 BELGIUM BE-STRIP 0.00 13-36 22/06U 7,290.21 0.00 156,500.00 FRANCE OAT 0.00 13-43 25/05U 103,507.54 0.04
9,500.00 BELGIUM BE-STRIP 0.00 13-32 22/06U 8,035.20 0.00 Ireland 2,277,440.71 0.86
9,500.00 BELGIUM BE-STRIP 0.00 13-35 22/06U 7,493.41 0.00
2,172,550.00 IRLANDE REGS 2.00 15-45 18/02A 2,277,440.71 0.86
27,750.00 BELGIUM BE-STRIP 0.00 10-37 28/03U 20,922.39 0.01
Italy 20,401,782.13 7.68
9,500.00 BELGIUM BE-STRIP 0.00 13-33 22/06U 7,798.08 0.00
24,573.00 BELGIUM BE-STRIP 0.00 13-45 22/06U 15,495.98 0.01 1,835,000.00 ITALY BTP 4.25 03-19 01/02S 1,859,203.65 0.70
9,500.00 BELGIUM BE-STRIP 0.00 13-27 22/06U 8,923.16 0.00 12,000.00 INFRASTRUTTURE EMTN 5.20 04-34 31/07A 14,165.04 0.01
421,250.00 BELGIUM BE-STRIP 0.00 13-37 22/06U 315,351.96 0.12 100,000.00 ITALY BTP 5.00 09-40 01/09S 119,655.00 0.05
9,500.00 BELGIUM BE-STRIP 0.00 13-25 22/06U 9,240.18 0.00 4,820,000.00 ITALY BTPS 4.75 11-21 01/09S 5,222,711.00 1.96
27,750.00 BELGIUM BE-STRIP 0.00 10-40 28/03U 19,405.30 0.01 4,037,000.00 ITALY BTP 5.50 12-22 01/09S 4,545,016.08 1.71
393,750.00 BELGIUM BE-STRIP 0.00 13-39 22/06U 278,074.13 0.10 4,748,221.55 ITALY BTP CPN STRIP 0.00 98-20 01/05U 4,655,678.71 1.75

The accompanying notes form an integral part of these financial statements

232
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
500,000.00 ITALY STRIP 0.00 98-25 01/11U 406,930.00 0.15 15,450.00 SPAIN STRIP 0.00 14-39 31/10U 9,040.26 0.00
84,000.00 ITALY BTP 4.75 13-44 01/09S 98,771.40 0.04 15,450.00 SPAIN STRIP 0.00 14-38 31/10U 9,360.07 0.00
629,000.00 ITALY BTP 3.50 13-18 01/12S 632,635.62 0.24 United Kingdom 663,425.81 0.25
32,000.00 ITALIA LONG TERM TB 2.80 16-67 01/03S 26,559.68 0.01
2,945,000.00 ITALY BTP 3.45 17-48 01/03S 2,820,455.95 1.06 88,000.00 UBS LONDON 3.875 09-19 02/12A 92,314.64 0.03
1,000.00 UBS LONDON 4.00 10-22 08/04A 1,136.05 0.00
Netherlands 20,469,308.88 7.71
572,000.00 ASB FINANCE 0.625 17-24 18/10A 569,975.12 0.22
102,000.00 RABOBANK NEDERL.EMTN 4.75 07-22 06/06A 118,611.72 0.04 United States of America 1,715,487.67 0.65
1,449,000.00 BNG 798 3.875 09-19 04/11A 1,517,755.05 0.57
1,998,000.00 ING BANK NV 3.375 12-22 10/01A 2,219,797.98 0.84 200,000.00 BERKSHIRE HATHAWAY 1.625 15-35 16/03A 195,498.00 0.07
45,000.00 BANK V.NED.GEM. 1.50 13-20 15/04A 46,319.85 0.02 3,000.00 BMW US CAP 1.125 15-21 18/09A 3,084.24 0.00
2,171,000.00 NIBC BANK NV 1.75 13-18 10/08A 2,171,781.56 0.82 200,000.00 BERKSHIRE HATHAWAY 2.15 16-28 15/03A 214,066.00 0.08
8,989,000.00 BANK V.NED.GEM. 1.125 14-24 04/09A 9,398,359.06 3.54 591,000.00 US BANCORP 0.85 17-24 07/06A 588,015.45 0.23
812,000.00 RABOBANK NEDERLAND 1.375 15-27 03/02A 834,890.28 0.31 474,000.00 NESTLE HOLDING 0.875 17-25 18/07A 476,971.98 0.18
2,789,000.00 INGREGS 0.70 15-20 16/04A 2,824,280.85 1.06 240,000.00 PROCTER & GAMBLE 0.50 17-24 25/10A 237,852.00 0.09
1,245,000.00 BMW FINANCE 0.875 15-20 17/11A 1,267,683.90 0.48 Floating rate bonds 6,269,153.90 2.36
52,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 52,798.20 0.02 Australia 342,647.64 0.13
17,000.00 BMW FINANCE NV 0.125 17-21 12/01A 17,030.43 0.01
339,000.00 NATL AUSTRALIA BANK FL.R 16-21 19/04Q 342,647.64 0.13
Norway 331,026.00 0.12
Canada 2,136,366.12 0.80
300,000.00 DEN NORSKE BANK 4.375 11-21 24/02S 331,026.00 0.12
2,114,000.00 BANK OF NOVA SCOTIA FL.R 18-22 05/10Q 2,136,366.12 0.80
Portugal 8,440,323.10 3.18
France 502,160.00 0.19
216,970.00 PORTUGAL REPU OF 4.10 06-37 15/04A 262,713.78 0.10
500,000.00 TOTAL CAPITAL SA FL.R 14-20 19/03Q 502,160.00 0.19
4,769,297.15 PORTUGUESE OTS 4.80 10-20 15/06A 5,167,151.92 1.95
993,070.00 PORTUGAL 2.875 15-25 15/10A 1,092,952.98 0.41 Netherlands 557,075.70 0.21
1,579,571.00 PORTUGAL 4.10 15-45 15/02A 1,917,504.42 0.72 555,000.00 SHELL INTL FINANCE FL.R 15-19 15/09Q 557,075.70 0.21
Spain 32,947,940.12 12.41 United Kingdom 2,730,904.44 1.03

9,900,000.00 SPAIN 0.00 05-37 31/01U 6,600,825.00 2.50 2,721,000.00 LLOYDS BANK FL.R 14-19 10/09Q 2,730,904.44 1.03
198,000.00 SPANISH 4.00 10-20 30/04A 211,234.32 0.08 Transferable securities dealt in on another regulated market 75,678,916.00 28.51
219,000.00 SPANISH GOV'T 5.90 11-26 30/07A 296,469.06 0.11
141,000.00 SPANISH STRIP 0.00 01-28 30/07U 120,333.63 0.05 Bonds 75,678,916.00 28.51
10,600,000.00 SPAIN STRIP 0.00 10-25 30/07U 9,909,198.00 3.74 Belgium 14,134,910.90 5.32
3,100,000.00 SPAIN STRIP 0.00 10-41 30/07U 1,749,981.00 0.66
3,845,560.94 BELGIQUE OLO STRIP 0.00 10-19 28/09U 3,865,557.86 1.46
6,000.00 SPAIN 4.00 14-64 31/10A 7,641.90 0.00
8,784.07 BELGIUM OLO STRIP 0.00 04-29 28/03U 7,954.59 0.00
152,000.00 SPAIN 2.35 17-33 30/07A 159,431.28 0.06
394,905.56 BELGIUM BE STRIP 0.00 04-35 28/03U 312,382.15 0.12
12,800,000.00 SPAIN STRIP 0.00 14-44 31/10U 6,398,592.00 2.42
2,281,500.77 BELGIUM KINGDOM 2.25 17-57 22/06A 2,490,874.09 0.94
15,450.00 SPAIN STRIP 0.00 14-41 31/10U 8,358.30 0.00
230,591.00 BELGIUM BE-STRIP 0.00 04-33 28/03U 191,485.07 0.07
15,450.00 SPAIN STRIP 0.00 14-37 31/10U 9,747.87 0.00
4,188,922.44 BELGIUM BE-STRIP MR2 0.00 98-22 28/03U 4,223,355.38 1.58
310,000.00 SPAIN STRIP 0.00 05-37 31/01U 204,296.20 0.08
3,563,752.12 BELGIUM BE-STRIP 0.00 04-32 28/03U 3,043,301.76 1.15
5,000.00 SPAIN STRIP 0.00 98-22 31/01U 4,967.25 0.00
15,450.00 SPAIN STRIP 0.00 14-36 31/10U 10,113.88 0.00 France 8,016,265.26 3.02
15,450.00 SPAIN STRIP 0.00 14-42 31/10U 8,030.60 0.00 1,388,629.78 FRANCE OAT STRIP 0.00 09-20 25/04U 1,399,405.55 0.53
6,500,000.00 SPAIN STRIP 0.00 15-30 30/07U 5,291,650.00 2.00 697,532.56 FRANCE OAT STRIP 0.00 09-39 25/04U 514,758.10 0.19
15,450.00 SPAIN STRIP 0.00 13-25 31/10U 14,247.84 0.01 473,848.74 FRANCE OAT 0.00 09-42 25/04U 322,937.39 0.12
15,450.00 SPAIN STRIP 0.00 14-32 31/10U 11,563.09 0.00 154,445.00 FRANCE OAT STRIP 0.00 09-43 25/04U 102,755.35 0.04
15,450.00 SPAIN STRIP 0.00 14-40 31/10U 8,693.10 0.00 1,521,396.66 FRANCE OAT STRIP 0.00 09-32 25/04U 1,306,088.60 0.49
15,450.00 SPAIN STRIP 0.00 14-35 31/10U 10,480.35 0.00 635,178.72 FRANCE OAT STRIP 0.00 09-40 25/04U 455,950.34 0.17
100,000.00 SPAIN STRIP 0.00 05-31 31/01U 79,337.00 0.03 204,000.00 FRANCE OAT 0.00 09-37 25/10U 156,329.28 0.06
15,450.00 SPAIN STRIP 0.00 14-43 31/10U 7,711.56 0.00 225,396.00 FRANCE OAT 0.00 09-50 25/04U 125,590.65 0.05
731,000.00 SPAIN BTS PP STRIP 0.00 01-22 30/07U 721,540.86 0.27 200,000.00 FRANCE OAT STRIP 0.00 09-34 25/10U 163,674.00 0.06
15,450.00 SPAIN STRIP 0.00 14-30 31/10U 12,351.35 0.00 3,100,000.00 BPIFRANCE FINANCE 2.50 13-24 25/05A 3,468,776.00 1.31
15,450.00 SPAIN STRIP 0.00 14-34 31/10U 10,835.55 0.00
Ireland 362,415.82 0.14
100,000.00 SPAIN STRIP 0.00 05-33 31/01U 74,463.00 0.03
911,815.00 BON Y OBLIG ESTADO 0.00 09-18 31/10U 912,106.78 0.34 320,028.10 IRLANDE 2.40 14-30 15/05A 362,415.82 0.14
100,000.00 BON Y OBLIG ESTADO 0.00 05-36 31/01U 67,864.00 0.03 Italy 32,054,446.34 12.08
15,450.00 SPAIN STRIP 0.00 14-44 31/10U 7,475.02 0.00
581,000.00 ITALY BTP-STRIPS CPON 0.00 07-38 01/08U 274,423.73 0.10

The accompanying notes form an integral part of these financial statements

233
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
756,171.93 ITALY STRIP 0.00 02-30 01/08U 504,102.02 0.19
140,000.00 ITALY CTZ 0.00 07-37 01/08U 70,239.40 0.03
1,083.00 ITALY 0.00 03-26 20/02U 871.47 0.00
27,093,843.91 ITALY STRIP 0.00 02-33 01/02U 16,474,953.67 6.20
24,085,799.58 ITALY STRIP 0.00 07-39 01/08U 10,925,800.41 4.12
135,000.00 ITALY STRIP 0.00 12-22 01/11U 123,028.20 0.05
405,237.49 ITALY BTPS STRIP 0.00 06-21 01/08U 385,133.66 0.15
950,000.00 ITALY CPN STR 02/33 0.00 03-19 01/02U 949,297.00 0.36
13,000.00 ITALY CPN STR 96/26 0.00 98-26 01/11U 10,219.30 0.00
2,313,000.00 ITALY INFL. INDEX 0.10 16-22 15/05S 2,336,377.48 0.88
Spain 21,110,877.68 7.95

208,000.00 SPAIN 4.80 08-24 31/01A 253,086.08 0.10


10,000.00 SPAIN 1.40 14-20 31/01A 10,223.90 0.00
120,000.00 SPAIN 3.45 16-66 30/07A 138,576.00 0.05
2,965,700.00 SPAIN STRIP 0.00 10-41 30/0 1,663,016.28 0.63
141,000.00 SPAIN STRIP 0.00 01-30 30/07U 113,772.90 0.04
100,000.00 SPAIN STRIP 0.00 05-32 31/01U 76,922.00 0.03
527,000.00 SPAIN STRIP 0.00 98-27 31/01U 340,041.48 0.13
141,000.00 SPAIN STRIP 0.00 07-35 30/07U 97,454.97 0.04
528,000.00 SPAIN STRIP 0.00 07-39 30/07U 315,089.28 0.12
141,000.00 SPAIN STRIP 0.00 01-29 30/07U 116,656.35 0.04
141,000.00 SPAIN STRIP 0.00 07-33 30/07U 103,729.47 0.04
731,000.00 SPAIN STRIP 0.00 01-24 30/0 695,385.68 0.26
527,000.00 SPAIN STRIP 0.00 07-40 30/07U 304,273.99 0.11
258,500.00 SPAIN 0.00 01-26 30/07U 234,157.06 0.09
731,000.00 SPAIN STRIP 0.00 01-21 30/07U 727,827.46 0.27
141,000.00 SPAIN STRIP 0.00 07-34 30/07U 100,432.89 0.04
590,000.00 SPAIN STRIP 0.00 01-25 30/07U 550,593.90 0.21
141,000.00 SPAIN STRIP 0.00 01-27 30/07U 124,188.57 0.05
527,000.00 SPAIN STRIP 0.00 07-38 30/07U 327,435.64 0.12
3,200,000.00 SPAIN 0.00 10-20 31/10U 3,205,856.00 1.21
8,800,000.00 KINGDOM OF SPAIN 0.0 13-18 31/10U 8,802,728.00 3.32
2,824,700.00 SPAIN STRIP 0.00 01-32 30/07U 2,145,755.11 0.81
527,000.00 SPAIN STRIP 0.00 07-36 30/07U 352,014.92 0.13
200,000.00 SPAIN STRIP 0.00 07-37 30/07U 117,120.00 0.04
248,448.00 SPAIN STRIP 0.00 01-31 30/07U 194,539.75 0.07
Total securities portfolio 264,880,836.71 99.77

The accompanying notes form an integral part of these financial statements

234
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
38,741.00 FRANCE OAT STRIP 0.00 09-36 25/04U 30,644.91 0.01
Long positions 238,307,573.20 99.73
6,000.00 FRANCE OAT STRIP 0.00 09-46 25/04U 3,709.50 0.00
Other transferable securities 8,393,811.30 3.51 5,958.74 FRANCE OAT STRIP 0.00 09-19 25/04U 5,978.46 0.00
1,006.00 FRANCE OAT 0.00 09-52 25/04U 529.67 0.00
Bonds 8,393,811.30 3.51
53,170.25 FRANCE OAT 0.00 09-21 25/10A 53,632.30 0.02
Finland 8,393,811.30 3.51 682,000.00 FRANCE OAT STRIP 0.00 09-54 25/04U 339,308.64 0.14
8,406,000.00 FINLAND 0.00 16-23 15/09U 8,393,811.30 3.51 671,116.00 FRANCE OAT 1.50 15-31 25/05A 710,483.67 0.30
1,173,824.00 FRANCE OAT 0.25 14-20 25/11A 1,190,844.44 0.50
Transferable securities admitted to an official stock exchange 224,385,015.12 93.91
listing 5,433,309.00 FRANCE (GOVT OF) 1.25 16-36 25/05A 5,397,286.16 2.26
Bonds 224,385,015.12 93.91 7,730,678.00 FRANCE OAT INDEXEE 0.10 16-21 01/03A 8,353,643.29 3.51
Austria 23,164,534.94 9.69 487,500.00 FRANCE OAT STRIP 0.00 13-30 25/05U 435,425.25 0.18
1,102.00 FRANCE OAT FUNGIBL 0.00 09-28 25/10U 1,015.49 0.00
3,544,000.00 AUSTRIA 3.90 04-20 15/07A 3,821,743.28 1.59 1,184,340.00 FRANCE (GOVT OF) 0.00 18-21 25/02A 1,194,738.51 0.50
552,000.00 AUSTRIA 4.15 06-37 15/03A 828,828.00 0.35 228,690.00 FRANCE OAT FUNGIBL 0.00 14-24 25/11U 225,284.81 0.09
2,493,000.00 AUSTRIA 4.35 08-19 15/03A 2,548,668.69 1.07 193,403.00 FRANCE OAT FUNGIBL 0.00 09-44 25/04U 125,365.76 0.05
2,765,000.00 AUSTRIA 4.85 09-26 15/03A 3,680,795.65 1.54 14,447.08 FRANCE OAT STRIP 0.00 13-29 25/05U 13,112.03 0.01
178,000.00 AUSTRIA 3.40 12-22 22/11A 204,221.18 0.09
Germany 77,477,891.90 32.43
1,057,000.00 AUSTRIA 3.15 12-44 20/06A 1,482,273.38 0.62
1,200,000.00 AUSTRIA 2.40 13-34 23/05A 1,430,508.00 0.60 15,931,561.42 ALLEMAGNE 3.50 09-19 04/07A 16,430,697.24 6.88
570,000.00 AUSTRIA 1.75 13-23 20/10A 619,812.30 0.26 99,000.00 BRD 3.00 10-20 04/07A 105,264.72 0.04
1,186,000.00 AUSTRIA 1.20 15-25 20/10A 1,256,816.06 0.53 975,000.00 BRD 2.00 11-22 04/01A 1,051,040.25 0.44
2,283,000.00 AUSTRIA 0.75 16-26 20/10A 2,329,025.28 0.97 51,512,535.98 BRD INDEX 0.10 15-26 15/04A 58,966,858.09 24.68
1,102,000.00 AUSTRIA (REP OF)144A 1.50 16-86 02/11A 1,006,853.32 0.42 597,421.00 GERMAN 0.00 17-19 15/03U 599,147.55 0.25
3,935,000.00 AUTRICHE 0.00 17-22 20/09A 3,954,989.80 1.65 322,552.00 GERMANY FED TREAS NOT 0.00 17-19 13/12A 324,884.05 0.14
Finland 41,947,097.95 17.55 Netherlands 2,858,799.84 1.20

4,893,000.00 FINLAND 4.375 08-19 04/07A 5,076,193.92 2.12 21,662.00 NETHERLAND STRIP -JA37- 05-37 15/01U 18,217.96 0.01
720,000.00 FINLAND 3.375 10-20 15/04A 763,466.40 0.32 171,880.00 NETHERLAND 2.00 14-24 15/07A 190,913.99 0.08
4,472,000.00 FINLAND 3.50 11-21 15/04A 4,918,350.32 2.06 419,500.00 DUTCH FUNGIBLE STR 0.00 16-34 15/01U 361,579.64 0.15
1,181,000.00 FINLAND 1.625 12-22 15/09A 1,264,284.12 0.53 626,932.04 DUTCH FUNGIBLE STR 0.00 16-22 15/01U 631,684.18 0.27
8,897,000.00 FINNISH GOVT 0.75 15-31 15/04A 8,765,947.19 3.67 2,285.00 DUTCH FUNGIBLE STR 0.00 16-42 15/01U 1,760.62 0.00
1,352,000.00 FINLANDE 0.50 16-26 15/04A 1,359,760.48 0.57 623,654.25 DUTCH FUNGIBLE STR 0.00 16-24 15/01U 620,386.30 0.26
19,504,000.00 FINNISH GOVT 1.125 18-34 15/04A 19,799,095.52 8.28 546,045.38 DUTCH FUNGIBLE STR 0.00 16-21 15/01U 551,014.39 0.23
France 78,936,690.49 33.04 26,500.00 DUTCH FUNGIBLE STR 0.00 16-37 15/01U 21,892.45 0.01
509,774.00 DUTCH FUNGIBLE STR 0.00 16-31 15/01U 460,468.66 0.19
233,065.00 FRANCE OAT PRINCIPAL 0.00 01-32 25/10U 198,002.70 0.08 1,007.00 ROYAUME DES PAYS BAS ZCP 16-33 15/01U 881.65 0.00
1,478,418.00 FRANCE OAT INDEXEE 1.30 10-19 25/07A 1,669,360.96 0.70
Transferable securities dealt in on another regulated market 5,528,746.78 2.31
953,826.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 1,182,221.95 0.49
228,048.52 FRANCE OAT 0.00 09-41 25/04U 159,725.18 0.07 Bonds 5,528,746.78 2.31
110,103.25 FRANCE OAT STRIP 0.00 09-18 25/10U 110,142.89 0.05
Finland 1,156,568.55 0.48
750,222.66 FRANCE OAT 0.00 09-22 25/04U 755,519.23 0.32
37,241,648.00 FRANCE OAT INDEXE 1.85 10-27 25/07A 51,432,824.17 21.53 1,047,000.00 FINLANDE UNIT144A/REGS2.00 14-24 15/04A 1,156,568.55 0.48
3,218,909.13 FRANCE OAT 0.00 09-55 25/04U 1,572,083.03 0.66 France 4,372,178.23 1.83
422,212.36 FRANCE OAT 0.00 09-25 25/10U 410,939.29 0.17
304,372.00 FRANCE OAT 0.00 09-51 25/04U 164,863.09 0.07
1,670,705.99 FRANCE OAT 0.00 10-57 25/04U 771,615.56 0.32
133,756.58 FRANCE OAT STRIP 0.00 09-39 25/04U 98,708.34 0.04
270,159.40 FRANCE OAT 0.00 09-26 25/10U 258,901.86 0.11
297,000.00 FRANCE OAT STRIP 0.00 09-47 25/04U 179,438.49 0.08
207,604.90 FRANCE OAT 0.00 09-37 25/04U 160,713.18 0.07
412,324.94 FRANCE OAT STRIP 0.00 09-38 25/04U 311,866.09 0.13
119,301.75 FRANCE OAT 0.00 09-23 25/04U 119,407.93 0.05
1,049,000.00 FRANCE OAT 0.00 09-53 25/04U 536,720.85 0.22
335,160.35 FRANCE OAT 0.00 09-27 25/10U 315,627.20 0.13
153,355.56 FRANCE OAT STRIP 0.00 09-19 25/10U 154,241.96 0.06
301,213.00 FRANCE OAT 0.00 09-25 25/04U 294,884.51 0.12
799,753.02 FRANCE OAT STRIP 0.00 09-40 25/04U 574,086.71 0.25
60,052.17 FRANCE OAT STRIP 0.00 09-38 25/10U 44,988.08 0.02
487,500.00 FRANCE OAT STRIP 0.00 13-31 25/05U 427,206.00 0.18
5,000.00 FRANCE OAT STRIPS 0.00 09-21 25/04U 5,046.10 0.00
169,091.31 FRANCE OAT 0.00 09-37 25/10U 129,578.05 0.05
1,106.00 FRANCE OAT STRIP 0.00 09-28 25/04U 1,029.71 0.00
40,141.00 FRANCE OAT 0.00 09-50 25/04U 22,366.57 0.01
1,124.00 FRANCE OAT STRIP 0.00 09-49 25/04U 643.49 0.00
896,000.00 FRANCE OAT 0.00 10-59 25/04U 393,899.52 0.16
23,000.00 FRANCE OAT STRIP 0.00 09-31 25/04U 20,169.39 0.01
195,184.96 FRANCE OAT STRIP 0.00 13-24 25/05U 193,256.53 0.08
579,375.48 FRANCE OAT STRIP 0.00 09-33 25/04U 487,706.69 0.20
383,687.00 FRANCE OAT 0.00 09-45 25/04U 242,651.33 0.10
524,816.00 FRANCE OAT STRIP 0.00 09-48 25/04U 308,471.10 0.13
2,095,000.00 FRANCE OAT 0.00 10-58 25/04U 943,294.70 0.40
1,218,515.76 FRANCE OAT STRP 0.00 10-56 25/04U 575,663.40 0.24

The accompanying notes form an integral part of these financial statements

235
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
Total securities portfolio 238,307,573.20 99.73

The accompanying notes form an integral part of these financial statements

236
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
353,635.00 DUTCH FUNGIBLE STR 0.00 16-21 15/01U 356,853.08 3.19
Long positions 11,158,248.31 99.85
417,898.87 DUTCH FUNGIBLE STR 0.00 16-19 15/01U 418,805.71 3.75
Transferable securities admitted to an official stock exchange 10,524,886.11 94.18 591,771.93 DUTCH FUNGIBLE STR 0.00 16-23 15/01U 593,215.85 5.31
listing
Bonds 10,524,886.11 94.18 Transferable securities dealt in on another regulated market 633,362.20 5.67

Austria 1,070,025.30 9.58 Bonds 633,362.20 5.67


185,000.00 AUSTRIA 4.35 08-19 15/03A 189,131.05 1.69 Finland 72,906.90 0.65
142,000.00 AUSTRIA 1.75 13-23 20/10A 154,409.38 1.38 66,000.00 FINLANDE UNIT144A/REGS2.00 14-24 15/04A 72,906.90 0.65
496,000.00 AUSTRIA 1.15 13-18 19/10A 496,396.80 4.45
France 560,455.30 5.02
201,000.00 AUSTRIA 1.20 15-25 20/10A 213,001.71 1.91
17,000.00 AUTRICHE 0.00 17-22 20/09A 17,086.36 0.15 288,112.50 FRANCE OAT STRIP 0.00 09-20 25/04U 290,348.25 2.61
2,585.00 FRANCE OAT STRIP 0.00 09-19 25/10U 2,599.94 0.02
Finland 361,149.98 3.23
270,176.45 FRANCE OAT STRIP 0.00 13-24 25/05U 267,507.11 2.39
2,000.00 FINLAND 3.50 11-21 15/04A 2,199.62 0.02
Total securities portfolio 11,158,248.31 99.85
14,000.00 FINLAND 1.625 12-22 15/09A 14,987.28 0.13
342,000.00 FINLANDE 0.50 16-26 15/04A 343,963.08 3.08
France 2,954,454.84 26.44

2,646.00 FRANCE OAT TR.3 8.50 89-19 25/10A 2,902.11 0.03


210,953.00 FRANCE OAT 8.50 92-23 25/04A 293,408.20 2.63
4,718.00 FRANCE OAT INDEX 2.10 08-23 25/07A 6,235.22 0.06
306,165.00 FRANCE OAT 3.75 08-19 25/10A 320,236.34 2.87
42,480.00 FRANCE OAT INDEXEE 1.30 10-19 25/07A 47,966.44 0.43
84,730.00 FRANCE OAT INDEXE 1.10 10-22 25/07A 105,018.80 0.94
104,850.00 FRANCE OAT STRIP 0.00 09-18 25/10U 104,887.75 0.94
299,021.25 FRANCE OAT 0.00 09-22 25/04U 301,132.34 2.69
11,427.00 FRANCE OAT 0.00 09-25 25/04U 11,186.92 0.10
432,970.00 FRANCE OAT STRIPS 0.00 09-21 25/04U 436,961.98 3.91
29,789.00 FRANCE OAT 0.00 09-21 25/10A 30,047.87 0.27
349,068.98 FRANCE OAT STRIP 0.00 09-20 25/10U 352,238.53 3.15
859,081.00 FRANCE OAT INDEXEE 0.10 16-21 01/03A 928,308.78 8.30
14,130.00 FRANCE OAT STRIP 0.00 09-24 25/10U 13,923.56 0.12
Germany 3,376,894.46 30.21

76,190.30 ALLEMAGNE 0% INTEREST-STRIPS 04 07 2020 76,851.63 0.69


729,434.31 BRD STRIP (6.50) 0.00 -22 04/07U 734,795.65 6.58
160,006.49 ALLEMAGNE 0% INTEREST-STRIPS 04 07 2025 157,313.58 1.41
235,293.12 ALLEMAGNE INT. STRIP 0.00 94-04 04/01U 234,450.77 2.10
19,379.77 BRD STRIPS 4.01.98 0.00 07-20 04/01U 19,517.75 0.17
109,925.00 GERMANY STRIPS 0.00 97-21 04/07U 110,976.98 0.99
13,380.00 BUNDESREPUB. DEUTS. 0.00 97-19 04/01U 13,402.08 0.12
74,647.00 BUNDESREPUB. DEUTS. 0.00 97-21 04/01U 75,353.16 0.67
92,010.91 BUNDESREPUB. DEUTS. 0.00 97-22 04/01U 92,826.13 0.83
65,747.83 BUNDESREPUB. DEUTS. 0.00 97-23 04/01U 66,057.50 0.59
722,923.00 BUNDESREPUB. DEUTS. 0.00 98-25 04/01U 714,247.92 6.39
9,318.98 BUNDESREPUB. DEUTS. 0.00 97-19 04/07U 9,356.72 0.08
732,337.79 BUNDESREPUB. DEUTS. 0.00 97-23 04/07U 732,476.93 6.55
1,000.00 BRD 1.00 13-18 12/10A 1,000.44 0.01
292,962.51 BRD INDEX 0.10 15-26 15/04A 335,356.79 3.00
2,907.00 BUNDESSCHATZANWEIS 0.00 16-18 14/12U 2,910.43 0.03
Netherlands 2,762,361.53 24.72

11,394.00 NETHERLAND GOVT ST 0.00 98-25 15/01U 11,210.67 0.10


17,199.00 NEDERLAND STRIPS-JA28-0.00 98-24 15/01U 17,084.45 0.15
821,484.58 DUTCH FUNGIBLE STR 0.00 16-22 15/01U 827,711.43 7.41
90,811.00 DUTCH FUNGIBLE STR 0.00 16-25 15/01U 89,443.39 0.80
20,000.00 NETHERLAND GOVT ST 0.00 93-20 15/01U 20,091.20 0.18
430,200.00 DUTCH FUNGIBLE STR 0.00 16-24 15/01U 427,945.75 3.83

The accompanying notes form an integral part of these financial statements

237
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
136,000.00 NORDEA BANK AB 0.30 17-22 30/06A 136,051.68 0.01
Long positions 1,053,477,473.37 99.65
200,000.00 OP MORTGAGE BANK 1.00 14-24 28/11A 206,344.00 0.02
Other transferable securities 22,412,342.87 2.12 France 24,901,906.62 2.36
Bonds 10,540,135.89 1.00 10,000.00 FINANCE.FONCIER EMTN 5.75 01-21 04/10A 11,735.20 0.00
Canada 2,000,840.00 0.19 4,000.00 CIE DE FIN.FONCIER 3.875 06-55 25/04A 5,848.00 0.00
56,000.00 CIE FIN FONCIER 4.875 09-21 25/05A 63,351.68 0.01
2,000,000.00 PROV OF ONTARIO 0.625 18-25 17/04A 2,000,840.00 0.19
53,000.00 TOTAL CAPITAL EMTN 5.125 09-24 26/03A 66,220.85 0.01
France 4,791,000.00 0.45 326,000.00 CRH 3.90 11-21 18/01A 356,823.30 0.03
800,000.00 AFD 0.125 17-23 15/11A 793,520.00 0.08 2,435,000.00 CIE DE FIN.FONCIER 4.375 11-21 15/04A 2,713,101.35 0.26
4,000,000.00 CIE FINANCEMENT FO 0.325 17-23 12/09A 3,997,480.00 0.37 2,331.00 FRANCE OAT 0.00 09-55 25/04U 1,138.44 0.00
1,004.00 FRANCE OAT STRP 0.00 10-56 25/04U 474.32 0.00
Germany 301,876.96 0.03
180,000.00 CIE DE FIN.FONCIER 2.375 12-22 21/11A 196,171.20 0.02
308,000.00 NRW BANK EX LANDESBA 0.5 17-27 13/09A 301,876.96 0.03 200,000.00 BPCE SFH 0.375 16-23 10/02A 201,238.00 0.02
Luxembourg 102,618.88 0.01 19,144,000.00 BPCE SFH 0.375 15-20 28/07A 19,361,667.28 1.82
600,000.00 CIE FIN FONCIER 0.625 15-23 10/02A 609,888.00 0.06
104,000.00 NOVARTIS FINANCE S 0.125 16-23 20/09A 102,618.88 0.01
900,000.00 BPI FINANCE 0.875 17-26 15/11A 911,853.00 0.09
Netherlands 99,274.00 0.01
400,000.00 CREDIT MUTUEL-CIC 0.625 17-25 10/02A 402,396.00 0.04
100,000.00 BK NEDERLANDSE GEM 0.75 18-28 11/01A 99,274.00 0.01 Germany 22,798,603.68 2.16
Spain 3,244,526.05 0.31
500,000.00 ING-DIBA 2.00 12-19 13/03A 505,260.00 0.05
3,017,000.00 SPAIN 1.95 16-26 30/04A 3,196,964.05 0.31 0.51 BUNDESREPUB. DEUTS. 0.00 97-19 04/01U 0.51 0.00
100,000.00 SPAIN GOVT BOND STRIP 0.00 16-46 31/10U 47,562.00 0.00 900,000.00 NRW BANK 1.25 13-18 22/10A 900,918.00 0.09
Floating rate bonds 11,872,206.98 1.12 100,000.00 LAND BERLIN 1.375 17-37 05/06A 99,553.00 0.01
622,000.00 LB BADEN-WUERTTEMB 0.375 17-25 27/02A 620,028.26 0.06
Canada 11,370,071.98 1.07
14,745,000.00 LAND HESSEN 0.6250 18-28 02/08A 14,489,321.70 1.36
3,806,000.00 ROYAL BANK OF CANADA FL.R 15-20 06/08Q 3,827,846.44 0.36 1,000.00 MUENCHENER HYPO 1.125 13-18 04/10A 1,000.10 0.00
1,179,000.00 THE TORONTO DOMIN BKFL.R 18-20 13/07Q 1,187,359.11 0.11 170,000.00 RHINELAN PALAT 0.375 16-27 26/01A 166,331.40 0.02
6,309,000.00 ROYAL BK CANADA FL.R 18-20 24/07Q 6,354,866.43 0.60 6,007,000.00 LANDESBANK BADEN-WUER 0.1 15-19 21/01A 6,016,190.71 0.57
United Kingdom 502,135.00 0.05 Ireland 23,290,085.94 2.20
500,000.00 UBS LONDON FL.R 18-20 10/01Q 502,135.00 0.05 4,719,208.16 IRISH GOVT TREASURY 4.50 04-20 18/04A 5,080,935.47 0.48
Transferable securities admitted to an official stock exchange 763,537,733.76 72.22 6,179,583.67 IRELAND 4.40 08-19 18/06A 6,398,093.75 0.61
listing 465,010.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 496,388.88 0.05
Bonds 738,677,222.65 69.87
80,000.00 IRISH GOVT TREASURY 5.00 10-20 18/10A 88,895.20 0.01
Australia 1,191,555.30 0.11 10,708,754.00 IRLANDE REGS 2.00 15-45 18/02A 11,225,772.64 1.05
523,000.00 NATIONAL AUSTRALIA BK 0.875 15-22 20/01A 531,106.50 0.05 Italy 123,394,588.46 11.67
682,000.00 ANZ BANKING GROUP 0.75 16-26 29/06A 660,448.80 0.06
528,000.00 ITALY BTP 5.25 98-29 01/11S 629,872.32 0.06
Belgium 261,622,173.53 24.75 20,377,000.00 ITALY BTP 4.25 03-19 01/02S 20,645,772.63 1.95
97,224,453.30 BELGIAN -44- 5.00 04-35 28/03A 151,042,077.18 14.30 104,000.00 ITALY BTP 4.50 04-20 01/02S 108,934.80 0.01
1,167,894.91 BELGIAN 4.00 09-19 28/03A 1,194,137.51 0.11 125,000.00 ITALY 3.75 06-21 01/08S 131,756.25 0.01
400,000.00 KBC BANK 1.25 13-20 28/05A 410,108.00 0.04 35,000.00 ITALY BTP 4.50 08-19 01/03S 35,611.45 0.00
55,689,459.71 BELGIUM KINGDOM REGS 3.75 13-45 22/06A 81,118,380.81 7.67 10,512,000.00 ITALY BTP 5.00 09-40 01/09S 12,578,133.60 1.19
888,850.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 913,142.27 0.09 13,155,000.00 ITALY BTPS 3.75 10-21 01/03S 13,839,849.30 1.31
21,022,556.00 BELGIUM KINGDOM 2.15 16-66 22/06A 22,057,916.89 2.09 8,173,000.00 ITALY BTPS 5.00 11-22 01/03S 8,994,386.50 0.85
2,522,006.70 BELGIUM BE-STRIP 0.00 10-41 28/03U 1,728,457.29 0.16 5,203,000.00 ITALY BTP 5.50 12-22 01/09S 5,857,745.52 0.55
1,914,234.01 BELGIUM BE-STRIP 0.00 13-34 22/06U 1,539,446.13 0.15 534,250.00 ITALY STRIP 0.00 98-25 01/11U 434,804.71 0.04
1,591,934.00 BELGIUM BE-STRIP 0.00 13-45 22/06U 1,003,889.50 0.09 4,691,137.97 ITALY BTP STRIPS 0.00 02-24 01/08U 3,998,913.65 0.38
217,500.00 BELGIUM BE-STRIP 0.00 13-39 22/06U 153,602.85 0.01 7,314,000.00 ITALY BTPS 4.50 13-23 01/05S 7,995,591.66 0.76
473,190.29 BELGIUM BE-STRIP 0.00 98-25 28/03U 461,015.10 0.04 2,033,000.00 ITALY BTP 4.75 13-44 01/09S 2,390,503.05 0.23
8,136,000.00 ITALY BTP 4.50 13-24 01/03S 8,930,480.40 0.84
Canada 2,570,806.38 0.24
10,815,000.00 ITALY BTP 3.50 13-18 01/12S 10,877,510.70 1.03
2,228,000.00 RBC REGS 1.25 13-18 29/10A 2,230,718.16 0.21 2,198,000.00 ITALY 3.50 14-30 01/03S 2,254,466.62 0.21
342,000.00 ONTARIO (PROVINCE 0.375 17-24 14/06A 340,088.22 0.03 1,707,000.00 ITALIE 1.50 15-25 01/06S 1,580,818.56 0.15
Finland 4,093,943.12 0.39 2,246,000.00 ITALY BTP 0.70 15-20 01/05S 2,234,051.28 0.21
1,847,000.00 ITALY BOT 2.00 15-25 01/12S 1,753,098.52 0.17
987,000.00 NORDEA BANK EMTN 4.00 10-20 29/06A 1,058,399.58 0.10 1,676,000.00 ITALY 0.35 16-21 01/11S 1,608,172.28 0.15
2,627,000.00 NORDEA BANK AB 1.00 16-23 22/02A 2,693,147.86 0.26

The accompanying notes form an integral part of these financial statements

238
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
1,788,000.00 ITALIA LONG TERM TB 2.80 16-67 01/03S 1,484,022.12 0.14 284,750.00 SPAIN STRIP 0.00 10-20 31/10U 285,706.76 0.03
6,261,000.00 ITALIE BTP 0.65 16-23 15/10S 5,763,626.16 0.55 45,900,000.00 SPAIN STRIP 0.00 15-30 30/07U 37,367,190.00 3.52
9,585,000.00 ITALIAN REPUB INDEX 0.1 18-23 15/05S 9,266,466.38 0.88 159,500.00 SPAIN STRIP 0.00 10-20 30/04U 160,091.75 0.02
Luxembourg 43,831,364.80 4.15 352,271.00 SPAIN STRIP 0.00 05-31 31/01U 279,481.24 0.03
63,500.00 SPAIN BTS PP STRIP 0.00 01-22 30/07U 62,678.31 0.01
1,726,000.00 NESTLE FINANCE 1.75 12-22 12/09A 1,833,564.32 0.17 423,500.00 SPAIN STRIP 0.00 11-21 30/04U 422,885.93 0.04
2,561,000.00 EFSF 0.75 17-27 03/05A 2,565,276.87 0.24 57,400.00 SPAIN STRIP 0.00 98-25 31/01U 54,042.67 0.01
31,251,000.00 EFSF 2.00 28-28 17/02A 33,308,878.35 3.16 677,580.00 SPAIN STRIP 0.00 05-33 31/01U 504,546.40 0.05
733,000.00 RICHEMONT INTL 1.00 18-26 26/03A 733,403.15 0.07 95,967.00 BON Y OBLIG ESTADO 0.00 05-36 31/01U 65,127.04 0.01
5,379,000.00 EFSF 1.75 18-53 17/07A 5,390,242.11 0.51 360,650.00 SPAIN STRIP 0.00 09-19 31/10U 361,818.51 0.03
Netherlands 29,528,475.42 2.79 1,192,800.00 SPAIN STRIP 0.00 05-34 31/01U 863,730.34 0.08
1,044,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 1,263,365.28 0.12 Sweden 663,720.00 0.06
56,000.00 ABN AMRO BANK NV 3.50 10-22 21/09A 63,564.48 0.01 600,000.00 SKANDINAV ENSKIL BK 4.125 11-21 07/04A 663,720.00 0.06
80,000.00 ING BANK 4.00 10-20 17/01A 84,501.60 0.01
United Kingdom 7,891,334.67 0.75
8,521,000.00 ABN AMRO BANK EMTN 4.25 11-21 06/04A 9,465,041.59 0.89
817,000.00 BANK V.NED.GEM. 1.50 13-20 15/04A 840,962.61 0.08 1,400,000.00 HBOS TREASURY SERV. 4.875 04-19 04/06A 1,449,042.00 0.14
4,155,000.00 NIBC BANK NV 1.75 13-18 10/08A 4,156,495.80 0.39 1,700,000.00 NATIONWIDE BUILDING 4.375 07-22 28/02A 1,943,117.00 0.18
1,079,000.00 NIBC BANK 1.25 14-19 08/04A 1,087,675.16 0.10 2,109,000.00 UBS LONDON 4.00 10-22 08/04A 2,395,929.45 0.22
5,274,000.00 BMW FINANCE 0.875 15-20 17/11A 5,370,092.28 0.51 1,014,000.00 NATIONWIDE BUILDING 4.625 11-21 08/02A 1,125,458.88 0.11
100,000.00 AEGON BANK 0.25 16-23 25/05A 99,735.00 0.01 279,000.00 ASB FINANCE 0.625 17-24 18/10A 278,012.34 0.03
4,073,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 4,135,520.55 0.39 600,000.00 YORKSHIRE BUILDG 0.375 17-23 11/04A 599,832.00 0.06
2,254,000.00 UNILEVER 1.375 17-29 31/07A 2,245,524.96 0.21 100,000.00 NATIONWIDE BUILDING 0.50 17-24 23/02U 99,943.00 0.01
600,000.00 COOPERATIEVE RABOBANK 0.875 18-28 08/02A 599,016.00 0.06 United States of America 8,813,452.22 0.83
117,000.00 BMW FINANCE NV 0.5000 18-22 22/11A 116,980.11 0.01
4,054,000.00 MICROSOFT 3.125 13-28 06/12A 4,839,908.44 0.45
Norway 4,483,912.90 0.42 1,766,000.00 BMW US CAP 1.125 15-21 18/09A 1,815,589.28 0.17
1,180,000.00 DNB BOLIGKREDITT 2.75 12-22 21/03A 1,287,922.80 0.12 489,000.00 PROCTER & GAMBLE C 1.125 15-23 02/11 504,652.89 0.05
400,000.00 TERRA BOLIGKREDITT 2.125 13-23 30/01A 431,848.00 0.04 1,643,000.00 NESTLE HOLDING 0.875 17-25 18/07A 1,653,301.61 0.16
1,410,000.00 DNB BOLIGKREDITT 102 1.125 13-18 12/11A 1,412,481.60 0.13 Floating rate bonds 24,860,511.11 2.35
1,350,000.00 SBANKEN BOLIG. 0.375 18-23 26/04A 1,351,660.50 0.13
Australia 2,132,219.88 0.20
Portugal 22,592,686.50 2.14
2,124,000.00 ANZ BANKING GROUP FL.R 14-19 28/10Q 2,132,219.88 0.20
4,764,964.00 PORTUGAL REPU OF 4.10 06-37 15/04A 5,769,561.36 0.55 Canada 4,953,107.79 0.47
50,000.00 PORTUGUESE OT'S 4.75 09-19 14/06A 51,779.50 0.00
14,474,146.25 PORTUGAL 3.85 05-21 15/04A 15,874,954.13 1.51 3,640,000.00 TORONTO DOMINION BK FL.R 15-20 08/09Q 3,665,516.40 0.35
738,415.00 PORTUGAL 4.10 15-45 15/02A 896,391.51 0.08 1,065,000.00 BANK OF MONTREAL FL.R 17-21 28/09Q 1,072,337.85 0.10
213,000.00 BANK OF NOVA SCOTIA FL.R 18-22 05/10Q 215,253.54 0.02
Spain 157,008,613.11 14.85
Finland 1,759,579.12 0.17
300,000.00 SPAIN 0.00 05-37 31/01U 200,025.00 0.02
6,122,600.00 SPAIN STRIP 0.00 98-29 31/01A 5,152,290.35 0.49 1,012,000.00 NORDEA BANK FL.R 17-21 27/09Q 1,021,128.24 0.10
2,905,000.00 SPANISH 4.00 10-20 30/04A 3,099,170.20 0.29 736,000.00 OP CORPORATE BANK FL.R 15-20 11/03Q 738,450.88 0.07
28,706,000.00 SPAIN 5.50 11-21 30/04A 32,775,936.68 3.10 France 1,496,980.40 0.14
1,000.00 SPANISH GOV'T 5.90 11-26 30/07A 1,353.74 0.00
90,000.00 CIE FIN. FONCIER FL.R 04-24 06/08Q 90,932.40 0.01
7,414,750.00 SPANISH STRIP 0.00 01-28 30/07U 6,327,970.09 0.60
1,400,000.00 TOTAL CAPITAL SA FL.R 14-20 19/03Q 1,406,048.00 0.13
13,080,000.00 SPAIN 5.85 11-22 31/01A 15,553,035.60 1.47
3,630,000.00 SPAIN 3.75 13-18 31/10A 3,641,906.40 0.34 Italy 492,075.00 0.05
629,000.00 SPAIN 3.80 14-24 30/04A 734,539.91 0.07 500,000.00 CCTS EU FL.R 14-20 15/12S 492,075.00 0.05
20,100,000.00 SPAIN STRIP 0.00 10-25 30/07U 18,790,083.00 1.78 Netherlands 3,863,604.84 0.37
1,100,000.00 SPAIN STRIP 0.00 10-20 30/04U 1,104,213.00 0.10
197,600.00 ESPAGNE STRIP 0.00 05-30 31/01U 161,285.07 0.02 1,893,000.00 RABOBANK NL FL.R 14-19 20/03Q 1,897,278.18 0.18
13,900,000.00 SPAIN STRIP 2.75 14-24 31/10A 15,513,234.00 1.47 1,959,000.00 SHELL INTL FINANCE FL.R 15-19 15/09Q 1,966,326.66 0.19
300,000.00 SPAIN STRIP 0.00 10-41 30/07U 169,353.00 0.02 United Kingdom 8,315,471.78 0.78
197,000.00 SPAIN 1.60 15-25 30/04A 205,985.17 0.02
8,269,000.00 UBS AG FL.R 18-21 23/04Q 8,315,471.78 0.78
36,000.00 SPAIN 0.75 16-21 30/07A 36,737.28 0.00
United States of America 1,847,472.30 0.17
37,000.00 SPAIN 2.35 17-33 30/07A 38,808.93 0.00
24,600,000.00 SPAIN STRIP 0.00 14-44 31/10U 12,297,294.00 1.16 1,845,000.00 PFIZER INC FL.R 17-19 06/03Q 1,847,472.30 0.17
1,109,600.00 SPAIN STRIP 0.00 05-37 31/01U 731,248.59 0.07
47,153.00 SPAIN STRIP 0.00 98-22 31/01U 46,844.15 0.00

The accompanying notes form an integral part of these financial statements

239
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Transferable securities dealt in on another regulated market 267,527,396.74 25.31 230,000.00 ITALY BTP 1.60 16-26 01/06S 211,130.80 0.02
1,398,000.00 ITALY INFL. INDEX 0.10 16-22 15/05S 1,412,129.58 0.13
Bonds 262,595,502.00 24.84
9,191,000.00 ITALIE 0.45 16-21 01/06S 8,921,703.70 0.84
Belgium 13,307,707.98 1.26 3,620,000.00 ITALY BOT 0.10 16-19 15/04S 3,615,330.20 0.34
396,555.88 BELGIQUE OLO STRIP 0.00 10-19 28/09U 398,617.97 0.04 3,195,000.00 ITALY INFL. INDEX 1.30 16-28 15/05S 3,146,884.77 0.30
1,447,134.44 BELGIUM KINGDOM 79 0.20 16-23 22/10A 1,453,718.90 0.14 4,172,000.00 ITALY 1.85 17-24 15/05S 4,019,555.12 0.38
9,549,090.23 BELGIUM KINGDOM 2.25 17-57 22/06A 10,425,410.24 0.98 1,601,000.00 ITALY 0.35 17-20 15/06S 1,583,164.86 0.15
1,000,000.00 BELGIUM BE-STRIP MR2 0.00 98-22 28/03U 1,008,220.00 0.10 77,000.00 ITALY TREASURY BONDS 0.90 17-22 01/08S 73,699.78 0.01
25,458.88 BELGIUM BE-STRIP 0.00 04-32 28/03U 21,740.87 0.00 4,932,000.00 ITALY 1.45 17-24 15/10S 4,598,794.08 0.43
5,000.00 ITALY STRIP 0.00 13-43 01/09 1,806.65 0.00
France 6,316,881.00 0.60
Portugal 8,311,446.89 0.79
200,000.00 BPCE 4.00 11-22 23/03A 227,386.00 0.02
500,000.00 REGION ILE DE FRANCE 0.625 15-27 23/04A 494,695.00 0.05 2,026,021.81 PORTUGAL 5.65 13-24 15/02A 2,528,434.70 0.24
5,000,000.00 BPIFRANCE FINANCE 2.50 13-24 25/05A 5,594,800.00 0.53 3,953,422.90 PORTUGAL REGS 144A 4.125 17-27 14/04A 4,704,494.18 0.45
1,101,754.00 OBRIGACOES DO T 2.2500 18-34 18/04A 1,078,518.01 0.10
Germany 210,619.75 0.02
Spain 123,693,658.89 11.69
209,000.00 UNICREDIT BANK 0.125 15-21 09/04A 210,619.75 0.02
Italy 110,554,615.49 10.46 2,326,000.00 SPAIN 4.80 08-24 31/01A 2,830,183.76 0.27
112,000.00 SPAIN GOVT 5.40 13-23 31/01A 136,150.56 0.01
956,384.00 ITALY STRIP 00.00 00-30 01/11U 629,797.99 0.06 5,162,400.00 SPAIN STRIP 0.00 98-24 31/01U 4,972,475.30 0.47
5,090,652.59 ITALY BTPS STRIP 0.00 03-34 01/02U 2,958,483.66 0.28 668,000.00 SPAIN 1.40 14-20 31/01A 682,956.52 0.06
541,623.35 ITALY STRIPS 0.00 98-19 01/05U 540,464.28 0.05 1,555,000.00 SPAIN 2.15 15-25 31/10A 1,674,766.10 0.16
449,843.16 ITALY STRIPS 0.00 98-21 01/05U 429,523.74 0.04 364,000.00 SPAIN 1.15 15-20 30/07A 372,939.84 0.04
205,475.05 ITALY STRIPS 0.00 98-23 01/05U 183,935.10 0.02 321,000.00 SPAIN 3.45 16-66 30/07A 370,690.80 0.04
1,444,225.00 ITALY STRIPS 0.00 98-22 01/05U 1,336,038.11 0.13 3,450,700.00 SPAIN STRIP 0.00 10-41 30/0 1,934,980.03 0.18
1,802,375.00 ITALY BTP CPN STRIP 0.00 02-28 01/02U 1,339,723.36 0.13 2,435,350.00 SPAIN STRIP 0.00 01-30 30/07U 1,965,083.92 0.19
12,500.00 ITALY BTP-STRIPS CPON 0.00 07-38 01/08U 5,904.13 0.00 1,324,600.00 SPAIN STRIP 0.00 05-32 31/01U 1,018,908.81 0.10
5,166,224.00 ITALY BTP CPN STRIP 0.00 02-30 01/02U 3,526,051.20 0.33 3,779,400.00 SPAIN STRIP 0.00 98-27 31/01U 2,438,620.06 0.23
6,109,360.43 ITALY BTP CPN STRIP 0.00 02-24 01/02U 5,308,423.28 0.50 841,200.00 SPAIN STRIP 0.00 07-35 30/07U 581,412.20 0.05
3,539,625.00 ITALY BTP 0.00 98-28 01/05S 2,603,429.58 0.25 1,954,223.00 SPAIN STRIP 0.00 07-39 30/07U 1,166,202.12 0.11
1,502,375.00 ITALY STRIP 0.00 98-27 01/05U 1,150,804.23 0.11 10,276,400.00 SPAIN STRIP 0.00 01-29 30/07U 8,502,179.54 0.80
2,162,375.00 ITALY STRIP 0.00 02-27 01/02U 1,668,358.81 0.16 4,717,400.00 SPAIN STRIP 0.00 07-40 30/07U 4,207,496.23 0.40
1,340,904.33 ITALY STRIP 0.00 02-30 01/08U 893,913.87 0.08 7,300,000.00 SPAIN STRIP 0.00 09-19 31/10U 7,325,769.00 0.69
5,303,575.86 ITALY STRIP 0.00 02-31 01/02U 3,447,165.20 0.33 4,157,400.00 SPAIN STRIP 0.00 07-33 30/07U 3,058,474.46 0.29
6,318,375.00 ITALY STRIP 0.00 02-29 01/02U 4,506,833.70 0.43 8,534,809.00 SPAIN STRIP 0.00 01-24 30/0 8,118,993.11 0.77
1,874,734.06 ITALY BTP STRIP 0.00 02-28 01/08U 1,367,599.75 0.13 2,430,500.00 SPAIN STRIP 0.00 07-40 30/07U 1,403,297.79 0.13
44,500.00 ITALY CTZ 0.00 07-37 01/08U 22,326.10 0.00 2,025,300.00 SPAIN STRIP 0.00 01-21 30/07U 2,016,510.20 0.19
7,312,625.00 ITALY CPN STR 02/33 0.00 02-23 01/02U 6,589,113.88 0.62 2,286,800.00 SPAIN STRIP 0.00 07-34 30/07U 1,628,864.77 0.15
5,508,375.00 ITALY BTP STRIP 0.00 02-25 01/02U 4,607,810.77 0.44 209,300.00 SPAIN STRIP 0.00 01-25 30/07U 195,320.85 0.02
459,611.00 ITALY STRIP 0.00 02-32 01/02U 287,059.24 0.03 4,315,500.00 SPAIN STRIP 0.00 07-38 30/07U 2,681,306.46 0.25
4,142,763.50 ITALY STRIP 0.00 02-21 01/02U 3,988,611.27 0.38 3,400,000.00 SPAIN 0.00 10-20 31/10U 3,406,222.00 0.32
1,098,375.00 ITALY STRIP 0.00 02-27 01/08U 829,855.26 0.08 3,635,820.00 SPAIN STRIP 0.00 10-19 30/04U 3,642,909.85 0.34
1,279,793.79 ITALY CPN STR 96/26 0.00 98-24 01/11U 1,083,703.79 0.10 298,400.00 SPAIN STRIP 0.00 98-28 31/01U 258,632.23 0.02
6,026,549.05 ITALY CPN STR 02/33 0.00 02-29 01/08U 4,199,299.38 0.40 1,192,800.00 SPAIN STRIP 0.00 05-37 31/01U 836,999.69 0.08
289,088.00 ITALY STRIP 0.00 98-26 01/05U 230,738.48 0.02 8,100,000.00 KINGDOM OF SPAIN 0.0 13-18 31/10U 8,102,511.00 0.77
200,327.34 ITALY STRIP 0.00 07-39 01/08U 90,872.49 0.01 12,752,950.00 SPAIN STRIP 0.00 01-32 30/07U 9,687,650.94 0.92
2,753,415.07 ITALY BTP STRIPS 0.00 98-24 01/05U 2,375,288.58 0.22 2,502,500.00 SPAIN STRIP 0.00 07-36 30/07U 1,671,569.90 0.16
382,625.00 ITALY BTP STRIPS 0.00 98-28 01/11U 275,880.28 0.03 43,300,000.00 SPAIN STRIP 0.00 07-37 30/07U 25,356,480.00 2.40
1,112,379.00 ITALY BTP STRIPS 0.00 00-30 01/05U 750,499.86 0.07 4,364,002.00 SPAIN STRIP 0.00 01-31 30/07U 3,417,100.85 0.32
12,634,610.59 ITALY STRIP 0.00 00-31 01/05U 8,206,558.62 0.78 8,000,000.00 KINGDOM OF SPAIN 0.0 15-20 31/01U 8,030,000.00 0.76
548,077.00 ITALY STRIP 0.00 03-34 01/08U 316,815.91 0.03
United States of America 200,572.00 0.02
450,000.00 ITALY BTPS STRIP 0.00 06-21 01/08U 427,675.50 0.04
1,281,719.89 ITALY CPN STR 02/33 0.00 03-19 01/02U 1,280,771.42 0.12 200,000.00 PFIZER INC 0.00 17-20 06/03U 200,572.00 0.02
160,000.00 ITALY CPN STR 96/26 0.00 98-26 01/11U 125,776.00 0.01 Floating rate bonds 4,931,894.74 0.47
7,525,505.32 ITALY BTP CPN STRIP 0.00 04-20 01/02U 7,435,349.77 0.70
Italy 172,593.12 0.02
975,969.49 ITALY STRIP 0.00 08-23 01/08U 868,681.16 0.08
1,360,000.00 ITALIE BTP 0.65 15-20 01/11S 1,343,367.20 0.13 186,000.00 CCTS EU FL.R 16-24 15/02S 172,593.12 0.02
6,060,000.00 ITALY BTP 0.95 16-23 15/03S 5,737,911.00 0.54

The accompanying notes form an integral part of these financial statements

240
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
Norway 100,317.00 0.01

100,000.00 DNB BK ASA 611 FL.R 15-20 13/01Q 100,317.00 0.01


Sweden 4,658,984.62 0.44

4,621,000.00 SEB FL.R 16-20 26/05U 4,658,984.62 0.44


Total securities portfolio 1,053,477,473.37 99.65

The accompanying notes form an integral part of these financial statements

241
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
Italy 19,908,355.27 11.36
Long positions 173,949,769.21 99.25
9,484,000.00 ITALY BTP 4.25 03-19 01/02S 9,609,093.96 5.48
Other transferable securities 9,820,632.05 5.60 2,465,000.00 ITALY BTP 4.50 08-19 01/03S 2,508,063.55 1.43
Bonds 9,276,013.58 5.29 483,000.00 ITALY INFL INDEX 2.10 10-21 15/09S 564,495.18 0.32
4,095,000.00 ITALY BTP 5.50 12-22 01/09S 4,610,314.80 2.63
France 1,886,492.00 1.08
1,230,000.00 ITALY BTPS 4.50 13-23 01/05S 1,344,623.70 0.77
100,000.00 DEXIA CRED LOCAL 0.625 17-24 03/02A 101,072.00 0.06 868,000.00 ITALY BTP 3.50 13-18 01/12S 873,017.04 0.50
1,800,000.00 AFD 0.125 17-23 15/11A 1,785,420.00 1.02 399,000.00 ITALY BTP 0.70 15-20 01/05S 396,877.32 0.23
Spain 7,389,521.58 4.21 1,000.00 ITALY BOT 2.00 15-25 01/12S 949.16 0.00
1,000.00 ITALIE BTP 0.65 16-23 15/10S 920.56 0.00
5,124,000.00 SPAIN 1.95 16-26 30/04A 5,429,646.60 3.09
Luxembourg 4,692,814.23 2.68
1,946,000.00 SPAIN 0.40 17-22 30/04A 1,959,874.98 1.12
Floating rate bonds 544,618.47 0.31 1,000.00 BEI 2.50 10-19 16/09A 1,028.70 0.00
2,122,000.00 NESTLE FINANCE 1.75 12-22 12/09A 2,254,243.04 1.29
Canada 434,133.37 0.25
131,000.00 RICHEMONT INTL 1.00 18-26 26/03A 131,072.05 0.07
431,000.00 ROYAL BK CANADA FL.R 18-20 24/07Q 434,133.37 0.25 2,311,000.00 EFSF 0.40 18-25 17/02A 2,306,470.44 1.32
Netherlands 110,485.10 0.06 Netherlands 3,630,832.01 2.07
110,000.00 RABOBANK NEDERLAND FL.R 15-20 29/05Q 110,485.10 0.06 590,000.00 RABOBANK NEDERL.EMTN 4.75 07-22 06/06A 686,087.40 0.39
Transferable securities admitted to an official stock exchange 109,976,135.09 62.75 60,000.00 BNG 798 3.875 09-19 04/11A 62,847.00 0.04
listing 32,000.00 RABOBANK REG S 2256A 4.125 10-25 14/07A 38,723.84 0.02
Bonds 93,442,128.81 53.32
2,271,000.00 NIBC BANK 1.25 14-19 08/04A 2,289,258.84 1.30
Australia 633,742.13 0.36 325,000.00 INGREGS 0.70 15-20 16/04A 329,111.25 0.19
427,000.00 NATIONAL AUSTRALIA BK 0.875 15-22 20/01A 433,618.50 0.25 114,000.00 BMW FINANCE 0.875 15-20 17/11A 116,077.08 0.07
193,000.00 NATL AUS BK REGS 1.375 14-21 28/05A 200,123.63 0.11 48,000.00 BK NEDERLANDSE GEMEEN 0.375 15-22 14/01A 48,736.80 0.03
60,000.00 BMW FINANCE NV 0.5000 18-22 22/11A 59,989.80 0.03
Belgium 9,440,519.75 5.39
Norway 209,532.00 0.12
3,475,174.09 BELGIAN 4.00 09-19 28/03A 3,553,261.25 2.03
216,000.00 BELGIUM KINGDOM 64 4.50 11-26 28/03A 279,992.16 0.16 100,000.00 DEN NORSKE BANK 4.375 11-21 24/02S 110,342.00 0.06
407,000.00 BELGIUM OLO REGS/144A 0.80 15-25 22/06A 418,123.31 0.24 100,000.00 SPAR VEST BOLIGKREDIT 0.125 18-23 15/03A 99,190.00 0.06
5,082,611.01 BELGIUM BE-STRIP 0.00 12-22 28/09U 5,110,209.59 2.91 Portugal 4,196,800.22 2.39
81,018.03 BELGIUM BE-STRIP 0.00 98-25 28/03U 78,933.44 0.05
349,353.75 PORTUGAL 3.85 05-21 15/04A 383,164.21 0.22
Canada 551,677.50 0.31 3,465,114.77 PORTUGAL 2.875 15-25 15/10A 3,813,636.01 2.17
550,000.00 TORONTO DOMINION BK 0.25 15-22 27/04A 551,677.50 0.31 Spain 33,300,878.83 19.01
Finland 389,259.42 0.22 741,000.00 SPAIN 5.50 11-21 30/04A 846,058.98 0.48
363,000.00 NORDEA BANK EMTN 4.00 10-20 29/06A 389,259.42 0.22 377,000.00 SPAIN 5.85 11-22 31/01A 448,279.39 0.26
France 1,062,921.05 0.61 2,486,000.00 SPAIN 3.75 13-18 31/10A 2,494,154.08 1.42
5,134,000.00 SPAIN 3.80 14-24 30/04A 5,995,433.86 3.42
18,000.00 CIE FIN FONCIER 4.875 09-21 25/05A 20,363.04 0.01 5,700,000.00 SPAIN STRIP 0.00 10-25 30/07U 5,328,531.00 3.04
100,000.00 BPCE 3.75 11-21 13/09A 111,182.00 0.06 14,989,000.00 SPAIN STRIP 2.75 14-24 31/10A 16,728,623.34 9.55
89,000.00 CIE DE FIN.FONCIER 2.375 12-22 21/11A 96,995.76 0.06 14,000.00 SPAIN 1.60 15-25 30/04A 14,638.54 0.01
825,000.00 BPCE SFH 0.375 15-20 28/07A 834,380.25 0.48 1,097,000.00 SPAIN 0.75 16-21 30/07A 1,119,466.56 0.64
Germany 1,104,777.26 0.63 141,000.00 SPAIN STRIP 0.00 98-22 31/01U 140,076.45 0.08
188,050.00 SPAIN BTS PP STRIP 0.00 01-22 30/07U 185,616.63 0.11
31,000.00 NORTH RHINE W 1229 1.50 13-21 14/01A 32,305.72 0.02
4,000.00 COMMERZBANK REGS 1.00 14-19 05/02A 4,018.92 0.00 United Kingdom 1,661,841.32 0.95
1,041,000.00 KFW 0.00 16-21 30/06A 1,048,516.02 0.60 59,000.00 UBS LONDON 3.875 09-19 02/12A 61,892.77 0.04
20,000.00 LB BADEN-WUERTTEMB 0.375 17-25 27/02A 19,936.60 0.01 1,000.00 UBS LONDON 4.00 10-22 08/04A 1,136.05 0.00
Ireland 12,433,779.61 7.09 1,350,000.00 UBS AG LONDON 1.25 14-21 03/09A 1,392,052.50 0.79
200,000.00 LLOYDS BANK 1.375 15-22 08/09A 206,760.00 0.12
12,320.00 IRISH GOVT TREASURY 4.50 04-20 18/04A 13,264.32 0.01
6,279,646.33 IRELAND 4.40 08-19 18/06A 6,501,694.62 3.71 United States of America 224,398.21 0.13
14,760.00 IRISH GOVT TREASURY 5.90 09-19 18/10A 15,756.00 0.01 223,000.00 NESTLE HOLDING 0.875 17-25 18/07A 224,398.21 0.13
3,255,387.18 IRISH GOVT TREASURY 5.00 10-20 18/10A 3,617,353.68 2.06
Floating rate bonds 16,534,006.28 9.43
1,951,647.49 IRELAND 3.90 13-23 20/03A 2,285,710.99 1.30
Canada 7,332,589.26 4.17

5,969,000.00 TORONTO DOMINION BK FL.R 15-20 08/09Q 6,010,842.69 3.42

The accompanying notes form an integral part of these financial statements

242
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
100,000.00 BANK OF NOVA SCOTIA FL.R 15-20 14/01Q 100,389.00 0.06
1,213,000.00 BANK OF MONTREAL FL.R 17-21 28/09Q 1,221,357.57 0.69
Finland 2,884,788.18 1.65

2,859,000.00 NORDEA BANK FL.R 17-21 27/09Q 2,884,788.18 1.65


Netherlands 3,394,029.16 1.94

1,775,000.00 RABOBANK NL FL.R 14-19 20/03Q 1,779,011.50 1.02


1,609,000.00 SHELL INTL FINANCE FL.R 15-19 15/09Q 1,615,017.66 0.92
United Kingdom 2,922,599.68 1.67

2,912,000.00 LLOYDS BANK FL.R 14-19 10/09Q 2,922,599.68 1.67


Transferable securities dealt in on another regulated market 54,153,002.07 30.90

Bonds 54,121,452.79 30.88


Belgium 11,037,957.83 6.30

747,883.18 BELGIQUE OLO STRIP 0.00 10-19 28/09U 751,772.17 0.43


1,000.00 BELGIUM BE-STRIP 0.00 10-20 28/09U 1,009.10 0.00
10,201,321.70 BELGIUM BE-STRIP MR2 0.00 98-22 28/03U 10,285,176.56 5.87
France 223,792.00 0.13

200,000.00 BPIFRANCE FINANCE 2.50 13-24 25/05A 223,792.00 0.13


Italy 16,379,874.83 9.35

1,629,358.59 ITALY STRIPS 0.00 98-19 01/05U 1,625,871.76 0.93


500,000.00 ITALY BTP-STRIPS CPON 0.00 02-20 01/08U 486,890.00 0.28
5,675,455.80 ITALY STRIP 0.00 02-22 01/08U 5,203,598.40 2.98
109,625.00 ITALY STRIP 0.00 12-22 01/11U 99,903.46 0.06
229,883.91 ITALY BTPS STRIP 0.00 06-21 01/08U 218,479.37 0.12
250,000.00 ITALY CPN STR 02/33 0.00 03-19 01/02U 249,815.00 0.14
450,000.00 ITALY BTP CPN STRIP 0.00 04-20 01/02U 444,609.00 0.25
512,500.00 ITALY STRIP 0.00 08-23 01/08U 456,160.88 0.26
272,000.00 ITALIE BTP 0.65 15-20 01/11S 268,673.44 0.15
4,453,000.00 ITALY INFL. INDEX 0.10 16-22 15/05S 4,498,006.44 2.57
1,462,000.00 ITALY BOT 0.10 16-19 15/04S 1,460,114.02 0.83
1,429,000.00 ITALY TREASURY BONDS 0.90 17-22 01/08S 1,367,753.06 0.78
Portugal 6,834,171.54 3.90

5,476,186.75 PORTUGAL 5.65 13-24 15/02A 6,834,171.54 3.90


Spain 19,645,656.59 11.20

573,000.00 SPAIN GOVT 5.40 13-23 31/01A 696,555.99 0.40


10,033,000.00 SPAIN 1.40 14-20 31/01A 10,257,638.87 5.84
2,444,000.00 SPAIN STRIP 0.00 01-21 30/07U 2,433,393.04 1.39
1,800,000.00 SPAIN 0.00 10-20 31/10U 1,803,294.00 1.03
2,948,560.00 SPAIN STRIP 0.00 10-19 30/04U 2,954,309.69 1.68
1,500,000.00 KINGDOM OF SPAIN 0.0 13-18 31/10U 1,500,465.00 0.86
Floating rate bonds 31,549.28 0.02
Italy 31,549.28 0.02

34,000.00 CCTS EU FL.R 16-24 15/02S 31,549.28 0.02


Total securities portfolio 173,949,769.21 99.25

The accompanying notes form an integral part of these financial statements

243
AMUNDI US TREASURY 1-3

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
3,196,700.00 USA T NOTES INDEX 0.125 16-26 15/07S 3,169,510.59 12.58
Long positions 25,109,639.29 99.62
1,000.00 USA T NOTES 1.25 16-23 31/07S 923.86 0.00
Other transferable securities 121,625.18 0.48 3,208,900.00 USA TREASURY INDEXED 0.125 17-22 15/04S 3,231,378.59 12.83
4,921,100.00 ETATS-UNIS 2.75 18-25 30/06S 4,841,516.59 19.22
Floating rate bonds 121,625.18 0.48
Floating rate bonds 2,410,141.99 9.56
Australia 121,625.18 0.48
Australia 66,231.24 0.26
16,000.00 COMMONWEALTH BANK FL.R 17-20 10/03Q 16,047.68 0.06
105,000.00 COMMONWEALTH BANK FL.R 17-22 10/03Q 105,577.50 0.42 43,000.00 COMMONWEALTH BK AUS FL.R 16-19 07/11Q 43,206.40 0.17
23,000.00 WETPAC BANK CORP FL.R 18-21 25/01Q 23,024.84 0.09
Transferable securities admitted to an official stock exchange 22,735,136.09 90.20
listing Canada 710,224.01 2.82
Bonds 20,324,994.10 80.64
437,000.00 BANK OF MONTREAL FL.R 17-20 15/06Q 439,106.34 1.75
Canada 671,493.22 2.66 91,000.00 CANADIAN IMPERIAL BK FL.R 17-20 05/10Q 91,161.07 0.36
100,000.00 TORONTO DOMINION BK 2.125 16-21 07/04S 97,246.00 0.39 108,000.00 BANK OF NOVA SCOTI FL.R 17-22 07/03Q 108,745.20 0.43
13,000.00 PROV DE ONTARIO 2.40 17-22 08/02S 12,651.73 0.05 8,000.00 BANK OF NOVA SCOTIA FL.R 18-21 08/01Q 8,007.60 0.03
225,000.00 BANK OF MONTREAL 1.9 16-21 27/08S 216,200.25 0.85 2,000.00 TORONTO FL.R 18-21 25/01Q 2,000.06 0.01
205,000.00 EDC 1.0 16-19 14-09S 201,699.50 0.80 61,000.00 ROYAL BANK CANADA FL.R 18-21 30/04Q 61,203.74 0.24
14,000.00 BANK OF NOVA SCOTIA 2.125 14-19 11/09S 13,895.28 0.06 Netherlands 11,063.26 0.04
33,000.00 BANK OF NOVA SC 4.3750 11-21 13/01S 33,746.46 0.13
1,000.00 SHELL INTL FIN FL.R 16-19 12/09Q 1,003.36 0.00
100,000.00 TORONTO-DOMINION B 1.80 16-21 13/07S 96,054.00 0.38
10,000.00 SHELL INTERNATIONA FL.R 15-20 11/05Q 10,059.90 0.04
Finland 292,966.31 1.16
United Kingdom 1,303,479.24 5.17
301,000.00 FINLANDE 1.5 17-20 21/09S 292,966.31 1.16
435,000.00 UBS AG LONDON 1.8025 17-20 08/06 436,792.20 1.73
Germany 176,004.76 0.70
864,000.00 LLOYDS BANK PLC FL.R 18-21 07/05Q 866,687.04 3.44
149,000.00 KFW INT.FINANCE 2.625 12-22 25/01S 147,097.27 0.59 United States of America 319,144.24 1.27
29,000.00 KFW 1.5 16-19 06/02S 28,907.49 0.11
9,000.00 INTEL FL.R 17-20 11/05Q 9,003.96 0.04
Japan 625,512.44 2.48
100,000.00 IBM CREDIT CORP FL.R 17-21 20/01Q 100,327.00 0.40
674,000.00 JBIC 2.125 15-25 10/02S 625,512.44 2.48 137,000.00 INTEL CORP FL.R 17-22 11/05Q 138,052.16 0.55
Luxembourg 970.49 0.00 71,000.00 APPLE INC FL.R 17-22 11/05Q 71,761.12 0.28

1,000.00 EIB 2.25 15-22 15/08S 970.49 0.00 Transferable securities dealt in on another regulated market 2,252,878.02 8.94
Netherlands 420,652.92 1.67 Bonds 2,252,878.02 8.94
417,000.00 COOP EMTN TR76 3.875 12-22 08/02S 420,652.92 1.67 United States of America 2,252,878.02 8.94
United States of America 18,137,393.96 71.97 107,400.00 US TREASURY INDEXEE 0.375 15-25 15/07S 110,510.67 0.44
17,000.00 USA TREASURY BONDS 7.50 94-24 15/11S 21,269.93 0.08 2,064,100.00 US TREASURY INDEXE 0.625 16-26 15/01S 2,142,367.35 8.50
20,000.00 USA TREASURY BONDS 6.875 95-25 15/08S 24,784.37 0.10 Total securities portfolio 25,109,639.29 99.62
27,800.00 USA TREASURY BOND 8.125 91-21 15/05S 31,468.29 0.12
14,200.00 USA TREASURY BONDS 7.625 92-15 11/22S 16,780.96 0.07
1,859,700.00 US TREASURY NOTE 3.125 09-19 15/05S 1,867,182.39 7.41
160,000.00 USA T NOTES 1.75 11-18 31/10S 159,943.75 0.63
739,500.00 US T-NOTE B-2023 2.00 13-23 15/02S 711,046.58 2.82
154,500.00 USA T NOTES 1.750 13-23 15/05S 146,533.60 0.58
107,800.00 USA T NOTES 1.125 13-20 30/04S 105,067.10 0.42
1,271,700.00 US TREAS N C-2024 2.50 14-24 15/05S 1,240,255.23 4.92
39,000.00 USA T-NOTES 1.50 14-19 31/05S 38,748.64 0.15
68,700.00 US TREAS AA 2019 1.625 14-19 30/06S 68,243.79 0.27
53,000.00 US TREASURY NOTE 2.00 14-21 31/08S 51,706.06 0.21
120,000.00 USA T NOTES 2.25 14-24 15/11S 114,989.06 0.46
20,800.00 USA T-NOTES 2.125 14-21 31/12S 20,302.75 0.08
53,000.00 USA TREASURY NOTES 1.50 15-22 31/01S 50,646.05 0.20
332,800.00 USA T NOTES 1.375 15-20 29/02S 326,508.00 1.30
53,000.00 USA TREASURY NOTES 1.75 15-22 28/02S 51,020.78 0.20
1,391,100.00 US TREASURY INDEXEE FL.R 15-20 15/04S 1,477,985.77 5.86
320,000.00 USA T NOTES 1.50 15-20 31/05S 313,312.50 1.24
55,000.00 VISA INC 3.15 15-25 14/12S 53,320.30 0.21
3,000.00 APPLE INC 2.85 16-23 23/02S 2,948.43 0.01

The accompanying notes form an integral part of these financial statements

244
AMUNDI US TREASURY 3-7

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Netherlands 115,688.85 0.75
Long positions 15,426,482.70 99.75
115,000.00 SHELL INTERNATIONA FL.R 15-20 11/05Q 115,688.85 0.75
Other transferable securities 54,154.10 0.35
Norway 122,092.72 0.79
Bonds 54,154.10 0.35 122,000.00 KOMMUNALBANKEN AS FL.R 14-19 02/05Q 122,092.72 0.79
Canada 54,154.10 0.35 United Kingdom 465,645.04 3.01
55,000.00 EXP ET DEV CANADA 1.625 17-20 17/01S 54,154.10 0.35 200,000.00 UBS AG LONDON 1.8025 17-20 08/06 200,824.00 1.30
Transferable securities admitted to an official stock exchange 12,797,186.44 82.75 264,000.00 LLOYDS BANK PLC FL.R 18-21 07/05Q 264,821.04 1.71
listing
Bonds 11,509,936.64 74.43 United States of America 8,034.48 0.05

Canada 922,920.96 5.97 8,000.00 WALMART FL.R 18-21 27/06Q 8,034.48 0.05
Transferable securities dealt in on another regulated market 2,575,142.16 16.65
130,000.00 PROVINCE QUEBEC 2.625 13-23 13/02A 126,733.10 0.82
14,000.00 PROV DE ONTARIO 2.40 17-22 08/02S 13,624.94 0.09 Bonds 2,575,142.16 16.65
670,000.00 EDC 1.0 16-19 14-09S 659,213.00 4.26
France 197,638.00 1.28
120,000.00 RBC 2.30 16-21 22/03S 117,394.80 0.76
6,000.00 BANK OF NOVA SCOTIA 2.125 14-19 11/09S 5,955.12 0.04 200,000.00 AFD 1.375 16-19 02/08A 197,638.00 1.28
Germany 99,025.12 0.64 United States of America 2,377,504.16 15.37

10,000.00 KRED.ANST.WIEDERAUFB. 2.50 14-24 20/11S 9,651.60 0.06 1,941,800.00 US TREASURY INDEXEE 0.375 15-25 15/07S 1,998,041.20 12.92
1,000.00 KFW 1.5 16-19 06/02S 996.81 0.01 365,600.00 US TREASURY INDEXE 0.625 16-26 15/01S 379,462.96 2.45
86,000.00 KFW 2.375 18-22 29/12S 83,610.06 0.54 Total securities portfolio 15,426,482.70 99.75
5,000.00 LANDWIRT 2.375 15-25 10/06S 4,766.65 0.03
Luxembourg 145,419.36 0.94

4,000.00 EIB 2.25 15-22 15/08S 3,881.96 0.03


145,000.00 BEI 2.375 17-22 15/06S 141,537.40 0.91
Netherlands 120,713.24 0.78

116,000.00 COOP EMTN TR76 3.875 12-22 08/02S 117,016.16 0.76


4,000.00 SHELL INTL FIN 2.50 16-26 12/09S 3,697.08 0.02
United States of America 10,221,857.96 66.10

219,500.00 USA TREASURY INF.INDX 3.625 98-28 15/04S 424,842.43 2.75


137,200.00 USA TREASURY NTS INDX 1.75 08-28 15/01S 176,708.04 1.14
687,200.00 USA T NOTES 1.75 11-18 31/10S 686,958.41 4.44
625,000.00 US T-NOTE B-2023 2.00 13-23 15/02S 600,952.15 3.89
76,600.00 US TREAS AA 2019 1.625 14-19 30/06S 76,091.32 0.49
1,258,100.00 US TREASURY INDEXEE FL.R 15-20 15/04S 1,336,678.82 8.64
663,900.00 USA T NOTES 1.50 15-20 31/05S 650,025.53 4.20
196,300.00 USA TREASURY NOTES 1.625 15-20 30/06S 192,389.33 1.24
124,000.00 VISA INC 3.15 15-25 14/12S 120,213.04 0.78
1,102,800.00 USA T NOTES INDEX 0.375 17-27 15/01S 1,098,588.95 7.10
1,382,500.00 TSY INFL INDEXEE 0.375 17-27 15/07S 1,360,994.71 8.81
555,900.00 USA INFL. INDEX0.5 18-28 15/01S 545,106.91 3.52
2,987,400.00 US TREASURY INDEX 0.75 18-28 15/07S 2,952,308.32 19.10
Floating rate bonds 1,287,249.80 8.32
Australia 117,561.60 0.76

117,000.00 COMMONWEALTH BK AUS FL.R 16-19 07/11Q 117,561.60 0.76


Canada 458,227.11 2.96

172,000.00 BANK OF MONTREAL FL.R 17-20 15/06Q 172,829.04 1.12


79,000.00 CANADIAN IMPERIAL BK FL.R 17-20 05/10Q 79,139.83 0.51
161,000.00 BANK OF NOVA SCOTI FL.R 17-22 07/03Q 162,110.90 1.05
2,000.00 BANK OF NOVA SCOTIA FL.R 18-21 08/01Q 2,001.90 0.01
36,000.00 ROYAL BANK CANADA FL.R 18-21 30/04Q 36,120.24 0.23
6,000.00 BANK OF MONTREAL FL.R 18-21 13/04Q 6,025.20 0.04

The accompanying notes form an integral part of these financial statements

245
AMUNDI US TREASURY 7-10

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
94,900.00 USA T NOTES 2.25 14-24 15/11S 90,937.18 0.04
Long positions 249,318,044.23 99.69
1,100.00 USA TREASURY NOTES 1.50 15-22 31/01S 1,051.15 0.00
Transferable securities admitted to an official stock exchange 232,591,283.85 93.00 1,100.00 USA TREASURY NOTES 1.75 15-22 28/02S 1,058.93 0.00
listing 390,000.00 INTEL CORP 3.70 15-25 29/07S 392,714.40 0.16
Bonds 195,095,468.02 78.01
406,500.00 WI TREASURY SEC. 1.375 15-20 30/09S 395,146.58 0.16
Australia 95,316.00 0.04 514,000.00 VISA INC 3.15 15-25 14/12S 498,302.44 0.20
100,000.00 WESTPAC BKING CORP 3.40 18-28 25/01S 95,316.00 0.04 38,000.00 PFIZER 2.75 16-26 03/06S 35,876.94 0.01
30,776,300.00 USA T NOTES INDEX 0.125 16-26 15/07S 30,514,533.37 12.20
Canada 949,477.88 0.38
1,000.00 USA T NOTES 1.25 16-23 31/07S 923.86 0.00
340,000.00 PROVINCE QUEBEC 2.625 13-23 13/02A 331,455.80 0.13 31,065,500.00 USA T NOTES INDEX 0.375 17-27 15/01S 30,946,876.20 12.36
400,000.00 CPD FINL REGS 3.15 14-24 24/07S 395,144.00 0.16 11,665,300.00 USA TREASURY INDEXED 0.125 17-22 15/04S 11,747,016.31 4.70
128,000.00 ROYAL BANK OF CANA 2.75 17-22 01/02S 125,422.08 0.05 3,836,500.00 TSY INFL INDEXEE 0.375 17-27 15/07S 3,776,821.84 1.51
100,000.00 PROVINCE QUEBEC 2.375 17-22 31/01S 97,456.00 0.04 1,000.00 IBRD 1.875 16-26 27/10S 908.88 0.00
Finland 218,021.44 0.09 200,000.00 COSTCO WHOLESALE C 3.00 17-27 18/05S 190,188.00 0.08
516,000.00 BMW US CAPITAL LLC 2 16-21 11/04S 499,663.44 0.20
224,000.00 FINLANDE 1.5 17-20 21/09S 218,021.44 0.09
300,000.00 NOVARTIS CAPITAL CORP 3.40 14-24 06/05S 300,201.00 0.12
Germany 449,247.40 0.18 13,637,100.00 US TREASURY NOTES 2.125 17-24 30/11S 12,969,095.18 5.19
29,000.00 KFW INT.FINANCE 2.625 12-22 25/01S 28,629.67 0.01 74,485,200.00 US TREASURY INDEX 0.75 18-28 15/07S 73,610,254.95 29.42
1,000.00 KRED.WIEDERAUFBAU 2.00 12-22 04/10S 960.38 0.00 100,000.00 CHEVRON CORP 2.566 16-23 26/05S 96,576.00 0.04
258,000.00 KRED.ANST.WIEDERAUFB. 2.50 14-24 20/11S 249,011.28 0.10 255,000.00 BID 2.625 18-21 19/04S 252,840.15 0.10
179,000.00 LANDWIRT 2.375 15-25 10/06S 170,646.07 0.07 200,000.00 IBM CORP 2.50 17-22 27/01S 194,920.00 0.08
94,000.00 CHEVRON CORP 3.326 15-25 17/11Q 92,532.66 0.04
Japan 742,014.14 0.30
Floating rate bonds 37,495,815.83 14.99
519,000.00 JBIC 2.125 15-25 10/02S 481,663.14 0.20
260,000.00 JBIC 3.375 13-23 31/07S 260,351.00 0.10 Australia 3,711,755.98 1.48

Luxembourg 2,601,699.73 1.04 4,000.00 WESTPAC BANKING FL.R 17-22 28/06Q 4,026.64 0.00
1,280,000.00 ANZ BANK NEW ZEALA FL.R 17-20 09/11Q 1,281,164.80 0.51
113,000.00 EIB 2.25 15-22 15/08S 109,665.37 0.04
670,000.00 WETPAC BANK CORP FL.R 18-21 25/01Q 670,723.60 0.27
2,553,000.00 BEI 2.375 17-22 15/06S 2,492,034.36 1.00
1,733,000.00 WESTPAC BANKING CO FL.R 16-21 19/08Q 1,755,840.94 0.70
Netherlands 897,717.26 0.36
Canada 14,834,958.97 5.93
800,000.00 COOP EMTN TR76 3.875 12-22 08/02S 807,008.00 0.32
1,212,000.00 CIBC FL.R 17-22 16/06Q 1,221,380.88 0.49
96,000.00 SHELL INTL FIN 2.50 16-26 12/09S 88,729.92 0.04
1,127,000.00 ROYAL BANK OF CANADA FL.R 17-22 01/02Q 1,140,501.46 0.46
2,000.00 BK NEDERLANDSE GEMEEN 2.625 14-21 28/04S 1,979.34 0.00
5,164,000.00 CANADIAN IMPERIAL BK FL.R 17-20 05/10Q 5,173,140.28 2.07
United States of America 189,141,974.17 75.62 56,000.00 ROYAL BANK OF CANADA FL.R 17-20 26/10Q 56,038.08 0.02
12,200.00 USA TREASURY BONDS 7.50 94-24 15/11S 15,264.29 0.01 1,202,000.00 BANK OF NOVA SCOTI FL.R 17-22 07/03Q 1,210,293.80 0.48
515,000.00 USA TREASURY BONDS 6.875 95-25 15/08S 638,197.65 0.26 341,000.00 BANK OF NOVA SCOTIA FL.R 18-21 08/01Q 341,323.95 0.14
651,900.00 USA TREASURY BOND 6.625 97-27 15/02S 825,060.93 0.33 258,000.00 TORONTO FL.R 18-21 25/01Q 258,007.74 0.10
2,901,200.00 USA TREASURY BONDS 6.125 97-27 15/11S 3,608,140.84 1.44 4,667,000.00 ROYAL BANK CANADA FL.R 18-21 30/04Q 4,682,587.78 1.87
47,600.00 USA TREASURY BOND 8.125 91-21 15/05S 53,880.97 0.02 500,000.00 CIBC FL.R 18-21 02/02Q 500,635.00 0.20
89,100.00 USA TREASURY BONDS 6.125 99-29 15/08S 114,145.45 0.05 250,000.00 BANK OF MONTREAL FL.R 18-21 13/04Q 251,050.00 0.10
1,145,100.00 USA TREASURY NOTES 5.50 98-28 15/08S 1,381,724.18 0.55 United Kingdom 12,157,480.76 4.86
87,000.00 USA TREASURY NOTES 5.25 98-28 15/11S 103,434.84 0.04
805,000.00 UBS LONDON REGS FL.R 17-20 01/12Q 806,288.00 0.32
150,000.00 IBM 5.875 02-32 29/11S 179,419.50 0.07
11,316,000.00 LLOYDS BANK PLC FL.R 18-21 07/05Q 11,351,192.76 4.54
706,200.00 USA TREASURY INF.INDX 3.625 98-28 15/04S 1,366,850.65 0.55
57,000.00 USA TREASURY NTS INDX 1.75 08-28 15/01S 73,413.69 0.03 United States of America 6,791,620.12 2.72
305,800.00 US TREASURY NT F-2020 2.625 10-20 15/11S 304,438.23 0.12 1,756,000.00 RABOBANK NEDERLAND NY FL.R 17-22 10/01Q 1,778,740.20 0.72
3,040,000.00 USA T NOTES 3.625 11-21 15/02S 3,092,725.00 1.24 57,000.00 UNITED PARCEL SERV 1.86289 17-23 01/04Q 57,292.41 0.02
6,512,400.00 US T-NOTE B-2023 2.00 13-23 15/02S 6,261,825.24 2.50 1,628,000.00 IBM CREDIT CORP FL.R 17-21 20/01Q 1,633,323.56 0.65
2,724,200.00 USA T NOTES 1.750 13-23 15/05S 2,583,733.44 1.03 2,058,000.00 INTEL CORP FL.R 17-22 11/05Q 2,073,805.44 0.84
47,000.00 CHEVRON 3.191 13-23 24/06S 46,663.01 0.02 1,000,000.00 US BANK NA CINCINNATI FL.R 18-21 26/04Q 1,002,080.00 0.40
350,000.00 IBM 3.625 14-24 12/02S 351,638.00 0.14 37,000.00 WALMART FL.R 18-21 27/06Q 37,159.47 0.01
982,500.00 US T-N K-2021 2.25 14-21 30/04S 967,570.60 0.39 207,000.00 APPLE INC FL.R 17-22 11/05Q 209,219.04 0.08
84,300.00 US TREAS N C-2024 2.50 14-24 15/05S 82,215.55 0.03
130,500.00 USA T NOTES 2.00 14-21 31/05S 127,604.53 0.05
1,100.00 US TREASURY NOTE 2.00 14-21 31/08S 1,073.15 0.00
362,400.00 US TREASURY NOTE 2.125 14-21 30/09S 354,514.97 0.14

The accompanying notes form an integral part of these financial statements

246
AMUNDI US TREASURY 7-10

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD
Transferable securities dealt in on another regulated market 16,726,760.38 6.69

Bonds 16,726,760.38 6.69


France 689,829.00 0.28

700,000.00 DEXIA CRED LOCAL FR 2.5 18-21 25/01S 689,829.00 0.28


United States of America 16,036,931.38 6.41

810,900.00 US TREASURY INDEXE 0.625 16-26 15/01S 841,648.02 0.34


14,587,700.00 USA T NOTES INDEX 0.125 16-21 15/04S 15,195,283.36 6.07
Total securities portfolio 249,318,044.23 99.69

The accompanying notes form an integral part of these financial statements

247
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR

Long positions 127,284,195.62 111.13

Transferable securities admitted to an official stock exchange 127,284,195.62 111.13


listing
Shares 127,284,195.62 111.13
Belgium 9,242,361.94 8.07

43,711.00 KBC GROUPE SA 2,801,875.10 2.45


85,622.00 AB INBEV 6,440,486.84 5.62
Germany 68,396,456.35 59.72

545,619.00 DEUTSCHE TELEKOM AG REG SHS 7,575,919.82 6.61


7,326.00 ALLIANZ SE REG SHS 1,406,592.00 1.23
114,355.00 BMW AG 8,886,527.05 7.76
11,314.00 CONTINENTAL AG 1,696,534.30 1.48
41,796.00 FRESENIUS SE & CO KGAA 2,643,179.04 2.31
26,016.00 MAN SE 2,436,398.40 2.13
14,524.00 MUENCHENER RUECKVERSICHERUNGS AG REG 2,770,453.00 2.42
SHS
43,272.00 SAP AG 4,586,832.00 4.00
77,723.00 DEUTSCHE LUFTHANSA AG REG SHS 1,644,618.68 1.44
84,824.00 SIEMENS AG REG 9,359,480.16 8.16
56,224.00 DEUTSCHE WOHNEN AG 2,323,175.68 2.03
4,781.00 WIRECARD AG 892,612.70 0.78
117,591.00 BAYER AG REG SHS 8,996,887.41 7.86
77,499.00 BASF SE REG SHS 5,932,548.45 5.18
11,220.00 ADIDAS NAMEN AKT 2,366,298.00 2.07
55,872.00 VONOVIA SE 2,351,093.76 2.05
12,407.00 LINDE AG 2,527,305.90 2.21
Luxembourg 1,849,494.80 1.61

69,011.00 ARCELORMITTAL - REGISTERED 1,849,494.80 1.61


Netherlands 31,120,764.03 27.17

64,549.00 AIRBUS GROUP 6,982,910.82 6.09


54,415.00 AKZO NOBEL NV 4,382,584.10 3.83
9,905.00 DSM KONINKLIJKE 903,732.20 0.79
71,616.00 UNILEVER NV 3,435,061.44 3.00
45,359.00 WOLTERS KLUWER 2,434,871.12 2.13
23,571.00 NN GROUP NV 905,833.53 0.79
103,266.00 ABN AMRO GROUP DEP RECEIPT 2,421,587.70 2.11
180,722.00 KONINKLIJKE AHOLD NV 3,569,259.50 3.12
544,074.00 ING GROEP 6,084,923.62 5.31
Spain 10,614,136.30 9.27

410,406.00 BANCO SANTANDER SA REG SHS 1,779,315.21 1.55


818,737.00 BANCO BILBAO VIZCAYA ARGENT SA REG 4,494,866.13 3.93
240,574.00 RED ELECTRICA 4,339,954.96 3.79
United Kingdom 6,060,982.20 5.29

204,936.00 ROYAL DUTCH SHELL PLC 6,060,982.20 5.29


Total securities portfolio 127,284,195.62 111.13

The accompanying notes form an integral part of these financial statements

248
AMUNDI INDEX MSCI USA SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
508.00 SEMPRA ENERGY 57,785.00 0.48
Long positions 12,110,450.51 99.70
608.00 MARRIOTT INTERNATIONAL -A- 80,274.24 0.66
Transferable securities admitted to an official stock exchange 12,110,450.51 99.70 647.00 AGILENT TECHNOLOGIES 45,639.38 0.38
listing 129.00 AGCO CORP 7,841.91 0.06
Shares 12,110,450.51 99.70
443.00 AIR PRODUCTS CHEMICALS INC 74,003.15 0.61
Bermuda 75,353.19 0.62 1,480.00 AMERICAN EXPRESS CO COM. 157,605.20 1.30
285.00 BUNGE LTD 19,582.35 0.16 2,040.00 APPLIED MATERIALS INC 78,846.00 0.65
447.00 AXALTA COATING SYSTEMS 13,034.52 0.11 443.00 AUTODESK INC 69,156.73 0.57
792.00 IHS MARKIT 42,736.32 0.35 541.00 BECTON DICKINSON 141,201.00 1.16
513.00 BEST BUY CO 40,711.68 0.34
Ireland 376,107.97 3.10
279.00 M&T BANK CORPORATION 45,906.66 0.38
502.00 INGERSOLL-RAND 51,354.60 0.42 365.00 CAMPBELL SOUP CO 13,369.95 0.11
1,301.00 ACCENTURE - SHS CLASS A 221,430.20 1.83 1,210.00 CATERPILLAR - REGISTERED 184,512.90 1.52
121.00 JAZZ PHARMACEUTICALS PLC 20,343.73 0.17 604.00 CERNER CORP 38,903.64 0.32
192.00 ALLEGION PLC WI 17,389.44 0.14 492.00 CIGNA CORP 102,459.00 0.84
1,874.00 JOHNSON CONTROLS INTERNATIONAL PLC 65,590.00 0.54 262.00 CLOROX CO 39,407.42 0.32
Switzerland 188,143.32 1.55 572.00 CMS ENERGY CORP 28,028.00 0.23
1,677.00 COLGATE-PALMOLIVE CO 112,275.15 0.92
942.00 CHUBB - NAMEN AKT 125,888.88 1.04 348.00 COMERICA INC 31,389.60 0.26
708.00 TE CONNECTIVITY LTD REG SHS 62,254.44 0.51 1,683.00 CSX CORP 124,626.15 1.03
United Kingdom 70,009.46 0.58 317.00 CUMMINS - REGISTERED 46,304.19 0.38
623.00 DEERE AND CO 93,655.59 0.77
1,096.00 LIBERTY GLOBAL -C- 30,863.36 0.26
525.00 ECOLAB INC 82,309.50 0.68
395.00 LIBERTY GLOBAL -A- 11,427.35 0.09
353.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 25,956.09 0.21
887.00 TECHNIPFMC USD 27,718.75 0.23
656.00 FRANKLIN RESOURCES INC 19,948.96 0.16
United States of America 11,400,836.57 93.85 473.00 GAP INC 13,646.05 0.11
1,395.00 UNITED PARCEL SERVICE INC 162,866.25 1.34 1,200.00 GENERAL MILLS INC 51,504.00 0.42
426.00 EDWARDS LIFESCIENCES CORP 74,166.60 0.61 96.00 WW GRAINGER INC 34,311.36 0.28
208.00 KANSAS CITY SOUTHERN INDUSTRIES INC 23,562.24 0.19 2,631.00 GILEAD SCIENCES INC 203,139.51 1.67
349.00 MOODY S CORP 58,352.80 0.48 240.00 HASBRO INC 25,228.80 0.21
243.00 BLACKROCK INC 114,533.19 0.94 176.00 IDEXX LABS CORP 43,940.16 0.36
154.00 ALIGN TECHNOLOGY INC 60,247.88 0.50 9,428.00 INTEL CORP 445,850.12 3.68
334.00 AMERISOURCEBERGEN CORP 30,801.48 0.25 1,857.00 IBM CORP 280,796.97 2.31
579.00 PRINCIPAL FINANCIAL GROUP INC 33,923.61 0.28 160.00 INTERNATIONAL FLAVORS FRAGRANCES 22,259.20 0.18
83.00 ACUITY BRANDS 13,047.60 0.11 526.00 KELLOGG 36,830.52 0.30
829.00 CENTERPOINT ENERGY 22,921.85 0.19 133.00 MANPOWER INC 11,432.68 0.09
850.00 PRUDENTIAL FINANCIAL INC 86,122.00 0.71 1,027.00 MARSH MC-LENNAN COS. INC. 84,953.44 0.70
493.00 INTUIT 112,108.20 0.92 628.00 MASCO 22,984.80 0.19
312.00 HENRY SCHEIN INC 26,529.36 0.22 696.00 MATTEL 10,927.20 0.09
159.00 WATERS 30,954.12 0.25 245.00 MCCORMICK & CO INC NON VOTING 32,278.75 0.27
629.00 CARDINAL HEALTH INC 33,966.00 0.28 1,589.00 MCDONALD'S CORP 265,823.81 2.19
2,148.00 KEYCORP 42,723.72 0.35 14,768.00 MICROSOFT CORP 1,689,016.16 13.92
299.00 LIBERTY PROPERTY TRUST 12,632.75 0.10 128.00 MOHAWK INDUSTRIES INC 22,444.80 0.18
289.00 RESMED 33,333.26 0.27 1,079.00 NEWMONT MINING CORP 32,585.80 0.27
99.00 COOPER COMPANIES INC 27,437.85 0.23 2,595.00 NIKE INC 219,848.40 1.81
983.00 NEWELL BRANDS 19,954.90 0.16 238.00 NORDSTROM INC 14,234.78 0.12
773.00 NATIONAL OILWELL VARCO INC 33,300.84 0.27 572.00 NORFOLK SOUTHERN CORP 103,246.00 0.85
254.00 ROCKWELL AUTOMATION 47,630.08 0.39 432.00 NORTHERN TRUST CORP 44,120.16 0.36
275.00 QUEST DIAGNOSTICS 29,675.25 0.24 269.00 PARKER-HANNIFIN CORP 49,477.17 0.41
739.00 STATE STREET CORP 61,913.42 0.51 2,869.00 PEPSICO INC 320,754.20 2.64
312.00 BOSTON PROPERTIES INC 38,404.08 0.32 950.00 PNC FINANCIAL SERVICES GROUP INC 129,380.50 1.07
265.00 FLOWSERVE 14,492.85 0.12 5,088.00 PROCTER AND GAMBLE CO 423,474.24 3.50
734.00 NISOURCE 18,291.28 0.15 250.00 ROBERT HALF INTERNATIONAL INC 17,595.00 0.14
832.00 ONEOK INC (NEW) 56,401.28 0.46 2,457.00 CHARLES SCHWAB CORP/THE 120,761.55 0.99
1,059.00 DEVON ENERGY CORP 42,296.46 0.35 170.00 SHERWIN WILLIAMS CO 77,385.70 0.64
51.00 METTLER TOLEDO INTERNATIONAL 31,057.98 0.26 115.00 SNAP ON INC 21,114.00 0.17
629.00 CONSOLIDATED EDISON INC 47,923.51 0.39 293.00 SOUTHWEST AIRLINES - REGISTERED 18,297.85 0.15

The accompanying notes form an integral part of these financial statements

249
AMUNDI INDEX MSCI USA SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
USD
226.00 TIFFANY CO 29,147.22 0.24
516.00 VERTEX PHARMACEUTICALS INC 99,453.84 0.82
678.00 VF REGISTERED 63,359.10 0.52
3,008.00 WALT DISNEY CO 351,755.52 2.91
1,167.00 NVIDIA CORP 327,950.34 2.70
185.00 VARIAN MEDICAL SYTEMS 20,707.05 0.17
247.00 TRACTOR SUPPLY CO 22,447.36 0.18
490.00 T ROWE PRICE GROUP INC 53,498.20 0.44
345.00 PIONER NATURAL RESOURCES COMPANY 60,095.55 0.49
415.00 CENTENE 60,083.70 0.49
427.00 BIOGEN IDEC INC 150,863.37 1.24
112.00 SIGNATURE BANK 12,862.08 0.11
1,426.00 SALESFORCE COM.INC 226,776.78 1.87
82.00 VAIL RESORTS INC 22,502.44 0.19
107.00 SVB FINANCIAL GROUP 33,258.81 0.27
282.00 C.H.ROBINSON WORLWIDE INC 27,613.44 0.23
627.00 LKQ CORP 19,857.09 0.16
729.00 HANESBRANDS 13,435.47 0.11
224.00 OWENS CORNING SHS 12,156.48 0.10
547.00 TRAVELERS COS INC/THE 70,951.37 0.58
704.00 PEOPLES UNITED FINANCIAL 12,052.48 0.10
355.00 DELTA AIR LINES 20,529.65 0.17
2,045.00 BANK OF NEW YORK MELLON CORP 104,274.55 0.86
689.00 CME GROUP -A- 117,274.69 0.97
258.00 TESLA MOTORS INC 68,310.66 0.56
565.00 HCA HEALTHCARE RG REGISTERED SHS 78,602.80 0.65
741.00 MOSAIC 24,067.68 0.20
1,272.00 PROLOGIS 86,228.88 0.71
156.00 PVH CORP 22,526.40 0.19
653.00 CBRE GROUP 28,797.30 0.24
364.00 XYLEM WHEN ISSUED 29,072.68 0.24
894.00 AMERICAN TOWER CORP 129,898.20 1.07
896.00 PHILLIPS 66 100,997.12 0.83
979.00 ZOETIS INC -A- 89,637.24 0.74
1,623.00 SPRINT SERIES -1- 10,614.42 0.09
161.00 EQUINIX 69,695.29 0.57
550.00 IRON MOUNTAIN REIT INC 18,986.00 0.16
641.00 EVERSOURCE EN 39,383.04 0.32
638.00 WEC ENERGY GR 42,592.88 0.35
3,090.00 HEWLETT PACKARD WHEN ISSUED 50,397.90 0.41
581.00 PRAXAIR INC 93,384.13 0.77
2,367.00 CONOCOPHILLIPS CO 183,205.80 1.51
1,726.00 MARATHON OIL CORP 40,181.28 0.33
980.00 NOBLE ENERGY INC 30,566.20 0.25
561.00 HESS CORP 40,156.38 0.33
577.00 HILTON WORLDWIDE HLDGS INC REG SHS 46,610.06 0.38
843.00 BAKER HUGHES-A RG REGISTERED SHS -A 28,518.69 0.23
325.00 QUINTILES IMS HOLDING INC 42,165.50 0.35
Total securities portfolio 12,110,450.51 99.70

The accompanying notes form an integral part of these financial statements

250
AMUNDI INDEX MSCI EUROPE SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
EUR EUR
739.00 MUENCHENER RUECKVERSICHERUNGS AG REG 140,964.25 1.34
Long positions 10,437,440.88 99.31
SHS
4,857.00 SAP AG 514,842.00 4.89
Transferable securities admitted to an official stock exchange 10,437,440.88 99.31
listing 171.00 SARTORIUS VORZ.OHNE STIMMRECHT. 23,905.80 0.23
Shares 10,437,440.88 99.31 639.00 MERCK KGAA 56,871.00 0.54
Austria 57,992.91 0.55 3,781.00 SIEMENS AG REG 417,195.54 3.97
933.00 ADIDAS NAMEN AKT 196,769.70 1.87
552.00 VOESTALPINE AG 21,748.80 0.21 867.00 METRO WHOLESALE AND FOOD SPECIALIST AG 11,704.50 0.11
749.00 OMV AG 36,244.11 0.34
Ireland 191,679.36 1.82
Belgium 173,631.78 1.65
4,152.00 CRH PLC 117,003.36 1.11
1,241.00 KBC GROUPE SA 79,548.10 0.76 784.00 KERRY GROUP -A- 74,676.00 0.71
375.00 SOLVAY 43,312.50 0.41
Italy 288,168.25 2.74
1,054.00 UMICORE SA 50,771.18 0.48
Denmark 609,099.96 5.80 11,143.00 SNAM SPA 39,992.23 0.38
5,801.00 ASSICURAZIONI GENERALI SPA 86,318.88 0.82
981.00 VESTAS WIND SYSTEMS AS 57,145.25 0.54 73,538.00 INTESA SANPAOLO SPA 161,857.14 1.54
563.00 PANDORA 30,281.85 0.29
Jersey Island 164,383.97 1.56
1,082.00 NOVOZYMES -B- 51,160.04 0.49
587.00 COLOPLAST -B- 51,700.24 0.49 6,305.00 WPP 2012 PLC 79,604.48 0.76
8,979.00 NOVO NORDISK 364,108.70 3.47 1,159.00 FERGUSON 84,779.49 0.80
935.00 ORSTED 54,703.88 0.52 Luxembourg 33,150.60 0.32
Finland 188,882.97 1.80
1,754.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 33,150.60 0.32
2,638.00 UPM KYMMENE CORP 89,164.40 0.85 Netherlands 219,885.41 2.09
2,137.00 WARTSILA CORPORATION -B- 35,880.23 0.34
1,248.00 AKZO NOBEL NV 100,513.92 0.95
646.00 NESTE 45,995.20 0.44
3,375.00 STMICROELECTRONICS NV 52,903.13 0.50
547.00 ORION CORPORATION (NEW) -B- 17,843.14 0.17
339.00 KONINKLIJKE VOPAK 14,387.16 0.14
France 2,518,744.97 23.96 5,032.00 CNH INDUSTRIAL NV 52,081.20 0.50
5,140.00 VIVENDI SA 113,953.80 1.08 Norway 301,643.80 2.87
358.00 JC DECAUX SA 11,277.00 0.11
3,710.00 TELENOR ASA 62,406.01 0.59
374.00 KERING 172,675.80 1.64
6,841.00 NORSK HYDRO ASA 35,339.09 0.34
470.00 ATOS 48,175.00 0.46
3,925.00 ORKLA ASA 28,533.68 0.27
9,591.00 AXA SA 222,031.65 2.11
520.00 AKER BP SHS 18,989.26 0.18
1,055.00 BOUYGUES 39,277.65 0.37
519.00 SCHIBSTED -B- 15,473.86 0.15
3,043.00 DANONE 202,968.10 1.93
5,807.00 EQUINOR 140,901.90 1.34
4,533.00 NATIXIS SA 26,490.85 0.25
843.00 MICHELIN SA REG SHS 86,786.85 0.83 Portugal 100,208.91 0.95
1,029.00 ESSILOR INTERNATIONAL SA 131,146.05 1.25 1,323.00 JERONIMO MARTINS SGPS SA 16,782.26 0.16
266.00 CASINO GUICHARD PERRACHON SA 9,634.52 0.09 12,931.00 EDP-ENERGIAS REG.SHS 41,094.72 0.39
172.00 IMERYS SA 10,939.20 0.10 2,477.00 GALP ENERGIA SA REG SHS -B- 42,331.93 0.40
1,249.00 L'OREAL SA 259,417.30 2.47
Spain 545,237.05 5.19
2,699.00 SCHNEIDER ELECTRIC SE 187,040.70 1.78
123.00 BIC(SOCIETE) - ACT PORTEUR/NOM 9,698.55 0.09 32,952.00 BANCO BILBAO VIZCAYA ARGENT SA REG 180,906.48 1.71
11,824.00 TOTAL SA 660,252.16 6.28 1,160.00 ENAGAS 26,970.00 0.26
9,859.00 ORANGE 135,413.37 1.29 2,394.00 FERROVIAL SA 42,780.78 0.41
826.00 CNP ASSURANCES 17,147.76 0.16 5,418.00 INDITEX SHARE FROM SPLIT 141,463.98 1.35
218.00 GECINA SA REG SHS 31,348.40 0.30 6,730.00 REPSOL SA 115,520.45 1.10
2,251.00 GETLINK ACT 24,761.00 0.24 2,084.00 RED ELECTRICA 37,595.36 0.36
683.00 UNIBAIL RODAMCO 118,309.26 1.13 Sweden 234,911.48 2.24
Germany 2,123,941.53 20.21
1,740.00 SKANSKA -B- FREE 29,402.88 0.28
954.00 DEUTSCHE BOERSE AG REG SHS 110,091.60 1.05 8,043.00 SKANDINAVISKA ENSKILDA BANKEN -A- 77,272.60 0.74
2,176.00 ALLIANZ SE REG SHS 417,792.00 3.98 436.00 ICA GRUPPEN AB 11,903.00 0.11
498.00 BEIERSDORF AG 48,395.64 0.46 1,741.00 TELE2 AB 18,034.46 0.17
735.00 HEIDELBERGCEMENT AG 49,480.20 0.47 2,996.00 ESSITY REGISTERED -B- 64,795.62 0.62
880.00 HENKEL AG & CO KGAA 88,924.00 0.85 1,396.00 BOLIDEN -REGISTERED SHS 33,502.92 0.32
514.00 HENKEL KGAA 47,005.30 0.45

The accompanying notes form an integral part of these financial statements

251
AMUNDI INDEX MSCI EUROPE SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV
EUR
Switzerland 1,207,385.84 11.49

46.00 GIVAUDAN SA REG.SHS 97,834.38 0.93


3,472.00 ROCHE HOLDING AG GENUSSSCHEIN 727,573.05 6.93
128.00 SWISSCOM SHS NOM 50,250.06 0.48
368.00 LONZA GROUP (CHF) 108,659.82 1.03
274.00 KUEHNE + NAGEL INTERNATIONAL AG 37,554.10 0.36
1,554.00 SWISS RE NAMEN AKT 124,095.37 1.18
974.00 COCA COLA HBC NAMEN 28,575.33 0.27
219.00 VIFOR PHARMA - REGISTERED 32,843.73 0.31
United Kingdom 1,478,492.09 14.07

599.00 SCHRODERS 20,815.19 0.20


13,877.00 STANDARD CHARTERED PLC 99,155.93 0.94
41,678.00 BT GROUP PLC 105,429.21 1.00
7,823.00 MARKS AND SPENCER GROUP PLC 25,366.66 0.24
4,875.00 BARRATT DEVELOPMENTS PLC 31,034.92 0.30
5,017.00 SSE PLC 64,553.78 0.61
10,775.00 MORRISON SUPERMARKETS PLC 31,381.97 0.30
3,759.00 PEARSON PLC 37,562.57 0.36
1,214.00 TRAVIS PERKINS 14,523.29 0.14
29,448.00 LEGAL GENERAL GROUP PLC 86,692.48 0.82
10,328.00 KINGFISHER PLC 29,917.75 0.28
17,443.00 ITV PLC 30,914.25 0.29
8,461.00 J SAINSBURY PLC 30,570.37 0.29
6,041.00 UNILEVER PLC 285,958.08 2.73
3,225.00 INVESTEC 19,538.65 0.19
1,815.00 MONDI PLC 42,876.10 0.41
9,770.00 RELX PLC 177,267.39 1.70
4,870.00 SEGRO (REIT) 34,874.37 0.33
614.00 THE BERKELEY GR 25,362.44 0.24
765.00 EASYJET PLC 11,286.25 0.11
1,775.00 MEDICLINIC INTERNATIONAL PLC 8,549.65 0.08
932.00 JOHNSON MATTHEY 37,273.72 0.35
634.00 CRODA INTERNATIONAL PLC 37,029.90 0.35
1,103.00 COCA COLA EUROPEAN PARTNERS PLC 43,179.86 0.41
16,586.00 NATIONAL GRID PLC 147,377.31 1.40
Total securities portfolio 10,437,440.88 99.31

The accompanying notes form an integral part of these financial statements

252
AMUNDI INDEX MSCI WORLD SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
602.00 TECK RESOURSES LTD -B- 14,498.16 0.12
Long positions 12,146,032.20 99.44
1,138.00 ENCANA CORP 14,905.15 0.12
Transferable securities admitted to an official stock exchange 12,146,032.20 99.44 253.00 GILDAN ACTIVEWEAR 7,692.20 0.06
listing 1,234.00 CENOVUS ENERGY INC 12,382.05 0.10
Shares 12,146,032.20 99.44
171.00 VERMILION ENERGY INC 5,630.34 0.05
Australia 400,223.73 3.28 418.00 ARC RESOURCES 4,656.68 0.04
1,385.00 BORAL LTD 6,924.54 0.06 202.00 FIRST CAP REALTY 3,047.36 0.02
2,797.00 INSURANCE AUSTRALIA GROUP LIMITED 14,813.80 0.12 123.00 WSP GLOBAL 6,726.67 0.06
3,090.00 TRANSURBAN GROUP 25,085.01 0.21 250.00 PRAIRIESKY ROYALTY LTD 4,388.46 0.04
683.00 LEND GRP - STAPLED SECURITIES 9,715.55 0.08 280.00 RESTAURANT BRANDS INTERNATIONAL INC 16,566.97 0.14
4,045.00 WESTPAC BANKING CORP 81,743.36 0.66 387.00 HYDRO ONE LTD 5,880.17 0.05
1,340.00 WESFARMERS 48,331.80 0.39 220.00 FRANCO-NEVADA CORP 13,752.17 0.11
1,106.00 WOODSIDE PETROLEUM 30,873.11 0.25 2,014.00 ENBRIDGE INC 64,941.82 0.53
167.00 RAMSAY HEALTH CARE LTD 6,637.26 0.05 778.00 LUNDIN MINING CORP 4,116.93 0.03
599.00 COCA-COLA AMATIL LTD 4,229.99 0.03 Denmark 168,642.96 1.38
907.00 NEWCREST MINING LTD 12,737.84 0.10
231.00 VESTAS WIND SYSTEMS AS 15,629.40 0.13
4,384.00 MIRVAC GROUP STAPLED SECURITIES 7,644.53 0.06
130.00 PANDORA 8,121.51 0.07
3,448.00 AMP LIMITED 7,958.31 0.07
259.00 NOVOZYMES -B- 14,224.03 0.12
229.00 ASX LTD 10,547.88 0.09
140.00 COLOPLAST -B- 14,321.93 0.12
650.00 BLUESCOPE STEEL 7,985.72 0.07
2,147.00 NOVO NORDISK 101,124.02 0.82
1,881.00 BRAMBLES 14,834.68 0.12
224.00 ORSTED 15,222.07 0.12
1,394.00 APA GROUP STAPLED SECURITY 10,065.99 0.08
1,915.00 GOODMAN GROUP - STAPLED SECURITY 14,354.61 0.12 Finland 52,138.83 0.43
382.00 MACQUARIE GROUP 34,836.52 0.29 631.00 UPM KYMMENE CORP 24,772.24 0.21
1,202.00 DEXUS - STAPLED SECURITY 9,183.99 0.08 524.00 WARTSILA CORPORATION -B- 10,218.83 0.08
2,133.00 GPT GROUP STAPLED SECURITY 8,040.66 0.07 151.00 NESTE 12,487.52 0.10
2,876.00 STOCKLAND 8,635.75 0.07 123.00 ORION CORPORATION (NEW) -B- 4,660.24 0.04
394.00 SEEK LTD 5,918.16 0.05
France 701,022.88 5.74
1,304.00 SYDNEY AIRPORT STAPLED SECURITY 6,500.70 0.05
2,351.00 AURIZON HOLDINGS LTD 6,991.29 0.06 1,229.00 VIVENDI SA 31,647.31 0.26
2,135.00 AUSNET SVCS - STAPLED SECURITY 2,510.24 0.02 88.00 JC DECAUX SA 3,219.68 0.03
2,055.00 HEALTHSCOPE LTD 3,122.44 0.03 90.00 KERING 48,263.81 0.40
112.00 ATOS 13,334.02 0.11
Austria 15,957.69 0.13
2,293.00 AXA SA 61,655.85 0.50
135.00 VOESTALPINE AG 6,178.02 0.05 259.00 BOUYGUES 11,199.85 0.09
174.00 OMV AG 9,779.67 0.08 728.00 DANONE 56,399.65 0.46
Belgium 47,737.30 0.39 1,112.00 NATIXIS SA 7,548.04 0.06
202.00 MICHELIN SA REG SHS 24,154.44 0.20
297.00 KBC GROUPE SA 22,112.29 0.18
246.00 ESSILOR INTERNATIONAL SA 36,416.16 0.30
88.00 SOLVAY 11,805.49 0.10
65.00 CASINO GUICHARD PERRACHON SA 2,734.52 0.02
247.00 UMICORE SA 13,819.52 0.11
42.00 IMERYS SA 3,102.60 0.03
Bermuda 43,946.14 0.36 299.00 L'OREAL SA 72,131.82 0.59
166.00 BUNGE LTD 11,405.86 0.09 645.00 SCHNEIDER ELECTRIC SE 51,917.31 0.43
261.00 AXALTA COATING SYSTEMS 7,610.76 0.06 30.00 BIC(SOCIETE) - ACT PORTEUR/NOM 2,747.53 0.02
462.00 IHS MARKIT 24,929.52 0.21 2,827.00 TOTAL SA 183,354.02 1.49
2,357.00 ORANGE 37,601.70 0.31
Canada 525,190.08 4.30
203.00 CNP ASSURANCES 4,894.89 0.04
287.00 METRO -A- SUB VTG 8,921.32 0.07 53.00 GECINA SA REG SHS 8,852.26 0.07
302.00 CGI GROUP SUB.VTG SHS -A- 19,457.41 0.16 552.00 GETLINK ACT 7,052.63 0.06
869.00 CANADIAN NATIONAL RAILWAY 77,918.48 0.64 163.00 UNIBAIL RODAMCO 32,794.79 0.27
276.00 AGNICO EAGLE MINES 9,420.67 0.08 Germany 591,149.89 4.84
757.00 BANK OF MONTREAL 62,394.43 0.51
1,416.00 BANK OF NOVA SCOTIA 84,340.24 0.69 228.00 DEUTSCHE BOERSE AG REG SHS 30,560.46 0.25
525.00 CANADIAN IMPERIAL BANK OF COMMERCE 49,157.48 0.40 520.00 ALLIANZ SE REG SHS 115,964.16 0.95
74.00 CANADIAN TIRE CORP -A- NON VOTING 8,664.09 0.07 119.00 BEIERSDORF AG 13,432.07 0.11
152.00 CANADIAN UTILITIES -A- NON VOTING 3,734.75 0.03 176.00 HEIDELBERGCEMENT AG 13,761.82 0.11
428.00 ROGERS COMMUNICATIONS -B- NON VOTING 21,996.08 0.18 211.00 HENKEL AG & CO KGAA 24,764.98 0.20

The accompanying notes form an integral part of these financial statements

253
AMUNDI INDEX MSCI WORLD SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
123.00 HENKEL KGAA 13,064.96 0.11 200.00 KIKKOMAN CORP 11,902.98 0.10
177.00 MUENCHENER RUECKVERSICHERUNGS AG REG 39,215.43 0.32 1,100.00 KOMATSU LTD 33,469.20 0.27
SHS 600.00 KONICA MINOLTA HOLDINGS INC 6,381.12 0.05
1,171.00 SAP AG 144,172.35 1.17
1,200.00 KUBOTA CORP 20,400.58 0.17
42.00 SARTORIUS VORZ.OHNE STIMMRECHT. 6,819.86 0.06
2,600.00 PANASONIC CORP 30,295.37 0.25
153.00 MERCK KGAA 15,816.15 0.13
200.00 MURATA MANUFACTURING CO LTD 30,752.29 0.25
904.00 SIEMENS AG REG 115,856.56 0.95
300.00 NGK INSULATORS LTD 4,949.60 0.04
222.00 ADIDAS NAMEN AKT 54,381.20 0.45
100.00 NINTENDO CO LTD 36,501.29 0.30
213.00 METRO WHOLESALE AND FOOD SPECIALIST AG 3,339.89 0.03
100.00 NIPPON EXPRESS 6,567.77 0.05
Hong Kong 112,291.81 0.92 200.00 NITTO DENKO CORP 14,994.94 0.12
2,000.00 MTR CORP LTD 10,530.45 0.09 800.00 OBAYASHI CORP 7,578.46 0.06
900.00 HANG SENG BANK LTD 24,452.63 0.20 400.00 OSAKA GAS CY 7,803.85 0.06
500.00 SWIRE PACIFIC LTD SIE A 5,479.29 0.04 200.00 OMRON CORP 8,451.82 0.07
1,000.00 HYSAN DEVELOPMENT 5,054.36 0.04 400.00 SEKISUI CHEMICAL CO LTD 7,381.26 0.06
4,500.00 BOC HONG KONG (HOLDINGS) LTD 21,393.18 0.18 700.00 SEKISUI HOUSE LTD 10,677.02 0.09
1,400.00 HONG KONG EXCHANGES AND CLEARING LTD 40,077.06 0.33 700.00 SHIMIZU CORP 6,390.81 0.05
1,400.00 SWIRE PROPERTIES LTD 5,304.84 0.04 1,500.00 SONY CORP 91,992.77 0.75
200.00 STANLEY ELECTRIC CO LTD 6,840.69 0.06
Ireland 273,568.07 2.24
2,000.00 SUMITOMO CHEMICAL CO LTD 11,709.29 0.10
993.00 CRH PLC 32,501.95 0.27 300.00 SUMITOMO METAL MINING CO LTD 10,527.80 0.09
187.00 KERRY GROUP -A- 20,688.35 0.17 200.00 TEIJIN LTD 3,836.77 0.03
293.00 INGERSOLL-RAND 29,973.90 0.25 100.00 TOHO GAS 3,798.92 0.03
764.00 ACCENTURE - SHS CLASS A 130,032.80 1.06 500.00 TOKYO GAS CO LTD 12,292.55 0.10
71.00 JAZZ PHARMACEUTICALS PLC 11,937.23 0.10 600.00 TOKYU CORP 10,976.80 0.09
112.00 ALLEGION PLC WI 10,143.84 0.08 1,600.00 TORAY INDUSTRIES INC 12,022.71 0.10
1,094.00 JOHNSON CONTROLS INTERNATIONAL PLC 38,290.00 0.31 300.00 TOYOTA TSUSHO CORP 11,330.72 0.09
Israel 9,238.49 0.08 100.00 TOYO SUISAN KAISHA 3,878.15 0.03
2,200.00 ASTELLAS PHARMA 38,388.87 0.31
1,261.00 BANK HAPOALIM (IL662577) 9,238.49 0.08 300.00 YOKOGAWA ELECTRIC CORP 6,346.79 0.05
Italy 80,024.61 0.66 200.00 YAMAHA CORP. 10,599.99 0.09
2,664.00 SNAM SPA 11,105.22 0.09 300.00 YASKAWA ELECTRIC CORP 8,914.03 0.07
1,387.00 ASSICURAZIONI GENERALI SPA 23,971.69 0.20 200.00 SYSMEX 17,220.58 0.14
17,582.00 INTESA SANPAOLO SPA 44,947.70 0.37 1,600.00 NTT DOCOMO INC 43,033.84 0.35
100.00 SOHGO SECURITY SERVICES CO 4,397.59 0.04
Japan 1,030,245.91 8.43
200.00 KANSAI PAINT CO LTD 3,687.11 0.03
400.00 SUMITOMO MITSUI TRUST - SHS 16,466.96 0.13 1,200.00 INPEX 14,970.28 0.12
2,100.00 KDDI CORP 58,034.94 0.48 400.00 SOMPO HOLDINGS INC 17,040.98 0.14
100.00 AEON FINANCIAL SERVICE CO LTD 2,071.58 0.02 200.00 SUNTORY 8,469.43 0.07
100.00 BENESSE HOLDINGS INC 2,848.09 0.02 200.00 KYUSHU RAILWAY 6,092.35 0.05
500.00 DENSO CORP 26,407.53 0.22 Jersey Island 45,159.34 0.37
200.00 WEST JAPAN RAILWAY COMPANY 13,947.26 0.11
500.00 AJINOMOTO CO INC 8,586.08 0.07 1,492.00 WPP 2012 PLC 21,879.65 0.18
1,500.00 ASAHI KASEI CORPORATION 22,753.88 0.19 274.00 FERGUSON 23,279.69 0.19
200.00 ASICS CORP KOBE 2,982.79 0.02 Luxembourg 9,439.51 0.08
300.00 CHUGAI PHARMACEUTICAL 19,280.71 0.16
430.00 SES GLOBAL CERT.GC FID.DEP.REC(1-A-SHS) 9,439.51 0.08
100.00 DAIFUKU CO 5,097.50 0.04
Netherlands 61,123.03 0.50
300.00 DAIKIN INDUSTRIES LTD 39,948.05 0.33
700.00 DAIWA HOUSE INDUSTRY CO LTD 20,756.26 0.17 298.00 AKZO NOBEL NV 27,877.07 0.23
300.00 EISAI 29,211.60 0.24 807.00 STMICROELECTRONICS NV 14,692.66 0.12
200.00 FUJITSU LTD 14,255.40 0.12 83.00 KONINKLIJKE VOPAK 4,091.41 0.03
300.00 HANKYU HANSHIN HOLDINGS INC 10,644.01 0.09 1,203.00 CNH INDUSTRIAL NV 14,461.89 0.12
100.00 HITACHI CHEMICAL CO LTD 2,036.36 0.02 New Zealand 17,560.34 0.14
300.00 HITACHI METALS LTD 3,716.16 0.03
1,900.00 HONDA MOTOR CO LTD 57,526.07 0.47 1,008.00 FLETCHER BUILDING LTD 4,370.42 0.04
700.00 AEON CO LTD 16,870.62 0.14 473.00 RYMAN HEALTHCARE GROUP LTD 4,390.10 0.03
600.00 KAO CORP 48,460.62 0.40 1,137.00 AUCKLAND INTERNATIONAL AIRPORT LTD 5,502.61 0.04
100.00 KEIO 5,476.07 0.04 1,514.00 MERIDIAN ENERGY LTD 3,297.21 0.03

The accompanying notes form an integral part of these financial statements

254
AMUNDI INDEX MSCI WORLD SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
Norway 83,362.01 0.68 298.00 TRAVIS PERKINS 4,140.78 0.03
887.00 TELENOR ASA 17,329.87 0.14 7,040.00 LEGAL GENERAL GROUP PLC 24,072.29 0.20
1,589.00 NORSK HYDRO ASA 9,534.08 0.08 2,534.00 KINGFISHER PLC 8,525.87 0.07
963.00 ORKLA ASA 8,131.37 0.07 4,280.00 ITV PLC 8,810.50 0.07
128.00 AKER BP SHS 5,429.18 0.04 2,076.00 J SAINSBURY PLC 8,712.16 0.07
116.00 SCHIBSTED -B- 4,017.06 0.03 1,443.00 UNILEVER PLC 79,337.60 0.64
1,381.00 EQUINOR 38,920.45 0.32 791.00 INVESTEC 5,566.23 0.05
434.00 MONDI PLC 11,908.24 0.10
Portugal 27,289.44 0.22
2,336.00 RELX PLC 49,229.60 0.39
297.00 JERONIMO MARTINS SGPS SA 4,375.89 0.04 1,195.00 SEGRO (REIT) 9,939.50 0.08
3,024.00 EDP-ENERGIAS REG.SHS 11,162.33 0.09 151.00 THE BERKELEY GR 7,244.67 0.06
592.00 GALP ENERGIA SA REG SHS -B- 11,751.22 0.09 188.00 EASYJET PLC 3,221.55 0.03
Singapore 74,081.90 0.61 640.00 LIBERTY GLOBAL -C- 18,022.40 0.15
231.00 LIBERTY GLOBAL -A- 6,682.83 0.05
3,000.00 CAPITALAND LTD 7,399.11 0.06 436.00 MEDICLINIC INTERNATIONAL PLC 2,439.25 0.02
2,100.00 DBS GROUP HOLDINGS 40,097.93 0.32 229.00 JOHNSON MATTHEY 10,637.55 0.09
500.00 CITY DEVELOPMENT 3,333.63 0.03 156.00 CRODA INTERNATIONAL PLC 10,582.96 0.09
2,900.00 ASCENDAS REAL ESTATE INVES.TRUST UNITS 5,603.13 0.05 258.00 COCA COLA EUROPEAN PARTNERS PLC 11,731.26 0.10
1,700.00 KEPPEL CORPORATION LTD 8,659.38 0.07 518.00 TECHNIPFMC USD 16,187.50 0.13
600.00 SINGAPORE AIRLINES LTD 4,277.00 0.04 3,965.00 NATIONAL GRID PLC 40,921.48 0.34
2,900.00 CAPITAMALL REAL ESTATE INVESTMENT TRUST 4,711.72 0.04
United States of America 6,660,971.08 54.52
Spain 151,222.17 1.24
815.00 UNITED PARCEL SERVICE INC 95,151.25 0.78
7,878.00 BANCO BILBAO VIZCAYA ARGENT SA REG 50,235.13 0.41 249.00 EDWARDS LIFESCIENCES CORP 43,350.90 0.35
268.00 ENAGAS 7,237.31 0.06 121.00 KANSAS CITY SOUTHERN INDUSTRIES INC 13,706.88 0.11
572.00 FERROVIAL SA 11,872.43 0.10 204.00 MOODY S CORP 34,108.80 0.28
1,289.00 INDITEX SHARE FROM SPLIT 39,091.20 0.32 142.00 BLACKROCK INC 66,928.86 0.55
1,609.00 REPSOL SA 32,078.88 0.26 90.00 ALIGN TECHNOLOGY INC 35,209.80 0.29
511.00 RED ELECTRICA 10,707.22 0.09 195.00 AMERISOURCEBERGEN CORP 17,982.90 0.15
Sweden 64,488.61 0.53 338.00 PRINCIPAL FINANCIAL GROUP INC 19,803.42 0.16
48.00 ACUITY BRANDS 7,545.60 0.06
402.00 SKANSKA -B- FREE 7,890.16 0.06
484.00 CENTERPOINT ENERGY 13,382.60 0.11
1,923.00 SKANDINAVISKA ENSKILDA BANKEN -A- 21,458.83 0.19
496.00 PRUDENTIAL FINANCIAL INC 50,254.72 0.41
95.00 ICA GRUPPEN AB 3,012.40 0.02
293.00 INTUIT 66,628.20 0.55
427.00 TELE2 AB 5,137.50 0.04
182.00 HENRY SCHEIN INC 15,475.46 0.13
716.00 ESSITY REGISTERED -B- 17,986.06 0.15
93.00 WATERS 18,105.24 0.15
323.00 BOLIDEN -REGISTERED SHS 9,003.66 0.07
367.00 CARDINAL HEALTH INC 19,818.00 0.16
Switzerland 445,656.84 3.65 1,254.00 KEYCORP 24,942.06 0.20
11.00 GIVAUDAN SA REG.SHS 27,173.50 0.22 175.00 LIBERTY PROPERTY TRUST 7,393.75 0.06
830.00 ROCHE HOLDING AG GENUSSSCHEIN 202,019.92 1.65 169.00 RESMED 19,492.46 0.16
31.00 SWISSCOM SHS NOM 14,135.38 0.12 58.00 COOPER COMPANIES INC 16,074.70 0.13
88.00 LONZA GROUP (CHF) 30,180.27 0.25 574.00 NEWELL BRANDS 11,652.20 0.10
64.00 KUEHNE + NAGEL INTERNATIONAL AG 10,188.40 0.08 451.00 NATIONAL OILWELL VARCO INC 19,429.08 0.16
550.00 CHUBB - NAMEN AKT 73,502.00 0.60 148.00 ROCKWELL AUTOMATION 27,752.96 0.23
414.00 TE CONNECTIVITY LTD REG SHS 36,403.02 0.30 160.00 QUEST DIAGNOSTICS 17,265.60 0.14
372.00 SWISS RE NAMEN AKT 34,503.78 0.28 432.00 STATE STREET CORP 36,192.96 0.30
239.00 COCA COLA HBC NAMEN 8,144.22 0.07 182.00 BOSTON PROPERTIES INC 22,402.38 0.18
54.00 VIFOR PHARMA - REGISTERED 9,406.35 0.08 155.00 FLOWSERVE 8,476.95 0.07
429.00 NISOURCE 10,690.68 0.09
United Kingdom 454,299.54 3.72
486.00 ONEOK INC (NEW) 32,945.94 0.27
147.00 SCHRODERS 5,933.22 0.05 618.00 DEVON ENERGY CORP 24,682.92 0.20
3,318.00 STANDARD CHARTERED PLC 27,537.13 0.23 30.00 METTLER TOLEDO INTERNATIONAL 18,269.40 0.15
9,964.00 BT GROUP PLC 29,275.68 0.24 367.00 CONSOLIDATED EDISON INC 27,961.73 0.23
1,920.00 MARKS AND SPENCER GROUP PLC 7,231.20 0.06 296.00 SEMPRA ENERGY 33,670.00 0.28
1,196.00 BARRATT DEVELOPMENTS PLC 8,843.54 0.07 355.00 MARRIOTT INTERNATIONAL -A- 46,870.65 0.38
1,199.00 SSE PLC 17,919.09 0.15 378.00 AGILENT TECHNOLOGIES 26,664.12 0.22
2,644.00 MORRISON SUPERMARKETS PLC 8,944.25 0.07 75.00 AGCO CORP 4,559.25 0.04
922.00 PEARSON PLC 10,701.21 0.09

The accompanying notes form an integral part of these financial statements

255
AMUNDI INDEX MSCI WORLD SRI

Securities Portfolio at 30/09/18

Quantity

Market Value

% of NAV

Quantity

Market Value

% of NAV
USD USD
259.00 AIR PRODUCTS CHEMICALS INC 43,265.95 0.35 681.00 NVIDIA CORP 191,374.62 1.57
864.00 AMERICAN EXPRESS CO COM. 92,007.36 0.75 108.00 VARIAN MEDICAL SYTEMS 12,088.44 0.10
1,191.00 APPLIED MATERIALS INC 46,032.15 0.38 144.00 TRACTOR SUPPLY CO 13,086.72 0.11
267.00 AUTODESK INC 41,681.37 0.34 286.00 T ROWE PRICE GROUP INC 31,225.48 0.26
316.00 BECTON DICKINSON 82,476.00 0.68 201.00 PIONER NATURAL RESOURCES COMPANY 35,012.19 0.29
300.00 BEST BUY CO 23,808.00 0.19 242.00 CENTENE 35,036.76 0.29
163.00 M&T BANK CORPORATION 26,820.02 0.22 249.00 BIOGEN IDEC INC 87,974.19 0.72
213.00 CAMPBELL SOUP CO 7,802.19 0.06 65.00 SIGNATURE BANK 7,464.60 0.06
706.00 CATERPILLAR - REGISTERED 107,657.94 0.88 833.00 SALESFORCE COM.INC 132,471.99 1.08
353.00 CERNER CORP 22,736.73 0.19 48.00 VAIL RESORTS INC 13,172.16 0.11
287.00 CIGNA CORP 59,767.75 0.49 63.00 SVB FINANCIAL GROUP 19,582.29 0.16
153.00 CLOROX CO 23,012.73 0.19 165.00 C.H.ROBINSON WORLWIDE INC 16,156.80 0.13
334.00 CMS ENERGY CORP 16,366.00 0.13 366.00 LKQ CORP 11,591.22 0.09
979.00 COLGATE-PALMOLIVE CO 65,544.05 0.54 426.00 HANESBRANDS 7,851.18 0.06
203.00 COMERICA INC 18,310.60 0.15 131.00 OWENS CORNING SHS 7,109.37 0.06
983.00 CSX CORP 72,791.15 0.60 319.00 TRAVELERS COS INC/THE 41,377.49 0.34
185.00 CUMMINS - REGISTERED 27,022.95 0.22 411.00 PEOPLES UNITED FINANCIAL 7,036.32 0.06
364.00 DEERE AND CO 54,720.12 0.45 207.00 DELTA AIR LINES 11,970.81 0.10
307.00 ECOLAB INC 48,131.46 0.39 1,194.00 BANK OF NEW YORK MELLON CORP 60,882.06 0.50
206.00 EXPEDITORS INTERNATIONAL OF WASHINGTON 15,147.18 0.12 402.00 CME GROUP -A- 68,424.42 0.56
383.00 FRANKLIN RESOURCES INC 11,647.03 0.10 150.00 TESLA MOTORS INC 39,715.50 0.33
276.00 GAP INC 7,962.60 0.07 330.00 HCA HEALTHCARE RG REGISTERED SHS 45,909.60 0.38
701.00 GENERAL MILLS INC 30,086.92 0.25 433.00 MOSAIC 14,063.84 0.12
56.00 WW GRAINGER INC 20,014.96 0.16 743.00 PROLOGIS 50,367.97 0.41
1,536.00 GILEAD SCIENCES INC 118,594.56 0.97 91.00 PVH CORP 13,140.40 0.11
140.00 HASBRO INC 14,716.80 0.12 381.00 CBRE GROUP 16,802.10 0.14
103.00 IDEXX LABS CORP 25,714.98 0.21 213.00 XYLEM WHEN ISSUED 17,012.31 0.14
5,506.00 INTEL CORP 260,378.74 2.12 522.00 AMERICAN TOWER CORP 75,846.60 0.62
1,085.00 IBM CORP 164,062.85 1.34 523.00 PHILLIPS 66 58,952.56 0.48
93.00 INTERNATIONAL FLAVORS FRAGRANCES 12,938.16 0.11 572.00 ZOETIS INC -A- 52,372.32 0.43
307.00 KELLOGG 21,496.14 0.18 948.00 SPRINT SERIES -1- 6,199.92 0.05
78.00 MANPOWER INC 6,704.88 0.05 94.00 EQUINIX 40,691.66 0.33
599.00 MARSH MC-LENNAN COS. INC. 49,549.28 0.41 321.00 IRON MOUNTAIN REIT INC 11,080.92 0.09
367.00 MASCO 13,432.20 0.11 374.00 EVERSOURCE EN 22,978.56 0.19
406.00 MATTEL 6,374.20 0.05 373.00 WEC ENERGY GR 24,901.48 0.20
143.00 MCCORMICK & CO INC NON VOTING 18,840.25 0.15 1,804.00 HEWLETT PACKARD WHEN ISSUED 29,423.24 0.24
928.00 MCDONALD'S CORP 155,245.12 1.27 340.00 PRAXAIR INC 54,648.20 0.45
8,635.00 MICROSOFT CORP 987,584.95 8.08 1,382.00 CONOCOPHILLIPS CO 106,966.80 0.88
75.00 MOHAWK INDUSTRIES INC 13,151.25 0.11 1,008.00 MARATHON OIL CORP 23,466.24 0.19
630.00 NEWMONT MINING CORP 19,026.00 0.16 572.00 NOBLE ENERGY INC 17,840.68 0.15
1,516.00 NIKE INC 128,435.52 1.05 328.00 HESS CORP 23,478.24 0.19
139.00 NORDSTROM INC 8,313.59 0.07 337.00 HILTON WORLDWIDE HLDGS INC REG SHS 27,222.86 0.22
334.00 NORFOLK SOUTHERN CORP 60,287.00 0.49 492.00 BAKER HUGHES-A RG REGISTERED SHS -A 16,644.36 0.14
253.00 NORTHERN TRUST CORP 25,838.89 0.21 190.00 QUINTILES IMS HOLDING INC 24,650.60 0.20
157.00 PARKER-HANNIFIN CORP 28,877.01 0.24
Total securities portfolio 12,146,032.20 99.44
1,675.00 PEPSICO INC 187,265.00 1.53
555.00 PNC FINANCIAL SERVICES GROUP INC 75,585.45 0.62
2,971.00 PROCTER AND GAMBLE CO 247,276.33 2.01
146.00 ROBERT HALF INTERNATIONAL INC 10,275.48 0.08
1,435.00 CHARLES SCHWAB CORP/THE 70,530.25 0.58
99.00 SHERWIN WILLIAMS CO 45,065.79 0.37
67.00 SNAP ON INC 12,301.20 0.10
171.00 SOUTHWEST AIRLINES - REGISTERED 10,678.95 0.09
132.00 TIFFANY CO 17,024.04 0.14
301.00 VERTEX PHARMACEUTICALS INC 58,014.74 0.47
396.00 VF REGISTERED 37,006.20 0.30
1,757.00 WALT DISNEY CO 205,463.58 1.67

The accompanying notes form an integral part of these financial statements

256
Statement of Net Assets as at 30/09/18

Notes AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX


EQUITY EUROPE EQUITY GLOBAL EQUITY GLOBAL FTSE EPRA NAREIT
LOW CARBON LOW CARBON MULTI SMART GLOBAL
ALLOCATION
SCIENTIFIC BETA
30/09/18 30/09/18 30/09/18 30/09/18
EUR EUR EUR EUR
Assets 125,081,496.51 664,780,277.20 621,370,129.41 769,019,846.51
Securities portfolio at market value 2 124,209,799.76 651,531,110.37 615,979,356.23 752,733,987.25
Acquisition cost 117,161,258.32 584,524,669.28 577,862,633.33 738,675,064.35
Unrealised gain/loss on the securities portfolio 7,048,541.44 67,006,441.09 38,116,722.90 14,058,922.90
Cash at banks and liquidities 718,517.93 3,606,633.06 3,288,718.61 2,092,515.40
Receivable on securities lending 4,570.12 17,995.84 9,552.62 14,318.06
Receivable on swap - - - -
Interest receivable on securities - - - -
Dividends receivable 2 129,771.57 997,850.80 1,027,477.70 2,355,811.53
Receivable on sales of securities - - 924,984.87 11,245,048.15
Receivable on subscriptions - 8,546,272.00 134,767.66 164,113.47
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 15,113.77 47,154.43 3,739.37 5,918.30
Unrealised net appreciation on swaps 2,6 - - - -
Receivable on spot exchange - 33,260.70 1,532.35 -
Other assets 3,723.36 - - 408,134.35
Liabilities 140,591.64 10,280,363.15 2,150,607.99 13,342,106.64
Bank overdrafts 2,539.37 21,818.55 - 6,567,432.26
Payable on purchase of securities 46,403.56 9,901,399.91 1,579,286.09 -
Payable on redemptions 27,548.15 - 12,508.60 6,252,317.97
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - 26,127.72
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 - - - -
Management fees 2,4 8,709.40 52,935.55 289,555.99 98,086.30
Administration fees 2,5 24,058.42 150,897.91 170,317.18 235,588.02
Payable on securities lending 1,604.50 6,349.82 3,448.97 5,011.13
Payable on spot exchange - - - -
Payable on swap - - - -
Other liabilities 29,728.24 146,961.41 95,491.16 157,543.24
Net asset value 124,940,904.87 654,499,914.05 619,219,521.42 755,677,739.87

The accompanying notes form an integral part of these financial statements

258
AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
MSCI EMERGING MSCI EMU MSCI EUROPE MSCI JAPAN MSCI NORTH MSCI PACIFIC EX MSCI WORLD S&P 500
MARKETS AMERICA JAPAN

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


USD EUR EUR JPY USD EUR USD USD
1,659,742,703.28 1,760,622,960.23 1,525,827,563.78 124,917,831,485 2,772,434,717.45 349,705,262.77 611,825,167.20 1,152,920,722.94
1,648,509,527.75 1,751,704,888.40 1,505,271,308.90 123,502,273,074 2,756,260,523.04 344,338,908.68 605,678,273.29 1,142,796,005.55
1,669,511,195.81 1,713,432,274.98 1,452,686,610.66 109,678,909,367 2,362,728,324.79 334,780,587.51 569,207,429.23 1,032,164,575.48
-21,001,668.06 38,272,613.42 52,584,698.24 13,823,363,707 393,532,198.25 9,558,321.17 36,470,844.06 110,631,430.07
5,476,072.23 7,471,407.05 15,163,784.89 29,405,318 13,420,233.24 3,631,159.62 3,740,104.57 3,869,826.03
55,045.30 98,443.51 94,943.90 - 27,517.42 13,241.36 12,618.03 9,626.79
- - - - - - - -
- - - - - - - -
3,294,565.86 133,310.82 1,473,415.72 898,239,437 1,755,481.69 1,071,065.98 844,356.80 657,693.31
- - - - - - - -
2,359,196.27 969,189.85 3,524,837.09 450,596,899 962,542.18 524,573.80 1,549,382.97 5,579,151.38
- 34,134.56 - - - - - -
48,295.87 98,190.00 253,859.07 28,740,500 - 12,853.94 - -
- - - - - - - -
- - 1,272.20 704,029 8,419.88 113,459.39 - 8,419.88
- 113,396.04 44,142.01 7,872,228 - - 431.54 -
3,323,420.68 1,201,865.54 1,465,417.68 351,639,635 2,106,997.61 502,524.06 1,594,729.69 1,569,861.12
2,252,888.29 2,236.14 58,903.92 131,241,836 - - 1,062.92 23.73
- - 427,552.91 - - - 1,129,192.39 -
58,370.75 36,208.84 189,537.09 121,280,902 670,243.31 94,179.85 120,925.16 323,930.65
- - - 28,683,953 246,504.80 - - 775,229.35
- - - - 12,124.91 - 3,663.99 1,525.00
- - - - - - - -
298,028.86 466,244.82 232,953.26 47,717,300 368,254.54 209,819.69 103,073.76 131,212.18
400,888.48 376,308.81 208,782.97 19,960,366 423,204.64 83,256.86 135,789.52 188,717.36
19,265.83 34,455.18 33,340.79 2,755,278 9,630.10 4,634.47 4,470.14 3,369.34
- - - - - 110,633.19 - -
- - - - - - - -
293,978.47 286,411.75 314,346.74 - 377,035.31 - 96,551.81 145,853.51
1,656,419,282.60 1,759,421,094.69 1,524,362,146.10 124,566,191,850 2,770,327,719.84 349,202,738.71 610,230,437.51 1,151,350,861.82

The accompanying notes form an integral part of these financial statements

259
Statement of Net Assets as at 30/09/18

Notes AMUNDI CAC 40 AMUNDI EURO AMUNDI EUROPE AMUNDI FTSE 100
STOXX 50 EQUITY MULTI
SMART
ALLOCATION
SCIENTIFIC BETA
30/09/18 30/09/18 30/09/18 30/09/18
EUR EUR EUR EUR
Assets 1,539,711,178.73 2,046,940,732.02 389,359,880.47 30,395,629.88
Securities portfolio at market value 2 1,531,894,456.15 2,038,569,254.35 361,590,043.10 30,108,335.47
Acquisition cost 1,432,338,127.65 2,003,765,057.33 366,371,875.74 30,711,940.09
Unrealised gain/loss on the securities portfolio 99,556,328.50 34,804,197.02 -4,781,832.64 -603,604.62
Cash at banks and liquidities 7,725,378.97 7,522,480.34 - -
Receivable on securities lending 11,228.61 137,323.64 - -
Receivable on swap - - 14,566,698.09 267,467.41
Interest receivable on securities - - - -
Dividends receivable 2 - 310,453.09 - -
Receivable on sales of securities - - 13,203,139.28 19,827.00
Receivable on subscriptions - - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - 23,301.43 - -
Unrealised net appreciation on financial futures 2,12 80,115.00 66,820.00 - -
Unrealised net appreciation on swaps 2,6 - - - -
Receivable on spot exchange - - - -
Other assets - 311,099.17 - -
Liabilities 1,048,697.65 1,064,700.64 28,464,688.39 422,426.37
Bank overdrafts - 45,000.00 2.24 -
Payable on purchase of securities - - 2,504,718.09 267,467.41
Payable on redemptions - - 12,061,980.00 -
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 - - 334,501.75 118,564.44
Management fees 2,4 455,778.30 125,742.29 270,260.28 9,940.06
Administration fees 2,5 364,622.58 502,968.90 90,086.75 6,626.73
Payable on securities lending 3,930.70 48,063.34 - -
Payable on spot exchange - - - -
Payable on swap - - 13,203,139.28 19,827.73
Other liabilities 224,366.07 342,926.11 - -
Net asset value 1,538,662,481.08 2,045,876,031.38 360,895,192.08 29,973,203.51

The accompanying notes form an integral part of these financial statements

260
AMUNDI FTSE AMUNDI FTSE MIB AMUNDI GLOBAL AMUNDI JAPAN AMUNDI JPX- AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
EPRA EUROPE INFRASTRUCTURE TOPIX NIKKEI 400 BRAZIL CHINA EASTERN EUROPE
REAL ESTATE EX RUSSIA

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR EUR USD EUR EUR
38,647,858.02 42,101,290.26 18,274,243.97 1,102,239,562.52 551,439,999.90 18,085,622.12 211,279,826.66 43,722,899.74
38,066,115.17 41,441,711.03 17,787,798.52 1,088,604,130.07 541,814,719.57 17,282,145.69 154,366,542.34 35,201,875.44
38,925,669.05 41,038,914.55 18,579,098.77 1,072,045,108.98 543,272,455.04 17,436,294.16 154,634,947.03 36,027,483.57
-859,553.88 402,796.48 -791,300.25 16,559,021.09 -1,457,735.47 -154,148.47 -268,404.69 -825,608.13
74.49 49.42 - 173.81 2,039.92 179.32 60.49 -
- - - - - - - -
362,766.28 - 486,445.45 - 7,807,661.31 803,297.11 29,598,067.05 4,209,142.27
- - - - - - - -
- - - - - - - -
218,902.08 659,529.81 - 696,863.16 - - 27,315,156.78 -
- - - - - - - 4,124,414.00
- - - - - - - -
- - - - - - - -
- - - 12,938,395.48 - - - 187,468.03
- - - - - - - -
- - - - 1,815,579.10 - - -
710,110.08 4,097,160.23 538,334.73 9,428,447.93 10,539,587.59 964,355.01 57,748,299.91 8,349,001.78
- - - 191.99 - 5.84 - 2.87
362,766.28 2,487,391.96 486,445.45 - 9,623,240.41 803,297.11 3,328,371.76 4,209,142.27
- - - - - - 26,269,695.29 -
- - - - - - - -
- - - - - - - -
95,654.19 936,600.01 29,717.07 - 694,953.29 140,255.95 715,673.27 -
23,419.66 6,061.54 18,140.48 851,758.54 98,397.30 17,014.99 97,693.22 7,721.32
9,367.87 7,576.91 4,031.25 291,724.82 122,996.59 3,781.12 21,709.59 7,721.32
- - - - - - - -
- - - - - - - -
218,902.08 659,529.81 0.48 8,284,772.58 - - 27,315,156.78 4,124,414.00
- - - - - - - -
37,937,747.94 38,004,130.03 17,735,909.24 1,092,811,114.59 540,900,412.31 17,121,267.11 153,531,526.75 35,373,897.96

The accompanying notes form an integral part of these financial statements

261
Statement of Net Assets as at 30/09/18

Notes AMUNDI MSCI EM AMUNDI MSCI EM AMUNDI MSCI AMUNDI MSCI


ASIA LATIN AMERICA EMERGING EUROPE
MARKETS

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Assets 2,088,858,096.68 236,332,282.77 5,303,656,197.18 2,006,803,412.39
Securities portfolio at market value 2 1,981,976,826.77 227,461,010.29 5,211,266,054.57 1,991,861,216.59
Acquisition cost 2,015,158,081.16 237,481,253.40 5,259,721,316.90 1,988,170,923.47
Unrealised gain/loss on the securities portfolio -33,181,254.39 -10,020,243.11 -48,455,262.33 3,690,293.12
Cash at banks and liquidities 5,390.10 - 4,745.28 17.17
Receivable on securities lending - - - -
Receivable on swap 80,353,639.29 8,871,272.48 85,438,777.34 14,942,178.63
Interest receivable on securities - - - -
Dividends receivable 2 - - - -
Receivable on sales of securities - - - -
Receivable on subscriptions 5,616,495.91 - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 - - - -
Unrealised net appreciation on swaps 2,6 20,905,744.61 - 6,946,619.99 -
Receivable on spot exchange - - - -
Other assets - - - -
Liabilities 183,848,674.54 9,928,035.70 88,046,848.80 18,472,965.96
Bank overdrafts 1,085.30 0.32 466.93 3.60
Payable on purchase of securities 177,332,802.21 8,871,272.48 85,438,777.35 14,942,178.64
Payable on redemptions - - - -
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 - 939,488.06 - 2,891,629.02
Management fees 2,4 449,145.56 58,637.42 1,303,802.26 213,051.62
Administration fees 2,5 449,145.56 58,637.42 1,303,802.26 426,103.08
Payable on securities lending - - - -
Payable on spot exchange - - - -
Payable on swap 5,616,495.91 - - -
Other liabilities - - - -
Net asset value 1,905,009,422.14 226,404,247.07 5,215,609,348.38 1,988,330,446.43

The accompanying notes form an integral part of these financial statements

262
AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
EUROPE EX EUROPE EX UK EUROPE GROWTH EUROPE HIGH EUROPE LOW SIZE EUROPE MINIMUM EUROPE EUROPE QUALITY
SWITZERLAND DIVIDEND FACTOR FACTOR VOLATILITY MOMENTUM FACTOR
FACTOR FACTOR

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR EUR EUR EUR EUR
25,968,403.55 53,796,387.42 10,268,693.50 24,945,953.82 25,672,711.41 359,077,567.59 169,464,428.26 100,946,059.94
25,799,414.24 53,364,836.25 10,125,697.86 24,756,252.74 25,387,091.25 353,635,773.95 167,542,920.42 99,563,773.92
25,186,368.93 54,758,273.19 10,172,718.72 24,807,367.36 26,439,983.91 362,276,409.79 171,111,647.52 99,683,154.78
613,045.31 -1,393,436.94 -47,020.86 -51,114.62 -1,052,892.66 -8,640,635.84 -3,568,727.10 -119,380.86
- - - - - 35.94 - -
- - - - - - - -
103,036.92 324,491.27 142,995.64 189,701.08 227,691.01 5,441,757.70 1,539,209.44 1,382,286.02
- - - - - - - -
- - - - - - - -
65,952.39 107,059.90 - - 57,929.15 - 382,298.40 -
- - - - - - - -
- - - - - - - -
- - - - - - - -
- - - - - - - -
- - - - - - - -
- - - - - - - -
224,348.38 486,342.25 176,857.59 246,213.51 331,804.83 6,222,571.19 2,338,088.09 1,694,561.76
- - - 9.17 26.64 - - 0.03
103,036.92 324,491.28 142,995.51 189,701.08 227,691.01 5,441,757.70 1,539,209.40 1,382,286.02
- - - - - - - -
- - - - - - - -
- - - - - - - -
39,075.29 15,352.96 20,410.75 41,663.96 31,789.15 606,690.22 336,681.75 257,745.57
10,774.80 26,292.08 9,608.10 8,387.46 8,121.54 98,417.49 45,160.06 30,821.37
5,508.56 13,146.01 3,843.23 6,451.84 6,247.34 75,705.78 34,738.48 23,708.77
- - - - - - - -
- - - - - - - -
65,952.81 107,059.92 - - 57,929.15 - 382,298.40 -
- - - - - - - -
25,744,055.17 53,310,045.17 10,091,835.91 24,699,740.31 25,340,906.58 352,854,996.40 167,126,340.17 99,251,498.18

The accompanying notes form an integral part of these financial statements

263
Statement of Net Assets as at 30/09/18

Notes AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI


EUROPE VALUE INDIA NETHERLANDS NORDIC
FACTOR

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Assets 654,729,524.23 162,112,372.48 14,241,154.08 323,815,903.70
Securities portfolio at market value 2 623,714,345.56 160,209,297.99 14,173,482.12 321,463,296.38
Acquisition cost 638,111,425.25 161,498,427.62 14,088,289.52 316,911,835.69
Unrealised gain/loss on the securities portfolio -14,397,079.69 -1,289,129.63 85,192.60 4,551,460.69
Cash at banks and liquidities 136.08 270.42 73.38 13.72
Receivable on securities lending - - - -
Receivable on swap 15,031,726.40 1,277,780.71 67,598.58 1,863,663.60
Interest receivable on securities - - - -
Dividends receivable 2 - - - -
Receivable on sales of securities 14,808,972.52 625,023.36 - 488,930.00
Receivable on subscriptions - - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 - - - -
Unrealised net appreciation on swaps 2,6 1,174,343.67 - - -
Receivable on spot exchange - - - -
Other assets - - - -
Liabilities 35,390,949.53 2,818,591.12 90,902.77 2,718,816.94
Bank overdrafts - - - -
Payable on purchase of securities 5,199,804.09 1,277,780.71 67,598.58 2,221,683.75
Payable on redemptions 15,031,726.40 - - -
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 - 574,103.51 11,684.78 180,336.23
Management fees 2,4 198,078.44 298,973.11 6,971.64 111,511.38
Administration fees 2,5 152,368.08 42,710.43 4,647.77 74,340.94
Payable on securities lending - - - -
Payable on spot exchange - - - -
Payable on swap 14,808,972.52 625,023.36 - 130,909.85
Other liabilities - - - 34.79
Net asset value 619,338,574.70 159,293,781.36 14,150,251.31 321,097,086.76

The accompanying notes form an integral part of these financial statements

264
AMUNDI MSCI AMUNDI MSCI USA AMUNDI MSCI USA AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI NASDAQ-
SWITZERLAND MINIMUM WORLD WORLD ENERGY WORLD EX EUROPE WORLD 100
VOLATILITY FINANCIALS
FACTOR

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR USD EUR EUR EUR EUR EUR
161,553,532.26 1,525,913,942.30 24,771,421.03 894,123,574.86 108,517,407.56 182,655,609.27 93,465,468.98 672,981,052.13
159,598,334.60 1,485,431,231.10 24,113,930.14 877,796,357.04 104,926,791.99 178,054,083.43 91,485,237.51 658,725,806.56
153,930,013.63 1,508,123,846.71 24,822,681.14 885,552,547.22 106,909,108.33 180,851,148.21 93,019,609.78 684,140,503.46
5,668,320.97 -22,692,615.61 -708,751.00 -7,756,190.18 -1,982,316.34 -2,797,064.78 -1,534,372.27 -25,414,696.90
253.54 633.83 - 1,604.40 141.60 - 191.55 39.17
- - - - - - - -
1,954,944.12 31,450,127.37 549,813.99 14,156,239.55 - 3,911,019.45 767,266.18 3,022,655.28
- - - - - - - -
- - - - - - - -
- - 107,676.90 2,169,373.87 2,639,190.46 690,506.39 1,212,773.74 -
- 9,031,950.00 - - - - - -
- - - - - - - -
- - - - - - - -
- - - - 951,283.51 - - 11,232,551.12
- - - - - - - -
- - - - - - - -
2,233,682.36 44,486,604.87 672,510.31 19,041,622.47 327,899.96 5,331,195.48 2,388,227.32 20,686,958.13
- - 4.51 - - - - 23.90
1,954,944.12 31,450,127.37 549,813.99 14,156,239.55 - 3,911,019.45 767,266.18 20,341,136.82
- - - - - - - -
- - - - - - - -
- - - - - - - -
179,524.63 3,001,215.70 7,019.35 1,944,455.41 - 589,041.35 323,159.91 -
59,528.20 644,986.19 3,553.57 568,513.23 75,508.41 100,448.58 60,733.90 214,674.97
39,685.41 358,325.61 4,441.99 203,040.41 30,203.39 40,179.44 24,293.59 131,122.44
- - - - - - - -
- - - - - - - -
- 9,031,950.00 107,676.90 2,169,373.87 222,188.16 690,506.66 1,212,773.74 -
- - - - - - - -
159,319,849.90 1,481,427,337.43 24,098,910.72 875,081,952.39 108,189,507.60 177,324,413.79 91,077,241.66 652,294,094.00

The accompanying notes form an integral part of these financial statements

265
Statement of Net Assets as at 30/09/18

Notes AMUNDI RUSSELL AMUNDI S&P 500 AMUNDI S&P 500 AMUNDI S&P
2000 BUYBACK GLOBAL LUXURY

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Assets 178,630,403.80 4,245,573,851.30 58,567,114.53 82,025,872.95
Securities portfolio at market value 2 173,667,032.97 4,187,141,312.68 57,432,010.23 73,768,900.87
Acquisition cost 175,955,769.41 4,216,445,041.19 58,756,794.60 76,462,022.73
Unrealised gain/loss on the securities portfolio -2,288,736.44 -29,303,728.51 -1,324,784.37 -2,693,121.86
Cash at banks and liquidities - 3,098.45 18.70 70.96
Receivable on securities lending - - - -
Receivable on swap 3,683,601.90 - 1,002,245.09 8,256,901.12
Interest receivable on securities - - - -
Dividends receivable 2 - - - -
Receivable on sales of securities 1,279,768.93 7,925,918.01 132,840.51 -
Receivable on subscriptions - - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 - - - -
Unrealised net appreciation on swaps 2,6 - 50,503,522.16 - -
Receivable on spot exchange - - - -
Other assets - - - -
Liabilities 5,382,769.51 69,397,830.72 1,420,812.80 8,712,830.07
Bank overdrafts 205.25 1,026.84 - -
Payable on purchase of securities 3,683,601.91 59,730,715.74 1,002,245.09 8,256,901.12
Payable on redemptions - - - -
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 232,906.28 - 264,306.87 405,168.11
Management fees 2,4 133,062.22 829,265.89 7,140.15 30,456.53
Administration fees 2,5 53,224.92 910,904.24 14,280.18 20,304.31
Payable on securities lending - - - -
Payable on spot exchange - - - -
Payable on swap 1,279,768.93 7,925,918.01 132,840.51 -
Other liabilities - - - -
Net asset value 173,247,634.29 4,176,176,020.58 57,146,301.73 73,313,042.88

The accompanying notes form an integral part of these financial statements

266
AMUNDI STOXX AMUNDI USA AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
EUROPE 600 EQUITY MULTI BARCLAYS EURO BARCLAYS EURO BARCLAYS GLOBAL BARCLAYS US BARCLAYS US GOV J.P. MORGAN EMU
SMART AGG CORPORATE CORP BBB 1-5 AGG 500M CORP BBB 1-5 INFLATION-LINKED GOVIES IG
ALLOCATION BOND
SCIENTIFIC BETA
30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18
EUR USD EUR EUR USD USD USD EUR
407,891,783.40 13,387,384.35 141,590,593.64 152,009,661.02 434,265,725.56 155,513,792.20 9,307,198.31 724,277,950.27
404,420,151.47 13,042,201.02 128,886,323.09 131,114,160.71 409,630,457.79 151,464,345.20 9,281,248.30 715,883,082.04
407,707,716.98 13,734,323.12 130,956,252.70 133,024,293.70 425,042,475.32 155,437,007.00 9,338,211.75 733,692,104.94
-3,287,565.51 -692,122.10 -2,069,929.61 -1,910,132.99 -15,412,017.53 -3,972,661.80 -56,963.45 -17,809,022.90
22.23 - 475,479.78 558,637.65 22,137,594.21 2,705,026.92 8,459.38 77,610.43
- - 72.08 - 5,095.19 - 1.56 11,727.06
2,523,977.62 310,680.98 - - 24,686.58 - - -
- - 1,146,706.44 1,551,088.88 2,467,561.40 1,303,242.90 17,489.07 7,415,763.18
- - - - - - - -
947,632.08 34,502.35 101,338.00 - - - - -
- - 10,977,274.25 18,785,773.78 - 41,177.18 - 889,767.56
- - - - - - - -
- - 3,400.00 - - - - -
- - - - - - - -
- - - - 330.39 - - -
- - - - - - - -
4,267,410.92 395,820.12 9,135,841.03 18,769,427.14 23,128,865.66 285,519.20 3,470.17 268,534.08
- 3.99 4.10 - 960,000.00 15,936.75 - -
3,061,118.38 310,680.98 9,073,652.81 18,697,290.73 21,444,155.59 - - -
- - - 396.96 92.55 - - 44,311.49
- - - - 524,142.64 163,213.88 - -
- - - - 1,781.24 - - -
612,124.17 40,201.63 - - - - - -
81,634.25 7,270.23 20,498.53 19,370.62 29,370.01 28,622.33 554.80 26,252.14
102,042.79 3,160.94 17,448.25 27,736.26 62,541.35 38,163.08 1,548.36 75,966.88
- - 25.23 - 1,780.57 - 0.55 4,096.99
- - - - - - - -
410,491.33 34,502.35 - - - - - -
- - 24,212.11 24,632.57 105,001.71 39,583.16 1,366.46 117,906.58
403,624,372.48 12,991,564.23 132,454,752.61 133,240,233.88 411,136,859.90 155,228,273.00 9,303,728.14 724,009,416.19

The accompanying notes form an integral part of these financial statements

267
Statement of Net Assets as at 30/09/18

Notes AMUNDI INDEX AMUNDI INDEX US AMUNDI BBB EURO AMUNDI EURO
J.P. MORGAN GBI CORP SRI CORPORATE CORPORATE EX
GLOBAL GOVIES INVESTMENT FINANCIALS IBOXX
GRADE

30/09/18 30/09/18 30/09/18 30/09/18


EUR USD EUR EUR
Assets 745,995,400.55 260,519,846.77 196,902,119.21 14,026,776.94
Securities portfolio at market value 2 737,477,052.81 254,485,833.17 191,816,556.94 13,899,977.69
Acquisition cost 772,914,157.96 254,440,681.89 192,271,898.49 14,002,701.71
Unrealised gain/loss on the securities portfolio -35,437,105.15 45,151.28 -455,341.55 -102,724.02
Cash at banks and liquidities 3,644,237.02 3,681,037.64 2.26 -
Receivable on securities lending 17,294.29 - - -
Receivable on swap - - - -
Interest receivable on securities 4,563,836.31 2,352,975.96 895,236.88 105,675.09
Dividends receivable 2 - - - -
Receivable on sales of securities - - 4,190,323.13 8,021.62
Receivable on subscriptions 292,980.12 - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 - - - -
Unrealised net appreciation on swaps 2,6 - - - 13,102.54
Receivable on spot exchange - - - -
Other assets - - - -
Liabilities 4,190,761.44 1,284,596.77 4,569,973.47 13,858.42
Bank overdrafts 2,190,000.00 - - 34.22
Payable on purchase of securities - 1,044,830.27 3,998,472.09 7,024.56
Payable on redemptions 353,721.67 - - -
Unrealised net depreciation on forward foreign exchange contracts 2,11 1,194,686.86 140,999.15 - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 - - 281,597.20 -
Management fees 2,4 129,767.06 20,060.81 63,734.56 3,263.92
Administration fees 2,5 184,919.09 62,043.79 34,318.59 2,538.65
Payable on securities lending 6,024.01 - - -
Payable on spot exchange 41.14 - - -
Payable on swap - - 191,851.03 997.07
Other liabilities 131,601.61 16,662.75 - -
Net asset value 741,804,639.11 259,235,250.00 192,332,145.74 14,012,918.52

The accompanying notes form an integral part of these financial statements

268
AMUNDI EURO AMUNDI EURO AMUNDI EURO AMUNDI FLOATING AMUNDI FLOATING AMUNDI GLOBAL AMUNDI GOVT AMUNDI GOVT
CORPORATE CORPORATES HIGH YIELD RATE EURO RATE USD EMERGING BOND BOND EUROMTS BOND HIGHEST
FINANCIALS IBOXX LIQUID BOND CORPORATE 1-3 CORPORATE MARKIT IBOXX BROAD RATED EUROMTS
IBOXX INVESTMENT INVESTMENT
GRADE GRADE
30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18
EUR EUR EUR EUR USD USD EUR EUR
103,057,713.52 503,606,881.03 509,652,851.88 843,423,772.09 5,393,580,301.91 151,949,113.80 267,018,437.12 246,328,770.96
99,962,451.25 495,766,093.47 457,148,162.17 832,360,613.13 5,320,432,036.57 142,136,566.43 264,880,836.71 238,307,573.20
100,755,430.21 499,202,715.73 456,670,911.04 835,753,199.04 5,326,635,885.42 142,849,173.72 269,801,327.97 239,669,694.32
-792,978.96 -3,436,622.26 477,251.13 -3,392,585.91 -6,203,848.85 -712,607.29 -4,920,491.26 -1,362,121.12
54.24 - 1,631.58 - - - - -
- - - - - - - -
- - 36,977,625.12 - 22,368,501.37 7,112,853.51 - -
876,248.08 2,165,237.41 4,221,254.71 5,109,652.27 22,733,890.31 1,793,553.27 713,441.92 903,140.85
- - - - - - - -
2,214,970.35 4,564,393.55 195,678.30 5,953,506.69 28,045,873.66 421,129.99 1,424,158.49 7,118,056.91
- - 11,108,500.00 - - - - -
- - - - - - - -
- - - - - - - -
3,989.60 1,111,156.60 - - - 485,010.60 - -
- - - - - - - -
- - - - - - - -
2,253,994.43 4,767,085.04 49,646,593.91 6,886,877.73 79,378,844.74 7,640,177.61 1,535,088.82 7,367,377.13
- 56.27 - 224.88 259,329.07 583.73 136.70 -
2,153,264.85 4,384,902.84 37,173,303.44 5,911,550.36 34,168,158.92 7,112,853.51 1,376,741.94 7,009,006.12
- - - - - - - -
- - - - - - - -
- - - - - - - -
- - 895,108.17 526,134.77 26,238,950.54 - 7,084.41 175,022.64
21,950.74 113,982.30 316,802.88 248,729.15 1,573,151.44 80,967.95 51,854.62 37,148.57
17,072.77 88,652.92 67,200.59 158,282.21 893,038.59 24,642.44 51,854.62 37,148.57
- - - - - - - -
- - - - - - - -
61,706.07 179,490.71 11,194,178.83 41,956.36 16,246,216.18 421,129.98 47,416.53 109,051.23
- - - - - - - -
100,803,719.09 498,839,795.99 460,006,257.97 836,536,894.36 5,314,201,457.17 144,308,936.19 265,483,348.30 238,961,393.83

The accompanying notes form an integral part of these financial statements

269
Statement of Net Assets as at 30/09/18

Notes AMUNDI GOVT AMUNDI GOVT AMUNDI GOVT AMUNDI US


BOND HIGHEST BOND LOWEST BOND LOWEST TREASURY 1-3
RATED EUROMTS RATED EUROMTS RATED EUROMTS
INVESTMENT INVESTMENT INVESTMENT
GRADE 1-3 GRADE GRADE 1-3
30/09/18 30/09/18 30/09/18 30/09/18
EUR EUR EUR USD
Assets 11,196,262.91 1,067,848,129.19 179,700,644.96 25,233,206.71
Securities portfolio at market value 2 11,158,248.31 1,053,477,473.37 173,949,769.21 25,109,639.29
Acquisition cost 11,118,613.88 1,069,799,226.39 175,472,489.69 25,151,522.13
Unrealised gain/loss on the securities portfolio 39,634.43 -16,321,753.02 -1,522,720.48 -41,882.84
Cash at banks and liquidities - - - 7.11
Receivable on securities lending - - - -
Receivable on swap - - - -
Interest receivable on securities 35,865.81 8,104,594.77 1,590,778.31 102,561.81
Dividends receivable 2 - - - -
Receivable on sales of securities 2,148.79 6,266,061.05 4,160,097.44 20,805.89
Receivable on subscriptions - - - -
Unrealised net appreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net appreciation on financial futures 2,12 - - - -
Unrealised net appreciation on swaps 2,6 - - - 192.61
Receivable on spot exchange - - - -
Other assets - - - -
Liabilities 21,515.04 10,637,040.74 4,430,289.31 27,026.05
Bank overdrafts - 95.05 63.85 -
Payable on purchase of securities - 4,511,812.05 4,106,157.68 -
Payable on redemptions - - - -
Unrealised net depreciation on forward foreign exchange contracts 2,11 - - - -
Unrealised net depreciation on financial futures 2,12 - - - -
Unrealised net depreciation on swaps 2,6 15,500.41 4,006,244.31 211,756.26 -
Management fees 2,4 1,932.91 182,320.17 29,185.88 3,110.68
Administration fees 2,5 1,932.91 182,320.17 29,185.88 3,110.68
Payable on securities lending - - - -
Payable on spot exchange - - - -
Payable on swap 2,148.81 1,754,248.99 53,939.76 20,804.69
Other liabilities - - - -
Net asset value 11,174,747.87 1,057,211,088.45 175,270,355.65 25,206,180.66

The accompanying notes form an integral part of these financial statements

270
AMUNDI US AMUNDI US AMUNDI STOXX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX Combined
TREASURY 3-7 TREASURY 7-10 GLOBAL MSCI USA SRI MSCI EUROPE SRI MSCI WORLD SRI
ARTIFICIAL
INTELLIGENCE

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


USD USD EUR USD EUR USD EUR
15,473,643.31 307,744,369.74 155,019,394.87 12,147,621.28 10,510,896.49 12,215,605.71 50,041,343,297.05
15,426,482.70 249,318,044.23 127,284,195.62 12,110,450.51 10,437,440.88 12,146,032.20 49,018,069,616.20
15,494,648.57 250,564,426.02 127,140,321.90 11,927,182.51 10,262,843.27 11,905,633.47 48,419,707,280.29
-68,165.87 -1,246,381.79 143,873.72 183,268.00 174,597.61 240,398.73 598,362,335.91
101.99 106.34 - 32,936.07 62,646.62 54,856.48 103,744,446.68
- - - - - - 525,333.81
- 142,055.46 25,964,190.00 - - - 435,124,996.08
37,342.69 689,485.38 - - - - 66,516,992.05
- - - 4,234.70 9,758.99 13,360.81 19,973,606.27
3,664.16 - - - - - 148,668,681.88
- 57,441,050.00 - - - - 136,593,216.94
- - - - - - 57,435.99
- - - - 1,050.00 1,356.22 848,809.37
6,051.77 153,628.33 1,771,009.25 - - - 108,294,402.52
- - - - - - 169,643.78
- - - - - - 2,756,115.48
7,737.30 57,642,496.61 40,484,456.68 1,027.88 887.18 1,299.48 1,010,851,092.92
- - - - - 266.32 12,891,203.18
- 57,583,105.47 40,472,905.74 - - - 734,002,936.06
- - - - - - 62,303,802.55
- - - - - - 3,031,078.58
- - - - - - 16,440.07
- - - - - - 45,294,649.23
2,036.56 29,695.57 8,250.66 314.45 271.08 316.06 12,965,588.94
2,036.56 29,695.57 3,300.28 571.72 492.88 574.66 10,380,237.63
- - - - - - 205,030.61
- - - - - - 110,674.33
3,664.18 - - - - - 126,826,504.59
- - - 141.71 123.22 142.44 2,822,947.14
15,465,906.01 250,101,873.13 114,534,938.19 12,146,593.40 10,510,009.31 12,214,306.23 49,030,492,204.13

The accompanying notes form an integral part of these financial statements

271
Financial Details

AMUNDI INDEX EQUITY EUROPE LOW CARBON


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 124,940,904.87 129,335,787.35

Class AE of capitalisation
Number of shares 249.16 1.00
Net asset value per share EUR 109.09 106.72

Class IE of capitalisation
Number of shares 28,397.03 24,902.82
Net asset value per share EUR 1,191.51 1,163.37

Class IU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 12,268.56 12,191.92

Class OE of capitalisation
Number of shares 53,732.52 -
Net asset value per share EUR 1,163.17 -

Class OE of distribution
Number of shares - 63,857.78
Net asset value per share EUR - 1,134.85

Class RE of capitalisation
Number of shares 1.00 1.00
Net asset value per share EUR 10,834.37 10,583.92

Class XE of capitalisation
Number of shares 524.42 524.42
Net asset value per share EUR 54,341.03 53,042.01

Class XG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 53,480.38 51,644.55

AMUNDI INDEX EQUITY GLOBAL LOW CARBON


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 654,499,914.05 488,013,567.91

Class AE of capitalisation
Number of shares 336.17 1.00
Net asset value per share EUR 126.66 111.88

Class I13E of capitalisation


Number of shares 256,952.60 256,952.60
Net asset value per share EUR 1,115.41 982.66

Class IE of capitalisation
Number of shares 18,942.63 13,840.15
Net asset value per share EUR 12,646.30 11,156.81

Class IG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 62,267.49 54,347.50

Class IU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 14,438.15 12,964.09

Class OE of capitalisation
Number of shares 717.54 746.29
Net asset value per share EUR 68,655.65 60,524.06

Class RE of capitalisation
Number of shares 1.00 1.00
Net asset value per share EUR 12,625.34 11,143.74

Class UCITS ETF of capitalisation


Number of shares 147,096.00 -
Net asset value per share EUR 244.85 -

272
Financial Details

AMUNDI INDEX EQUITY GLOBAL LOW CARBON


Year/Period ending at: 30/09/18 30/09/17

Class UCITS ETF of distribution


Number of shares 7,318.00 -
Net asset value per share USD 284.39 -

Class XE of capitalisation
Number of shares 648.71 641.46
Net asset value per share EUR 63,403.33 55,891.05

AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 619,219,521.42 199,152,900.26

Class IE of capitalisation
Number of shares 13,901.91 12,657.91
Net asset value per share EUR 12,567.60 11,383.03

Class UCITS ETF EUR of capitalisation


Number of shares 924,162.00 -
Net asset value per share EUR 398.07 -

Class UCITS ETF USD of capitalisation


Number of shares 39,600.00 -
Net asset value per share USD 462.36 -

Class XE of capitalisation
Number of shares 1,000.00 1,000.00
Net asset value per share EUR 60,858.71 55,067.48

AMUNDI INDEX FTSE EPRA NAREIT GLOBAL


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 755,677,739.87 197,976,388.11

Class A3E of capitalisation


Number of shares 7,104.00 4,401.00
Net asset value per share EUR 106.75 101.35

Class A3E of distribution


Number of shares 6,911.00 6,896.00
Net asset value per share EUR 102.88 100.50

Class A3U of capitalisation


Number of shares 1.00 1.00
Net asset value per share USD 109.12 105.38

Class A3U of distribution


Number of shares 606.00 606.00
Net asset value per share USD 105.00 104.44

Class AE of capitalisation
Number of shares 9,517.17 6,754.79
Net asset value per share EUR 110.44 105.04

Class AE of distribution
Number of shares 477.28 65.40
Net asset value per share EUR 102.72 100.62

Class AU of capitalisation
Number of shares 2,301.00 1,201.00
Net asset value per share USD 108.84 105.36

Class AU of distribution
Number of shares 1.00 1.00
Net asset value per share USD 105.06 104.57

Class I13E of capitalisation


Number of shares 130,712.00 130,324.00
Net asset value per share EUR 1,066.42 1,012.14

273
Financial Details

AMUNDI INDEX FTSE EPRA NAREIT GLOBAL


Year/Period ending at: 30/09/18 30/09/17

Class I13HG of capitalisation


Number of shares 90,188.20 -
Net asset value per share GBP 1,015.58 -

Class I14G of capitalisation


Number of shares 1.00 -
Net asset value per share GBP 992.92 -

Class IC of capitalisation
Number of shares 45,940.87 -
Net asset value per share CHF 1,049.05 -

Class IC of distribution
Number of shares 1.00 -
Net asset value per share CHF 1,108.04 -

Class IE of capitalisation
Number of shares 120,820.89 12,096.34
Net asset value per share EUR 1,108.39 1,053.12

Class IE of distribution
Number of shares 1.00 1.00
Net asset value per share EUR 1,029.44 1,005.37

Class IG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 1,185.42 1,113.68

Class IG of distribution
Number of shares 1.00 1.00
Net asset value per share GBP 1,145.69 1,106.20

Class IHC of capitalisation


Number of shares 41,693.11 -
Net asset value per share CHF 1,010.94 -

Class IU of capitalisation
Number of shares 230,907.13 29,512.78
Net asset value per share USD 1,228.60 1,187.97

Class IU of distribution
Number of shares 737.00 444.00
Net asset value per share USD 1,049.62 1,044.63

Class ME of capitalisation
Number of shares 1.58 1,280.84
Net asset value per share EUR 106.71 101.24

Class OE of capitalisation
Number of shares 1.00 1.00
Net asset value per share EUR 1,068.37 1,013.22

Class RE of capitalisation
Number of shares 1.46 1.00
Net asset value per share EUR 106.97 101.42

Class RE of distribution
Number of shares 1.00 1.00
Net asset value per share EUR 102.64 100.54

Class UCITS ETF of capitalisation


Number of shares 949,092.00 413,292.00
Net asset value per share EUR 53.81 51.13

Class UCITS ETF of distribution


Number of shares 20,000.00 -
Net asset value per share EUR 53.31 -

274
Financial Details

AMUNDI INDEX MSCI EMERGING MARKETS


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 1,656,419,282.60 1,104,362,637.64

Class A3E of capitalisation


Number of shares 24,145.00 59,220.00
Net asset value per share EUR 109.96 109.03

Class A3E of distribution


Number of shares 1,521,954.00 1,320,183.00
Net asset value per share EUR 104.97 105.42

Class A3U of distribution


Number of shares 18,705.00 19,599.00
Net asset value per share USD 112.29 114.80

Class AE of capitalisation
Number of shares 65,906.68 41,429.45
Net asset value per share EUR 132.77 132.04

Class AE of distribution
Number of shares 4,678.89 274.52
Net asset value per share EUR 124.97 125.73

Class AU of capitalisation
Number of shares 54.67 54.67
Net asset value per share USD 114.14 115.53

Class AU of distribution
Number of shares 10.00 10.00
Net asset value per share USD 105.27 107.77

Class I14G of capitalisation


Number of shares 1.00 -
Net asset value per share GBP 974.03 -

Class I14U of capitalisation


Number of shares 7,174.80 -
Net asset value per share USD 1,028.43 -

Class IE of capitalisation
Number of shares 70,179.69 84,042.92
Net asset value per share EUR 1,366.61 1,355.72

Class IE of distribution
Number of shares 69,161.45 59,162.62
Net asset value per share EUR 1,254.91 1,260.75

Class IG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 1,457.54 1,430.27

Class IG of distribution
Number of shares 1.00 1.00
Net asset value per share GBP 1,360.90 1,352.59

Class IU of capitalisation
Number of shares 113,896.18 69,553.48
Net asset value per share USD 1,156.05 1,167.28

Class IU of distribution
Number of shares 192.74 1.00
Net asset value per share USD 1,057.35 1,080.76

Class ME of capitalisation
Number of shares 20.00 20.00
Net asset value per share EUR 133.95 132.93

Class OE of capitalisation
Number of shares 2.00 2.00
Net asset value per share EUR 1,346.86 1,335.11

Class OE of distribution
Number of shares 2.00 2.00
Net asset value per share EUR 1,254.64 1,261.36

275
Financial Details

AMUNDI INDEX MSCI EMERGING MARKETS


Year/Period ending at: 30/09/18 30/09/17

Class OU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 1,137.27 1,146.58

Class RE of capitalisation
Number of shares 10.00 10.00
Net asset value per share EUR 134.10 133.05

Class RE of distribution
Number of shares 1,663.84 958.94
Net asset value per share EUR 124.99 125.61

Class UCITS ETF of capitalisation


Number of shares 17,154,553.00 10,120,000.00
Net asset value per share EUR 52.17 51.76

Class UCITS ETF of distribution


Number of shares 1,186,032.00 -
Net asset value per share EUR 46.15 -

AMUNDI INDEX MSCI EMU


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 1,759,421,094.69 337,840,095.28

Class AE of capitalisation
Number of shares 162,831.68 127,526.12
Net asset value per share EUR 167.56 168.15

Class AE of distribution
Number of shares 678.16 415.62
Net asset value per share EUR 184.27 188.93

Class IE of capitalisation
Number of shares 212,769.09 133,874.79
Net asset value per share EUR 1,704.93 1,708.34

Class IE of distribution
Number of shares 1.00 1,208.31
Net asset value per share EUR 1,379.95 1,414.42

Class IHC of capitalisation


Number of shares 11.00 11.00
Net asset value per share CHF 1,252.52 1,261.00

Class IHU of capitalisation


Number of shares 1,914.59 3,164.42
Net asset value per share USD 1,324.71 1,297.61

Class ME of capitalisation
Number of shares 175,224.14 138,072.01
Net asset value per share EUR 192.50 192.98

Class OE of capitalisation
Number of shares 24,626.49 32,812.43
Net asset value per share EUR 1,621.42 1,623.45

Class OHP of capitalisation


Number of shares 1,156.62 2,328.10
Net asset value per share PLN 4,701.82 4,624.66

Class RE of capitalisation
Number of shares 158.20 10.00
Net asset value per share EUR 131.82 132.23

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 120.68 123.90

276
Financial Details

AMUNDI INDEX MSCI EMU


Year/Period ending at: 30/09/18 30/09/17

Class RHG of capitalisation


Number of shares 11.00 10.00
Net asset value per share GBP 130.96 130.36

Class RHG of distribution


Number of shares 10.00 10.00
Net asset value per share GBP 120.29 122.42

Class UCITS ETF of capitalisation


Number of shares 6,426,774.00 -
Net asset value per share EUR 201.05 -

AMUNDI INDEX MSCI EUROPE


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 1,524,362,146.10 873,987,496.04

Class A3E of capitalisation


Number of shares 104,621.81 6,601.00
Net asset value per share EUR 124.73 122.70

Class A3E of distribution


Number of shares 65,381.00 119,076.00
Net asset value per share EUR 119.57 120.94

Class A3U of capitalisation


Number of shares 1.00 1.00
Net asset value per share USD 126.86 126.94

Class A3U of distribution


Number of shares 529.96 1.00
Net asset value per share USD 121.38 125.03

Class AE of capitalisation
Number of shares 116,423.71 127,726.84
Net asset value per share EUR 182.18 179.52

Class AE of distribution
Number of shares 162,567.04 139,535.98
Net asset value per share EUR 173.12 175.13

Class I13E of distribution


Number of shares 131,989.12 -
Net asset value per share EUR 1,039.07 -

Class I14E of capitalisation


Number of shares 9,243.41 -
Net asset value per share EUR 1,015.57 -

Class IE of capitalisation
Number of shares 563,895.31 349,224.10
Net asset value per share EUR 1,853.62 1,823.80

Class IE of distribution
Number of shares 74,178.44 108,508.52
Net asset value per share EUR 1,460.93 1,477.61

Class ME of capitalisation
Number of shares 23,131.32 19,059.26
Net asset value per share EUR 272.73 268.48

Class OE of capitalisation
Number of shares 7,699.79 4,717.31
Net asset value per share EUR 1,666.28 1,638.25

Class RE of capitalisation
Number of shares 10,066.39 10.00
Net asset value per share EUR 129.71 127.78

277
Financial Details

AMUNDI INDEX MSCI EUROPE


Year/Period ending at: 30/09/18 30/09/17

Class RE of distribution
Number of shares 1,277.35 1,217.16
Net asset value per share EUR 117.85 119.22

Class UCITS ETF of capitalisation


Number of shares 2,094,495.00 20,000.00
Net asset value per share EUR 59.47 58.51

Class UCITS ETF of distribution


Number of shares 177,850.00 -
Net asset value per share EUR 49.35 -

AMUNDI INDEX MSCI JAPAN


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets JPY 124,566,191,850 67,129,433,650

Class A3E of capitalisation


Number of shares 77,885.00 87,846.00
Net asset value per share EUR 116.93 104.34

Class A3E of distribution


Number of shares 1,709,438.00 1,911,681.00
Net asset value per share EUR 119.49 108.26

Class A3U of capitalisation


Number of shares 176.00 1,216.00
Net asset value per share USD 138.10 125.40

Class A3U of distribution


Number of shares 2,259.00 1.00
Net asset value per share USD 135.83 125.21

Class AE of capitalisation
Number of shares 29,923.79 17,901.93
Net asset value per share EUR 217.55 194.48

Class AE of distribution
Number of shares 49.00 14.00
Net asset value per share EUR 165.10 149.59

Class I14J of capitalisation


Number of shares 8,534.88 -
Net asset value per share JPY 103,866.55 -

Class IE of capitalisation
Number of shares 1,415.55 1,226.38
Net asset value per share EUR 97,190.46 86,754.51

Class IE of distribution
Number of shares 32,417.33 21,055.54
Net asset value per share EUR 1,327.71 1,203.06

Class IG of capitalisation
Number of shares 11,886.34 10,573.45
Net asset value per share GBP 1,881.39 1,661.46

Class IG of distribution
Number of shares 170.82 0.82
Net asset value per share GBP 1,794.62 1,608.62

Class IHC of capitalisation


Number of shares 4,585.45 1,027.02
Net asset value per share CHF 1,286.35 1,172.88

Class IHE of capitalisation


Number of shares 69,086.77 18,633.23
Net asset value per share EUR 1,556.10 1,411.47

278
Financial Details

AMUNDI INDEX MSCI JAPAN


Year/Period ending at: 30/09/18 30/09/17

Class IHU of capitalisation


Number of shares 15,198.55 5,119.14
Net asset value per share USD 1,368.36 1,211.99

Class IJ of capitalisation
Number of shares 58,258.95 87,558.03
Net asset value per share JPY 162,261.00 146,095.00

Class IJ of distribution
Number of shares 57.83 1.41
Net asset value per share JPY 154,543.00 141,247.00

Class ME of capitalisation
Number of shares 20,230.73 20,230.73
Net asset value per share EUR 173.22 154.69

Class OE of capitalisation
Number of shares 641.05 760.15
Net asset value per share EUR 1,743.56 1,554.79

Class OE of distribution
Number of shares 1.00 1.00
Net asset value per share EUR 1,658.31 1,501.69

Class OJ of capitalisation
Number of shares 1.41 1.41
Net asset value per share JPY 163,086.00 146,656.00

Class RE of capitalisation
Number of shares 413.10 10.00
Net asset value per share EUR 172.59 154.30

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 165.23 149.77

Class UCITS ETF EUR of capitalisation


Number of shares 1,495,472.00 -
Net asset value per share EUR 197.93 -

Class UCITS ETF JPY of capitalisation


Number of shares 41,392.00 -
Net asset value per share JPY 26,113.22 -

AMUNDI INDEX MSCI NORTH AMERICA


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 2,770,327,719.84 1,521,285,734.45

Class A3E of capitalisation


Number of shares 58,577.00 20,889.00
Net asset value per share EUR 141.99 119.96

Class A3E of distribution


Number of shares 6,414.00 2,824.00
Net asset value per share EUR 139.41 119.25

Class A3U of capitalisation


Number of shares 5,066.00 7,081.00
Net asset value per share USD 146.65 126.11

Class A3U of distribution


Number of shares 1.00 1.00
Net asset value per share USD 144.57 125.80

Class AE of capitalisation
Number of shares 342,099.53 329,304.14
Net asset value per share EUR 330.96 280.11

279
Financial Details

AMUNDI INDEX MSCI NORTH AMERICA


Year/Period ending at: 30/09/18 30/09/17

Class AE of distribution
Number of shares 4,664.32 2,871.00
Net asset value per share EUR 343.12 293.61

Class AHE of capitalisation


Number of shares 15,900.29 3,899.58
Net asset value per share EUR 139.00 123.03

Class AHK of capitalisation


Number of shares 65,941.38 44,818.67
Net asset value per share CZK 3,382.97 3,009.79

Class AU of capitalisation
Number of shares 42,636.40 112,663.49
Net asset value per share USD 274.95 236.85

Class AU of distribution
Number of shares 13,278.25 6,864.41
Net asset value per share USD 144.10 125.70

Class IE of capitalisation
Number of shares 216,545.73 127,923.12
Net asset value per share EUR 3,367.44 2,845.80

Class IE of distribution
Number of shares 66,788.56 64,292.51
Net asset value per share EUR 2,970.81 2,541.42

Class IU of capitalisation
Number of shares 205,341.57 243,163.68
Net asset value per share USD 2,299.97 1,978.33

Class IU of distribution
Number of shares 78,911.00 1.00
Net asset value per share USD 144.48 125.80

Class ME of capitalisation
Number of shares 18.79 18.79
Net asset value per share EUR 392.03 331.49

Class MU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 146.96 126.18

Class OE of capitalisation
Number of shares 2,526.79 51,203.13
Net asset value per share EUR 2,731.38 2,306.55

Class OU of capitalisation
Number of shares 1.00 9,311.00
Net asset value per share USD 1,467.83 1,261.35

Class RHE of capitalisation


Number of shares 3.29 1.00
Net asset value per share EUR 139.44 123.12

Class RHE of distribution


Number of shares 1.00 1.00
Net asset value per share EUR 137.04 122.67

Class RHG of capitalisation


Number of shares 8,033.80 236.88
Net asset value per share GBP 141.35 123.90

Class RHG of distribution


Number of shares 1.00 1.00
Net asset value per share GBP 140.15 123.91

Class RU of capitalisation
Number of shares 10.00 10.00
Net asset value per share USD 162.29 139.72

280
Financial Details

AMUNDI INDEX MSCI NORTH AMERICA


Year/Period ending at: 30/09/18 30/09/17

Class RU of distribution
Number of shares 10,713.75 8,706.86
Net asset value per share USD 155.38 135.33

Class UCITS ETF of capitalisation


Number of shares 13,687,901.00 1,792,867.00
Net asset value per share EUR 64.52 54.52

Class UCITS ETF of distribution


Number of shares 20,000.00 -
Net asset value per share EUR 55.49 -

AMUNDI INDEX MSCI PACIFIC EX JAPAN


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 349,202,738.71 150,371,851.32

Class A3E of capitalisation


Number of shares 2,697.00 1.00
Net asset value per share EUR 129.84 122.36

Class A3E of distribution


Number of shares 745,828.00 894,906.00
Net asset value per share EUR 100.10 98.06

Class A3U of capitalisation


Number of shares 1.00 1.00
Net asset value per share USD 132.57 127.05

Class A3U of distribution


Number of shares 1.00 1.00
Net asset value per share USD 126.08 125.79

Class AE of capitalisation
Number of shares 23,228.07 22,199.72
Net asset value per share EUR 226.38 213.82

Class AE of distribution
Number of shares 434.20 788.97
Net asset value per share EUR 155.31 152.17

Class IE of capitalisation
Number of shares 25,099.29 19,442.07
Net asset value per share EUR 2,290.42 2,161.20

Class IE of distribution
Number of shares 6,534.06 8,608.37
Net asset value per share EUR 1,781.83 1,745.60

Class ME of capitalisation
Number of shares 196.09 392.30
Net asset value per share EUR 199.73 188.55

Class OE of capitalisation
Number of shares 612.42 636.54
Net asset value per share EUR 1,050.79 990.51

Class RE of capitalisation
Number of shares 10.00 10.00
Net asset value per share EUR 139.89 132.07

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 123.69 121.18

Class UCITS ETF EUR of distribution


Number of shares 372,903.00 -
Net asset value per share EUR 508.80 -

281
Financial Details

AMUNDI INDEX MSCI PACIFIC EX JAPAN


Year/Period ending at: 30/09/18 30/09/17

Class UCITS ETF USD of distribution


Number of shares 18,320.00 -
Net asset value per share USD 590.98 -

AMUNDI INDEX MSCI WORLD


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 610,230,437.51 193,919,927.31

Class AE of capitalisation
Number of shares 542,152.43 371,132.69
Net asset value per share EUR 168.77 149.40

Class AE of distribution
Number of shares 500.29 50.44
Net asset value per share EUR 159.90 143.77

Class AU of capitalisation
Number of shares 20,213.28 27.45
Net asset value per share USD 148.58 133.87

Class AU of distribution
Number of shares 13.00 75.00
Net asset value per share USD 134.68 123.30

Class I13SK of capitalisation


Number of shares 10,745,591.04 -
Net asset value per share SEK 98.06 -

Class IE of capitalisation
Number of shares 132,655.77 44,399.93
Net asset value per share EUR 1,766.90 1,562.52

Class IE of distribution
Number of shares 2.00 2.00
Net asset value per share EUR 1,600.82 1,437.88

Class IG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 1,838.85 1,608.25

Class IG of distribution
Number of shares 1.00 1.00
Net asset value per share GBP 1,735.04 1,541.66

Class IU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 1,433.72 1,288.98

Class IU of distribution
Number of shares 1.00 1.00
Net asset value per share USD 1,350.00 1,233.91

Class ME of capitalisation
Number of shares 45,086.26 51,672.86
Net asset value per share EUR 169.19 149.69

Class MU of capitalisation
Number of shares 250.66 -
Net asset value per share USD 102.82 -

Class OE of capitalisation
Number of shares - 10,410.21
Net asset value per share EUR - 1,504.11

Class OE of distribution
Number of shares 2.00 2.00
Net asset value per share EUR 1,601.67 1,439.78

282
Financial Details

AMUNDI INDEX MSCI WORLD


Year/Period ending at: 30/09/18 30/09/17

Class OU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 1,436.78 1,291.17

Class RE of capitalisation
Number of shares 1,528.38 10.00
Net asset value per share EUR 169.18 149.66

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 160.11 143.78

Class UCITS ETF of capitalisation


Number of shares 919,024.00 287,000.00
Net asset value per share EUR 62.20 55.00

Class UCITS ETF of distribution


Number of shares 557,784.00 -
Net asset value per share EUR 53.29 -

AMUNDI INDEX S&P 500


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 1,151,350,861.82 304,085,074.53

Class A4E of capitalisation


Number of shares 188,185.78 178,112.53
Net asset value per share EUR 403.30 339.39

Class AE of capitalisation
Number of shares 57,895.90 13,589.82
Net asset value per share EUR 194.99 163.92

Class AE of distribution
Number of shares 951.34 438.30
Net asset value per share EUR 188.10 159.81

Class AU of capitalisation
Number of shares 2,836.13 1,175.07
Net asset value per share USD 163.71 140.08

Class AU of distribution
Number of shares 57.81 -
Net asset value per share USD 100.50 -

Class I14U of capitalisation


Number of shares 10,864.04 -
Net asset value per share USD 1,008.66 -

Class IE of capitalisation
Number of shares 1,305,591.48 709,733.38
Net asset value per share EUR 159.86 134.19

Class IE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 144.31 122.48

Class IG of capitalisation
Number of shares 0.82 0.82
Net asset value per share GBP 2,134.48 1,770.94

Class IG of distribution
Number of shares 0.82 0.82
Net asset value per share GBP 2,047.26 1,719.38

Class IHE of capitalisation


Number of shares 31,019.09 19,554.05
Net asset value per share EUR 1,567.58 1,376.57

283
Financial Details

AMUNDI INDEX S&P 500


Year/Period ending at: 30/09/18 30/09/17

Class IU of capitalisation
Number of shares 47,936.19 23,298.00
Net asset value per share USD 1,653.81 1,413.00

Class OE of capitalisation
Number of shares 17,542.22 23,161.85
Net asset value per share EUR 1,971.66 1,653.83

Class OE of distribution
Number of shares 1.00 1.00
Net asset value per share EUR 1,885.95 1,603.21

Class OHP of capitalisation


Number of shares 2,369.06 2,401.87
Net asset value per share PLN 5,703.21 4,915.36

Class OU of capitalisation
Number of shares 1.38 1.38
Net asset value per share USD 1,660.47 1,416.96

Class RE of capitalisation
Number of shares 868.32 10.00
Net asset value per share EUR 195.63 164.35

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 188.46 160.03

Class RHE of capitalisation


Number of shares 1.00 -
Net asset value per share EUR 101.10 -

Class UCITS ETF of capitalisation


Number of shares 8,170,950.00 60,000.00
Net asset value per share EUR 64.93 54.50

AMUNDI CAC 40
Year/Period ending at: 30/09/18

Total Net Assets EUR 1,538,662,481.08

Class UCITS ETF of capitalisation


Number of shares 15,717,097.00
Net asset value per share EUR 78.28

Class UCITS ETF of distribution


Number of shares 5,517,335.00
Net asset value per share EUR 55.89

AMUNDI EURO STOXX 50


Year/Period ending at: 30/09/18

Total Net Assets EUR 2,045,876,031.38

Class UCITS ETF EUR of capitalisation


Number of shares 26,233,944.00
Net asset value per share EUR 73.03

Class UCITS ETF EUR of distribution


Number of shares 2,136,114.00
Net asset value per share EUR 54.03

Class UCITS ETF HEDGED USD distribution


Number of shares 172,000.00
Net asset value per share USD 43.52

Class UCITS ETF USD of distribution


Number of shares 113,013.00
Net asset value per share USD 84.82

284
Financial Details

AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA


Year/Period ending at: 30/09/18

Total Net Assets EUR 360,895,192.08

Class UCITS ETF of capitalisation


Number of shares 9,043,859.00
Net asset value per share EUR 39.91

AMUNDI FTSE 100


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 29,973,203.51 11,033,574.68

Class UCITS ETF EUR of capitalisation


Number of shares 33,898.00 11,312.00
Net asset value per share EUR 720.46 688.87

Class UCITS ETF GBP of capitalisation


Number of shares 7,705.00 4,705.00
Net asset value per share GBP 641.67 606.99

AMUNDI FTSE EPRA EUROPE REAL ESTATE


Year/Period ending at: 30/09/18

Total Net Assets EUR 37,937,747.94

Class UCITS ETF of capitalisation


Number of shares 105,055.00
Net asset value per share EUR 361.12

AMUNDI FTSE MIB


Year/Period ending at: 30/09/18

Total Net Assets EUR 38,004,130.03

Class UCITS ETF of capitalisation


Number of shares 969,172.00
Net asset value per share EUR 39.21

AMUNDI GLOBAL INFRASTRUCTURE


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 17,735,909.24 13,361,191.38

Class UCITS ETF of capitalisation


Number of shares 338,308.00 274,069.00
Net asset value per share EUR 52.43 48.75

AMUNDI JAPAN TOPIX


Year/Period ending at: 30/09/18

Total Net Assets EUR 1,092,811,114.59

Class UCITS ETF EUR of capitalisation


Number of shares 2,998,780.00
Net asset value per share EUR 80.23

Class UCITS ETF HEDGED CHF of capitalisation


Number of shares 65,000.00
Net asset value per share CHF 64.57

Class UCITS ETF HEDGED EUR of capitalisation


Number of shares 3,001,766.00
Net asset value per share EUR 236.90

285
Financial Details

AMUNDI JAPAN TOPIX


Year/Period ending at: 30/09/18

Class UCITS ETF HEDGED GBP of capitalisation


Number of shares 62,000.00
Net asset value per share GBP 64.77

Class UCITS ETF HEDGED USD of capitalisation


Number of shares 296,000.00
Net asset value per share USD 68.44

Class UCITS ETF JPY of capitalisation


Number of shares 1,438,770.00
Net asset value per share JPY 10,586.00

AMUNDI JPX-NIKKEI 400


Year/Period ending at: 30/09/18

Total Net Assets EUR 540,900,412.31

Class UCITS ETF HEDGED CHF of capitalisation


Number of shares 39,000.00
Net asset value per share CHF 82.20

Class UCITS ETF HEDGED EUR of capitalisation


Number of shares 1,020,555.00
Net asset value per share EUR 168.23

Class UCITS ETF HEDGED GBP of capitalisation


Number of shares 16,720.00
Net asset value per share GBP 170.00

Class UCITS ETF HEDGED USD of capitalisation


Number of shares 594,685.00
Net asset value per share USD 174.69

Class UCITS ETF JPY of capitalisation


Number of shares 865,508.00
Net asset value per share JPY 17,525.00

Class UCITS ETF of capitalisation


Number of shares 1,195,207.00
Net asset value per share EUR 132.85

AMUNDI MSCI BRAZIL


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 17,121,267.11 33,800,634.50

Class UCITS ETF of capitalisation


Number of shares 415,526.00 700,526.00
Net asset value per share USD 41.20 48.25

AMUNDI MSCI CHINA


Year/Period ending at: 30/09/18

Total Net Assets EUR 153,531,526.75

Class UCITS ETF EUR of capitalisation


Number of shares 565,663.00
Net asset value per share EUR 265.26

Class UCITS ETF USD of capitalisation


Number of shares 13,143.00
Net asset value per share USD 308.09

286
Financial Details

AMUNDI MSCI EASTERN EUROPE EX RUSSIA


Year/Period ending at: 30/09/18

Total Net Assets EUR 35,373,897.96

Class UCITS ETF EUR of capitalisation


Number of shares 103,675.00
Net asset value per share EUR 292.80

Class UCITS ETF USD of capitalisation


Number of shares 17,138.00
Net asset value per share USD 340.09

AMUNDI MSCI EM ASIA


Year/Period ending at: 30/09/18

Total Net Assets EUR 1,905,009,422.14

Class UCITS ETF EUR of capitalisation


Number of shares 43,652,812.00
Net asset value per share EUR 28.03

Class UCITS ETF USD of capitalisation


Number of shares 24,306,307.00
Net asset value per share USD 32.56

AMUNDI MSCI EM LATIN AMERICA


Year/Period ending at: 30/09/18

Total Net Assets EUR 226,404,247.07

Class UCITS ETF EUR of capitalisation


Number of shares 13,753,846.00
Net asset value per share EUR 12.20

Class UCITS ETF USD of capitalisation


Number of shares 4,809,140.00
Net asset value per share USD 14.17

AMUNDI MSCI EMERGING MARKETS


Year/Period ending at: 30/09/18

Total Net Assets EUR 5,215,609,348.38

Class UCITS ETF EUR of capitalisation


Number of shares 826,488,711.00
Net asset value per share EUR 3.96

Class UCITS ETF USD of capitalisation


Number of shares 490,908,523.00
Net asset value per share USD 4.60

AMUNDI MSCI EUROPE


Year/Period ending at: 30/09/18

Total Net Assets EUR 1,988,330,446.43

Class UCITS ETF of capitalisation


Number of shares 8,951,718.00
Net asset value per share EUR 219.36

Class UCITS ETF of distribution


Number of shares 115,800.00
Net asset value per share EUR 213.26

287
Financial Details

AMUNDI MSCI EUROPE EX SWITZERLAND


Year/Period ending at: 30/09/18

Total Net Assets EUR 25,744,055.17

Class UCITS ETF of capitalisation


Number of shares 121,980.00
Net asset value per share EUR 211.05

AMUNDI MSCI EUROPE EX UK


Year/Period ending at: 30/09/18

Total Net Assets EUR 53,310,045.17

Class UCITS ETF of capitalisation


Number of shares 1,873,691.00
Net asset value per share EUR 28.45

AMUNDI MSCI EUROPE GROWTH


Year/Period ending at: 30/09/18

Total Net Assets EUR 10,091,835.91

Class UCITS ETF of capitalisation


Number of shares 50,933.00
Net asset value per share EUR 198.14

AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 24,699,740.31

Class UCITS ETF of capitalisation


Number of shares 189,671.00
Net asset value per share EUR 114.90

Class UCITS ETF of distribution


Number of shares 25,700.00
Net asset value per share EUR 113.07

AMUNDI MSCI EUROPE LOW SIZE FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 25,340,906.58

Class UCITS ETF of capitalisation


Number of shares 255,001.00
Net asset value per share EUR 99.38

AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 352,854,996.40

Class UCITS ETF of capitalisation


Number of shares 3,638,018.00
Net asset value per share EUR 96.99

288
Financial Details

AMUNDI MSCI EUROPE MOMENTUM FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 167,126,340.17

Class UCITS ETF of capitalisation


Number of shares 2,648,991.00
Net asset value per share EUR 63.09

AMUNDI MSCI EUROPE QUALITY FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 99,251,498.18

Class UCITS ETF of capitalisation


Number of shares 1,535,505.00
Net asset value per share EUR 64.64

AMUNDI MSCI EUROPE VALUE FACTOR


Year/Period ending at: 30/09/18

Total Net Assets EUR 619,338,574.70

Class UCITS ETF of capitalisation


Number of shares 2,833,309.00
Net asset value per share EUR 218.59

AMUNDI MSCI INDIA


Year/Period ending at: 30/09/18

Total Net Assets EUR 159,293,781.36

Class UCITS ETF EUR of capitalisation


Number of shares 314,009.00
Net asset value per share EUR 481.22

Class UCITS ETF USD of capitalisation


Number of shares 17,011.00
Net asset value per share USD 558.94

AMUNDI MSCI NETHERLANDS


Year/Period ending at: 30/09/18

Total Net Assets EUR 14,150,251.31

Class UCITS ETF of capitalisation


Number of shares 63,435.00
Net asset value per share EUR 223.07

AMUNDI MSCI NORDIC


Year/Period ending at: 30/09/18

Total Net Assets EUR 321,097,086.76

Class UCITS ETF of capitalisation


Number of shares 853,437.00
Net asset value per share EUR 376.24

289
Financial Details

AMUNDI MSCI SWITZERLAND


Year/Period ending at: 30/09/18

Total Net Assets EUR 159,319,849.90

Class UCITS ETF CHF of capitalisation


Number of shares 229,315.00
Net asset value per share CHF 303.19

Class UCITS ETF EUR of capitalisation


Number of shares 366,859.00
Net asset value per share EUR 267.24

AMUNDI MSCI USA


Year/Period ending at: 30/09/18

Total Net Assets EUR 1,481,427,337.43

Class UCITS ETF EUR of capitalisation


Number of shares 4,493,194.00
Net asset value per share EUR 302.67

Class UCITS ETF USD of capitalisation


Number of shares 401,399.00
Net asset value per share USD 351.55

AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 24,098,910.72 14,629,813.12

Class UCITS ETF of capitalisation


Number of shares 402,500.00 280,000.00
Net asset value per share USD 59.87 52.25

AMUNDI MSCI WORLD


Year/Period ending at: 30/09/18

Total Net Assets EUR 875,081,952.39

Class UCITS ETF EUR of capitalisation


Number of shares 3,155,591.00
Net asset value per share EUR 272.19

Class UCITS ETF USD of capitalisation


Number of shares 59,397.00
Net asset value per share USD 316.15

AMUNDI MSCI WORLD ENERGY


Year/Period ending at: 30/09/18

Total Net Assets EUR 108,189,507.60

Class UCITS ETF EUR of capitalisation


Number of shares 338,473.00
Net asset value per share EUR 304.70

Class UCITS ETF USD of capitalisation


Number of shares 16,600.00
Net asset value per share USD 353.91

290
Financial Details

AMUNDI MSCI WORLD EX EUROPE


Year/Period ending at: 30/09/18

Total Net Assets EUR 177,324,413.79

Class UCITS ETF EUR of capitalisation


Number of shares 582,937.00
Net asset value per share EUR 290.82

Class UCITS ETF USD of capitalisation


Number of shares 26,800.00
Net asset value per share USD 337.79

AMUNDI MSCI WORLD FINANCIALS


Year/Period ending at: 30/09/18

Total Net Assets EUR 91,077,241.66

Class UCITS ETF EUR of capitalisation


Number of shares 376,751.00
Net asset value per share EUR 159.71

Class UCITS ETF USD of capitalisation


Number of shares 193,500.00
Net asset value per share USD 185.51

AMUNDI NASDAQ-100
Year/Period ending at: 30/09/18

Total Net Assets EUR 652,294,094.00

Class UCITS ETF EUR of capitalisation


Number of shares 6,059,826.00
Net asset value per share EUR 72.13

Class UCITS ETF HEDGED EUR capitalisation


Number of shares 818,618.00
Net asset value per share EUR 198.94

Class UCITS ETF USD of capitalisation


Number of shares 725,867.00
Net asset value per share USD 83.78

AMUNDI RUSSELL 2000


Year/Period ending at: 30/09/18

Total Net Assets EUR 173,247,634.29

Class UCITS ETF EUR of capitalisation


Number of shares 675,522.00
Net asset value per share EUR 203.79

Class UCITS ETF USD of capitalisation


Number of shares 174,600.00
Net asset value per share USD 236.70

AMUNDI S&P 500


Year/Period ending at: 30/09/18

Total Net Assets EUR 4,176,176,020.58

Class UCITS ETF EUR of capitalisation


Number of shares 38,322,601.00
Net asset value per share EUR 44.74

Class UCITS ETF EUR of distribution


Number of shares 197,400.00
Net asset value per share EUR 43.63

291
Financial Details

AMUNDI S&P 500


Year/Period ending at: 30/09/18

Class UCITS ETF HEDGED EUR of capitalisation


Number of shares 17,388,192.00
Net asset value per share EUR 73.88

Class UCITS ETF USD of capitalisation


Number of shares 26,112,591.00
Net asset value per share USD 51.97

AMUNDI S&P 500 BUYBACK


Year/Period ending at: 30/09/18

Total Net Assets EUR 57,146,301.73

Class UCITS ETF EUR of capitalisation


Number of shares 341,086.00
Net asset value per share EUR 145.64

Class UCITS ETF USD of capitalisation


Number of shares 51,300.00
Net asset value per share USD 169.16

AMUNDI S&P GLOBAL LUXURY


Year/Period ending at: 30/09/18

Total Net Assets EUR 73,313,042.88

Class UCITS ETF EUR of capitalisation


Number of shares 587,132.00
Net asset value per share EUR 120.36

Class UCITS ETF USD of capitalisation


Number of shares 22,000.00
Net asset value per share USD 139.79

AMUNDI STOXX EUROPE 600


Year/Period ending at: 30/09/18

Total Net Assets EUR 403,624,372.48

Class UCITS ETF EUR of capitalisation


Number of shares 5,003,825.00
Net asset value per share EUR 80.66

AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 12,991,564.23 11,506,830.11

Class UCITS ETF of capitalisation


Number of shares 220,000.00 220,000.00
Net asset value per share USD 59.05 52.30

AMUNDI INDEX BARCLAYS EURO AGG CORPORATE


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 132,454,752.61 112,730,998.09

Class AE of capitalisation
Number of shares 9,908.10 5,146.53
Net asset value per share EUR 109.37 109.79

292
Financial Details

AMUNDI INDEX BARCLAYS EURO AGG CORPORATE


Year/Period ending at: 30/09/18 30/09/17

Class AE of distribution
Number of shares 238.00 330.00
Net asset value per share EUR 102.27 104.10

Class IE of capitalisation
Number of shares 66,522.60 47,343.40
Net asset value per share EUR 1,101.81 1,103.91

Class IE of distribution
Number of shares 34,939.44 38,405.23
Net asset value per share EUR 1,025.14 1,043.16

Class ME of capitalisation
Number of shares - 124,337.64
Net asset value per share EUR - 110.22

Class OE of capitalisation
Number of shares 1.00 1.00
Net asset value per share EUR 1,107.34 1,108.22

Class RE of capitalisation
Number of shares 10.00 10.00
Net asset value per share EUR 110.54 110.69

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 102.53 104.35

Class UCITS ETF of capitalisation


Number of shares 360,000.00 120,000.00
Net asset value per share EUR 50.73 50.82

Class UCITS ETF of distribution


Number of shares 80,000.00 -
Net asset value per share EUR 49.61 -

AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 133,240,233.88 67,038,741.11

Class IE - EXF of capitalisation


Number of shares 1,360.00 1,508.00
Net asset value per share EUR 1,006.53 1,008.53

Class IE - EXF of distribution


Number of shares 1.00 1.00
Net asset value per share EUR 996.81 1,008.57

Class IE of capitalisation
Number of shares 61,793.59 52,302.44
Net asset value per share EUR 1,014.40 1,016.42

Class OE of capitalisation
Number of shares 25,421.04 6,197.81
Net asset value per share EUR 1,011.68 1,012.94

Class UCITS ETF of distribution


Number of shares 860,000.00 120,000.00
Net asset value per share EUR 50.55 50.65

AMUNDI INDEX BARCLAYS GLOBAL AGG 500M


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 411,136,859.90 309,512,564.22

Class I13HE of capitalisation


Number of shares 37,722.83 12,397.83
Net asset value per share EUR 987.58 1,005.91

293
Financial Details

AMUNDI INDEX BARCLAYS GLOBAL AGG 500M


Year/Period ending at: 30/09/18 30/09/17

Class I13U of distribution


Number of shares 184,319.01 49,013.82
Net asset value per share USD 975.36 991.26

Class IE of capitalisation
Number of shares 11,949.70 17,912.80
Net asset value per share EUR 934.15 932.21

Class IG of capitalisation
Number of shares 1.00 1.00
Net asset value per share GBP 974.75 970.35

Class IHE of capitalisation


Number of shares 58,727.80 17,457.43
Net asset value per share EUR 953.87 972.79

Class IU of capitalisation
Number of shares 1.00 1.00
Net asset value per share USD 1,028.69 1,043.83

Class OHE of capitalisation


Number of shares 68,128.13 142,182.04
Net asset value per share EUR 951.07 969.21

Class RU of capitalisation
Number of shares 489.33 -
Net asset value per share USD 99.00 -

Class UCITS ETF HEDGED EUR of capitalisation


Number of shares 150,000.00 -
Net asset value per share EUR 48.79 -

Class UCITS ETF HEDGED USD of capitalisation


Number of shares 20,000.00 -
Net asset value per share USD 50.37 -

Class UCITS ETF of capitalisation


Number of shares 445,000.00 792,000.00
Net asset value per share EUR 46.54 46.41

Class UCITS ETF of distribution


Number of shares 20,000.00 -
Net asset value per share EUR 51.08 -

AMUNDI INDEX BARCLAYS US CORP BBB 1-5


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 155,228,273.00 190,451,683.19

Class IE of capitalisation
Number of shares 35,201.70 45,255.27
Net asset value per share EUR 950.53 933.58

Class IHE of capitalisation


Number of shares 10,916.55 14,312.25
Net asset value per share EUR 980.10 1,004.81

Class IU of capitalisation
Number of shares 84,896.54 100,322.24
Net asset value per share USD 1,021.15 1,020.82

Class IU of distribution
Number of shares 1.00 1.00
Net asset value per share USD 1,003.83 1,017.59

Class UCITS ETF of capitalisation


Number of shares 335,500.00 410,500.00
Net asset value per share USD 51.40 51.38

294
Financial Details

AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets USD 9,303,728.14 9,505,850.52

Class IE of capitalisation
Number of shares 120.00 5,000.00
Net asset value per share EUR 939.96 920.78

Class UCITS ETF of capitalisation


Number of shares 180,000.00 80,000.00
Net asset value per share USD 50.96 50.79

AMUNDI INDEX J.P. MORGAN EMU GOVIES IG


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 724,009,416.19 70,402,864.54

Class A3E of capitalisation


Number of shares 1.00 1.00
Net asset value per share EUR 100.66 100.62

Class A3E of distribution


Number of shares 1.00 1.00
Net asset value per share EUR 97.60 100.07

Class AE of capitalisation
Number of shares 15,516.12 4,796.64
Net asset value per share EUR 110.65 110.93

Class AE of distribution
Number of shares 13.00 13.00
Net asset value per share EUR 103.14 105.30

Class I14E of capitalisation


Number of shares 570,715.98 -
Net asset value per share EUR 989.43 -

Class IE of capitalisation
Number of shares 65,207.97 25,636.32
Net asset value per share EUR 1,114.54 1,115.14

Class IE of distribution
Number of shares 35,252.00 29,902.00
Net asset value per share EUR 1,035.91 1,057.09

Class ME of capitalisation
Number of shares 10.00 10.00
Net asset value per share EUR 111.81 111.81

Class OE of capitalisation
Number of shares 1.00 1.00
Net asset value per share EUR 1,120.16 1,119.62

Class RE of capitalisation
Number of shares 10.00 10.00
Net asset value per share EUR 111.81 111.81

Class RE of distribution
Number of shares 10.00 10.00
Net asset value per share EUR 103.61 105.75

Class UCITS ETF of capitalisation


Number of shares 942,000.00 192,000.00
Net asset value per share EUR 50.33 50.35

Class UCITS ETF of distribution


Number of shares 20,000.00 -
Net asset value per share EUR 49.74 -

295
Financial Details

AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES


Year/Period ending at: 30/09/18 30/09/17

Total Net Assets EUR 741,804,639.11 610,916,456.17

Class AHE of capitalisation


Number of shares 66,596.94 56,394.66
Net asset value per share EUR 131.40 134.20

Class AHE of distribution


Number of shares 8,700.59 116,747.79
Net asset value per share EUR 99.13 102.99

Class IE of capitalisation
Number of shares 67,567.78 72,608.59
Net asset value per share EUR 903.77 904.22

Class IHE of capitalisation


Number of shares 373,609.32 222,787.19
Net asset value per share EUR 1,333.14 1,359.52

Class IHE of distribution


Number of shares 8,934.61 14,233.70
Net asset value per share EUR 986.55 1,024.85

Class ME of capitalisation
Number of shares 97.36 -
Net asset value per share EUR 100.96 -

Class MHE of capitalisation


Number of shares 89,120.20 19,064.28
Net asset value per share EUR 125.77 128.32

Class OHE of capitalisation


Number of shares 50,481.57 171,077.77
Net asset value per share EUR 1,067.51 1,087.82

Class RE of capitalisation
Number of shares 1.00 -
Net asset value per share EUR 99.24 -

Class RHE of distribution


Number of shares 2,884.67 1,984.67
Net asset value per share EUR 99.06 102.91

Class UCITS ETF HEDGED of capitalisation


Number of shares 550,000.00 -
Net asset value per share EUR 48.67 -

Class UCITS ETF of capitalisation


Number of shares 1,517,000.00 415,000.00
Net asset value per share EUR 46.84 46.86

Class UCITS ETF of distribution


Number of shares 20,000.00 -
Net asset value per share EUR 50.93 -

AMUNDI INDEX US CORP SRI


Year/Period ending at: 30/09/18

Total Net Assets USD 259,235,250.00

Class IE of capitalisation
Number of shares 1.00
Net asset value per share EUR 1,001.39

Class IHE of capitalisation


Number of shares 8,071.25
Net asset value per share EUR 996.02

Class IU of capitalisation
Number of shares 1.00
Net asset value per share USD 1,001.59

296
Financial Details

AMUNDI INDEX US CORP SRI


Year/Period ending at: 30/09/18

Class OE of capitalisation
Number of shares 17,900.00
Net asset value per share EUR 1,059.82

Class UCITS ETF of capitalisation


Number of shares 4,510,000.00
Net asset value per share USD 50.52

AMUNDI BBB EURO CORPORATE INVESTMENT GRADE


Year/Period ending at: 30/09/18

Total Net Assets EUR 192,332,145.74

Class UCITS ETF of capitalisation


Number of shares 12,994,001.00
Net asset value per share EUR 14.80

AMUNDI EURO CORPORATE EX FINANCIALS IBOXX


Year/Period ending at: 30/09/18

Total Net Assets EUR 14,012,918.52

Class UCITS ETF of capitalisation


Number of shares 128,000.00
Net asset value per share EUR 109.48

AMUNDI EURO CORPORATE FINANCIALS IBOXX


Year/Period ending at: 30/09/18

Total Net Assets EUR 100,803,719.09

Class UCITS ETF of capitalisation


Number of shares 765,000.00
Net asset value per share EUR 131.77

AMUNDI EURO CORPORATES


Year/Period ending at: 30/09/18

Total Net Assets EUR 498,839,795.99

Class UCITS ETF EUR of capitalisation


Number of shares 2,285,000.00
Net asset value per share EUR 215.27

Class UCITS ETF EUR of distribution


Number of shares 33,000.00
Net asset value per share EUR 210.24

AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX


Year/Period ending at: 30/09/18

Total Net Assets EUR 460,006,257.97

Class UCITS ETF of capitalisation


Number of shares 2,061,001.00
Net asset value per share EUR 221.88

Class UCITS ETF of distribution


Number of shares 13,000.00
Net asset value per share EUR 208.72

297
Financial Details

AMUNDI FLOATING RATE EURO CORPORATE 1-3


Year/Period ending at: 30/09/18

Total Net Assets EUR 836,536,894.36

Class UCITS ETF of capitalisation


Number of shares 8,283,801.00
Net asset value per share EUR 100.98

AMUNDI FLOATING RATE USD CORPORATE


Year/Period ending at: 30/09/18

Total Net Assets USD 5,314,201,457.17

Class UCITS ETF HEDGED CHF of capitalisation


Number of shares 20,000.00
Net asset value per share CHF 49.88

Class UCITS ETF HEDGED EUR of capitalisation


Number of shares 58,862,000.00
Net asset value per share EUR 50.25

Class UCITS ETF USD of capitalisation


Number of shares 17,676,101.00
Net asset value per share USD 106.21

AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX


Year/Period ending at: 30/09/18

Total Net Assets USD 144,308,936.19

Class UCITS ETF of capitalisation


Number of shares 1,147,000.00
Net asset value per share USD 125.81

AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE


Year/Period ending at: 30/09/18

Total Net Assets EUR 265,483,348.30

Class UCITS ETF EUR of capitalisation


Number of shares 1,168,000.00
Net asset value per share EUR 227.30

AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE


Year/Period ending at: 30/09/18

Total Net Assets EUR 238,961,393.83

Class UCITS ETF of capitalisation


Number of shares 1,051,000.00
Net asset value per share EUR 227.37

AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3


Year/Period ending at: 30/09/18

Total Net Assets EUR 11,174,747.87

Class UCITS ETF of capitalisation


Number of shares 138,000.00
Net asset value per share EUR 80.98

298
Financial Details

AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE


Year/Period ending at: 30/09/18

Total Net Assets EUR 1,057,211,088.45

Class UCITS ETF of capitalisation


Number of shares 4,235,000.00
Net asset value per share EUR 226.58

Class UCITS ETF of distribution


Number of shares 445,000.00
Net asset value per share EUR 219.45

AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3


Year/Period ending at: 30/09/18

Total Net Assets EUR 175,270,355.65

Class UCITS ETF of capitalisation


Number of shares 1,536,001.00
Net asset value per share EUR 114.11

AMUNDI US TREASURY 1-3


Year/Period ending at: 30/09/18

Total Net Assets USD 25,206,180.66

Class UCITS ETF of capitalisation


Number of shares 149,500.00
Net asset value per share USD 168.60

AMUNDI US TREASURY 3-7


Year/Period ending at: 30/09/18

Total Net Assets USD 15,465,906.01

Class UCITS ETF of capitalisation


Number of shares 76,500.00
Net asset value per share USD 202.17

AMUNDI US TREASURY 7-10


Year/Period ending at: 30/09/18

Total Net Assets USD 250,101,873.13

Class UCITS ETF of capitalisation


Number of shares 1,023,000.00
Net asset value per share USD 244.48

AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE


Year/Period ending at: 30/09/18

Total Net Assets EUR 114,534,938.19

Class UCITS ETF of capitalisation


Number of shares 2,295,000.00
Net asset value per share EUR 49.91

299
Financial Details

AMUNDI INDEX MSCI USA SRI


Year/Period ending at: 30/09/18

Total Net Assets USD 12,146,593.40

Class UCITS ETF of capitalisation


Number of shares 206,400.00
Net asset value per share EUR 50.67

AMUNDI INDEX MSCI EUROPE SRI


Year/Period ending at: 30/09/18

Total Net Assets EUR 10,510,009.31

Class UCITS ETF of capitalisation


Number of shares 206,400.00
Net asset value per share EUR 50.92

AMUNDI INDEX MSCI WORLD SRI


Year/Period ending at: 30/09/18

Total Net Assets USD 12,214,306.23

Class UCITS ETF of capitalisation


Number of shares 206,400.00
Net asset value per share EUR 50.95

300
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX


EQUITY EUROPE EQUITY GLOBAL EQUITY GLOBAL FTSE EPRA NAREIT
LOW CARBON LOW CARBON MULTI SMART GLOBAL
ALLOCATION
SCIENTIFIC BETA

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Income 3,920,245.93 13,042,348.06 10,210,769.22 23,436,145.67
Net dividends 2 3,856,549.26 12,889,565.16 10,100,711.20 23,351,500.72
Bond interest 2 - - - -
Bank interest 2 191.33 15,187.24 19,742.69 22,624.87
Securities lending income 7 63,505.34 135,330.32 88,596.75 62,005.76
Other income - 2,265.34 1,718.58 14.32
Expenses 256,943.10 1,019,540.53 1,509,109.22 1,727,227.14
Management fees 2,4 34,601.64 199,559.98 729,948.66 311,010.04
Administrative fees 2,5 95,416.69 574,576.13 508,566.10 768,931.73
Transactions fees 2 123,913.71 240,521.76 261,428.53 629,598.72
Bank interest & similar charges 2,925.45 3,293.21 9,165.93 17,686.65
Other expenses 85.61 1,589.45 - -
Net realised profit/(loss) from investments 3,663,302.83 12,022,807.53 8,701,660.00 21,708,918.53
Net realised profit/(loss) on securities sold 2 5,246,191.48 11,109,216.18 14,436,036.10 -5,112,260.97
Net realised profit/(loss) on forward foreign exchange contracts 2 - - - -5,462,358.12
Net realised profit/(loss) on financial futures 2 20,611.94 300,322.66 284,910.28 460,142.40
Net realised profit/(loss) on swaps 2 - - - -
Net realised profit/(loss) on foreign exchange 2 -738,778.16 -6,927,673.56 420.82 -2,663,729.30
Net realised profit/(loss) 8,191,328.09 16,504,672.81 23,423,027.20 8,930,712.54
Net change in unrealised appreciation/(depreciation) on investments -4,465,641.61 60,986,257.79 34,013,490.33 22,685,124.43
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - - - -26,127.72
contracts
Net change in unrealised appreciation/(depreciation) on financial futures 11,132.05 20,482.90 -4,091.02 -31,501.91
Net change in unrealised appreciation/(depreciation) on swaps - - - -
Result of operations 3,736,818.53 77,511,413.50 57,432,426.51 31,558,207.34
Dividend paid 10 - - - -38,871.99
Subscriptions 80,685,985.73 190,163,206.74 402,527,186.91 850,282,805.54
Redemptions -88,817,686.74 -101,188,274.10 -39,892,992.26 -324,100,789.13
Increase/(decrease) in net assets -4,394,882.48 166,486,346.14 420,066,621.16 557,701,351.76
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year 129,335,787.35 488,013,567.91 199,152,900.26 197,976,388.11
Net assets at the end of the year 124,940,904.87 654,499,914.05 619,219,521.42 755,677,739.87

The accompanying notes form an integral part of these financial statements

302
AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX S&P
MSCI EMERGING MSCI EMU MSCI EUROPE MSCI JAPAN MSCI NORTH MSCI PACIFIC EX MSCI WORLD 500
MARKETS AMERICA JAPAN

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


USD EUR EUR JPY USD EUR USD USD
38,140,134.16 46,702,805.34 42,295,478.21 2,156,375,899 32,266,934.87 13,308,895.15 8,908,750.84 9,841,712.57
37,791,843.06 45,696,635.07 41,454,826.48 2,133,388,400 31,910,064.22 13,253,441.71 8,802,280.68 9,739,588.55
- - - - - - - -
118,643.92 486.21 1,630.88 50,126 91,094.34 9,061.82 12,215.72 29,306.55
229,509.64 991,634.31 833,825.41 22,937,373 265,736.58 46,378.02 89,225.20 72,159.68
137.54 14,049.75 5,195.44 - 39.73 13.60 5,029.24 657.79
4,004,341.93 3,191,029.87 3,477,957.85 224,644,624 3,369,243.84 974,826.50 1,191,804.43 1,233,523.49
1,081,065.80 1,317,845.78 866,815.52 151,340,554 1,276,810.55 615,337.52 323,187.57 422,995.20
1,458,086.24 1,075,447.13 723,524.90 70,024,097 1,314,576.65 269,735.84 435,937.52 495,605.05
1,391,912.83 753,720.45 1,844,089.53 2,286,877 765,413.25 86,150.27 420,612.22 310,258.11
73,277.06 44,016.51 43,398.74 960,463 12,443.39 3,448.75 11,598.08 4,665.13
- - 129.16 32,633 - 154.12 469.04 -
34,135,792.23 43,511,775.47 38,817,520.36 1,931,731,275 28,897,691.03 12,334,068.65 7,716,946.41 8,608,189.08
186,098.48 6,853,662.45 -2,290,408.84 2,884,948,634 46,329,120.35 5,286,160.55 4,448,433.60 11,879,182.27
- 133,012.10 - -69,574,957 -537,663.57 - - -1,358,898.07
4,167,743.68 180,100.00 -762,510.44 70,777,600 1,577,499.94 -3,374.70 238,829.00 683,388.22
- - - - - - - -
-3,998,737.36 41,364.18 -1,195,249.96 2,415,747 49,928.44 -1,745,876.45 -52,769.70 31,149.27
34,490,897.03 50,719,914.20 34,569,351.12 4,820,298,299 76,316,576.19 15,870,978.05 12,351,439.31 19,843,010.77
-107,705,794.41 2,329,883.28 -14,907,968.46 5,914,522,690 231,278,807.93 6,120,381.60 14,053,500.44 80,194,426.00
- 37,956.76 - -128,343,315 -223,790.08 - - -598,642.88

18,494.78 50,260.00 77,974.28 18,940,500 -111,670.79 13,053.19 -21,055.19 -21,462.50


- - - - - - - -
-73,196,402.60 53,138,014.24 19,739,356.94 10,625,418,174 307,259,923.25 22,004,412.84 26,383,884.56 99,417,331.39
-3,532,880.97 -40,538.53 -4,792,499.76 -490,119,180 -2,478,142.05 -3,914,179.78 -476.36 -986.60
773,318,960.52 1,849,220,665.34 1,053,142,368.38 102,612,888,737 1,636,064,846.59 304,514,568.09 587,021,902.48 1,056,871,328.37
-144,533,031.99 -480,737,141.64 -417,714,575.50 -55,311,429,531 -691,804,642.40 -123,773,913.76 -197,094,800.48 -309,021,885.87
552,056,644.96 1,421,580,999.41 650,374,650.06 57,436,758,200 1,249,041,985.39 198,830,887.39 416,310,510.20 847,265,787.29
- - - - - - - -
1,104,362,637.64 337,840,095.28 873,987,496.04 67,129,433,650 1,521,285,734.45 150,371,851.32 193,919,927.31 304,085,074.53
1,656,419,282.60 1,759,421,094.69 1,524,362,146.10 124,566,191,850 2,770,327,719.84 349,202,738.71 610,230,437.51 1,151,350,861.82

The accompanying notes form an integral part of these financial statements

303
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI CAC 40 AMUNDI EURO AMUNDI EUROPE AMUNDI FTSE 100
STOXX 50 EQUITY MULTI
SMART ALLOCATION
SCIENTIFIC BETA

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Income 40,176,984.58 61,436,583.95 133,258.45 116,830.90
Net dividends 2 39,926,073.86 60,351,536.78 133,258.45 116,827.50
Bond interest 2 - - - -
Bank interest 2 632.03 364.67 - 3.40
Securities lending income 7 248,650.47 1,084,682.50 - -
Other income 1,628.22 - - -
Expenses 2,846,410.07 2,425,788.74 782,681.14 54,679.43
Management fees 2,4 1,121,830.01 342,926.13 586,993.89 32,836.91
Administrative fees 2,5 897,464.04 1,371,704.22 195,664.67 21,839.20
Transactions fees 2 776,925.36 684,865.93 - -
Bank interest & similar charges 50,190.66 26,192.72 22.58 3.32
Other expenses - 99.74 - -
Net realised profit/(loss) from investments 37,330,574.51 59,010,795.21 -649,422.69 62,151.47
Net realised profit/(loss) on securities sold 2 1,136,638.75 11,529,635.34 12,412,035.76 197,180.32
Net realised profit/(loss) on forward foreign exchange contracts 2 25.67 924,605.65 - -
Net realised profit/(loss) on financial futures 2 1,105,931.00 -95,862.00 - -
Net realised profit/(loss) on swaps 2 - - 2,487,949.51 2,034,289.36
Net realised profit/(loss) on foreign exchange 2 3,031.07 -243,320.80 723,766.11 -7,461.23
Net realised profit/(loss) 39,576,201.00 71,125,853.40 14,974,328.69 2,286,159.92
Net change in unrealised appreciation/(depreciation) on investments 99,556,328.50 34,804,197.02 -4,781,832.64 -1,017,605.29
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - 23,301.43 - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures 80,115.00 66,820.00 - -
Net change in unrealised appreciation/(depreciation) on swaps - - -334,501.75 -87,436.03
Result of operations 139,212,644.50 106,020,171.85 9,857,994.30 1,181,118.60
Dividend paid 10 - - - -
Subscriptions 1,549,470,958.84 2,420,430,118.99 484,383,833.63 22,580,554.03
Redemptions -150,021,122.26 -480,574,259.46 -133,346,635.85 -4,822,043.80
Increase/(decrease) in net assets 1,538,662,481.08 2,045,876,031.38 360,895,192.08 18,939,628.83
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year - - - 11,033,574.68
Net assets at the end of the year 1,538,662,481.08 2,045,876,031.38 360,895,192.08 29,973,203.51

The accompanying notes form an integral part of these financial statements

304
AMUNDI FTSE EPRA AMUNDI FTSE MIB AMUNDI GLOBAL AMUNDI JAPAN AMUNDI JPX-NIKKEI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
EUROPE REAL INFRASTRUCTURE TOPIX 400 BRAZIL CHINA EASTERN EUROPE
ESTATE EX RUSSIA

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR EUR USD EUR EUR
306,230.90 261,183.21 47,522.67 5,785,900.41 465,576.02 103,283.35 641,795.77 57,258.65
306,228.35 261,174.11 47,520.33 5,785,874.69 465,576.02 103,131.35 641,795.77 57,258.65
- - - - - - - -
2.55 1.87 2.34 25.72 - 152.00 - -
- - - - - - - -
- 7.23 - - - - - -
79,107.96 39,192.78 76,568.12 2,318,597.59 460,685.46 120,897.96 214,365.90 29,397.61
56,604.86 17,547.89 63,581.92 1,735,758.91 204,747.92 98,916.52 175,390.28 14,697.74
22,501.07 21,644.89 12,984.42 582,827.44 255,934.79 21,981.44 38,975.62 14,697.74
- - - - - - - -
2.03 - 1.78 11.24 2.75 - - 2.13
- - - - - - - -
227,122.94 221,990.43 -29,045.45 3,467,302.82 4,890.56 -17,614.61 427,429.87 27,861.04
-521,560.98 -1,228,692.27 46,769.24 -180,717.45 11,536,609.19 1,318,525.45 -502,714.54 -571,226.73
- - - 3,217,125.82 -2,764,574.62 - - -
- - - - - - - -
1,700,618.89 -1,837,472.80 1,692,833.32 33,082,456.32 31,248,863.72 -2,101,489.59 6,579,539.80 -211,243.55
-34,666.53 - 3,864.42 1,299,493.69 -1,629,637.75 574,770.95 -42,631.26 -
1,371,514.32 -2,844,174.64 1,714,421.53 40,885,661.20 38,396,151.10 -225,807.80 6,461,623.87 -754,609.24
-859,553.88 402,796.48 -695,073.64 16,559,021.09 -1,457,735.47 -1,723,814.20 -268,404.69 -825,608.13
- - - - - - - -

- - - - - - - -
-95,654.19 -936,600.01 9,449.54 12,938,395.48 -694,953.29 -140,017.89 -715,673.27 187,468.03
416,306.25 -3,377,978.17 1,028,797.43 70,383,077.77 36,243,462.34 -2,089,639.89 5,477,545.91 -1,392,749.34
- - - - - - - -
42,609,257.19 73,203,903.50 3,345,920.43 1,666,638,547.17 773,657,165.68 8,172,790.50 215,561,971.65 48,867,128.80
-5,087,815.50 -31,821,795.30 - -644,210,510.35 -269,000,215.71 -22,762,518.00 -67,507,990.81 -12,100,481.50
37,937,747.94 38,004,130.03 4,374,717.86 1,092,811,114.59 540,900,412.31 -16,679,367.39 153,531,526.75 35,373,897.96
- - - - - - - -
- - 13,361,191.38 - - 33,800,634.50 - -
37,937,747.94 38,004,130.03 17,735,909.24 1,092,811,114.59 540,900,412.31 17,121,267.11 153,531,526.75 35,373,897.96

The accompanying notes form an integral part of these financial statements

305
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI MSCI EM AMUNDI MSCI EM AMUNDI MSCI AMUNDI MSCI


ASIA LATIN AMERICA EMERGING EUROPE
MARKETS

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Income 7,333,284.14 1,792,142.89 14,807,692.45 14,066,426.40
Net dividends 2 7,328,458.10 1,792,118.92 14,803,558.65 14,066,426.40
Bond interest 2 - - - -
Bank interest 2 4,826.04 - 4,133.80 -
Securities lending income 7 - - - -
Other income - 23.97 - -
Expenses 2,055,470.53 265,244.15 4,888,227.04 1,294,033.95
Management fees 2,4 1,027,192.63 132,621.92 2,444,041.61 431,340.65
Administrative fees 2,5 1,027,192.63 132,621.92 2,444,041.61 862,681.11
Transactions fees 2 - - - -
Bank interest & similar charges 1,085.27 0.31 143.82 12.19
Other expenses - - - -
Net realised profit/(loss) from investments 5,277,813.61 1,526,898.74 9,919,465.41 12,772,392.45
Net realised profit/(loss) on securities sold 2 16,070,096.68 2,513,366.04 113,953,836.77 6,029,648.48
Net realised profit/(loss) on forward foreign exchange contracts 2 - - - -
Net realised profit/(loss) on financial futures 2 - - - -
Net realised profit/(loss) on swaps 2 -118,740,419.76 -26,154,138.43 -259,485,997.37 53,255,647.23
Net realised profit/(loss) on foreign exchange 2 -485,654.96 10,277.60 6,430,521.82 -3,610,111.04
Net realised profit/(loss) -97,878,164.43 -22,103,596.05 -129,182,173.37 68,447,577.12
Net change in unrealised appreciation/(depreciation) on investments -33,181,254.39 -10,020,243.11 -48,455,262.33 3,690,293.12
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - - - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures - - - -
Net change in unrealised appreciation/(depreciation) on swaps 20,905,744.61 -939,488.06 6,946,619.99 -2,891,629.02
Result of operations -110,153,674.21 -33,063,327.22 -170,690,815.71 69,246,241.22
Dividend paid 10 - - - -
Subscriptions 2,435,708,889.52 358,998,083.12 5,900,534,528.39 2,085,746,321.79
Redemptions -420,545,793.17 -99,530,508.83 -514,234,364.30 -166,662,116.58
Increase/(decrease) in net assets 1,905,009,422.14 226,404,247.07 5,215,609,348.38 1,988,330,446.43
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year - - - -
Net assets at the end of the year 1,905,009,422.14 226,404,247.07 5,215,609,348.38 1,988,330,446.43

The accompanying notes form an integral part of these financial statements

306
AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
EUROPE EX EUROPE EX UK EUROPE GROWTH EUROPE HIGH EUROPE LOW SIZE EUROPE MINIMUM EUROPE MOMENTUM EUROPE QUALITY
SWITZERLAND DIVIDEND FACTOR FACTOR VOLATILITY FACTOR FACTOR FACTOR

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR EUR EUR EUR EUR
169,599.88 120,686.99 99,678.58 377,653.03 115,796.05 961,393.67 269,984.83 75,070.91
169,599.88 120,665.35 99,672.65 377,653.03 115,796.05 961,383.51 269,975.55 75,068.50
- - - - - - - -
- 19.37 5.93 - - - - -
- - - - - - - -
- 2.27 - - - 10.16 9.28 2.41
46,106.20 83,863.91 41,760.56 43,252.56 41,929.09 276,747.06 163,112.72 109,820.82
30,736.78 55,909.29 29,828.98 24,430.04 23,679.00 156,422.25 92,194.15 62,072.63
15,368.39 27,954.62 11,931.58 18,792.25 18,214.65 120,324.81 70,918.57 47,748.19
- - - - - - - -
1.03 - - 30.27 35.44 - - -
- - - - - - - -
123,493.68 36,823.08 57,918.02 334,400.47 73,866.96 684,646.61 106,872.11 -34,749.91
-553,375.10 837,463.38 -1,212,868.93 -1,315,116.51 -1,712,651.82 75,373.75 1,527,497.23 1,629,939.14
- - - 44,047.40 - - - -
- - - - - - - -
-511,338.41 2,346,474.15 1,604,595.54 1,056,163.25 2,790,627.67 19,912,300.49 10,371,050.80 6,115,971.85
- - 6,504.53 113,539.15 -13,232.62 - - -56,803.76
-941,219.83 3,220,760.61 456,149.16 233,033.76 1,138,610.19 20,672,320.85 12,005,420.14 7,654,357.32
613,045.31 -1,393,436.94 -47,020.86 -51,114.62 -1,052,892.66 -8,640,635.84 -3,568,727.10 -119,380.86
- - - - - - - -

- - - - - - - -
-39,075.29 -15,352.96 -20,410.75 -41,663.96 -31,789.15 -606,690.22 -336,681.75 -257,745.57
-367,249.81 1,811,970.71 388,717.55 140,255.18 53,928.38 11,424,994.79 8,100,011.29 7,277,230.89
- - - - - - - -
34,909,407.38 72,479,933.46 25,604,850.96 40,503,601.93 40,291,113.42 357,332,544.71 208,837,447.98 126,450,605.50
-8,798,102.40 -20,981,859.00 -15,901,732.60 -15,944,116.80 -15,004,135.22 -15,902,543.10 -49,811,119.10 -34,476,338.21
25,744,055.17 53,310,045.17 10,091,835.91 24,699,740.31 25,340,906.58 352,854,996.40 167,126,340.17 99,251,498.18
- - - - - - - -
- - - - - - - -
25,744,055.17 53,310,045.17 10,091,835.91 24,699,740.31 25,340,906.58 352,854,996.40 167,126,340.17 99,251,498.18

The accompanying notes form an integral part of these financial statements

307
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI MSCI AMUNDI MSCI INDIA AMUNDI MSCI AMUNDI MSCI
EUROPE VALUE NETHERLANDS NORDIC
FACTOR

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Income 2,492,333.70 1,352,366.55 99,054.10 1,967,832.83
Net dividends 2 2,492,331.80 1,352,273.10 99,053.42 1,967,812.94
Bond interest 2 - - - -
Bank interest 2 1.90 93.45 0.68 19.89
Securities lending income 7 - - - -
Other income - - - -
Expenses 666,796.61 623,208.35 25,509.77 377,728.98
Management fees 2,4 376,871.04 545,292.14 15,305.71 226,634.23
Administrative fees 2,5 289,900.87 77,898.82 10,204.06 151,089.55
Transactions fees 2 - - - -
Bank interest & similar charges 24.70 17.39 - 5.20
Other expenses - - - -
Net realised profit/(loss) from investments 1,825,537.09 729,158.20 73,544.33 1,590,103.85
Net realised profit/(loss) on securities sold 2 -12,372,003.28 1,663,451.45 -727,930.15 3,447,006.71
Net realised profit/(loss) on forward foreign exchange contracts 2 - - - -
Net realised profit/(loss) on financial futures 2 - - - -
Net realised profit/(loss) on swaps 2 20,329,882.43 -1,419,228.37 -111,070.19 8,526,842.74
Net realised profit/(loss) on foreign exchange 2 271,385.47 24,175.45 - -457,310.68
Net realised profit/(loss) 10,054,801.71 997,556.73 -765,456.01 13,106,642.62
Net change in unrealised appreciation/(depreciation) on investments -14,397,079.69 -1,289,129.63 85,192.60 4,551,460.69
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - - - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures - - - -
Net change in unrealised appreciation/(depreciation) on swaps 1,174,343.67 -574,103.51 -11,684.78 -180,336.23
Result of operations -3,167,934.31 -865,676.41 -691,948.19 17,477,767.08
Dividend paid 10 - - - -
Subscriptions 735,485,669.47 187,468,234.26 36,299,115.34 319,514,151.33
Redemptions -112,979,160.46 -27,308,776.49 -21,456,915.84 -15,894,831.65
Increase/(decrease) in net assets 619,338,574.70 159,293,781.36 14,150,251.31 321,097,086.76
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year - - - -
Net assets at the end of the year 619,338,574.70 159,293,781.36 14,150,251.31 321,097,086.76

The accompanying notes form an integral part of these financial statements

308
AMUNDI MSCI AMUNDI MSCI USA AMUNDI MSCI USA AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI NASDAQ-
SWITZERLAND MINIMUM WORLD WORLD ENERGY WORLD EX EUROPE WORLD FINANCIALS 100
VOLATILITY FACTOR

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR USD EUR EUR EUR EUR EUR
1,118,772.28 7,312,458.26 26,243.18 3,887,327.06 793,495.04 457,359.32 748,703.71 1,933,655.74
1,118,532.08 7,312,323.17 26,229.12 3,887,325.90 793,446.14 457,358.38 748,686.96 1,933,651.29
- - - - - - - -
240.20 130.54 14.06 1.16 48.90 - 11.01 -
- - - - - - - -
- 4.55 - - - 0.94 5.74 4.45
200,095.95 1,771,620.14 25,887.02 1,352,041.24 333,574.82 247,531.56 216,278.22 582,564.96
120,055.37 1,138,786.10 11,966.54 996,240.90 238,267.73 176,808.24 154,484.42 364,195.80
80,036.90 632,680.82 13,911.81 355,800.34 95,307.09 70,723.32 61,793.80 218,345.48
- - - - - - - -
3.68 153.22 8.67 - - - - 23.68
- - - - - - - -
918,676.33 5,540,838.12 356.16 2,535,285.82 459,920.22 209,827.76 532,425.49 1,351,090.78
2,145,830.37 -15,791,824.69 -19,280.82 1,623,416.46 -2,421,045.82 2,983,699.21 -3,315,559.99 1,643,028.30
- - - - - - - -5,660,550.87
- - - - - - - -
4,494,415.08 232,771,410.69 2,731,444.87 83,724,682.27 18,362,230.70 19,395,114.39 1,642,269.43 86,574,757.55
206,859.41 2,572,445.50 544,489.94 451,389.82 615,493.95 -190,281.76 163,106.36 -157,465.10
7,765,781.19 225,092,869.62 3,257,010.15 88,334,774.37 17,016,599.05 22,398,359.60 -977,758.71 83,750,860.66
5,668,320.97 -22,692,615.61 -1,146,007.53 -7,756,190.18 -1,982,316.34 -2,797,064.78 -1,534,372.27 -25,414,696.90
- - - - - - - -

- - - - - - - -
-179,524.63 -3,001,215.70 23,290.38 -1,944,455.41 951,283.51 -589,041.35 -323,159.91 11,232,551.12
13,254,577.53 199,399,038.31 2,134,293.00 78,634,128.78 15,985,566.22 19,012,253.47 -2,835,290.89 69,568,714.88
- - - - - - - -
189,835,041.26 1,551,297,789.59 11,880,987.10 849,288,217.77 221,112,231.12 163,657,977.02 130,965,732.93 681,906,539.86
-43,769,768.89 -269,269,490.47 -4,546,182.50 -52,840,394.16 -128,908,289.74 -5,345,816.70 -37,053,200.38 -99,181,160.74
159,319,849.90 1,481,427,337.43 9,469,097.60 875,081,952.39 108,189,507.60 177,324,413.79 91,077,241.66 652,294,094.00
- - - - - - - -
- - 14,629,813.12 - - - - -
159,319,849.90 1,481,427,337.43 24,098,910.72 875,081,952.39 108,189,507.60 177,324,413.79 91,077,241.66 652,294,094.00

The accompanying notes form an integral part of these financial statements

309
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI RUSSELL AMUNDI S&P 500 AMUNDI S&P 500 AMUNDI S&P
2000 BUYBACK GLOBAL LUXURY

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR
Income 300,058.02 35,683,834.11 86,111.23 139,716.39
Net dividends 2 300,056.70 35,683,799.28 86,102.30 139,687.45
Bond interest 2 - - - -
Bank interest 2 - - - 21.64
Securities lending income 7 - - - -
Other income 1.32 34.83 8.93 7.30
Expenses 310,087.51 3,379,958.45 54,811.68 162,131.00
Management fees 2,4 221,262.90 1,618,937.05 18,270.59 97,004.20
Administrative fees 2,5 88,505.24 1,761,021.40 36,541.09 64,669.61
Transactions fees 2 - - - -
Bank interest & similar charges 319.37 - - 457.19
Other expenses - - - -
Net realised profit/(loss) from investments -10,029.49 32,303,875.66 31,299.55 -22,414.61
Net realised profit/(loss) on securities sold 2 -1,337,871.97 4,750,600.48 -1,565,593.45 -8,071,818.21
Net realised profit/(loss) on forward foreign exchange contracts 2 - 10,338,940.10 - -
Net realised profit/(loss) on financial futures 2 - - - -
Net realised profit/(loss) on swaps 2 22,316,907.96 311,582,180.11 7,131,337.93 10,033,698.54
Net realised profit/(loss) on foreign exchange 2 -23,593.74 -4,743,990.47 9,916.47 -22,202.72
Net realised profit/(loss) 20,945,412.76 354,231,605.88 5,606,960.50 1,917,263.00
Net change in unrealised appreciation/(depreciation) on investments -2,288,736.44 -29,303,728.51 -1,324,784.37 -2,693,121.86
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - - - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures - - - -
Net change in unrealised appreciation/(depreciation) on swaps -232,906.28 50,503,522.16 -264,306.87 -405,168.11
Result of operations 18,423,770.04 375,431,399.53 4,017,869.26 -1,181,026.97
Dividend paid 10 - - - -
Subscriptions 230,958,373.71 4,502,638,149.09 85,052,587.27 279,887,395.66
Redemptions -76,134,509.46 -701,893,528.04 -31,924,154.80 -205,393,325.81
Increase/(decrease) in net assets 173,247,634.29 4,176,176,020.58 57,146,301.73 73,313,042.88
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year - - - -
Net assets at the end of the year 173,247,634.29 4,176,176,020.58 57,146,301.73 73,313,042.88

The accompanying notes form an integral part of these financial statements

310
AMUNDI STOXX AMUNDI USA AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX J.P.
EUROPE 600 EQUITY MULTI BARCLAYS EURO BARCLAYS EURO BARCLAYS GLOBAL BARCLAYS US CORP BARCLAYS US GOV MORGAN EMU
SMART ALLOCATION AGG CORPORATE CORP BBB 1-5 AGG 500M BBB 1-5 INFLATION-LINKED GOVIES IG
SCIENTIFIC BETA BOND

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR USD EUR EUR USD USD USD EUR
930,667.28 25,785.20 2,176,996.59 2,161,697.55 8,735,107.31 5,457,676.66 64,027.65 13,644,064.87
930,667.28 25,780.67 - - - - - -
- - 2,176,465.04 2,161,039.97 8,479,390.03 5,427,366.31 63,962.81 13,422,941.91
- 4.53 - - 186,875.73 26,323.93 64.84 -
- - 293.55 - 57,903.28 - - 220,787.43
- - 238.00 657.58 10,938.27 3,986.42 - 335.53
338,562.60 40,622.02 194,425.87 193,729.13 496,478.67 326,443.89 14,310.43 470,520.25
150,453.09 28,307.53 87,202.71 68,268.76 96,725.34 122,052.16 4,218.82 86,174.23
188,066.35 12,307.69 69,280.74 98,524.85 271,185.10 162,736.09 8,068.99 242,574.43
- - 33,417.90 24,944.78 115,254.13 41,614.21 2,009.53 139,430.76
43.16 6.80 4,524.52 1,990.74 9,649.85 41.43 - 2,340.83
- - - - 3,664.25 - 13.09 -
592,104.68 -14,836.82 1,982,570.72 1,967,968.42 8,238,628.64 5,131,232.77 49,717.22 13,173,544.62
-4,685,473.98 28,955.37 -788,155.08 -443,559.95 -6,014,906.24 -1,447,993.61 3,070.10 -1,080,830.57
- - - - -2,385,418.13 -456,954.93 - -
- - 5,205.00 - 94,457.35 -1,273.30 - -
16,816,926.84 2,416,616.18 - - - - - -
865,541.18 308,513.57 -0.31 - -355,269.20 478.65 75.22 -0.73
13,589,098.72 2,739,248.30 1,199,620.33 1,524,408.47 -422,507.58 3,225,489.58 52,862.54 12,092,713.32
-3,287,565.51 -1,232,600.52 -1,707,539.98 -1,841,232.41 -11,989,508.98 -3,694,980.88 -130,485.31 -17,140,337.28
- - - - 160,244.85 -88,887.03 - -

- - 3,400.00 - -33,491.11 - - -
-612,124.17 -21,913.66 - - - - - -
9,689,409.04 1,484,734.12 -504,519.65 -316,823.94 -12,285,262.82 -558,378.33 -77,622.77 -5,047,623.96
- - -571,759.40 -10.48 -88,727.22 -14.65 - -641,287.15
419,252,229.52 - 114,935,389.97 70,801,438.56 422,810,020.16 32,916,513.69 5,159,460.00 689,542,061.03
-25,317,266.08 - -94,135,356.40 -4,283,111.37 -308,811,734.44 -67,581,530.90 -5,283,959.61 -30,246,598.27
403,624,372.48 1,484,734.12 19,723,754.52 66,201,492.77 101,624,295.68 -35,223,410.19 -202,122.38 653,606,551.65
- - - - - - - -
- 11,506,830.11 112,730,998.09 67,038,741.11 309,512,564.22 190,451,683.19 9,505,850.52 70,402,864.54
403,624,372.48 12,991,564.23 132,454,752.61 133,240,233.88 411,136,859.90 155,228,273.00 9,303,728.14 724,009,416.19

The accompanying notes form an integral part of these financial statements

311
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI INDEX J.P. AMUNDI INDEX US AMUNDI BBB EURO AMUNDI EURO
MORGAN GBI CORP SRI CORPORATE CORPORATE EX
GLOBAL GOVIES INVESTMENT GRADE FINANCIALS IBOXX

30/09/18 30/09/18 30/09/18 30/09/18


EUR USD EUR EUR
Income 14,097,387.18 2,389,432.99 1,999,601.96 159,458.05
Net dividends 2 - - - -
Bond interest 2 13,892,663.24 2,379,308.80 1,999,600.53 159,430.46
Bank interest 2 4,605.03 10,119.13 1.43 -
Securities lending income 7 200,118.91 - - -
Other income - 5.06 - 27.59
Expenses 1,330,487.11 105,157.66 257,495.85 17,100.03
Management fees 2,4 430,898.12 21,259.76 167,372.37 9,618.59
Administrative fees 2,5 688,975.19 66,556.37 90,123.48 7,481.15
Transactions fees 2 192,546.54 17,326.83 - -
Bank interest & similar charges 18,060.91 14.70 - 0.29
Other expenses 6.35 - - -
Net realised profit/(loss) from investments 12,766,900.07 2,284,275.33 1,742,106.11 142,358.02
Net realised profit/(loss) on securities sold 2 -6,301,357.49 34,804.87 -1,951,268.71 24,769.00
Net realised profit/(loss) on forward foreign exchange contracts 2 -4,565,033.68 -486,637.86 - -
Net realised profit/(loss) on financial futures 2 -13,144.58 -1,025.03 - -
Net realised profit/(loss) on swaps 2 - - -1,363,930.22 -195,917.24
Net realised profit/(loss) on foreign exchange 2 -20,111,134.30 37,032.33 -1,077.93 -7.28
Net realised profit/(loss) -18,223,769.98 1,868,449.64 -1,574,170.75 -28,797.50
Net change in unrealised appreciation/(depreciation) on investments 5,444,070.67 45,151.28 -455,341.55 -102,724.02
Net change in unrealised appreciation/(depreciation) on forward foreign exchange 940,631.89 -140,999.15 - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures 225.00 - - -
Net change in unrealised appreciation/(depreciation) on swaps - - -281,597.20 13,102.54
Result of operations -11,838,842.42 1,772,601.77 -2,311,109.50 -118,418.98
Dividend paid 10 -431,168.65 - - -
Subscriptions 543,115,611.77 257,462,648.23 290,719,693.74 35,713,177.50
Redemptions -399,957,417.76 - -96,076,438.50 -21,581,840.00
Increase/(decrease) in net assets 130,888,182.94 259,235,250.00 192,332,145.74 14,012,918.52
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year 610,916,456.17 - - -
Net assets at the end of the year 741,804,639.11 259,235,250.00 192,332,145.74 14,012,918.52

The accompanying notes form an integral part of these financial statements

312
AMUNDI EURO AMUNDI EURO AMUNDI EURO HIGH AMUNDI FLOATING AMUNDI FLOATING AMUNDI GLOBAL AMUNDI GOVT AMUNDI GOVT
CORPORATE CORPORATES YIELD LIQUID BOND RATE EURO RATE USD EMERGING BOND BOND EUROMTS BOND HIGHEST
FINANCIALS IBOXX IBOXX CORPORATE 1-3 CORPORATE MARKIT IBOXX BROAD INVESTMENT RATED EUROMTS
GRADE INVESTMENT GRADE

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR EUR USD USD EUR EUR
1,080,039.12 3,572,307.40 5,666,681.43 5,229,329.41 75,904,285.73 4,332,388.85 1,383,611.91 926,328.16
- - - - 3,705.10 - - -
1,080,003.83 3,572,285.54 5,666,681.43 5,229,329.41 75,900,580.63 4,332,237.12 1,383,611.91 926,324.92
1.62 - - - - 151.73 - -
- - - - - - - -
33.67 21.86 - - - - - 3.24
92,806.82 389,915.14 711,081.76 765,468.96 4,921,685.98 244,303.44 203,557.70 100,605.89
52,203.88 219,293.77 586,698.50 467,838.32 3,140,920.70 187,299.30 101,776.56 50,302.67
40,602.94 170,561.89 124,345.71 297,623.94 1,780,765.28 57,004.14 101,732.42 50,302.67
- - - - - - - -
- 59.48 37.55 6.70 - - 48.72 0.55
- - - - - - - -
987,232.30 3,182,392.26 4,955,599.67 4,463,860.45 70,982,599.75 4,088,085.41 1,180,054.21 825,722.27
-380,685.12 -1,641,623.27 1,131,960.49 -2,873,772.77 1,621,239.00 -5,775,607.06 -3,110,022.03 -332,378.67
- - - - 2,527,460.01 - - -
- - - - - - - -
-437,242.96 -417,855.20 2,336,377.60 -61,311.17 -227,739,221.94 -626,241.77 540,854.59 -159,309.93
-49.77 - - - -1,219.46 0.03 - -11.08
169,254.45 1,122,913.79 8,423,937.76 1,528,776.51 -152,609,142.64 -2,313,763.39 -1,389,113.23 334,022.59
-792,978.96 -3,436,622.26 477,251.13 -3,392,585.91 -6,203,848.85 -712,607.29 -4,920,491.26 -1,362,121.12
- - - - - - - -

- - - - - - - -
3,989.60 1,111,156.60 -895,108.17 -526,134.77 -26,238,950.54 485,010.60 -7,084.41 -175,022.64
-619,734.91 -1,202,551.87 8,006,080.72 -2,389,944.17 -185,051,942.03 -2,541,360.08 -6,316,688.90 -1,203,121.17
- - - - - - - -
201,077,354.00 640,304,917.86 484,909,777.25 1,061,739,538.53 6,362,890,842.40 175,391,996.27 362,249,987.20 292,501,215.00
-99,653,900.00 -140,262,570.00 -32,909,600.00 -222,812,700.00 -863,637,443.20 -28,541,700.00 -90,449,950.00 -52,336,700.00
100,803,719.09 498,839,795.99 460,006,257.97 836,536,894.36 5,314,201,457.17 144,308,936.19 265,483,348.30 238,961,393.83
- - - - - - - -
- - - - - - - -
100,803,719.09 498,839,795.99 460,006,257.97 836,536,894.36 5,314,201,457.17 144,308,936.19 265,483,348.30 238,961,393.83

The accompanying notes form an integral part of these financial statements

313
Statement of Operations and Changes in Net Assets for the period from 01/10/17 to 30/09/18

Notes AMUNDI GOVT AMUNDI GOVT AMUNDI GOVT AMUNDI US


BOND HIGHEST BOND LOWEST BOND LOWEST TREASURY 1-3
RATED EUROMTS RATED EUROMTS RATED EUROMTS
INVESTMENT GRADE INVESTMENT GRADE INVESTMENT GRADE
1-3 1-3

30/09/18 30/09/18 30/09/18 30/09/18


EUR EUR EUR USD
Income 27,092.94 8,845,316.13 1,611,517.81 116,584.22
Net dividends 2 - - - -
Bond interest 2 27,090.44 8,844,366.75 1,611,354.38 116,584.22
Bank interest 2 - 306.56 163.43 -
Securities lending income 7 - - - -
Other income 2.50 642.82 - -
Expenses 9,200.26 682,443.06 109,256.02 9,755.51
Management fees 2,4 4,600.13 341,023.73 54,511.19 4,873.83
Administrative fees 2,5 4,600.13 341,023.73 54,511.19 4,873.83
Transactions fees 2 - - - -
Bank interest & similar charges - 395.60 233.64 7.85
Other expenses - - - -
Net realised profit/(loss) from investments 17,892.68 8,162,873.07 1,502,261.79 106,828.71
Net realised profit/(loss) on securities sold 2 -2,338.46 -16,391,401.21 -1,330,941.22 4,113.97
Net realised profit/(loss) on forward foreign exchange contracts 2 - - - -
Net realised profit/(loss) on financial futures 2 - - - -
Net realised profit/(loss) on swaps 2 -86,131.05 -5,585,802.28 -205,357.94 -14,365.81
Net realised profit/(loss) on foreign exchange 2 -3.32 - - 0.02
Net realised profit/(loss) -70,580.15 -13,814,330.42 -34,037.37 96,576.89
Net change in unrealised appreciation/(depreciation) on investments 39,634.43 -16,321,753.02 -1,522,720.48 -41,882.84
Net change in unrealised appreciation/(depreciation) on forward foreign exchange - - - -
contracts
Net change in unrealised appreciation/(depreciation) on financial futures - - - -
Net change in unrealised appreciation/(depreciation) on swaps -15,500.41 -4,006,244.31 -211,756.26 192.61
Result of operations -46,446.13 -34,142,327.75 -1,768,514.11 54,886.66
Dividend paid 10 - - - -
Subscriptions 11,221,194.00 1,425,323,916.20 182,773,869.76 29,179,874.00
Redemptions - -333,970,500.00 -5,735,000.00 -4,028,580.00
Increase/(decrease) in net assets 11,174,747.87 1,057,211,088.45 175,270,355.65 25,206,180.66
Reevaluation of consolidated Net Assets - - - -
Net assets at the beginning of the year - - - -
Net assets at the end of the year 11,174,747.87 1,057,211,088.45 175,270,355.65 25,206,180.66

The accompanying notes form an integral part of these financial statements

314
AMUNDI US AMUNDI US AMUNDI STOXX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX Combined
TREASURY 3-7 TREASURY 7-10 GLOBAL ARTIFICIAL MSCI USA SRI MSCI EUROPE SRI MSCI WORLD SRI
INTELLIGENCE

30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18 30/09/18


USD USD EUR USD EUR USD EUR
92,014.25 1,310,695.95 - 9,508.86 30,752.75 23,142.26 602,438,509.97
- - - 6,501.05 10,835.15 15,078.12 450,490,652.10
91,923.66 1,310,642.48 - - - - 146,614,662.45
90.59 53.47 - 18.75 - 53.46 494,081.44
- - - - - - 4,764,851.92
- - - 2,989.06 19,917.60 8,010.68 74,262.06
7,475.64 132,709.56 11,550.94 2,221.89 18,706.33 7,284.95 62,691,393.52
3,735.42 66,354.78 8,250.66 314.45 271.08 316.06 29,213,932.96
3,735.42 66,354.78 3,300.28 571.72 492.88 574.66 24,665,895.44
4.80 - - 1,335.72 17,923.02 6,385.97 8,471,777.10
- - - - 19.35 8.26 333,906.39
- - - - - - 5,881.63
84,538.61 1,177,986.39 -11,550.94 7,286.97 12,046.42 15,857.31 539,747,116.45
-25,636.85 1,217,309.00 -3,704.16 - - - 207,894,291.19
- - - - - - -6,645,080.19
- - - - 2,174.58 502.12 7,841,151.74
-9,294.97 -1,485,601.63 -539,387.18 - - - 410,047,124.02
0.12 0.03 - -197.57 140.70 -44.15 -33,734,290.04
49,606.91 909,693.79 -554,642.28 7,089.40 14,361.70 16,315.28 1,125,150,313.18
-68,165.87 -1,246,381.79 143,873.72 183,268.00 174,597.61 240,398.73 201,276,102.63
- - - - - - -765,090.74

- - - - 1,050.00 1,356.22 287,991.71


6,051.77 153,628.33 1,771,009.25 - - - 63,112,093.74
-12,507.19 -183,059.67 1,360,240.69 190,357.40 190,009.31 258,070.23 1,389,061,410.51
- - - - - - -19,398,208.00
24,552,513.20 266,165,432.80 113,174,697.50 11,956,236.00 10,320,000.00 11,956,236.00 51,662,112,974.33
-9,074,100.00 -15,880,500.00 - - - - -10,951,835,268.94
15,465,906.01 250,101,873.13 114,534,938.19 12,146,593.40 10,510,009.31 12,214,306.23 42,079,940,907.90
- - - - - - 60,050,099.18
- - - - - - 6,890,501,197.05
15,465,906.01 250,101,873.13 114,534,938.19 12,146,593.40 10,510,009.31 12,214,306.23 49,030,492,204.13

The accompanying notes form an integral part of these financial statements

315
Notes to the Financial Statements as at 30/09/18 (continued)

1 ACTIVITY

Amundi Index Solutions (the “SICAV”) is organised as a société anonyme and qualifying as a “Société d'Investissement à Capital Variable” (“SICAV”) under the laws
of the Grand Duchy of Luxembourg and created on 9 June 2016. The articles of incorporation (the “Articles”) were initially published in the Memorial Recueil des
Sociétés et Associations, on 17 June, 2016.

The SICAV is submitted to Part I of the law of 17 December 2010 as amended, relating to Undertakings for Collective Investment.

The SICAV is registered under number B 206.810 at the Commercial Register of Luxembourg, where its Articles are available for inspection and a copy thereof may
be obtained upon request.

The Capital of the SICAV is represented by the sum of the net assets of all of the sub-funds.

During the year-ended 30 September 2018, the following sub-funds were constituted by mergers:

Merger Date Sub-Fund Name (Absorbed) Sub-Fund Name (Absorbing)


AMUNDI ETF MSCI Europe Low Size Factor UCITS ETF (French
31/01/18 FCP) AMUNDI MSCI Europe Low Size Factor (Luxembourg UCITS)

31/01/18 AMUNDI ETF MSCI NETHERLANDS UCITS ETF (French FCP) AMUNDI MSCI NETHERLANDS (Luxembourg UCITS)

31/01/18 AMUNDI ETF S&P GLOBAL LUXURY UCITS ETF (French FCP) AMUNDI S&P GLOBAL LUXURY (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE HIGH DIVIDEND FACTOR UCITS AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR (Luxembourg
31/01/18 ETF (French FCP) UCITS)
AMUNDI ETF MSCI EUROPE GROWTH UCITS ETF (French
31/01/18 FCP) AMUNDI MSCI EUROPE GROWTH (Luxembourg UCITS)

31/01/18 AMUNDI ETF MSCI WORLD ENERGY UCITS ETF (French FCP) AMUNDI MSCI WORLD ENERGY (Luxembourg UCITS)
AMUNDI ETF MSCI WORLD FINANCIALS UCITS ETF (French
31/01/18 FCP) AMUNDI MSCI WORLD FINANCIALS (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE EX SWITZERLAND UCITS ETF
31/01/18 (French FCP) AMUNDI MSCI EUROPE EX SWITZERLAND (Luxembourg UCITS)
AMUNDI ETF FTSE EPRA EUROPE REAL ESTATE UCITS ETF
31/01/18 (French FCP) AMUNDI FTSE EPRA EUROPE REAL ESTATE (Luxembourg UCITS)

31/01/18 AMUNDI ETF FTSE MIB UCITS ETF (French FCP) AMUNDI FTSE MIB (Luxembourg UCITS) and

31/01/18 AMUNDI ETF S&P 500 BUYBACK UCITS ETF (French FCP) AMUNDI S&P 500 BUYBACK (Luxembourg UCITS)

14/02/18 AMUNDI ETF CAC 40 UCITS ETF DR (French FCP) AMUNDI CAC 40 (Luxembourg UCITS)

14/02/18 AMUNDI ETF EURO STOXX 50 UCITS ETF DR (French FCP) AMUNDI EURO STOXX 50 (Luxembourg UCITS)

27/02/18 AMUNDI ETF US TREASURY 1-3 UCITS ETF (French FCP) AMUNDI US TREASURY 1-3 (Luxembourg UCITS)

27/02/18 AMUNDI ETF US TREASURY 3-7 UCITS ETF (French FCP) AMUNDI US TREASURY 3-7 (Luxembourg UCITS)

27/02/18 AMUNDI ETF US TREASURY 7-10 UCITS ETF (French FCP) AMUNDI US TREASURY 7-10 (Luxembourg UCITS)
AMUNDI ETF GOVT BOND HIGHEST RATED EUROMTS AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT
27/02/18 INVESTMENT GRADE UCITS ETF (French FCP) GRADE (Luxembourg UCITS)
AMUNDI ETF GLOBAL EMERGING BOND MARKIT IBOXX AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX (Luxembourg
27/02/18 UCITS ETF (French FCP) UCITS)
AMUNDI ETF EURO CORPORATE FINANCIALS IBOXX UCITS AMUNDI EURO CORPORATE FINANCIALS IBOXX (Luxembourg
27/02/18 ETF (French FCP) UCITS)
AMUNDI ETF EURO CORPORATE EX FINANCIALS IBOXX AMUNDI EURO CORPORATE EX FINANCIALS IBOXX (Luxembourg
27/02/18 UCITS ETF (French FCP) UCITS)
AMUNDI ETF GOVT BOND HIGHEST RATED EUROMTS AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT
27/02/18 INVESTMENT GRADE 1-3 UCITS ETF (French FCP) GRADE 1-3 (Luxembourg UCITS)
AMUNDI ETF BBB EURO CORPORATE INVESTMENT GRADE AMUNDI BBB EURO CORPORATE INVESTMENT GRADE
27/02/18 UCITS ETF (French FCP) (Luxembourg UCITS)

22/03/18 AMUNDI ETF MSCI NORDIC UCITS ETF (French FCP) AMUNDI MSCI NORDIC (Luxembourg UCITS)

22/03/18 AMUNDI ETF MSCI SWITZERLAND UCITS ETF (French FCP) AMUNDI MSCI SWITZERLAND (Luxembourg UCITS)

22/03/18 AMUNDI ETF S&P 500 UCITS ETF (French FCP) AMUNDI S&P 500 (Luxembourg UCITS)

22/03/18 AMUNDI ETF MSCI EUROPE EX UK UCITS ETF (French FCP) AMUNDI MSCI EUROPE EX UK (Luxembourg UCITS)
AMUNDI ETF MSCI EM LATIN AMERICA UCITS ETF (French
22/03/18 FCP) AMUNDI MSCI EM LATIN AMERICA (Luxembourg UCITS)

22/03/18 AMUNDI ETF MSCI ASIA UCITS ETF (French FCP) AMUNDI MSCI EM ASIA (Luxembourg UCITS)

22/03/18 AMUNDI ETF RUSSELL 2000 UCITS ETF (French FCP) AMUNDI RUSSELL 2000 (Luxembourg UCITS)

22/03/18 AMUNDI ETF JPX-NIKKEI 400 UCITS ETF (French FCP) AMUNDI JPX-NIKKEI 400 (Luxembourg UCITS)
AMUNDI ETF EUROPE EQUITY MULTI SMART ALLOCATION AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC
22/03/18 SCIENTIFIC BETA UCITS ETF (French FCP) BETA (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE QUALITY FACTOR UCITS ETF
22/03/18 (French FCP) AMUNDI MSCI EUROPE QUALITY FACTOR (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE MOMENTUM FACTOR UCITS ETF
22/03/18 (French FCP) AMUNDI MSCI EUROPE MOMENTUM FACTOR (Luxembourg UCITS)

22/03/18 AMUNDI ETF MSCI EUROPE UCITS ETF (French FCP) AMUNDI MSCI EUROPE (Luxembourg UCITS)
AMUNDI ETF GOVT BOND EUROMTS BROAD INVESTMENT AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE
05/04/18 GRADE UCITS ETF (French FCP) (Luxembourg UCITS)

316
Notes to the Financial Statements as at 30/09/18

1 ACTIVITY (continued)

Merger Date Sub-Fund Name (Absorbed) Sub-Fund Name (Absorbing)

05/04/18 AMUNDI ETF EURO CORPORATES UCITS ETF (French FCP) AMUNDI EURO CORPORATES (Luxembourg UCITS)
AMUNDI ETF GOVT BOND LOWEST RATED EUROMTS AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT
05/04/18 INVESTMENT GRADE UCITS ETF (French FCP) GRADE (Luxembourg UCITS)
AMUNDI ETF EURO HIGH YIELD LIQUID BOND IBOXX UCITS AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX (Luxembourg
05/04/18 ETF (French FCP) UCITS)
AMUNDI ETF GOVT BOND LOWEST RATED EUROMTS AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT
05/04/18 INVESTMENT GRADE 1-3 UCITS ETF (French FCP) GRADE 1-3 (Luxembourg UCITS)
AMUNDI ETF FLOATING RATE EURO CORPORATE 1-3 UCITS AMUNDI FLOATING RATE EURO CORPORATE 1-3 (Luxembourg
05/04/18 ETF (French FCP) UCITS)
AMUNDI ETF FLOATING RATE USD CORPORATE UCITS ETF
05/04/18 (French FCP) AMUNDI FLOATING RATE USD CORPORATE (Luxembourg UCITS)

18/04/18 AMUNDI ETF MSCI USA UCITS ETF (French FCP) AMUNDI MSCI USA (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE MINIMUM VOLATILITY FACTOR AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR
18/04/18 UCITS ETF (French FCP) (Luxembourg UCITS)

18/04/18 AMUNDI ETF MSCI INDIA UCITS ETF (French FCP) AMUNDI MSCI INDIA (Luxembourg UCITS)

18/04/18 AMUNDI ETF MSCI CHINA UCITS ETF (French FCP) AMUNDI MSCI CHINA (Luxembourg UCITS)
AMUNDI ETF MSCI EASTERN EUROPE EX RUSSIA UCITS ETF
18/04/18 (French FCP) AMUNDI MSCI EASTERN EUROPE EX RUSSIA (Luxembourg UCITS)
AMUNDI ETF MSCI EUROPE VALUE FACTOR UCITS ETF
18/04/18 (French FCP) AMUNDI MSCI EUROPE VALUE FACTOR (Luxembourg UCITS)
AMUNDI ETF MSCI WORLD EX EUROPE UCITS ETF (French
18/04/18 FCP) AMUNDI MSCI WORLD EX EUROPE (Luxembourg UCITS)

18/04/18 AMUNDI ETF MSCI WORLD UCITS ETF (French FCP) AMUNDI MSCI WORLD (Luxembourg UCITS)

18/04/18 AMUNDI ETF STOXX EUROPE 600 UCITS ETF (French FCP) AMUNDI STOXX EUROPE 600 (Luxembourg UCITS)

18/04/18 AMUNDI ETF NASDAQ-100 UCITS ETF (French FCP) AMUNDI NASDAQ-100 (Luxembourg UCITS)
AMUNDI ETF MSCI EMERGING MARKETS UCITS ETF (French
18/04/18 FCP) AMUNDI MSCI EMERGING MARKETS (Luxembourg UCITS)

18/04/18 AMUNDI ETF JAPAN TOPIX UCITS ETF (French FCP) AMUNDI JAPAN TOPIX (Luxembourg UCITS)

The share exchange ratios for all sub-funds were one to one.

As at 30 September 2018, the following sub-funds were active:

AMUNDI INDEX EQUITY EUROPE LOW CARBON


AMUNDI INDEX EQUITY GLOBAL LOW CARBON
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL
AMUNDI INDEX MSCI EMERGING MARKETS
AMUNDI INDEX MSCI EMU
AMUNDI INDEX MSCI EUROPE
AMUNDI INDEX MSCI JAPAN
AMUNDI INDEX MSCI NORTH AMERICA
AMUNDI INDEX MSCI PACIFIC EX JAPAN
AMUNDI INDEX MSCI WORLD
AMUNDI INDEX S&P 500
AMUNDI CAC 40 (launched on 14 February 2018)
AMUNDI EURO STOXX 50 (launched on 14 February 2018)
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA (launched on 22 March 2018)
AMUNDI FTSE 100
AMUNDI FTSE EPRA EUROPE REAL ESTATE (launched on 31 January 2018)
AMUNDI FTSE MIB (launched on 31 January 2018)
AMUNDI GLOBAL INFRASTRUCTURE
AMUNDI JAPAN TOPIX (launched on 18 April 2018)
AMUNDI JPX-NIKKEI 400 (launched on 22 March 2018)
AMUNDI MSCI BRAZIL
AMUNDI MSCI CHINA (launched on 18 April 2018)
AMUNDI MSCI EASTERN EUROPE EX RUSSIA (launched on 18 April 2018)
AMUNDI MSCI EM ASIA (launched on 22 March 2018)
AMUNDI MSCI EM LATIN AMERICA (launched on 22 March 2018)
AMUNDI MSCI EMERGING MARKETS (launched on 18 April 2018)
AMUNDI MSCI EUROPE (launched on 22 March 2018)
AMUNDI MSCI EUROPE EX SWITZERLAND (launched on 31 January 2018)
AMUNDI MSCI EUROPE EX UK (launched on 22 March 2018)
AMUNDI MSCI EUROPE GROWTH (launched on 31 January 2018)
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR (launched on 31 January 2018)
AMUNDI MSCI EUROPE LOW SIZE FACTOR (launched on 31 January 2018)
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR (launched on 18 April 2018)
AMUNDI MSCI EUROPE MOMENTUM FACTOR (launched on 22 March 2018)

317
Notes to the Financial Statements as at 30/09/18 (continued)

1 ACTIVITY (continued)

AMUNDI MSCI EUROPE QUALITY FACTOR (launched on 22 March 2018)


AMUNDI MSCI EUROPE VALUE FACTOR (launched on 18 April 2018)
AMUNDI MSCI INDIA (launched on 18 April 2018)
AMUNDI MSCI NETHERLANDS (launched on 31 January 2018)
AMUNDI MSCI NORDIC (launched on 22 March 2018)
AMUNDI MSCI SWITZERLAND (launched on 22 March 2018)
AMUNDI MSCI USA (launched on 18 April 2018)
AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR
AMUNDI MSCI WORLD (launched on 18 April 2018)
AMUNDI MSCI WORLD ENERGY (launched on 31 January 2018)
AMUNDI MSCI WORLD EX EUROPE (launched on 18 April 2018)
AMUNDI MSCI WORLD FINANCIALS (launched on 31 January 2018)
AMUNDI NASDAQ-100 (launched on 18 April 2018)
AMUNDI RUSSELL 2000 (launched on 22 March 2018)
AMUNDI S&P 500 (launched on 22 March 2018)
AMUNDI S&P 500 BUYBACK (launched on 31 January 2018)
AMUNDI S&P GLOBAL LUXURY (launched on 31 January 2018)
AMUNDI STOXX EUROPE 600 (launched on 18 April 2018)
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M
AMUNDI INDEX BARCLAYS US CORP BBB 1-5
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES
AMUNDI INDEX US CORP SRI (launched on 24 April 2018)*
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE (launched on 27 February 2018)
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX (launched on 27 February 2018)
AMUNDI EURO CORPORATE FINANCIALS IBOXX (launched on 27 February 2018)
AMUNDI EURO CORPORATES (launched on 5 April 2018)
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX (launched on 5 April 2018)
AMUNDI FLOATING RATE EURO CORPORATE 1-3 (launched on 5 April 2018)
AMUNDI FLOATING RATE USD CORPORATE (launched on 5 April 2018)
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX (launched on 27 February 2018)
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE (launched on 5 April 2018)
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE (launched on 27 February 2018)
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3 (launched on 27 February 2018)
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE (launched on 5 April 2018)
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3 (launched on 5 April 2018)
AMUNDI US TREASURY 1-3 (launched on 27 February 2018)
AMUNDI US TREASURY 3-7 (launched on 27 February 2018)
AMUNDI US TREASURY 7-10 (launched on 27 February 2018)
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE (launched on 4 September 2018)*
AMUNDI INDEX MSCI USA SRI (launched on 11 September 2018)*
AMUNDI INDEX MSCI EUROPE SRI (launched on 11 September 2018)*
AMUNDI INDEX MSCI WORLD SRI (launched on 11 September 2018)*

∗ New sub-fund created.

2 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

„ PRESENTATION OF FINANCIAL STATEMENTS

The SICAV’s financial statements are prepared in accordance with the regulatory provisions in force in Luxembourg concerning undertakings for collective
investment.

„ VALUATION POLICY

„ Securities Portfolio – Transferable securities, money market instruments, and derivatives that are quoted or dealt in on any stock exchange or traded in any
other regulated market are generally valued at the last available market price on the relevant business day.
Non-listed securities, or listed securities for which the price determined according to the above methods not representative of fair market value are valued in
good faith at a prudent estimate of their sale price.
Derivatives that are not listed on any official stock exchange or are traded over the counter are valued daily in a reliable and verifiable manner, consistent with
market practice.

318
Notes to the Financial Statements as at 30/09/18

2 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (continued)

„ Valuation of swaps – Total return swaps (contracts where one party transfers to another party the total performance of a reference asset, including all interest,
fee income, market gains or losses, and credit losses). Total return swaps entered into by the sub-funds are in the form of unfunded swaps. An unfunded swap
is a swap where no upfront payment is made by the total return receiver at inception. Swaps are Valued at the net present value of their cash flows. The interest
receivable on swaps are included in the item “Receivable on swap” of the Statement of Net Assets and the interest payable are included in the item “Payable on
swap” of the Statement of Net Assets.

„ Valuation of forward foreign exchange contracts – Outstanding forward foreign exchange contracts are valued at the closing date by reference to the rate of
exchange applicable to the outstanding life of the contract. The unrealised appreciation or depreciation on forward foreign exchange contracts is disclosed in
the accounts.

„ Valuation of futures - During the financial year, the SICAV concluded a series of future contracts. At the end of the year, the outstanding contracts are valued
at their net liquidation value based on the closing price of the exchange on which the futures contracts are traded. The change in unrealised net gains or losses
appears in the Statement of Operations and Changes in the Net Asset.

„ Swing pricing On business days when it believes that trading in a sub-fund's shares will require significant purchases or sales of portfolio investments, the
Board may adjust the sub-fund's NAV to more closely reflect the actual prices of the underlying transactions, based on estimated dealing spreads, costs, and
other market and trading considerations. In general, the NAV will be adjusted upward when there is strong demand to buy sub-fund shares and downward when
there is strong demand to redeem sub-fund shares. For any given business day the adjustment will normally not be larger than 2% of the NAV, but the Board
can raise this limit when necessary to protect the interests of shareholders. As at 30 September 2018, there are no swung NAV per share.

„ Conversion of items expressed in foreign currencies - Bank deposits, other net assets and the value of portfolio securities denominated in currencies other
than the base currency of the sub-fund are converted to the reference currency of the sub-fund at the exchange rate prevailing at the closing date. Income and
expenses in a currency other than the base currency of the sub-fund are converted to the base currency of the sub-fund at the exchange rate prevailing at the
date of recognition.

The combined financial statements are expressed in Euros (EUR), and are calculated by summing the net assets of each sub-funds.
The exchange rates used for the combined figures are the following:

1 EUR = 1.1615 USD


1 EUR = 131.929 JPY

„ Dividend and Interest Income - Dividend income is recorded as of the ex-dividend date and net of withholding tax. Interest income is recorded on an accrual
basis.

„ Net realised profit or loss on sales of investment securities - The net profit or loss realised on sales of investment securities is calculated on the basis of
the average cost of the securities sold.

„ DIVIDEND POLICY
Distributing shares will distribute all or part of the net investment income received by the relevant sub-fund, and may also distribute capital gains (both realised and
unrealised) and capital. When a dividend is declared, the NAV of the relevant class is reduced by the amount of the dividend. Dividends may be declared yearly,
quarterly or monthly, as indicated by a share class suffix (QD, MD, YD). Such shares set a target dividend amount, which is communicated in advance. This is an
amount that the sub-fund aims to pay, but does not guarantee. Target dividends may be stated as a specific currency amount or as a percentage of NAV. In order to
meet a targeted dividend amount, a sub-fund may end up paying out more money than it actually earned in dividends, meaning that the Shareholders are getting
some of their capital back as a dividend.

For more information on dividend calendar and objectives, go to amundi.com and/or amundietf.com.

Distribution shares with no share class suffix (QD, MD, YD) declare an annual dividend in February.

Additional dividends may be declared as determined by the Board.

Dividends on distributing shares are either automatically reinvested or paid according to the bank account details Amundi has on file for the Shareholders’ account.
For each share class, dividends are paid in the currency of the share class. The Shareholders can request to have their dividends converted to a different currency.
If the currency is one that the sub-fund accepts, there is typically no currency conversion charge. In other cases the Shareholders will be typically charged applicable
currency conversion costs.

Unclaimed dividend payments will be returned to the sub-fund after five years. Dividends are paid only on shares owned as at the record date.

No sub-fund will make a dividend payment if the assets of the SICAV are below the minimum capital requirement, or if paying the dividend would cause that situation
to occur.

„ TRANSACTION FEES
Transaction fees include fees resulting from the coding of each new trade (buy or sell) by the dedicated service within CACEIS Bank, Luxembourg Branch, forex
fees, stock exchange fees, handling charges linked to transactions on portfolio securities and forward foreign exchange contracts. The transaction fees are included
in the item “Transactions fees”.

„ SECURITIES LENDING AND BORROWING

In securities lending and borrowing transactions, a lender transfers securities or instruments to a borrower, subject to a commitment that the borrower will return
equivalent securities or instruments on a future date or when requested by the lender. Through such transactions, a sub-fund may lend securities or instruments with
any counterparty that is subject to prudential supervision rules considered by the CSSF as equivalent to those prescribed by EU law.

A sub-fund may lend portfolio securities either directly or through one of the following:
- a standardised lending system organised by a recognised clearing institution;
- a lending system organised by a financial institution that specializes in this type of transaction.

319
Notes to the Financial Statements as at 30/09/18 (continued)

2 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES (continued)

The borrower must provide a guarantee (in the form of collateral) that extends throughout the loan period and is at least equal to the global valuation of the
securities lent, plus the value of any haircut considered appropriate in light of the collateral quality.

„ ABBREVIATION

In the Securities Portfolio, XX refers to Perpetual Bonds.

3 TAXE D’ABONNEMENT

The SICAV is normally subject to a subscription tax ("taxe d' abonnement"). For Indexed sub-funds (with listed shares), the SICAV is exempted from the "taxe
d'abonnement" pursuant to article 175 (e) of the 2010 Law.
The SICAV is not currently subject to any other Luxembourg taxes on income or capital gains.
While the above tax information is accurate to the best of the Board's knowledge, it is possible that a tax authority may impose new taxes (including retroactive
taxes).

4 MANAGEMENT FEES

Amundi Luxembourg S.A is entitled to receive from the SICAV the Management Fees calculated for each sub-fund. These fees are calculated and accrued on each
Dealing Day and are payable quarterly in arrears. Amundi Luxembourg S.A is responsible for the payment of fees to Investment managers, service providers and
Distributors.

The management fees rates effectively applied as at 30 September 2018 are as follows:

Sub-Fund AE AU AHE AHK A3E A3U A4E IC IE IE EXF


AMUNDI INDEX EQUITY EUROPE LOW CARBON 0.395 - - - - - - - 0.075 -
AMUNDI INDEX EQUITY GLOBAL LOW CARBON 0.345 - - - - - - - 0.075 -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION
- - - - - - - - 0.085 -
SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL 0.125 0.125 - - 0.030 0.030 - 0.075 0.075 -
AMUNDI INDEX MSCI EMERGING MARKETS 0.275 0.275 - - 0.045 0.045 - - 0.075 -
AMUNDI INDEX MSCI EMU 0.125 - - - - - - - 0.075 -
AMUNDI INDEX MSCI EUROPE 0.125 - - - 0.030 0.030 - - 0.075 -
AMUNDI INDEX MSCI JAPAN 0.150 - - - 0.055 0.055 - - 0.100 -
AMUNDI INDEX MSCI NORTH AMERICA 0.125 0.125 0.125 0.125 0.030 0.030 - - 0.075 -
AMUNDI INDEX MSCI PACIFIC EX JAPAN 0.150 - - - 0.055 0.055 - - 0.100 -
AMUNDI INDEX MSCI WORLD 0.125 0.125 - - - - - - 0.075 -
AMUNDI INDEX S&P 500 0.125 0.125 - - - - 0.225 - 0.075 -
AMUNDI CAC 40 - - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - - -
AMUNDI MSCI CHINA - - - - - - - - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - - -
AMUNDI MSCI NORDIC - - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - - -

320
Notes to the Financial Statements as at 30/09/18

4 MANAGEMENT FEES (continued)

Sub-Fund AE AU AHE AHK A3E A3U A4E IC IE IE EXF


AMUNDI S&P 500 - - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC
- - - - - - - - - -
BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE 0.175 - - - - - - - 0.075 -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - 0.075 -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M - - - - - - - - 0.075 -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - - - - - - - 0.075 -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND - - - - - - - - 0.075 -
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG 0.175 - - - 0.020 - - - 0.075 -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - 0.175 - - - - - 0.075 -
AMUNDI INDEX US CORP SRI - - - - - - - - 0.025 -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE - - - - - - - - - -
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - - -
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - - -
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT
- - - - - - - - - -
GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT
- - - - - - - - - -
GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - - - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - - - -

Sub-Fund IG IHC IHE IHU IJ IU I13E I13HG I13HE I13SK


AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - - - 0.075 - - - -
AMUNDI INDEX EQUITY GLOBAL LOW CARBON 0.075 - - - - 0.075 0.0015 - - -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL 0.075 0.075 - - - 0.075 * 0.005 - -
AMUNDI INDEX MSCI EMERGING MARKETS 0.075 - - - - 0.075 - - - -
AMUNDI INDEX MSCI EMU - 0.075 - 0.075 - - - - - -
AMUNDI INDEX MSCI EUROPE - - - - - - * - - -
AMUNDI INDEX MSCI JAPAN 0.100 0.100 0.100 0.100 0.100 - - - - -
AMUNDI INDEX MSCI NORTH AMERICA - - - - - 0.075 - - - -
AMUNDI INDEX MSCI PACIFIC EX JAPAN - - - - - - - - - -
AMUNDI INDEX MSCI WORLD 0.075 - - - - 0.075 - - - **
AMUNDI INDEX S&P 500 0.075 - 0.075 - - 0.075 - - - -
AMUNDI CAC 40 - - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - - -
AMUNDI MSCI CHINA - - - - - - - - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -

321
Notes to the Financial Statements as at 30/09/18 (continued)

4 MANAGEMENT FEES (continued)

Sub-Fund IG IHC IHE IHU IJ IU I13E I13HG I13HE I13SK


AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - - -
AMUNDI MSCI NORDIC - - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - - -
AMUNDI S&P 500 - - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC
- - - - - - - - - -
BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - - - - - - - - - -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - - -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M 0.075 - 0.075 - - 0.075 - - 0.025 -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - 0.075 - - 0.075 - - - -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND - - - - - - - - - -
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - - - - - - - - - -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - 0.075 - - - - - - -
AMUNDI INDEX US CORP SRI - - 0.045 - - 0.025 - - - -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE - - - - - - - - - -
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - - -
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - - -
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS
- - - - - - - - - -
INVESTMEMT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT
- - - - - - - - - -
GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - - - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - - - -

Sub-Fund I13U I14E I14G I14J ME MHE MU RE RHE RHG


AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - - - - - 0.125 - -
AMUNDI INDEX EQUITY GLOBAL LOW CARBON - - - - - - - 0.125 - -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL - - 0.025 - 0.075 - - 0.075 - -
AMUNDI INDEX MSCI EMERGING MARKETS - - 0.035 - 0.075 - - 0.075 - -
AMUNDI INDEX MSCI EMU - - - - 0.075 - - 0.075 - 0.075
AMUNDI INDEX MSCI EUROPE - - - - 0.075 - - 0.075 - -
AMUNDI INDEX MSCI JAPAN - - - 0.025 0.100 - - 0.100 - -
AMUNDI INDEX MSCI NORTH AMERICA - - - - 0.075 - 0.075 - 0.075 0.075
AMUNDI INDEX MSCI PACIFIC EX JAPAN - - - - 0.100 - - 0.100 - -
AMUNDI INDEX MSCI WORLD - - - - 0.075 - 0.075 0.075 -
AMUNDI INDEX S&P 500 - - - - - - - 0.075 0.075
AMUNDI CAC 40 - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - -

322
Notes to the Financial Statements as at 30/09/18

4 MANAGEMENT FEES (continued)

Sub-Fund I13U I14E I14G I14J ME MHE MU RE RHE RHG


AMUNDI MSCI CHINA - - - - - - - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - -
AMUNDI MSCI NORDIC - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - -
AMUNDI S&P 500 - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC
- - - - - - - - -
BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - - - - 0.075 - - 0.075 -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M 0.025 - - - - - - - -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - - - - - - - -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND - - - - - - - - -
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - 0.005 - - 0.075 - - 0.075 -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - - - 0.075 0.075 - 0.075 0.075
AMUNDI INDEX US CORP SRI - - - - - - - -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE - - - - - - - - -
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - -
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS
- - - - - - - - -
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS
- - - - - - - - -
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS
- - - - - - - - -
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - - -

UCITS
UCITS
Sub-Fund RU ETF XE XG
ETF
HEDGED

AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - 0.045 0.045

AMUNDI INDEX EQUITY GLOBAL LOW CARBON - 0.125 - 0.005 -


AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION
- 0.275 - 0.005 -
SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL - 0.075 - - -
AMUNDI INDEX MSCI EMERGING MARKETS - 0.075 - - -

323
Notes to the Financial Statements as at 30/09/18 (continued)

4 MANAGEMENT FEES (continued)

UCITS
UCITS
Sub-Fund RU ETF XE XG
ETF
HEDGED
AMUNDI INDEX MSCI EMU - 0.125 - - -
AMUNDI INDEX MSCI EUROPE - 0.025 - - -
AMUNDI INDEX MSCI JAPAN - 0.350 - - -
AMUNDI INDEX MSCI NORTH AMERICA 0.075 0.025 - - -
AMUNDI INDEX MSCI PACIFIC EX JAPAN - 0.350 - - -
AMUNDI INDEX MSCI WORLD - 0.055 - - -
AMUNDI INDEX S&P 500 - 0.025 - - -
AMUNDI CAC 40 - 0.125 - - -
AMUNDI EURO STOXX 50 - 0.025 0.025 - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- 0.300 - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - 0.150 - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - 0.250 - - -
AMUNDI FTSE MIB - 0.080 - - -
AMUNDI GLOBAL INFRASTRUTURE - 0.450 - - -
AMUNDI JAPAN TOPIX - 0.100 0.380 - -
AMUNDI JPX-NIKKEI 400 - 0.080 0.080 - -
AMUNDI MSCI BRAZIL - 0.450 - - -
AMUNDI MSCI CHINA - 0.450 - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - 0.100 - - -
AMUNDI MSCI EM ASIA - 0.100 - - -
AMUNDI MSCI EM LATIN AMERICA - 0.100 - - -
AMUNDI MSCI EMERGING MARKETS - 0.100 - - -
AMUNDI MSCI EUROPE - 0.050 - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - 0.200 - - -
AMUNDI MSCI EUROPE EX UK* - 0.200 - - -
AMUNDI MSCI EUROPE GROWTH - 0.250 - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - 0.130 - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - 0.130 - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - 0.130 - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - 0.130 - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - 0.130 - - -
AMUNDI MSCI EUROPE VALUE FACTOR - 0.130 - - -
AMUNDI MSCI INDIA - 0.700 - - -
AMUNDI MSCI NETHERLANDS - 0.150 - - -
AMUNDI MSCI NORDIC - 0.150 - - -
AMUNDI MSCI SWITZERLAND - 0.150 - - -
AMUNDI MSCI USA - 0.180 - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - 0.080 - - -
AMUNDI MSCI WORLD - 0.280 - - -
AMUNDI MSCI WORLD ENERGY - 0.250 - - -
AMUNDI MSCI WORLD EX EUROPE - 0.250 - - -
AMUNDI MSCI WORLD FINANCIALS - 0.250 - - -
AMUNDI NASDAQ-100 - 0.130 0.250 - -
AMUNDI RUSSELL 2000 - 0.250 - - -
AMUNDI S&P 500 0.050 0.180 - -
AMUNDI S&P 500 BUYBACK - 0.050 - - -
AMUNDI S&P GLOBAL LUXURY - 0.150 - - -
AMUNDI STOXX EUROPE 600 - 0.080 - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC
- 0.230 - - -
BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - 0.035 - - -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - 0.075 - - -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M 0.125 0.005 0.005 - -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - 0.075 - - -
AMUNDI INDEX BARCLAYS US GOV INFLATION LINKED BOND - 0.035 - - -
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - 0.015 - - -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - 0.075 0.095 - -
AMUNDI INDEX US CORP SRI - 0.035 - - -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - 0.130 - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - 0.090 - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - 0.090 - - -
AMUNDI EURO CORPORATES - 0.090 - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - 0.330 - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - 0.110 - - -
AMUNDI FLOATING RATE USD CORPORATE - 0.110 0.130 - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - 0.230 - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE - 0.070 - - -
AMUMDI GOVT BOND HIGHEST RATED EUROMTS 0.070 - - -
-
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS 0.070 - - -
-
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS 0.070 - - -
-
INVESTMENT GRADE

324
Notes to the Financial Statements as at 30/09/18

4 MANAGEMENT FEES (continued)

UCITS
UCITS
Sub-Fund RU ETF XE XG
ETF
HEDGED
AMUNDI GOVT BOND LOWEST RATED EUROMTS 0.070 - - -
-
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 - 0.070 - - -
AMUNDI US TREASURY 3-7 - 0.070 - - -
AMUNDI US TREASURY 7-10 - 0.070 - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - 0.250 - - -
AMUNDI INDEX MSCI USA SRI - 0.055 - - -
AMUNDI INDEX MSCI EUROPE SRI - 0.055 - - -
AMUNDI INDEX MSCI WORLD SRI - 0.055 - - -

No management fees are calculated for share classes I14U, OE, OHE, OHP, OJ and OU.

*I13E Total Nav 0 to 50,000,000.00 0.075


Total Nav 50,000,001.00 to 100,000,000.00 0.045
Total Nav 100,000,000.00 to infinite 0.005

**I13SK Total Nav 0 to 50,000,000.00 0.04


Total Nav 50,000,001.00 to infinite 0.00

∗ Please note that there was a typo in the prospectus dated August 2018 where the management fee rate was wrongly disclosed at 0.03% rather than 0.20%. All the
other marketing documents were correct by disclosing the rate of 0.20%.

5 ADMINISTRATIVE FEES
The administrative fee is a fee expressed as a percentage of the NAV of the sub-funds and classes of shares, payable monthly in arrears to Amundi Luxembourg
S.A. and calculated each day.

As at 30 September 2018, the applicable administrative fee per annum is as follows:

Sub-Fund AE AU AHE AHK A3E A3U A4E IC IE IE EXF


AMUNDI INDEX EQUITY EUROPE LOW CARBON 0.08 - - - - - - - 0.08 -
AMUNDI INDEX GLOBAL LOW CARBON 0.13 - - - - - - - 0.13 -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART
- - - - - - - - 0.14 -
ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL 0.19 0.19 - - 0.11 0.11 - 0.14 0.14 -
AMUNDI INDEX MSCI EMERGING MARKETS 0.15 0.15 - - 0.08 0.08 - - 0.10 -
AMUNDI INDEX MSCI EMU 0.15 - - - - - - - 0.05 -
AMUNDI INDEX MSCI EUROPE 0.15 - - - 0.07 0.07 - - 0.05 -
AMUNDI INDEX MSCI JAPAN 0.15 - - - 0.07 0.07 - - 0.05 -
AMUNDI INDEX MSCI NORTH AMERICA 0.15 0.15 0.15 0.15 0.07 0.07 - - 0.05 -
AMUNDI INDEX MSCI PACIFIC EX JAPAN 0.15 - - - 0.07 0.07 - - 0.10 -
AMUNDI INDEX MSCI WORLD 0.15 0.15 - - - - - - 0.10 -
AMUNDI INDEX S&P 500 0.15 0.15 - - - - 0.15 - 0.05 -
AMUNDI CAC 40 - - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - - -
AMUNDI MSCI CHINA - - - - - - - - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - - -

325
Notes to the Financial Statements as at 30/09/18 (continued)

5 ADMINISTRATIVE FEES (continued)


Sub-Fund AE AU AHE AHK A3E A3U A4E IC IE IE EXF
AMUNDI MSCI NORDIC - - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - - -
AMUNDI S&P 500 - - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE 0.15 - - - - - - - 0.05 -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - 0.10 -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M - - - - - - - - 0.10 -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - - - - - - - 0.10 0.10
AMUNDI INDEX BARCLAYS US GOV INFLATION LINKED
- - - - - - - - 0.10 -
BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG 0.15 - - - 0.05 - - - 0.05 -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - 0.15 - - - - - 0.10 -
AMUNDI INDEX US CORP SRI - - - - - - - - 0.10 -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - - -
AMUNDI EURO COPORATE EX FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT - - - - - - - - - -
GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - - -
INVESTENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - - -
INVESTENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS -
- - - - - - - - -
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS -
- - - - - - - - -
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - - - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - - - -

Sub-Fund IG IHC IHE IHU IJ IU I13E I13U I13HE I13HG


AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - - - 0.08 - - - -
AMUNDI INDEX GLOBAL LOW CARBON 0.13 - - - - 0.13 0.0635 - - -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART
- - - - - - - - - -
ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL 0.14 0.14 - - - 0.14 0.10 - - 0.07
AMUNDI INDEX MSCI EMERGING MARKETS 0.10 - - - - 0.10 - - - -
AMUNDI INDEX MSCI EMU - 0.05 - 0.05 - - - - - -
AMUNDI INDEX MSCI EUROPE - - - - - - 0.05 - - -
AMUNDI INDEX MSCI JAPAN 0.05 0.05 0.05 0.05 0.05 - - - - -
AMUNDI INDEX MSCI NORTH AMERICA - - - - - 0.05 - - - -
AMUNDI INDEX MSCI PACIFIC EX JAPAN - - - - - - - - - -
AMUNDI INDEX MSCI WORLD 0.10 - - - - 0.10 - - - -
AMUNDI INDEX S&P 500 0.05 0.05 0.05 - - - -
AMUNDI CAC 40 - - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - - -
AMUNDI MSCI CHINA - - - - - - - - - -

326
Notes to the Financial Statements as at 30/09/18

5 ADMINISTRATIVE FEES (continued)


Sub-Fund IG IHC IHE IHU IJ IU I13E I13U I13HE I13HG
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - - -
AMUNDI MSCI NORDIC - - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - - -
AMUNDI S&P 500 - - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION
- - - - - - - - - -
SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - - - - - - - - - -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - - -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M 0.10 - 0.10 - - 0.10 - 0.025 0.025 -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - 0.10 - - 0.10 - - - -
AMUNDI INDEX BARCLAYS US GOV INFLATION LINKED
- - - - - - - - - -
BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - - - - - - - - - -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - 0.10 - - - - - - -
AMUNDI INDEX US CORP SRI - - 0.10 - - 0.10 - - - -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT - - - - - - - - -
-
GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
-
INVESTENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - - - -
AMUNDI INDES MSCI WORLD SRI - - - - - - - - - -

Sub-Fund I13SK I14E I14G I14J I14U ME MHE MU OE OHE


I13SK I14E I14G I14J I14U ME MHE MU OE OHE
AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - - - - - - 0.08 -
AMUNDI INDEX GLOBAL LOW CARBON - - - - - - - - 0.13 -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART - - -
- - - - - - -
ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL - - 0.08 - - 0.19 - - 0.14 -
AMUNDI INDEX MSCI EMERGING MARKETS - - 0.07 - 0.075 0.15 - - 0.10 -
AMUNDI INDEX MSCI EMU - - - - - 0.10 - - 0.05 -
AMUNDI INDEX MSCI EUROPE - 0.025 - - - 0.10 - - 0.05 -

327
Notes to the Financial Statements as at 30/09/18 (continued)

5 ADMINISTRATIVE FEES (continued)

Sub-Fund I13SK I14E I14G I14J I14U ME MHE MU OE OHE


AMUNDI INDEX MSCI JAPAN - - - 0.025 - 0.10 - - 0.05 -
AMUNDI INDEX MSCI NORTH AMERICA - - - - - 0.10 - 0.10 0.05 -
AMUNDI INDEX MSCI PACIFIC EX JAPAN - - - - - 0.15 - - 0.10 -
AMUNDI INDEX MSCI WORLD 0.005 - - - - 0.15 - 0.15 0.10 -
AMUNDI INDEX S&P 500 - - - - 0.025 - - - 0.05 -
AMUNDI CAC 40 - - - - - - - - - -
AMUNDI EURO STOXX 50 - - - - - - - - - -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION -
- - - - - - - - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - - - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - - - -
AMUNDI FTSE MIB - - - - - - - - - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - - - -
AMUNDI JAPAN TOPIX - - - - - - - - - -
AMUNDI JPX-NIKKEI 400 - - - - - - - - - -
AMUNDI MSCI BRAZIL - - - - - - - - - -
AMUNDI MSCI CHINA - - - - - - - - - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - - - -
AMUNDI MSCI EM ASIA - - - - - - - - - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - - - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - - - -
AMUNDI MSCI EUROPE - - - - - - - - - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - - -
AMUNDI MSCI EUROPE EX UK - - - - - - - - - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - - - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - - - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - - - -
AMUNDI MSCI INDIA - - - - - - - - - -
AMUNDI MSCI NETHERLANDS - - - - - - - - - -
AMUNDI MSCI NORDIC - - - - - - - - - -
AMUNDI MSCI SWITZERLAND - - - - - - - - - -
AMUNDI MSCI USA - - - - - - - - - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - - - -
AMUNDI MSCI WORLD - - - - - - - - - -
AMUNDI MSCI WORLD ENERGY - - - - - - - - - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - - - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - - - -
AMUNDI NASDAQ-100 - - - - - - - - - -
AMUNDI RUSSELL 2000 - - - - - - - - - -
AMUNDI S&P 500 - - - - - - - - - -
AMUNDI S&P 500 BUYBACK - - - - - - - - - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - - - -
AMUNDI STOXX EUROPE 600 - - - - - - - - - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION - - -
- - - - - - -
SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - - - - - 0.15 - - 0.10 -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - - 0.10 -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M - - - - - - - - - 0.10
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - - - - - - - - -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED - - -
- - - - - - -
BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - 0.04 - - - 0.15 - - 0.10 -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - - - - 0.15 0.15 - - 0.10
AMUNDI INDEX US CORP SRI - - - - - - - - 0.10 -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - - - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - - - -
AMUNDI EURO CORPORATES - - - - - - - - - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - - - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - - - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - - - -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - - - -
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT - - - - - - - - -
-
GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
-
INVESTMENT GRADE 1-3

328
Notes to the Financial Statements as at 30/09/18

5 ADMINISTRATIVE FEES (continued)

Sub-Fund I13SK I14E I14G I14J I14U ME MHE MU OE OHE


AMUNDI US TREASURY 1-3 - - - - - - - - - -
AMUNDI US TREASURY 3-7 - - - - - - - - - -
AMUNDI US TREASURY 7-10 - - - - - - - - - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - - -
AMUNDI INDEX MSCI USA SRI - - - - - - - - - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - - - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - - - -

UCITS
UCITS
Sub-Fund OHP OJ OU RE RHE RHG RU ETF XE
ETF
HEDGED
AMUNDI INDEX EQUITY EUROPE LOW CARBON - - - 0.08 - - - - - 0.08
AMUNDI INDEX GLOBAL LOW CARBON - - - 0.13 - - - 0.10 - 0.12
AMUNDI INDEX EQUITY GLOBAL MULTI SMART
- - - - - - - 0.10 - 0.12
ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL - - - 0.19 - - - 0.14 - -
AMUNDI INDEX MSCI EMERGING MARKETS - - 0.10 0.15 - - - 0.10 - -
AMUNDI INDEX MSCI EMU 0.05 - - 0.15 - 0.15 - 0.10 - -
AMUNDI INDEX MSCI EUROPE - - - 0.15 - - - 0.10 - -
AMUNDI INDEX MSCI JAPAN - 0.05 - 0.15 - - - 0.10 - -
AMUNDI INDEX MSCI NORTH AMERICA - - 0.05 - 0.15 0.15 0.15 0.10 - -
AMUNDI INDEX MSCI PACIFIC EX JAPAN - - - 0.15 - - - 0.10 - -
AMUNDI INDEX MSCI WORLD - - 0.10 0.15 - - - 0.10 - -
AMUNDI INDEX S&P 500 0.05 - 0.05 0.15 0.15 - - 0.10 - -
AMUNDI CAC 40 - - - - - - - 0.10 - -
AMUNDI EURO STOXX 50 - - - - - - - 0.10 0.10 -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
- - - - - - - 0.10 - -
SCIENTIFIC BETA
AMUNDI FTSE 100 - - - - - - - 0.10 - -
AMUNDI FSTE EPRA EUROPE REAL ESTATE - - - - - - - 0.10 - -
AMUNDI FTSE MIB - - - - - - - 0.10 - -
AMUNDI GLOBAL INFRASTRUTURE - - - - - - - 0.10 - -
AMUNDI JAPAN TOPIX - - - - - - - 0.10 0.10 -
AMUNDI JPX-NIKKEI 400 - - - - - - - 0.10 0.10 -
AMUNDI MSCI BRAZIL - - - - - - - 0.10 - -
AMUNDI MSCI CHINA - - - - - - - 0.10 - -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA - - - - - - - 0.10 - -
AMUNDI MSCI EM ASIA - - - - - - - 0.10 - -
AMUNDI MSCI EM LATIN AMERICA - - - - - - - 0.10 - -
AMUNDI MSCI EMERGING MARKETS - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE EX SWITZERLAND - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE EX UK* - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE GROWTH - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE LOW SIZE FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE MOMENTUM FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE QUALITY FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI EUROPE VALUE FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI INDIA - - - - - - - 0.10 - -
AMUNDI MSCI NETHERLANDS - - - - - - - 0.10 - -
AMUNDI MSCI NORDIC - - - - - - - 0.10 - -
AMUNDI MSCI SWITZERLAND - - - - - - - 0.10 - -
AMUNSI MSCI USA - - - - - - - 0.10 - -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR - - - - - - - 0.10 - -
AMUNDI MSCI WORLD - - - - - - - 0.10 - -
AMUNDI MSCI WORLD ENERGY - - - - - - - 0.10 - -
AMUNDI MSCI WORLD EX EUROPE - - - - - - - 0.10 - -
AMUNDI MSCI WORLD FINANCIALS - - - - - - - 0.10 - -
AMUNDI NASDAQ-100 - - - - - - - 0.10 0.10
AMUNDI RUSSELL 2000 - - - - - - - 0.10 - -
AMUNDI S&P 500 - - - - - - - 0.10 0.10 -
AMUNDI S&P 500 BUYBACK - - - - - - - 0.10 - -
AMUNDI S&P GLOBAL LUXURY - - - - - - - 0.10 - -
AMUNDI STOXX EUROPE 600 - - - - - - - 0.10 - -
AMUNDI USA EQUITY MULTI SMART ALLOCATION -
- - - - - - - 0.10 -
SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE - - - 0.15 - - - 0.10 - -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 - - - - - - - 0.10 -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M - - - - - - 0.10 0.07 0.07 -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 - - - - - - - 0.10 -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED - - -
- - - - - 0.10 -
BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG - - - 0.15 - - - 0.10 -

329
Notes to the Financial Statements as at 30/09/18 (continued)

5 ADMINISTRATIVE FEES (continued)

UCITS
UCITS
Sub-Fund OHP OJ OU RE RHE RHG RU ETF XE
ETF
HEDGED
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES - - - 0.15 0.15 - - 0.10 0.10 -
AMUNDI INDEX US CORP SRI - - - - - - - 0.10 - -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE - - - - - - - 0.07 - -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX - - - - - - - 0.07 - -
AMUNDI EURO CORPORATE FINANCIALS IBOXX - - - - - - - 0.07 - -
AMUNDI EURO CORPORATES - - - - - - - 0.07 - -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX - - - - - - - 0.07 - -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 - - - - - - - 0.07 - -
AMUNDI FLOATING RATE USD CORPORATE - - - - - - - 0.07 0.07 -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX - - - - - - - 0.07 - -
AMUNDI GOVT EUROMTS BROAD INVESTMENT GRADE - - - - - - - 0.07 - -
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
0.07
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS - - - - - - - - -
0.07
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
0.07
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS - - - - - - - - -
0.07
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 - - - - - - - 0.07 - -
AMUNDI US TREASURY 3-7 - - - - - - - 0.07 - -
AMUNDI US TREASURY 7-10 - - - - - - - 0.07 - -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE - - - - - - - 0.10 - -
AMUNDI INDEX MSCI USA SRI - - - - - - - 0.10 - -
AMUNDI INDEX MSCI EUROPE SRI - - - - - - - 0.10 - -
AMUNDI INDEX MSCI WORLD SRI - - - - - - - 0.10 - -

Sub-Fund XG
AMUNDI INDEX EQUITY EUROPE LOW CARBON 0.08
AMUNDI INDEX GLOBAL LOW CARBON -
AMUNDI INDEX EQUITY GLOBAL MULTI SMART
-
ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL -
AMUNDI INDEX MSCI EMERGING MARKETS -
AMUNDI INDEX MSCI EMU -
AMUNDI INDEX MSCI EUROPE -
AMUNDI INDEX MSCI JAPAN -
AMUNDI INDEX MSCI NORTH AMERICA -
AMUNDI INDEX MSCI PACIFIC EX JAPAN -
AMUNDI INDEX MSCI WORLD -
AMUNDI INDEX S&P 500 -
AMUNDI CAC 40 -
AMUNDI EURO STOXX 50 -
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION
-
SCIENTIFIC BETA
AMUNDI FTSE 100 -
AMUNDI FSTE EPRA EUROPE REAL ESTATE -
AMUNDI FTSE MIB -
AMUNDI GLOBAL INFRASTRUTURE -
AMUNDI JAPAN TOPIX -
AMUNDI JPX-NIKKEI 400 -
AMUNDI MSCI BRAZIL -
AMUNDI MSCI CHINA -
AMUNDI MSCI EASTERN EUROPE EX RUSSIA -
AMUNDI MSCI EM ASIA -
AMUNDI MSCI EM LATIN AMERICA -
AMUNDI MSCI EMERGING MARKETS -
AMUNDI MSCI EUROPE -
AMUNDI MSCI EUROPE EX SWITZERLAND -
AMUNDI MSCI EUROPE EX UK* -
AMUNDI MSCI EUROPE GROWTH -
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR -
AMUNDI MSCI EUROPE LOW SIZE FACTOR -
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR -
AMUNDI MSCI EUROPE MOMENTUM FACTOR -
AMUNDI MSCI EUROPE QUALITY FACTOR -
AMUNDI MSCI EUROPE VALUE FACTOR -
AMUNDI MSCI INDIA -
AMUNDI MSCI NETHERLANDS -
AMUNDI MSCI NORDIC -
AMUNDI MSCI SWITZERLAND -
AMUNSI MSCI USA -
AMUNDI MSCI USA MINIMUM VOLATIBILITY FACTOR -
AMUNDI MSCI WORLD -

330
Notes to the Financial Statements as at 30/09/18

5 ADMINISTRATIVE FEES (continued)

Sub-Fund XG
AMUNDI MSCI WORLD ENERGY -
AMUNDI MSCI WORLD EX EUROPE -
AMUNDI MSCI WORLD FINANCIALS -
AMUNDI NASDAQ-100 -
AMUNDI RUSSELL 2000 -
AMUNDI S&P 500 -
AMUNDI S&P 500 BUYBACK -
AMUNDI S&P GLOBAL LUXURY -
AMUNDI STOXX EUROPE 600 -
AMUNDI USA EQUITY MULTI SMART ALLOCATION
-
SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE -
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 -
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M -
AMUNDI INDEX BARCLAYS US CORP BBB 1-5 -
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED
-
BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG -
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES -
AMUNDI INDEX US CORP SRI -
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE -
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX -
AMUNDI EURO CORPORATE FINANCIALS IBOXX -
AMUNDI EURO CORPORATES -
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX -
AMUNDI FLOATING RATE EURO CORPORATE 1-3 -
AMUNDI FLOATING RATE USD CORPORATE -
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX -
AMUNDI GOVT EUROMTS BROAD INVESTMENT GRADE -
AMUNDI GOVT BOND HIGHEST RATED EUROMTS -
INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS -
INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS -
INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS -
INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3 -
AMUNDI US TREASURY 3-7 -
AMUNDI US TREASURY 7-10 -
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE -
AMUNDI INDEX MSCI USA SRI -
AMUNDI INDEX MSCI EUROPE SRI -
AMUNDI INDEX MSCI WORLD SRI -

∗ Please note that there was a typo in the prospectus dated August 2018 where the administration fee rate was wrongly disclosed at 0.09% rather than 0.10%. All
the other marketing documents were correct by disclosing the rate of 0.10%

6 SWAPS
As at 30 September 2018, the open positions on Total Return Swaps contracts were as listed below.

The following sub-funds swap the performance of their portfolio with the performance of the index disclosed in « Underlying Exposure ».

„ AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Scientific Beta Developed
363,622,821.27 EUR 30/11/2018 Multi-Beta Multi-Strategy -334,501.75
Four-Factor ERC Index

„ AMUNDI FTSE 100

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
29,035,358.64 EUR 30/11/2018 FTSE 100 -118,564.44

331
Notes to the Financial Statements as at 30/09/18 (continued)

6 SWAPS (Continued)

„ AMUNDI FTSE EPRA EUROPE REAL ESTATE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE EPRA/NAREIT
38,745,324.04 EUR 30/11/2018 - 95,654.19
developed Europe Index

„ AMUNDI FTSE MIB

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
39,761,638.14 EUR 30/11/2018 FTSE MIB Index -936,600.01

„ AMUNDI GLOBAL INFRASTRUCTURE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Solactive Global
17,620,941.33 EUR 30/11/2018 Infrastructure Low Earnings -29,717.07
Volatility Index

„ AMUNDI JAPAN TOPIX

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
1,086,070,488.41 EUR 30/11/2018 Topix Index 12,938,395.48

„ AMUNDI JPX NIKKEI 400

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
530,833,136.86 EUR 30/11/2018 JPY NIKKEI 400 Index -694,953.29

„ AMUNDI MSCI BRAZIL

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
15,958,774.66 USD 30/11/2018 MSCI Brazil Index -140,255.95

„ AMUNDI MSCI CHINA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
151,969,451.46 EUR 30/11/2018 MSCI China H Index -715,673.27

„ AMUNDI MSCI EASTERN EUROPE EX RUSSIA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Eastern Europe Ex
35,591,630.79 EUR 30/11/2018 187,468.03
Russia Index

332
Notes to the Financial Statements as at 30/09/18

6 SWAPS (Continued)

„ AMUNDI MSCI EM ASIA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Emerging Markets Asia
1,898,328,605.69 EUR 30/11/2018 20,905,744.61
Index

„ AMUNDI MSCI EM LATIN AMERICA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Emerging Markets
214,012,866.18 EUR 30/11/2018 -939,488.06
Latam Index

„ AMUNDI MSCI EMERGING MARKETS

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Emerging Markets
5,144,438,705.96 EUR 30/11/2018 6,946,619.99
Index

„ AMUNDI MSCI EUROPE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
2,004,921,081.70 EUR 30/11/2018 MSCI Europe Index -2,891,629.02

„ AMUNDI MSCI EUROPE EX SWITZERLAND

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Europe Ex
25,886,595.60 EUR 30/11/2018 -39,075.29
Switzerland Index

„ AMUNDI MSCI EUROPE EX UK

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
52,764,824.88 EUR 30/11/2018 MSCI Europe Ex UK Index -15,352.96

„ AMUNDI MSCI EUROPE GROWTH

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
9,957,620.51 EUR 30/11/2018 MSCI Europe Growth Index -20,410.75

„ AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Europe High
24,485,951.08 EUR 30/11/2018 -41,663.96
Dividend Yield Index

„ AMUNDI MSCI EUROPE LOW SIZE FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Europe Mid Cap
24,865,071.01 EUR 30/11/2018 -31,789.15
Index

333
Notes to the Financial Statements as at 30/09/18 (continued)

6 SWAPS (continued)

„ AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Europe Minimum
348,540,314.49 EUR 30/11/2018 -606,690.22
Volatility Index

„ AMUNDI MSCI EUROPE MOMENTUM FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Europe Momentum
167,538,879.48 EUR 30/11/2018 - 336,681.75
Index

„ AMUNDI MSCI EUROPE QUALITY FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
98,201,840.32 EUR 30/11/2018 MSCI Europe Quality Index -257,745.57

„ AMUNDI MSCI EUROPE VALUE FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
626,316,554.23 EUR 30/11/2018 MSCI Europe Value Index 1,174,343.67

„ AMUNDI MSCI INDIA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
175,362,250.25 EUR 30/11/2018 MSCI India Index -574,103.51

„ AMUNDI MSCI NETHERLANDS

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
14,084,492.08 EUR 30/11/2018 MSCI Netherlands Index -11,684.78

„ AMUNDI MSCI NORDIC

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI Nordic Countries
313,290,919.33 EUR 30/11/2018 -180,336.23
Index

„ AMUNDI MSCI SWITZERLAND

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
157,717,535.71 EUR 30/11/2018 MSCI Switzerland Index -179,524.63

„ AMUNDI MSCI USA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
1,473,590,641.36 EUR 30/11/2018 MSCI USA Index -3,001,215.70

334
Notes to the Financial Statements as at 30/09/18

6 SWAPS (continued)

„ AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
MSCI USA Minimum
23,821,399.00 USD 30/11/2018 -7,019.35
Volatility Index

„ AMUNDI MSCI WORLD

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
869,878,980.10 EUR 30/11/2018 MSCI World Index -1,944,455.41

„ AMUNDI MSCI WORLD ENERGY

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
102,336,405.24 EUR 30/11/2018 MSCI World Energy Index 951,283.51

„ AMUNDI MSCI WORLD EX EUROPE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI World Ex Europe
175,930,767.83 EUR 30/11/2018 -589,041.35
Index

„ AMUNDI MSCI WORLD FINANCIALS

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
MSCI World Financials
91,421,267.41 EUR 30/11/2018 -323,159.91
Index

„ AMUNDI NASDAQ-100

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
638,893,588.83 EUR 30/11/2018 NASDAQ – 100 Index 11,232,551.12

„ AMUNDI RUSSELL 2000

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
173,543,295.38 EUR 07/01/2019 Russell 2000 Index -232,906.28

„ AMUNDI S&P 500

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
4,149,940,693.51 EUR 30/11/2018 S&P 500 Index 50,503,522.16

„ AMUNDI S&P 500 BUYBACK

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
57,260,576.19 EUR 30/11/2018 S&P 500 Buyback Index -264,306.87

335
Notes to the Financial Statements as at 30/09/18 (continued)

6 SWAPS (continued)

„ AMUNDI S&P GLOBAL LUXURY

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
73,705,401.83 EUR 30/11/2018 S&P Global Luxury Index -405,168.11

„ AMUNDI STOXX EUROPE 600

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
397,833,610.07 EUR 30/11/2018 Stoxx Europe 600 Index -612,124.17

„ AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
Scientific Beta United
States Multi Beta Multi
10,981,520.00 USD 30/11/2018 -40,201.63
Strategy Four Factor Erc
Index

„ AMUNDI BBB EURO CORPORATE INVESTMENT GRADE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx Eur Liquid
192,558,100.82 EUR 23/11/2018 Corporates BBB Top 60 -281,597.20
Index

„ AMUNDI EURO CORPORATE EX FINANCIALS IBOXX

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx Euro Liquid
Corporates Top 75 Mid
14,064,640.00 EUR 23/11/2018 13,102.54
Price TCA Non-Financials
Index

„ AMUNDI EURO CORPORATE FINANCIALS IBOXX

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx Euro Liquid
101,324,250.00 EUR 23/11/2018 Corporates Top 75 Mid 3,989.60
Price TCA Financials Index

„ AMUNDI EURO CORPORATES

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx Euro Liquid
498,727,420.00 EUR 27/11/2019 Corporates Top 75 Mid 1,111,156.60
TCA Index

336
Notes to the Financial Statements as at 30/09/18

6 SWAPS (continued)

„ AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx EUR Liquid
449,712,839.00 EUR 27/11/2019 High Yield 30 Ex-Financial -895,108.17
Index

„ AMUNDI FLOATING RATE EURO CORPORATE 1-3

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
Markit Iboxx EUR FRN IG
836,581,062.99 EUR 27/11/2019 -526,134.77
1-3 Index

„ AMUNDI FLOATING RATE USD CORPORATE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
Markit Iboxx USD Liquid
5,208,037,733.72 USD 30/11/2018 FRN Investment Grade -26,238,950.54
Corporates 100 Index

„ AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
Markit Iboxx USD Liquid
139,956,940.00 USD 23/11/2018 Emerging Markets 485,010.60
Sovereigns Index

„ AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE MTS Eurozone
266,292,320.00 EUR 27/11/2019 Government Broad IG -7,084.41
Index

„ AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE MTS Highest-rated
237,925,380.00 EUR 23/11/2019 Eurozone Government -175,022.64
Bond Index

„ AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE MTS Highest-Rated
11,277,360.00 EUR 23/11/2018 Eurozone Government -15,500.41
Bond 1-3Y Index

„ AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE MTS Lowest-Rated
1,064,062,500.00 EUR 27/11/2019 Eurozone Government -4,006,244.31
Bond IG Index

337
Notes to the Financial Statements as at 30/09/18 (continued)

6 SWAPS (continued)

„ AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
EUR)
FTSE MTS Lowest-Rated
175,211,634.07 EUR 27/11/2019 Eurozone Government -211,756.26
Bond IG 1-3Y Index

„ AMUNDI US TREASURY 1-3

Unrealised
Nominal Currency Maturity Date Underlying Exposure appreciation/depreciation (in
USD)
Markit Iboxx USD
25,207,195.00 USD 23/11/2019 192.61
Treasuries 1-3Y Index

„ AMUNDI US TREASURY 3-7

Unrealised
Nominal Currency Maturity Date Underlying Exposure
appreciation/depreciation (in USD)
Markit Iboxx USD
15,496,605.00 USD 23/11/2018 6,051.77
Treasuries 3-7Y Index

„ AMUNDI US TREASURY 7-10

Unrealised
Nominal Currency Maturity Date Underlying Exposure
appreciation/depreciation (in USD)
Markit Iboxx USD
193,808,600.00 USD 23/11/2018 153,628.33
Treasuries 7-10Y Index

„ AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE

Unrealised
Nominal Currency Maturity Date Underlying Exposure
appreciation/depreciation (in EUR)
STOXX AI Global Artificial
113,804,689.50 EUR 30/11/2018 1,771,009.25
Intelligence ADTV5 Index

The counterparties of the swap contracts are disclosed in the note SECURITIES FINANCING TRANSACTIONS AND OF REUSE REGULATION (“SFTR”).

7 SECURITIES LENDING

At September 30, 2018, the SICAV is engaged in fully guaranteed securities lending agreements signed with a top ranking financial institution according to the following
conditions:

Market Value of the


Sub-funds Collateral in Sub-
Sub-funds Securities Lent in Sub- Collateral type
currency fund currency
fund currency

AMUNDI INDEX EQUITY EUROPE LOW CARBON EUR 21,906,752.85 17,803,966.49 Cash

5,636,339.13 Securities

AMUNDI INDEX EQUITY GLOBAL LOW CARBON EUR 66,160,458.54 42,865,634.48 Cash

26,135,970.11 Securities

AMUNDI INDEX EQUITY GLOBAL MULTI SMART


ALLOCATION SCIENTIFIC BETA EUR 54,772,009.16 32,579,270.42 Cash

25,441,398.61 Securities

AMUNDI INDEX FTSE EPRA NAREIT GLOBAL EUR 82,948,218.35 60,752,924.00 Cash

27,485,087.82 Securities

338
Notes to the Financial Statements as at 30/09/18

7 SECURITIES LENDING (Continued)

Market Value of the


Sub-funds Collateral in Sub-
Sub-funds Securities Lent in Sub- Collateral type
currency fund currency
fund currency

AMUNDI INDEX MSCI EMERGING MARKETS USD 103,702,663.20 22,392,457.87 Cash

95,819,315.88 Securities

AMUNDI INDEX MSCI EMU EUR 320,645,386.12 262,809,817.81 Cash

81,236,917.35 Securities

AMUNDI INDEX MSCI EUROPE EUR 302,144,634.27 236,425,334.69 Cash

87,583,612.07 Securities

AMUNDI INDEX MSCI JAPAN JPY 37,080,742,188.20 22,441,590,192.52 Cash

17,920,261,950.22 Securities

AMUNDI INDEX MSCI NORTH AMERICA USD 103,256,663.49 93,384,446.88 Cash

15,743,982.56 Securities

AMUNDI INDEX MSCI PACIFIC EX JAPAN EUR 63,908,905.46 63,897,197.00 Cash

980,636.74 Securities

AMUNDI INDEX MSCI WORLD USD 53,541,683,27 33,807,640.16 Cash

23,567,963.76 Securities

AMUNDI INDEX S&P 500 USD 34,349,343.20 24,678,423.02 Cash

11,855,012.67 Securities

AMUNDI CAC 40 EUR 138,997,546.43 61,443,901.70 Cash

90,300,739.28 Securities

AMUNDI EURO STOXX 50 EUR 350,463,654.32 241,832,677.49 Cash

135,094,124.15 Securities

AMUNDI INDEX BARCLAYS EURO AGG


CORPORATE EUR 162,262.76 181,050.30 Securities

AMUNDI INDEX BARCLAYS GLOBAL AGG 500M USD 40,462,218.16 29,376,364.17 Cash

13,538,938.85 Securities

AMUNDI INDEX BARCLAYS US GOV INFLATION-


LINKED BOND USD 280,673.61 288,414.39 Cash

AMUNDI INDEX JP MORGAN EMU GOVIES EUR 93,557,397.85 73,883,591.00 Cash

28,222,697.00 Securities

AMUNDI INDEX JP MORGAN GLOBAL GOVIES EUR 161,006,245.80 101,458,565.07 Cash

69,443,832.86 Securities

The counterparties of the securities lending income are disclosed in the note SECURITIES FINANCING TRANSACTIONS AND OF REUSE REGULATION (“SFTR”).

339
Notes to the Financial Statements as at 30/09/18 (continued)

7 SECURITIES LENDING (Continued)

For the year-ended September 30, 2018, the securities lending income generated by the SICAV is included in the caption “Securities lending income” in the Statement of
Operations and is a follows:

Total net amount of


Sub-funds Currency
Securities Lending Income

AMUNDI INDEX EQUITY EUROPE LOW CARBON EUR 63,505.34


AMUNDI INDEX EQUITY GLOBAL LOW CARBON EUR 135,330.32
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA EUR 88,596.75
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL EUR 62,005.76
AMUNDI INDEX MSCI EMERGING MARKETS USD 229,509.64
AMUNDI INDEX MSCI EMU EUR 991,634.31
AMUNDI INDEX MSCI EUROPE EUR 833,825.41
AMUNDI INDEX MSCI JAPAN JPY 22,937,373.00
AMUNDI INDEX MSCI NORTH AMERICA USD 265,736.58
AMUNDI INDEX MSCI PACIFIC EX JAPAN EUR 46,378.02
AMUNDI INDEX MSCI WORLD USD 89,225.20
AMUNDI INDEX S&P 500 USD 72,159.68
AMUNDI CAC 40 EUR 248,650.47
AMUNDI EURO STOXX 50 EUR 1,084,682.50
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE EUR 293.55
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M USD 57,903.28
AMUNDI INDEX J.P. MORGAN EMU GOVIES EUR 220,787.43
AMUNDI INDEX J.P. MORGAN GLOBAL GOVIES EUR 200,118.91

The sub-fund AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND did not generate a net positive income and therefore is not disclosed in the table above.

8 COLLATERAL
As at September 30, 2018, the collateral received or paid which is composed of cash collateral granted to or received from counterparties for the purpose of
transacting in OTC derivatives are as follows:

Collateral
Sub-fund Type of
Sub-fund Counterparty Amount (in Sub-
Currency collateral
fund currency)
EUR Merrill Lynch Cash 1,320,000.00
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL
EUR Société Générale Cash -210,000.00
AMUNDI INDEX MSCI EMERGING MARKETS USD Société Générale Cash -2,716.46
Caceis Bank, Luxembourg Cash
AMUNDI INDEX MSCI NORTH AMERICA USD 530,000.00
Branch
Caceis Bank, Luxembourg Cash
AMUNDI INDEX S&P 500 USD 1,810,000.00
Branch
USD Merrill Lynch Cash -700,000.00
AMUNDI INDEX BARCLAYS GLOBAL AGG
USD Morgan Stanley Cash 80,000.00
500M
USD Raiffeisen Bank Cash -260,000.00
EUR Merrill Lynch Cash -200,000.00
AMUNDI INDEX J.P. MORGAN GLOBAL
EUR Raiffeisen Bank Cash -1,980,000.00
GOVIES
EUR Goldman Sachs Cash -10,000.00

9 CHANGES IN THE COMPOSITION OF SECURITIES PORTFOLIO

The report on the changes in the composition of the portfolio is available upon simple request free of charge from the registered office of the SICAV.

10 Dividend paid

The SICAV effectively paid or reinvested the following dividends per share during the year:

Sub-Fund Share class Currency Amount of dividend


AMUNDI INDEX FTSE EPRA NAREIT GLOBAL A3E EUR 2.91
A3U USD 3.04
AE EUR 3.02
AU USD 3.25
IE EUR 29.37
IG GBP 31.34
IU USD 30.19
RE EUR 3.08

340
Notes to the Financial Statements as at 30/09/18

10 Dividend paid (Continued)

Sub-Fund Share class Currency Amount of dividend


AMUNDI INDEX MSCI EMERGING MARKETS A3E EUR 1.44
A3U USD 1.57
AE EUR 1.56
AU USD 1.38
IE EUR 17.01
IG GBP 18.75
IU USD 14.96
OE EUR 17.35
RE EUR 1.67

AMUNDI INDEX MSCI EMU AE EUR 4.04


IE EUR 32.00
RE EUR 2.74
RHG GBP 2.67

AMUNDI INDEX MSCI EUROPE A3E EUR 3.32


A3U USD 3.51
AE EUR 4.54
IE EUR 40.25
RE EUR 3.15

AMUNDI INDEX MSCI JAPAN A3E EUR 1.74


A3U USD 2.12
AE EUR 2.15
IE EUR 19.14
IG GBP 25.22
IJ JPY 2,215.60
OE EUR 25.31
RE EUR 2.17

AMUNDI INDEX MSCI NORTH AMERICA A3E EUR 1.53


A3U USD 1.70
AE EUR 3.33
AU USD 1.62
IE EUR 32.07
IU USD 1.70
RHE EUR 1.61
RHG GBP 1.57
RU USD 1.59

AMUNDI INDEX MSCI PACIFIC EX JAPAN A3E EUR 3.83


A3U USD 5.06
AE EUR 5.70
IE EUR 66.91
RE EUR 4.60

AMUNDI INDEX MSCI WORLD AE EUR 2.30


AU USD 1.99
IE EUR 22.97
IG GBP 25.20
IU USD 20.69
OE EUR 24.17
RE EUR 2.26

AMUNDI INDEX S&P 500 AE EUR 1.75


IE EUR 1.50
IG GBP 21.84
OE EUR 20.79
RE EUR 1.84

AMUNDI INDEX BARCLAYS EURO AGG CORPORATE AE EUR 1.46


IE EUR 16.30
RE EUR 1.67

AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5 IE EXF EUR 10.48

341
Notes to the Financial Statements as at 30/09/18 (continued)

10 Dividend paid (Continued)

Sub-Fund Share class Currency Amount of dividend


AMUNDI INDEX BARCLAYS GLOBAL AGG 500M I13 USD 1.81
IG GBP 9.22

AMUNDI INDEX BARCLAYS US CORP BBB 1-5 IU USD 14.65

AMUNDI INDEX J.P. MORGAN EMU GOVIES A3E EUR 2.55


AE EUR 1.82
IE EUR 20.92
RE EUR 2.11

AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES AHE EUR 1.76
IHE EUR 18.88
RHE EUR 1.85

The payment date of all dividends is 28 November 2017.

342
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS

As at 30/09/18, the following forward contracts were outstanding :

„ AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Currency Quantity Currency Quantity Maturity Unrealised


Counterparty
purchased purchased sale sale date (in EUR)
CHF 5,050,918.64 EUR 4,490,000.00 02/10/18 -38,086.34 *Société Générale, Paris
GBP 1,350,649.32 SEK 16,007,000.00 02/10/18 -33,163.41 *JP Morgan Securities
GBP 4,015,381.46 AUD 7,227,000.00 02/10/18 6,409.68 *CACIB London
GBP 831,995.35 CHF 1,044,000.00 02/10/18 13,955.38 *JP Morgan Securities
GBP 99,265.83 NOK 1,078,000.00 02/10/18 -2,519.52 *JP Morgan Securities
GBP 6,022,690.74 HKD 61,482,000.00 02/10/18 -2,571.42 *Morgan Stanley And Co
GBP 9,205,866.44 EUR 10,273,000.00 02/10/18 63,121.30 *JP Morgan Securities
GBP 45,748,529.87 USD 59,530,000.00 02/10/18 112,638.05 *JP Morgan Securities
GBP 2,345,474.82 CAD 3,977,000.00 02/10/18 -15,507.61 *JP Morgan Securities
CHF 52,904.88 ILS 197,000.00 02/10/18 -13.61 *Société Générale, Paris
CHF 1,082,755.48 SGD 1,537,000.00 02/10/18 -14,115.54 *Société Générale, Paris
CHF 3,370,438.12 HKD 27,405,000.00 02/10/18 -44,572.47 *Morgan Stanley And Co
GBP 104,798.43 ILS 490,000.00 02/10/18 1,646.22 *Société Générale, Paris
CHF 50,006.94 NOK 433,000.00 02/10/18 -1,702.96 *JP Morgan Securities
CHF 4,965,984.53 JPY 569,500,000.00 02/10/18 60,336.35 *JP Morgan Securities
CHF 2,284,027.71 GBP 1,819,000.00 02/10/18 -29,171.26 *JP Morgan Securities
GBP 81,076.87 NZD 159,000.00 02/10/18 277.70 *JP Morgan Securities
CHF 1,310,785.36 CAD 1,770,000.00 02/10/18 -23,603.92 *JP Morgan Securities
GBP 1,907,817.19 SGD 3,400,000.00 02/10/18 -289.16 *JP Morgan Securities
CHF 2,179,148.83 AUD 3,123,000.00 02/10/18 -24,714.33 *JP Morgan Securities
CHF 25,572,848.06 USD 26,503,000.00 02/10/18 -277,827.62 *JP Morgan Securities
CHF 679,831.60 SEK 6,424,000.00 02/10/18 -22,699.99 *JP Morgan Securities
CHF 40,975.85 NZD 64,000.00 02/10/18 -413.29 *JP Morgan Securities
GBP 8,822,015.73 JPY 1,270,200,000.00 02/10/18 277,237.23 *JP Morgan Securities
EUR 703,000.00 CHF 793,622.32 02/10/18 3,495.95 *CACIB London
USD 4,663,000.00 CHF 4,520,176.97 02/10/18 30,521.86 *Merrill Lynch International
JPY 110,300,000.00 CHF 959,891.67 02/10/18 -9,999.22 *CACIB London
SGD 334,000.00 CHF 235,330.86 02/10/18 3,031.16 *Société Générale, Paris
GBP 367,000.00 CHF 461,448.18 02/10/18 5,335.07 *Merrill Lynch International
HKD 5,782,000.00 CHF 714,268.24 02/10/18 6,617.26 *CACIB London
AUD 398,000.00 CHF 277,380.53 02/10/18 3,443.68 *Morgan Stanley And Co
CAD 312,000.00 CHF 229,455.63 02/10/18 5,569.23 *JP Morgan Securities
CHF 119,361.31 CAD 163,000.00 02/10/18 -3,363.09 *CACIB London
CHF 179,573.42 AUD 258,000.00 02/10/18 -2,440.40 *CACIB London
CHF 398,265.61 EUR 354,000.00 02/10/18 -2,966.01 *Société Générale, Paris
CHF 2,276,533.91 USD 2,357,000.00 02/10/18 -22,720.20 *Société Générale, Paris
CHF 229,011.43 GBP 183,000.00 02/10/18 -3,615.71 *JP Morgan Securities
CHF 129,338.68 SGD 184,000.00 02/10/18 -1,938.40 *JP Morgan Securities
CHF 368,041.23 HKD 2,990,000.00 02/10/18 -4,587.73 *JP Morgan Securities
CHF 500,833.57 JPY 57,400,000.00 02/10/18 6,355.57 *JP Morgan Securities
GBP 9,012.64 NZD 18,000.00 02/10/18 -154.80 *Morgan Stanley And Co
CHF 13,891.76 AUD 20,000.00 02/10/18 -214.44 *Morgan Stanley And Co
GBP 80,532.33 CHF 102,000.00 02/10/18 516.24 *Morgan Stanley And Co
GBP 4,250,775.94 USD 5,570,000.00 02/10/18 -22,855.94 *Morgan Stanley And Co
CHF 32,764.26 HKD 266,000.00 02/10/18 -388.63 *Morgan Stanley And Co
GBP 162,660.57 SEK 1,908,000.00 02/10/18 -2,082.38 *Morgan Stanley And Co
CHF 37,996.38 GBP 30,000.00 02/10/18 -193.01 *Morgan Stanley And Co
GBP 476,577.77 AUD 869,000.00 02/10/18 -6,241.99 *Morgan Stanley And Co
GBP 191,469.58 SGD 344,000.00 02/10/18 -1,777.01 *Morgan Stanley And Co
GBP 10,579.91 NOK 114,000.00 02/10/18 -173.92 *Morgan Stanley And Co
USD 47,000.00 CHF 45,430.53 02/10/18 422.15 *Morgan Stanley And Co
GBP 227,048.72 CAD 387,000.00 02/10/18 -2,843.27 *Morgan Stanley And Co
GBP 723,408.76 EUR 811,000.00 02/10/18 1,225.63 *Morgan Stanley And Co
CHF 23,970.49 SEK 222,000.00 02/10/18 -364.09 *Morgan Stanley And Co
GBP 542,766.20 HKD 5,581,000.00 02/10/18 -4,658.00 *Morgan Stanley And Co
EUR 29,000.00 CHF 32,762.78 02/10/18 122.67 *Morgan Stanley And Co
CHF 19,033.93 JPY 2,200,000.00 02/10/18 101.00 *Morgan Stanley And Co
GBP 13,472.71 ILS 63,000.00 02/10/18 210.11 *Morgan Stanley And Co
GBP 875,703.65 JPY 128,200,000.00 02/10/18 11,483.80 *Morgan Stanley And Co
GBP 70,755.10 CAD 121,000.00 02/10/18 -1,152.03 *Merrill Lynch International
GBP 173,636.44 HKD 1,803,000.00 02/10/18 -3,424.56 *Merrill Lynch International
GBP 36,349.36 SEK 423,000.00 02/10/18 -138.51 *Société Générale, Paris
GBP 40,878.81 SGD 74,000.00 02/10/18 -729.66 *Merrill Lynch International

343
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS (continued)

„ AMUNDI INDEX FTSE EPRA NAREIT GLOBAL (CONTINUED)

Currency Quantity Currency Quantity Maturity Unrealised


Counterparty
purchased purchased sale sale date (in EUR)
USD 148,000.00 GBP 111,784.33 02/10/18 1,912.72 *Merrill Lynch International
AUD 82,000.00 GBP 45,052.64 02/10/18 496.79 *Merrill Lynch International
GBP 298,069.84 JPY 44,400,000.00 02/10/18 -1,879.14 *JP Morgan Securities
GBP 591,889.40 EUR 667,000.00 02/10/18 -2,441.08 *JP Morgan Securities
GBP 45,545.80 CHF 58,000.00 02/10/18 16.12 *JP Morgan Securities
EUR 598,000.00 GBP 537,050.05 02/10/18 -4,986.64 *Merrill Lynch International
CHF 40,000.31 JPY 4,700,000.00 02/10/18 -368.68 *Merrill Lynch International
AUD 93,000.00 CHF 64,887.03 02/10/18 741.23 *Merrill Lynch International
JPY 13,400,000.00 GBP 90,932.53 02/10/18 -527.03 *Merrill Lynch International
CHF 45,000.99 HKD 367,000.00 02/10/18 -715.85 *Merrill Lynch International
USD 52,000.00 CHF 49,780.02 02/10/18 893.26 *Merrill Lynch International
GBP 631,937.58 USD 828,000.00 02/10/18 -3,347.26 *Merrill Lynch International
-26,127.72

„ AMUNDI INDEX MSCI EMU

Currency Quantity Currency Quantity Maturity Unrealised


Counterparty
purchased purchased sale sale date (in EUR)
GBP 15.94 EUR 17.74 31/10/18 0.14 *CACEIS Bank, Luxembourg Branch
GBP 13.29 EUR 14.79 31/10/18 0.12 *CACEIS Bank, Luxembourg Branch
USD 28,570.70 EUR 24,229.06 31/10/18 313.50 *CACEIS Bank, Luxembourg Branch
PLN 61,261.28 EUR 14,218.56 31/10/18 66.14 *CACEIS Bank, Luxembourg Branch
EUR 4,639.90 PLN 19,998.03 31/10/18 -23.21 *CACEIS Bank, Luxembourg Branch
CHF 151.59 EUR 134.66 31/10/18 -1.00 *CACEIS Bank, Luxembourg Branch
GBP 1,195.92 EUR 1,330.48 31/10/18 10.95 *CACEIS Bank, Luxembourg Branch
GBP 1,432.17 EUR 1,593.31 31/10/18 13.11 *CACEIS Bank, Luxembourg Branch
CHF 13,704.91 EUR 12,170.77 31/10/18 -87.28 *CACEIS Bank, Luxembourg Branch
USD 2,520,483.24 EUR 2,137,270.62 31/10/18 27,853.30 *CACEIS Bank, Luxembourg Branch
PLN 5,445,401.96 EUR 1,263,742.20 31/10/18 5,998.30 *CACEIS Bank, Luxembourg Branch
EUR 4,652.94 PLN 19,995.33 31/10/18 -9.51 *CACEIS Bank, Luxembourg Branch
34,134.56

„ AMUNDI INDEX MSCI JAPAN

Currency Quantity Currency Quantity Maturity


Unrealised (in JPY) Counterparty
purchased purchased sale sale date
EUR 10,971,755.42 JPY 1,450,413,320.00 31/10/18 -2,682,023.00 *CACEIS Bank, Luxembourg Branch
USD 293,310.55 JPY 32,898,439.00 31/10/18 347,489.00 *CACEIS Bank, Luxembourg Branch
CHF 80,499.08 JPY 9,431,099.00 31/10/18 -65,860.00 *CACEIS Bank, Luxembourg Branch
EUR 1,359,777.17 JPY 179,756,005.00 31/10/18 -332,395.00 *CACEIS Bank, Luxembourg Branch
JPY 299,894.00 USD 2,672.16 31/10/18 -2,994.00 *CACEIS Bank, Luxembourg Branch
EUR 145,157.82 JPY 19,219,518.00 31/10/18 -65,836.00 *CACEIS Bank, Luxembourg Branch
USD 19,645,269.77 JPY 2,205,295,474.00 31/10/18 21,440,767.00 *CACEIS Bank, Luxembourg Branch
CHF 5,533,282.03 JPY 650,449,753.00 31/10/18 -6,709,366.00 *CACEIS Bank, Luxembourg Branch
EUR 91,160,368.90 JPY 12,066,834,219.00 31/10/18 -38,155,666.00 *CACEIS Bank, Luxembourg Branch
EUR 448,903.66 JPY 59,735,475.00 31/10/18 -502,303.00 *CACEIS Bank, Luxembourg Branch
JPY 303,742.00 USD 2,698.46 31/10/18 -2,126.00 *CACEIS Bank, Luxembourg Branch
EUR 1,277,703.44 JPY 170,023,613.00 31/10/18 -1,429,693.00 *CACEIS Bank, Luxembourg Branch
JPY 760,426.00 USD 6,746.10 31/10/18 -4,235.00 *CACEIS Bank, Luxembourg Branch
EUR 91,287.83 JPY 12,127,665.00 31/10/18 -82,168.00 *CACEIS Bank, Luxembourg Branch
CHF 5,075.40 JPY 593,210.00 31/10/18 -2,739.00 *CACEIS Bank, Luxembourg Branch
USD 361,278.08 JPY 40,738,612.00 31/10/18 211,245.00 *CACEIS Bank, Luxembourg Branch
CHF 98,917.89 JPY 11,561,466.00 31/10/18 -53,388.00 *CACEIS Bank, Luxembourg Branch
EUR 738,842.91 JPY 97,750,570.00 31/10/18 -259,698.00 *CACEIS Bank, Luxembourg Branch
CHF 148,399.96 JPY 17,241,726.00 31/10/18 23,081.00 *CACEIS Bank, Luxembourg Branch
USD 387,699.75 JPY 43,819,833.00 31/10/18 124,847.00 *CACEIS Bank, Luxembourg Branch
EUR 1,368,139.42 JPY 181,007,907.00 31/10/18 -480,892.00 *CACEIS Bank, Luxembourg Branch
-28,683,953.00

344
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS (continued)

„ AMUNDI INDEX MSCI NORTH AMERICA

Currency Quantity Currency Quantity Maturity Unrealised Counterparty


purchased purchased sale sale date (in USD)

GBP 1,159.23 USD 1,539.06 31/10/18 -25.38 *CACEIS Bank, Luxembourg Branch
CZK 1,206,275.26 USD 55,520.08 31/10/18 -1,121.06 *CACEIS Bank, Luxembourg Branch
EUR 6.32 USD 7.45 31/10/18 -0.09 *CACEIS Bank, Luxembourg Branch
GBP 15,636.84 USD 20,517.21 31/10/18 -99.15 *CACEIS Bank, Luxembourg Branch
EUR 1.86 USD 2.19 31/10/18 -0.02 *CACEIS Bank, Luxembourg Branch
GBP 2.02 USD 2.65 31/10/18 -0.01 *CACEIS Bank, Luxembourg Branch
EUR 29,321.11 USD 34,584.98 31/10/18 -451.42 *CACEIS Bank, Luxembourg Branch
GBP 11,590.66 USD 15,208.18 31/10/18 -73.48 *CACEIS Bank, Luxembourg Branch
USD 89,965.87 EUR 76,294.55 31/10/18 1,146.59 *CACEIS Bank, Luxembourg Branch
CZK 3,170,060.38 USD 145,910.36 31/10/18 -2,951.15 *CACEIS Bank, Luxembourg Branch
CZK 707,226.61 USD 32,551.96 31/10/18 -658.38 *CACEIS Bank, Luxembourg Branch
GBP 139.05 USD 182.43 31/10/18 -0.86 *CACEIS Bank, Luxembourg Branch
GBP 1,096,591.90 USD 1,438,726.38 31/10/18 -6,833.20 *CACEIS Bank, Luxembourg Branch
EUR 455.12 USD 536.76 31/10/18 -6.94 *CACEIS Bank, Luxembourg Branch
EUR 2,150,541.13 USD 2,536,294.45 31/10/18 -32,786.80 *CACEIS Bank, Luxembourg Branch
EUR 136.16 USD 160.58 31/10/18 -2.07 *CACEIS Bank, Luxembourg Branch
CZK 218,621,132.68 USD 10,058,899.73 31/10/18 -199,811.35 *CACEIS Bank, Luxembourg Branch
CZK 161,909.38 USD 7,461.70 31/10/18 -160.12 *CACEIS Bank, Luxembourg Branch
GBP 1,422.63 USD 1,872.71 31/10/18 -15.09 *CACEIS Bank, Luxembourg Branch
USD 1,497.10 EUR 1,266.56 31/10/18 22.61 *CACEIS Bank, Luxembourg Branch
EUR 101,649.92 USD 120,124.20 31/10/18 -1,790.56 *CACEIS Bank, Luxembourg Branch
GBP 13,618.76 USD 17,956.41 31/10/18 -173.49 *CACEIS Bank, Luxembourg Branch
CZK 223,764.94 USD 10,309.66 31/10/18 -218.60 *CACEIS Bank, Luxembourg Branch
GBP 2,052.18 USD 2,710.23 31/10/18 -30.56 *CACEIS Bank, Luxembourg Branch
EUR 1,833.96 USD 2,160.67 31/10/18 -25.70 *CACEIS Bank, Luxembourg Branch
CZK 260,776.68 USD 11,956.72 31/10/18 -196.56 *CACEIS Bank, Luxembourg Branch
EUR 19,362.97 USD 22,665.49 31/10/18 -124.49 *CACEIS Bank, Luxembourg Branch
GBP 975.29 USD 1,281.19 31/10/18 -7.69 *CACEIS Bank, Luxembourg Branch
CZK 279,754.39 USD 12,725.78 31/10/18 -109.78 *CACEIS Bank, Luxembourg Branch
-246,504.80

„ AMUNDI INDEX S&P 500

Currency Quantity Currency Quantity Maturity Unrealised


Counterparty
purchased purchased sale sale date (in USD)
EUR 34,242.89 USD 40,361.36 31/10/18 -498.21 *CACEIS Bank, Luxembourg Branch
PLN 79,994.37 USD 21,906.53 31/10/18 -192.24 *CACEIS Bank, Luxembourg Branch
PLN 135,445.17 USD 37,091.78 31/10/18 -325.50 *CACEIS Bank, Luxembourg Branch
EUR 1.02 USD 1.20 31/10/18 -0.01 *CACEIS Bank, Luxembourg Branch
EUR 845,861.36 USD 997,714.62 31/10/18 -13,022.74 *CACEIS Bank, Luxembourg Branch
EUR 695,731.50 USD 820,632.70 31/10/18 -10,711.37 *CACEIS Bank, Luxembourg Branch
PLN 34,999.23 USD 9,581.17 31/10/18 -80.71 *CACEIS Bank, Luxembourg Branch
EUR 100.00 USD 117.94 31/10/18 -1.53 *CACEIS Bank, Luxembourg Branch
EUR 48,104,833.50 USD 56,733,638.01 31/10/18 -733,398.25 *CACEIS Bank, Luxembourg Branch
PLN 13,195,591.43 USD 3,611,514.13 31/10/18 -29,601.62 *CACEIS Bank, Luxembourg Branch
USD 846,778.82 EUR 716,382.04 31/10/18 12,788.87 *CACEIS Bank, Luxembourg Branch
PLN 24,994.50 USD 6,858.10 31/10/18 -73.40 *CACEIS Bank, Luxembourg Branch
EUR 54,159.02 USD 64,002.10 31/10/18 -954.01 *CACEIS Bank, Luxembourg Branch
USD 15,120.59 PLN 54,994.35 31/10/18 192.39 *CACEIS Bank, Luxembourg Branch
USD 89,229.34 EUR 75,750.71 31/10/18 1,043.39 *CACEIS Bank, Luxembourg Branch
PLN 74,999.89 USD 20,626.28 31/10/18 -267.73 *CACEIS Bank, Luxembourg Branch
EUR 19,703.72 USD 23,064.36 31/10/18 -126.68 *CACEIS Bank, Luxembourg Branch
-775,229.35

345
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS (continued)

„ AMUNDI EURO STOXX 50

Currency Quantity Currency Quantity Maturity Unrealised


Counterparty
purchased purchased sale sale date (in EUR)
USD 7,454,000.00 EUR 6,396,378.07 01/10/18 21,185.43 *Natixis
EUR 66,000.00 USD 76,406.81 01/10/18 217.12 *Morgan Stanley And Co
EUR 77,000.00 USD 89,678.66 01/10/18 -206,77 *Merrill Lynch International
EUR 35,000.00 USD 40,777.02 01/10/18 -107.21 *JP Morgan Securities
EUR 23,000.00 USD 26,681.33 01/10/18 28.56 *Morgan Stanley And Co
USD 48,802.32 EUR 42,000.00 01/10/18 16.63 *CACIB London
EUR 10,000.00 USD 11,601.29 01/10/18 11.80 *Merrill Lynch International
USD 25,605.78 EUR 22,000.00 01/10/18 45.44 *CACIB London
USD 50,259.48 EUR 43,000.00 01/10/18 271.18 *CACIB London
USD 19,854.63 EUR 17,000.00 01/10/18 93.96 *Société Générale, Paris
USD 10,538.13 EUR 9,000.00 01/10/18 72.86 *JP Morgan Securities
USD 37,371.26 EUR 32,000.00 01/10/18 175.00 *Morgan Stanley And Co
USD 83,480.88 EUR 71,000.00 01/10/18 873.34 *Morgan Stanley And Co
USD 44,703.01 EUR 38,000.00 01/10/18 487.31 *CACIB London
EUR 31,000.00 USD 36,557.19 01/10/18 -474.12 *Merrill Lynch International
USD 28,291.38 EUR 24,000.00 01/10/18 357.62 *Société Générale, Paris
USD 25,847.18 EUR 22,000.00 01/10/18 253.28 *CACIB London
23,301.43

„ AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Currency Quantity Currency Quantity Maturity date Unrealised Counterparty


purchased purchased sale sale (in USD)

USD 530,372.72 MYR 2,197,474.00 20/12/18 -474.98 *Goldman Sachs International Finance

USD 485,886.26 IDR 7,410,640,000.00 20/12/18 -4,941.42 *Citigroup Global Markets


USD 11,786.98 KRW 13,260,000.00 20/12/18 -179.45 *CACIB London
USD 2,304,637.92 KRW 2,592,072,360.00 20/12/18 -34,567.95 *CACIB London
USD 338,079.84 SGD 463,000.00 18/10/18 -903.14 *HSBC Bank International
USD 610,529.82 MXN 11,530,520.00 18/10/18 -4,474.15 *Citigroup Global Markets
EUR 123,902,739.13 USD 145,112,410.01 18/10/18 -1,019,254.92 *Merrill Lynch International
USD 223,987.38 NOK 1,826,400.00 18/10/18 -443.55 *Merrill Lynch International
USD 263,576.27 EUR 225,000.00 18/10/18 1,909.51 *Citigroup Global Markets
USD 4,821,456.27 CAD 6,279,455.00 18/10/18 -38,355.11 *Merrill Lynch International
USD 551,713.02 THB 17,965,100.00 18/10/18 -4,065.81 *Morgan Stanley And Co
USD 27,150.97 ZAR 405,500.00 18/10/18 -1,445.85 *Merrill Lynch International
USD 722,679.98 SEK 6,414,798.00 18/10/18 427.21 *Citigroup Global Markets
USD 650,682.08 DKK 4,144,200.00 18/10/18 4,333.11 *Royal Bank, Scotland
USD 279,597.33 ILS 997,100.00 18/10/18 5,004.86 *Royal Bank, Scotland
USD 924,814.46 CHF 887,722.00 18/10/18 14,685.52 *Royal Bank, Scotland
USD 32,441,845.21 JPY 3,626,031,527.00 18/10/18 480,433.31 *Royal Bank, Scotland
USD 169,009.14 JPY 18,890,000.00 18/10/18 2,504.51 *Royal Bank, Scotland
USD 3,177.60 MXN 60,000.00 18/10/18 -22.62 *Citigroup Global Markets
USD 4,507.24 SEK 40,000.00 18/10/18 3.57 *Citigroup Global Markets
USD 23,804.99 CAD 31,000.00 18/10/18 -186.61 *Merrill Lynch International
USD 4,375.81 CHF 4,200.00 18/10/18 69.80 *Royal Bank, Scotland
USD 3,070.84 THB 100,000.00 18/10/18 -22.82 *Morgan Stanley And Co
USD 3,141.31 DKK 20,000.00 18/10/18 22.01 *Royal Bank, Scotland
USD 2,518,638.75 AUD 3,497,423.00 18/10/18 -12,130.81 *BNP Paribas
USD 48,689.27 GBP 37,000.00 18/10/18 403.01 *BNP Paribas
USD 12,249.20 AUD 17,000.00 18/10/18 -52.16 *BNP Paribas
USD 9,311,776.37 GBP 7,077,838.00 18/10/18 74,956.70 *BNP Paribas
USD 271,290.62 NZD 411,600.00 18/10/18 -1,611.56 *BNP Paribas
USD 458,499.48 PLN 1,684,000.00 18/10/18 1,499.87 *Goldman Sachs International Finance
USD 164,504.55 RUB 11,164,200.00 18/10/18 -5,693.83 *HSBC Bank International
USD 230,929.95 CZK 5,024,500.00 18/10/18 4,435.80 *HSBC Bank International
USD 27,914.70 CAD 36,000.00 18/10/18 53.39 *Merrill Lynch International
USD 5,214.46 CHF 5,000.00 18/10/18 88.25 *Merrill Lynch International
USD 4,678.67 SEK 41,000.00 18/10/18 62.34 *Société Générale, Paris
USD 287,302.19 EUR 244,000.00 18/10/18 3,537.28 *Royal Bank, Scotland
USD 53,069.34 GBP 40,000.00 18/10/18 867.66 *Société Générale, Paris

346
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS (continued)

„ AMUNDI INDEX BARCLAYS GLOBAL AGG 500M (continued)

Currency Quantity Currency Quantity Maturity date Unrealised Counterparty


purchased purchased sale sale (in USD)

USD 184,991.00 JPY 20,764,000.00 18/10/18 1,969.02 *Goldman Sachs International Finance
USD 13,822.15 AUD 19,000.00 18/10/18 73.55 *JP Morgan Securities
USD 36,277.01 MYR 150,000.00 20/12/18 41.26 *Morgan Stanley And Co
USD 55,186.24 THB 1,786,000.00 18/10/18 -66.67 *Société Générale, Paris
USD 70,703.95 SEK 620,000.00 18/10/18 896.01 *Citigroup Global Markets
USD 76,047.74 GBP 58,000.00 18/10/18 355.94 *Citigroup Global Markets
USD 259,936.08 JPY 29,204,000.00 18/10/18 2,520.96 *Citigroup Global Markets
USD 294,534.75 EUR 250,000.00 18/10/18 3,791.81 *Citigroup Global Markets
USD 53,306.66 KRW 59,285,000.00 20/12/18 -195.49 *HSBC Bank International
-524,142.64

„ AMUNDI INDEX BARCLAYS US CORP BBB 1-5

Currency Quantity Currency Quantity Maturity date Unrealised Counterparty


purchased purchased sale sale (in USD)

EUR 6,855.66 USD 8,079.59 31/10/18 -98.72 *CACEIS Bank, Luxembourg Branch
EUR 12,732.59 USD 15,016.50 31/10/18 -194.12 *CACEIS Bank, Luxembourg Branch
EUR 10,675,279.05 USD 12,590,157.23 31/10/18 -162.753.52 *CACEIS Bank, Luxembourg Branch
EUR 5,874.72 USD 6,919.60 31/10/18 -80.67 *CACEIS Bank, Luxembourg Branch
EUR 13,720.84 USD 16,059.68 31/10/18 -86.85 *CACEIS Bank, Luxembourg Branch
-163,213.88

„ AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES

Currency Quantity Currency Quantity Maturity Unrealised Counterparty


purchased purchased sale sale date (in EUR)

EUR 1,934,748.15 SEK 20,115,996.00 18/10/18 -12,786.59 *Citigroup Global Markets


EUR 10,062,145.43 AUD 16,361,944.00 18/10/18 -118,679.78 *HSBC Bank International
EUR 8,331,923.99 CAD 12,710,650.00 18/10/18 -126,897.65 *Merrill Lynch International
EUR 248,687,847.20 USD 291,337,813.00 18/10/18 -1,829,830.85 *Merrill Lynch International
EUR 3,092,238.07 DKK 23,065,146.00 18/10/18 -1,023.07 *Royal Bank, Scotland
EUR 116,416,522.00 JPY 15,243,416,407.00 18/10/18 883,357.45 *Royal Bank, Scotland
EUR 42,630,568.03 GBP 37,953,270.00 18/10/18 40,720.78 *Royal Bank, Scotland
EUR 14,555.35 JPY 1,913,000.00 18/10/18 56.31 *Royal Bank, Scotland
EUR 30,706.15 USD 36,000.00 18/10/18 -249.82 *Goldman Sachs International Finance
EUR 49,599.01 USD 58,000.00 18/10/18 -274.35 *JP Morgan Securities
EUR 7,882.06 GBP 7,000.00 18/10/18 26.91 *Citigroup Global Markets
EUR 23,238.21 JPY 3,046,000.00 18/10/18 151.91 *Merrill Lynch International
EUR 80,350.64 CAD 122,000.00 18/10/18 -838.91 *Royal Bank, Scotland
EUR 29,498.62 DKK 220,000.00 18/10/18 -5.53 *Royal Bank, Scotland
EUR 18,413.35 SEK 190,000.00 18/10/18 18.45 *Citigroup Global Markets
EUR 409,094.52 GBP 363,000.00 18/10/18 1,749.20 *Citigroup Global Markets
EUR 1,121,600.03 JPY 148,267,000.00 18/10/18 -2,148.64 *Merrill Lynch International
EUR 98,249.07 AUD 159,000.00 18/10/18 -684.31 *Royal Bank, Scotland
EUR 2,384,371.16 USD 2,807,000.00 18/10/18 -29,347.07 *BNP Paribas
AUD 69,000.00 EUR 42,682.07 18/10/18 250.97 *Merrill Lynch International
DKK 96,000.00 EUR 12,871.09 18/10/18 3.45 *Merrill Lynch International
SEK 84,000.00 EUR 8,129.33 18/10/18 3.15 *HSBC Bank International
CAD 53,000.00 EUR 34,845.95 18/10/18 424.62 *Goldman Sachs International Finance
GBP 157,000.00 EUR 174,699.80 18/10/18 1,480.29 *BNP Paribas
JPY 63,949,000.00 EUR 483,068.80 18/10/18 1,614.87 *BNP Paribas
USD 1,212,000.00 EUR 1,028,542.30 18/10/18 13,632.41 *BNP Paribas
EUR 635,110.43 USD 750,000.00 18/10/18 -9,811.40 *Royal Bank, Scotland
EUR 148,910.34 AUD 242,000.00 18/10/18 -1,668.23 *Merrill Lynch International
EUR 239,482.27 GBP 215,000.00 18/10/18 -1,784.39 *Royal Bank, Scotland
EUR 535,134.40 JPY 71,000,000.00 18/10/18 -2,990.60 *BNP Paribas
USD 53,000.00 EUR 44,895.77 18/10/18 677.88 *Citigroup Global Markets
GBP 7,000.00 EUR 7,812.14 18/10/18 43.02 *Citigroup Global Markets
JPY 1,167,000.00 EUR 8,824.12 18/10/18 20.83 *Citigroup Global Markets
USD 22,000.00 EUR 18,815.53 18/10/18 101.83 *JP Morgan Securities
-1,194,686.86

347
Notes to the Financial Statements as at 30/09/18 (continued)

11. FORWARD FOREIGN EXCHANGE CONTRACTS (continued)

„ AMUNDI INDEX US CORP SRI

Currency Quantity Currency Quantity Maturity Unrealised Counterparty


purchased purchased sale sale date (in USD)

EUR 8,038,338.28 USD 9,498,663.20 31/10/18 -140,999.15 *CACEIS Bank, Luxembourg Branch
-140,999.15

*Open forward foreign exchange contracts for share class hedging purposes

348
Notes to the Financial Statements as at 30/09/18 (continued)

12. FUTURES

As at 30/09/18, the following future contracts were outstanding :

„ AMUNDI INDEX EQUITY EUROPE LOW CARBON

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
2 SWISS MARKET INDEX 12/18 CHF 159,816.67 2,926.27 Newedge Group
10 DJ EURO STOXX 50 12/18 EUR 338,700.00 4,300.00 Newedge Group
3 FTSE 100 INDEX 12/18 GBP 252,169.76 7,887.50 Newedge Group
15,113.77

„ AMUNDI INDEX EQUITY GLOBAL LOW CARBON

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
12 S&P 500 EMINI INDEX 12/18 USD 1,507,877.74 1,808.01 Newedge Group
1 S&P 500 INDEX (CME) 12/18 USD 628,282.39 5,499.35 Newedge Group
3 TOPIX INDEX (TSE) 12/18 JPY 413,290.48 31,369.15 Newedge Group
13 DJ EURO STOXX 50 12/18 EUR 440,310.00 3,010.00 Newedge Group
3 FTSE 100 INDEX 12/18 GBP 252,169.76 5,467.92 Newedge Group
47,154.43

„ AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
13 S&P 500 EMINI INDEX 12/18 USD 1,633,534.22 -914.77 Newedge Group
1 S&P 500 INDEX (CME) 12/18 USD 628,282.39 5,499.35 Newedge Group
2 TOPIX INDEX (TSE) 12/18 JPY 275,526.99 757.98 Newedge Group
13 DJ EURO STOXX 50 12/18 EUR 440,310.00 -2,900.00 Newedge Group
6 FTSE 100 INDEX 12/18 GBP 504,339.53 1,296.81 Newedge Group
3,739.37

„ AMUNDI INDEX FTSE EPRA NAREIT GLOBAL

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
-10 S&P 500 EMINI INDEX 12/18 USD 1,256,564.79 753.34 Newedge Group
6 NIKKEI 225 (SGX) 12/18 JPY 549,045.32 7,731.43 Newedge Group
24 MINI TPX IDX 12/18 JPY 330,632.39 3,092.57 Newedge Group
13 DJ EURO STOXX 50 12/18 EUR 440,310.00 -6,500.00 Newedge Group
3 SPI 200 INDEX (SFE) 12/18 AUD 289,385.16 840.96 Newedge Group
5,918.30

349
Notes to the Financial Statements as at 30/09/18 (continued)

12. FUTURES (continued)

„ AMUNDI INDEX MSCI EMERGING MARKETS

Commitment
Quantity (in USD) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on index
27 H-SHARES IDX (HKG) 10/18 HKD 1,908,823.49 -115.02 Newedge Group
49 SGX CNX NIFTY INDEX 10/18 USD 1,073,982.00 -2,153.00 Newedge Group
31 KOSPI 200 INDEX(KSE) 12/18 KRW 2,107,189.71 50,946.59 Newedge Group
-84 MINI MSCI EMG MKT 12/18 USD 4,408,740.00 -112,392.00 Newedge Group
31 MSCI LATIN AMERICA 12/18 USD 1,477,469.30 44,299.30 Newedge Group
45 MSCI TAIWAN INDEX 10/18 USD 1,847,700.00 -2,770.00 Newedge Group
63 MSCI EMR MKTS EME 12/18 USD 1,976,310.00 70,480.00 Newedge Group
48,295.87

„ AMUNDI INDEX MSCI EMU

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
220 DJ EURO STOXX 50 12/18 EUR 7,451,400.00 98,190.00 Newedge Group
98,190.00

„ AMUNDI INDEX MSCI EUROPE

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
63 SWISS MARKET INDEX 12/18 CHF 5,034,225.02 60,244.15 Newedge Group
219 DJ EURO STOXX 50 12/18 EUR 7,417,530.00 50,040.00 Newedge Group
80 FTSE 100 INDEX 12/18 GBP 6,724,527.03 143,574.92 Newedge Group
253,859.07

„ AMUNDI INDEX MSCI JAPAN

Commitment
Quantity (in JPY) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in JPY) Broker

Futures on index
3 MINI TPX IDX 12/18 JPY 5,452,500.00 135,500.00 Newedge Group
61 TOPIX INDEX (TSE) 12/18 JPY 1,108,675,000.00 28,605,000.00 Newedge Group
28,740,500.00

„ AMUNDI INDEX MSCI NORTH AMERICA

Commitment
Quantity (in USD) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on index
94 S&P 500 EMINI INDEX 12/18 USD 13,719,300.00 -6,400.00 Newedge Group
5 S&P/TSE CAN 60 INDEX 12/18 CAD 735,187.30 -5,724.91 Newedge Group
-12,124.91

350
Notes to the Financial Statements as at 30/09/18 (continued)

12. FUTURES (continued)

„ AMUNDI INDEX MSCI PACIFIC EX JAPAN

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
8 HANG SENG INDEX 10/18 HKD 1,226,892.88 -2,294.07 Newedge Group
19 MSCI.SING INDEX 10/18 SGD 443,259.51 3,950.73 Newedge Group
32 SPI 200 INDEX (SFE) 12/18 AUD 3,086,775.06 11,197.28 Newedge Group
12,853.94

„ AMUNDI INDEX MSCI WORLD

Commitment
Quantity (in USD) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on index
14 S&P 500 EMINI INDEX 12/18 USD 2,043,300.00 -3,225.00 Newedge Group
32 MINI TPX IDX 12/18 JPY 512,039.35 3,677.86 Newedge Group
19 DJ EURO STOXX 50 12/18 EUR 747,460.10 -5,610.05 Newedge Group
5 FTSE 100 INDEX 12/18 GBP 488,158.63 1,493.20 Newedge Group
-3,663.99

„ AMUNDI INDEX S&P 500

Commitment
Quantity (in USD) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on index
10 S&P 500 EMINI INDEX 12/18 USD 1,459,500.00 2,025.00 Newedge Group
11 S&P 500 INDEX (CME) 12/18 USD 8,027,250.00 -3,550.00 Newedge Group
-1,525.00

„ AMUNDI CAC 40

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
135 CAC40 10 EURO 10/18 EUR 7,410,825.00 80,115.00 Newedge Group
80,115.00

„ AMUNDI EURO STOXX 50

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on index
218 DJ EURO STOXX 50 12/18 EUR 7,383,660.00 66,820.00 Newedge Group
66,820.00

„ AMUNDI INDEX BARCLAYS EURO AGG CORPORATE

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on bonds
5 EURO BUND FUTURE 12/18 EUR 793,950.00 3,400.00 Newedge Group
3,400.00

351
Notes to the Financial Statements as at 30/09/18 (continued)

12. FUTURES (continued)

„ AMUNDI INDEX BARCLAYS GLOBAL AGG 500M

Commitment
Quantity (in USD) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on bonds
-22 US 5 YEARS NOTE-CBT 12/18 USD 2,474,484.38 20,656.25 Newedge Group
-8 US 2 YEARS NOTE- CBT 12/18 USD 1,685,875.00 4,750.00 Newedge Group
-9 US 10 YEARS NOTE 12/18 USD 1,069,031.25 890.63 Newedge Group
6 US 10YR ULTRA (CBOT) 12/18 USD 756,000.00 359.38 Newedge Group
5 US ULTRA BD CBT 30YR 12/18 USD 771,406.25 -28,437.50 Newedge Group
-1,781.24

„ AMUNDI INDEX MSCI EUROPE SRI

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in EUR) Broker

Futures on bonds
2 DJ EURO STOXX 50 12/18 EUR 67,740.00 1,050.00 Newedge Group

1,050.00

„ AMUNDI INDEX MSCI WORLD SRI

Commitment
Quantity (in EUR) Unrealised
(long/(short)) Denomination Currency (in absolute value) (in USD) Broker

Futures on bonds
1 MINI TPX IDX 12/18 JPY 16,001.23 636.09 Newedge Group
1 DJ EURO STOXX 50 12/18 EUR 39,340.01 720.13 Newedge Group

1,356.22

352
Additional information (Unaudited Information)

1 SECURITIES FINANCING TRANSACTIONS AND OF REUSE REGULATION (“SFTR”) (Unaudited additional


information)
The Regulation on Transparency of Securities Financing Transactions and of Reuse (the « SFTR ») entered into force on January 12, 2016 aiming to improve
transparency in securities and commodities lending, repurchase transactions, margin loans and certain collateral arrangements. The disclosure requirements of the
SFTR include the following details on securities lending:

AMUNDI INDEX
EQUITY
AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
SECURITIES GLOBAL MULTI
EQUITY EQUITY FTSE EPRA MSCI AMUNDI INDEX
LENDING SMART
EUROPE LOW GLOBAL LOW NAREIT EMERGING MSCI EMU
TRANSACTIONS ALLOCATION
CARBON CARBON GLOBAL MARKETS
SCIENTIFIC
BETA
Assets used
In absolute terms 21,906,752.85 66,160,458.54 54,772,009.16 82,948,218.35 103,702,663.20 320.645.386,12
As a % of lendable 17.64% 10.15% 8.89% 11.02% 6.29% 18,30%
assets
As a % of total net 17.53% 10.11% 8.85% 10.98% 6.26% 18.22%
asset value

Transactions
classified according
to their residual
maturities
Less than 1 day 2,767,116.40 4,901,140.16 863,307.51
From 1 day to 1 16,282,000.00
week
From 1 week to 1 627,801.00 17,078,078.44 12,597,494.97 14,658,078.28 7,250,214.92 8,440,333.00
month
From 1 month to 3 2,090,808.12 6,960,961.64
months
From 3 months to 1
year
Above 1 year
Open maturity 21,278,951.85 46,315,263.70 37,273,373.52 67,426,832.57 94,361,640.15 288,962,091.48

The 10 largest In Eur In Eur In Eur In Eur In Usd In Eur


counterparties
1st name Morgan Stanley Morgan Stanley Morgan Stanley Morgan Stanley CLS Morgan Stanley
Gross volumes for 8,840,320.43 24,638,435.37 20,116,423.20 38,673,636.50 66,713,523.04 125,290,888.22
open trades
1st country of United States United States United States United States United States United States
domicile

2nd name Société Ixis CIB Ixis CIB Ixis CIB Morgan Stanley ABN AMRO
Générale Bank
Gross volumes for 2,833,465.39 13,537,706.78 13,934,268.58 19,305,170.72 20,469,959.11 38,569,958.36
open trades
2nd country of France France France France United States Netherland
domicile

3rd name Goldman Sachs Société BNP Paribas Merrill Lynch JP Morgan Merrill Lynch
Générale
Gross volumes for 2,379,501.21 10,629,170.85 5,857,084.76 17,700,989.66 8,048,791.90 29,820,747.50
open trades
3rd country of United States France France England United States England
domicile

4rd name CLS BNP Paribas Société CLS Société Skandinaviska


Générale Générale Enskilda Banken
Stockholm
Gross volumes for 1,871,668.92 7,237,117.22 5,517,086.41 4,249,300.20 6,715,244.58 26,738,686.44
open trades
4rd country of United States France France United States France Sweden
domicile

5rd name Merrill Lynch Merrill Lynch CLS BNP Paribas Ixis CIB Credit Suisse
Gross volumes for 1,680,410.56 6,752,705.53 3,412,406.09 1,651,006.01 1,755,144.56 26,209,455.19
open trades
5rd country of England England United States France France Switzerland
domicile

6rd name BNP Paribas CLS Merrill Lynch JP Morgan Goldman Sachs
Gross volumes for 1,630,771.00 2,252,625.31 3,228,685.99 1,368,115.25 23,664,491.30
open trades
6rd country of France United States England United States United States
Switzerland domicile

353
Additional information (Unaudited Information) (continued)

AMUNDI INDEX
EQUITY
AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
SECURITIES GLOBAL MULTI
EQUITY EQUITY FTSE EPRA MSCI AMUNDI INDEX
LENDING SMART
EUROPE LOW GLOBAL LOW NAREIT EMERGING MSCI EMU
TRANSACTIONS ALLOCATION
CARBON CARBON GLOBAL MARKETS
SCIENTIFIC
BETA

7rd name Ixis CIB JP Morgan Unicredit JP Morgan


Gross volumes for 1,174,584.78 587,362.00 1,274,384.79 17,247,884.70
open trades
7rd country of France United States Italy United States
domicile

8rd name Skandinaviska Calyon JP Morgan CLS


Enskilda Banken
Stockholm
Gross volumes for 676,989.56 523,342.00 1,183,850.80 13,003,198.40
open trades
8rd country of Sweden France United States United States
domicile

9rd name Calyon Unicredit Calyon Ixis CIB


Gross volumes for 464,446.00 1,993.47 247,818.00 11,373,406.00
open trades
9rd country of France Italy France France
domicile

10rd name Credit Suisse Calyon


Gross volumes for 203,351.01 3,406,908.00
open trades
10rd country of Switzerland France
domicile
Collateral received
Type:
Cash 17,803,966.49 42,865,634.48 32,579,270.42 60,752,924.00 22,392,457.87 262,809,817,81
Bonds and equities 5,636,339.13 26,135,970.11 25,441,398.61 27,485,087.82 95,819,315.88 81,236,917.35

23,440,305.62 69,001,604.59 58,020,669.03 88,238,011.82 118,211,773.75 344,046,735.16


Quality (Bond Bond collateral Bond collateral Bond collateral Bond collateral Bond collateral Bond collateral
collateral issuers issuers rating:Aa issuers rating:A issuers rating:A issuers rating:A issuers rating:A- issuers rating:A to
rating): to BBB- to BBB- to B- to B- to BBB- BBB-

Currency: Eur Eur Eur Eur Usd Eur

Classification
according to residual
maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 5,636,339.13 26,135,970.11 25,441,398.61 27,485,087.82 95,819,315.88 81,236,917.35
The 10 largest In Eur In Eur In Eur In Eur In Usd In Eur
issuers of collateral
received
1st name Edp Nom Anheuser-Busch Covi Sa 0.875 Covi Sa 0.875 Engie SA Bundesrepublik0.5
I 04-19 04-19 08.27
Amount 1,223,467.76 7,752,754.35 14,252,072.67 19,705,302.72 66,873,818.23 10,387,064.00

2nd name Anheuser-Busch Fresen Anheuser-Busch Stmi Nv Banco Bilbao Exor nv


I I Vizcaya
Amount 1,188,290.61 4,860,517.38 3,742,662.64 3,030,785.50 8,340,910.02 8,185,012.71

3rd name Alstom Covi S.A. Allianz Se-Vink Fran Go 1.75 06- Anheuser-Busch Segro Reit
39 I
Amount 1,006,622.55 4,350,237.49 1,709,755.66 1,533,391.87 5,568,377.11 7,512,813.33

354
Additional information (Unaudited Information) (continued)

AMUNDI INDEX
EQUITY
AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
SECURITIES GLOBAL MULTI
EQUITY EQUITY FTSE EPRA MSCI AMUNDI INDEX
LENDING SMART
EUROPE LOW GLOBAL LOW NAREIT EMERGING MSCI EMU
TRANSACTIONS ALLOCATION
CARBON CARBON GLOBAL MARKETS
SCIENTIFIC
BETA

4rd name Solvay Voda Group Fren Rep 0.25 11- Cgg Sa Pays Bas 4 15 Nerderland 5.50
20 07 19 01.28
Amount 888,431.95 2,017,107.40 1,611,083.78 1,419,658.13 4,479,601.93 6,670,631.47

5rd name Stora Enso Ab Pernod-Ricard Cgg Sa Unibail R Zcp EDP Nom CNP
010721
Amount 477,159.69 1,296,457.33 1,236,368.10 632,412.38 1,886,855.23 5,932,137.56

6rd name Belg Go 0.8 06- Fran Gove ZCP Klepierre Cie Gen De Zcp Banco Santander
28 02-21 01-22
Amount 210,350.74 1,125,983.87 944,863.47 323,648.12 5,756,119.61

7rd name Veolia Deut France 1.75 25 Laboratory Corp OAT 4.25
Environnem. 05 2 25.10.23
Amount 149,591.43 953,450.34 383,387.80 79,265.48 5,039,755.36

8rd name Allemagne Fix Baloise Wolters Kluwer Belgium 291 5.5
15-05-24 3 28
Amount 116,748.51 791,672.54 326,972.73 5,019,039.41

9rd name Kering Stora Enso Ab EDP Nom


Amount 664,330.55 255,550.87 4,816,452.37

10rd name CGG SA Sap Se


Amount 608,078.47 3,516,914.70
Revenue
components
Revenue
component of the
fund:
In absolute amount 97,713.48 208,200.49 136,453.29 95,396.89 353,103.92 1,525,591.25
In % of gross 65% 65% 65% 65% 65% 65%
revenue
Revenue
component of the
Management
Company
In absolute amount 29,314.04 62,460.15 40,935.99 28,619.07 105,931.18 457,677.37
In % of gross 30% 30% 30% 30% 30% 30%
revenue
Revenue
component of
CACEIS as
securities lending
agent
In absolute amount 4,885.67 10,410.02 6,822.66 4,769.84 17,655.20 79,279.56
In % of gross 5% 5% 5% 5% 5% 5%
revenue

SECURITIES AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX
LENDING MSCI EUROPE MSCI JAPAN INDEX MSCI MSCI PACIFIC MSCI WORLD S&P 500
TRANSACTIONS NORTH EX JAPAN
AMERICA
Assets used
In absolute terms 302,144,634.27 37,080,742,188.20 103,256,663.49 63,908,905.46 53,541,683.27 34,349,343.20
As a % of lendable 20.07% 30.02% 3.75% 18,54% 8.89% 3.01%
assets
As a % of total net 19.82% 29.77% 3.73% 18,29% 8.85% 2.98%
asset value

Transactions
classified according
to their residual
maturities
Less than 1 day 11,871,226,294.00 2,650,425.67
From 1 day to 1 6,788,454.26
week
From 1 week to 1 3,721,327.00 15,731,530,531 13,821,534.13
month

355
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI AMUNDI
LENDING MSCI EUROPE MSCI JAPAN MSCI NORTH INDEX MSCI INDEX MSCI INDEX S&P 500
TRANSACTIONS AMERICA PACIFIC EX WORLD
JAPAN
From 1 month to 3 3,508,588.36
months
From 3 months to 1
year
Above 1 year
Open maturity 288,126,264.17 9,477,985,363.00 103,256,663.49 63,908,905.46 37,357,781.27 34,349,343.20

The 10 largest In Eur In Jpy In Usd In Eur In Usd In Usd


counterparties
1st name Morgan Stanley Morgan Stanley BNP Paribas Morgan Stanley Morgan Stanley BNP Paribas
Gross volumes for 96,461,635.07 21,190,868,657.00 57,833,286.00 63,015,037.84 20,507,780.00 19,489,504.00
open trades
1st country of United States United States France United States United States France
domicile

2nd name Goldman Sachs Société Générale Merrill Lynch Ixis CIB Ixis CIB BNP Paribas
France Arbitrage

Gross volumes for 33,280,338.33 15,793,873,531 22,584,181.00 723,501.63 8,952,436.17 10,478,666.60


open trades
2nd country of United States Société Générale England France France France
domicile France

3rd name Société JP Morgan Skandinaviska BNP Paribas Société Skandinaviska


Générale Enskilda Banken Générale Enskilda
Stockholm Banken
Stockholm
Gross volumes for 30,085,040.74 96,000,000 9,240,354.90 170,366.34 8,284,809.99 2,657,719.60
open trades
3rd country of France United States Sweden France France Sweden
domicile

4rd name CLS BNP Paribas BNP Paribas Merrill Lynch


Arbitrage Arbitrage
Gross volumes for 23,717,983.30 7,077,277.10 3,940,650.62 1,723,453.00
open trades
4rd country of United States France France England
domicile

5rd name JP Morgan CLS Merrill Lynch


Gross volumes for 20,361,402.30 4,856,989.39 3,639,675.03
open trades
5rd country of United States United States England
domicile

6rd name Credit Suisse IXIS CBI BNP Paribas


Securities
Gross volumes for 18,972,437.81 1,070,825.10 3,044,029.88
open trades
6rd country of Switzerland France France
domicile

7rd name Merrill Lynch Unicredit Skandinaviska


Enskilda
Banken
Stockholm
Gross volumes for 18,507,561.47 593,750.00 2,500,108.28
open trades
7rd country of England Italy Sweden
domicile

8rd name Skandinaviska CLS


Enskilda Banken
Stockholm
Gross volumes for 18,279,118.42 1.753.937,12
open trades
8rd country of Sweden United States
domicile

356
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING MSCI EUROPE MSCI JAPAN MSCI NORTH MSCI PACIFIC INDEX MSCI S&P 500
TRANSACTIONS AMERICA EX JAPAN WORLD
9rd name ABN AMRO JP Morgan
BANK
Gross volumes for 16,753,739.90 854,326.12
open trades
9rd country of Netherland United States
domicile

10rd name BNP Paribas Calyon


Gross volumes for 10,422,574.65 208,203.53
open trades
10rd country of France France
domicile
Collateral received
Type:
Cash 236,425,334.69 22,441,590,192 93,384,446.88 63,897,197.00 33,807,640.16 24,678,423.02
Bonds and equities 87,583,612.07 17,920,261,950.22 15,743,982.56 980,636.74 23,567,963.76 11,855,012.67

324,008,946.76 40,361,852,142.22 109,128,429.44 64,877,833.74 57,375,603.92 36,533,435.69


Quality (Bond Bond collateral Bond collateral Bond collateral Bond collateral Bond collateral Bond collateral
collateral issuers issuers rating:A- issuers rating:A- to issuers issuers issuers issuers rating:A-
rating): to BBB B- rating:BBB to B- rating:BB+ rating:A- to B- to BB+

Currency: Eur Jpy Usd Eur Usd Usd

Classification
according to
residual maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 87,583,612.07 17,920,261,950.22 15,743,982.56 980,636.74 23,567,963.76 11,855,012.67
The 10 largest In Eur In Jpy In Usd In Eur In Usd In Usd
issuers of collateral
received
1st name BNP Paribas Ubi Soft Entertain Nokia (Ab) Oy Luxembourg Mediobanca Nokia (Ab) Oy
2.125%
Amount 18,099,912.70 8,853,144,409 8,880,111.90 276,830.68 9,101,382.97 9,898,069.91

2nd name Netherl 1.25 01 Alphabet- A Alphabet- A Nerderland 3.5% Anheuser- Amundi Erp Lw
19 15/07/2020 Busch I Sz
Amount 13,131,757.45 5,841,707,741 3,506,900.58 194,784.62 6,203,009.23 690,710.80

3rd name Leg Immobilien Vinci (Ex Sge) EDP Nom OAT 1% Nokia (Ab) Oy Sartorius Priv.
AG 25/05/2027
Amount 10,730,770.31 1,176,777,658 1,085,313.82 187,128.59 4,030,726.42 606,292.60

4rd name Industrivarden Bouygues Veolia Nokia Cgg Sa


S.A Environnement.
Amount 8,614,918.88 379,820,785 590,043.96 171,916.47 1,038,410.13

5rd name Novartis Ag Enel SPA OAT 1.75% 25- Sap Se


Nomi 05-2023
Amount 7,389,166.78 334,628,543 103,413.16 887,521.09

6rd name Belgique 5 35 Banco Bilbao Union Chim


Olo Vizcaya Belge
Amount 4,206,195.64 97,118,826 836,185.66

7rd name Metso TI Fluid Systems Stora Enso Ab


Amount 3,802,367.39 46,875,361 213,774.82

8rd name OAT EI 1.8 25 CGG SA Fran Go 1.0


07 40 05-27
Amount 2,300,925.88 1,287,535 158,479.86

357
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING MSCI EUROPE MSCI JAPAN MSCI NORTH MSCI PACIFIC INDEX MSCI S&P 500
TRANSACTIONS AMERICA EX JAPAN WORLD
9rd name Ryanair Veolia
Holdings Plc Environnem.
Amount 1,252,819.53 143,224.59

10rd name Segro Reit


Amount 1,145,887.25
Revenue
components
Revenue
component of the
fund:
In absolute amount 1,282,758.54 35,288,266.15 408,825.51 71,350.83 51.968,30 111,014.89
In % of gross 65% 65% 65% 65% 65% 65%
revenue
Revenue
component of the
Management
Company
In absolute amount 384,827.56 10,586,479.85 122,647.65 21,405.25 24,431,25 33,304.47
In % of gross 30% 30% 30% 30% 30% 30%
revenue
Revenue
component of
CACEIS as
securities lending
agent
In absolute amount 64,137.93 1,764,413.31 20,441.28 3,567.54 4,071.87 5,550.74
In % of gross 5% 5% 5% 5% 5% 5%
revenue

SECURITIES AMUNDI CAC AMUNDI EURO AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING 40 STOXX 50 BARCLAYS BARCLAYS INDEX J.P. MORGAN
TRANSACTIONS EURO AGG GLOBAL AGG BARCLAYS EMU GOVIES
CORPORATE 500M US GOV
INFLATION-
LINKED
BOND
Assets used
In absolute terms 138,997,546.43 350,463,654.32 162,262.76 40,462,218.16 280,673.61 93,557,397.85
As a % of lendable 9.07 17.19% 0.13% 9.88% 3.02% 13.07%
assets
As a % of total net 9.03 17.13% 0.12% 9.84% 3.02% 12.92%
asset value

Transactions
classified according
to their residual
maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 138,997,546.43 350,463,654.32 162,262.76 40,462,218.16 280,673.61 93,557,397.85

The 10 largest In Eur In Eur In Eur In Usd In Usd In Eur


counterparties
1st name Société Générale Morgan Stanley JP Morgan BNP Paribas BNP Paribas BNP Paribas
Gross volumes for 61,094,858.85 156,961,248.40 162,262.76 22,762,587.86 280,673.61 39,889,360.92
open trades
1st country of France United States United States France France France
domicile

358
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI CAC AMUNDI EURO AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING 40 STOXX 50 BARCLAYS BARCLAYS INDEX J.P. MORGAN
TRANSACTIONS EURO AGG GLOBAL AGG BARCLAYS EMU GOVIES
CORPORATE 500M US GOV
INFLATION-
LINKED
BOND
2nd name Merrill Lynch IXIS CIB Calyon Skandinaviska
Enskilda Banken
Stockholm
Gross volumes for 24,359,935.00 46,006,800 8,428,840.73 29,177,316.90
open trades
2nd country of England France France Sweden
domicile

3rd name Morgan Stanley Société Générale Skandinaviska CLS


Enskilda Banken
Stockholm
Gross volumes for 20,773,794.58 37,802,780.00 5,169,880.55 10,459,457.36
open trades
3rd country of United States France Sweden United States
domicile
4rd name Credit Suisse JP Morgan IXIS CIB JP Morgan
Gross volumes for 15,183,090.00 26,924,544.00 1,952,586.58 7,691,234.67
open trades
4rd country of Switzerland United States France United States
domicile

5rd name Goldman Sachs Merril Lynch JP Morgan BNP Paribas


Arbitrage
Gross volumes for 4,242,775.00 26,118,340.14 1,692,633.47 3,430,940.00
open trades
5rd country of United States England United States France
domicile

6rd name JP Morgan Credit Suisse Merrill Lynch Merrill Lynch


Gross volumes for 6,265,450.00 25,901,082.61 455,688.97 1,616,160.00
open trades
6rd country of United States Switzerland England England
domicile

7rd name IXIS CIB Goldman Sachs IXIS CIB


Gross volumes for 5,153,148.00 14,776,520.55 1,292,928.00
open trades
7rd country of France United States France
domicile

8rd name Unicredit Calyon


Gross volumes for 1,924,495.00 14,753,110.00
open trades
8rd country of Italy France
domicile

9rd name Skandinaviska


Enskilda Banken
Stockholm
Gross volumes for 955,399.99
open trades
9rd country of Sweden
domicile

10rd name Unicredit


Gross volumes for 263,823.00
open trades
10rd country of Italy
domicile
Collateral received
Type:
Cash 61,443,901.70 241,832,677.50 0 29,376,364.17 288,414.39 73,883,591.00
Bonds and equities 90,300,739.28 135,094,124.15 181,050.30 13,538,938.85 0.00 28,222,697.00

151,744,640.98 376,926,801.65 181,050.30 42,915,303.02 288,414.39 102,106,288.00

Quality (Bond Bond collateral Bond collateral Bond collateral


collateral issuers issuers issuers issuers rating:A
rating): rating:AA to B- rating:AA to B- to BB+

359
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI CAC AMUNDI EURO AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING 40 STOXX 50 BARCLAYS BARCLAYS INDEX J.P. MORGAN
TRANSACTIONS EURO AGG GLOBAL AGG BARCLAYS EMU GOVIES
CORPORATE 500M US GOV
INFLATION-
LINKED
BOND
Currency: In EUR In EUR In EUR In EUR In EUR In EUR

Classification
according to
residual maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 90,300,739.28 135,094,124.15 181,050.30 13,538,938.85 28,222,697.00
The 10 largest
issuers of collateral
received
1st name Anheuser-Busch Bouygues CGG SA Metso Banco
I Santander
Amount 40,875,541.59 29.582.748,87 181,050.30 8,669,872.29 7,943,733.85

2nd name Ubi Soft Oatei 1.8 25 07 40 CGG SA Sampo Oyj A


Entertain
Amount 13,771,189.97 20.194.699,84 1,748,833.96 4,448,002.59

3rd name Belgique 5 35 Nokia (Ab) Oy Ing Groep Nv Proximus


Olo
Amount 8,988,756.02 13.729.313,77 1,011,504.73 3,647,647.06

4rd name Belg Go 0.8 06- Citigroup Inc Thales Nokia (Ab) Oy
28
Amount 6,793,218.47 12.617.941,25 974,762.75 3,532,437.09

5rd name Banco Bilbao Ses OAT 5.75 10 32 Carrefour


Vizcaya
Amount 6,464,677.93 11.610.781,82 106,943.88 3,105,234.43

6rd name Lonza Group Partners Group Hol Edp Nom


Nom.
Amount 3,088,859.62 9.872.359,72 1,335,609.60

7rd name Alstom Anheuser-Busch I At T 3.15 09-36


Amount 2,017,361.81 8.872.348,24 743,645.68

8rd name Wolters Kluwer Oat 4.25 25 10 23 Aust Gov 3.4 11-
22
Amount 1,567,583.80 6.734.557,28 742,210.79

9rd name Nederland 5.50 Mediobanca Aust Go 3.0 03-


01 28 47
Amount 642,395.28 5.937.126,53 585,514.26

10rd name EDP NOM Amadeus IT Group


Amount 427,162.95 3,319,402.00

Revenue
components
Revenue
component of the
fund:
In absolute amount 382,434.58 1,668,665.02 451.62 89,081.97 - 339,672.97
In % of gross 65% 65% 65% 65% 65% 65%
revenue

360
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI CAC AMUNDI EURO AMUNDI INDEX AMUNDI INDEX AMUNDI AMUNDI INDEX
LENDING 40 STOXX 50 BARCLAYS BARCLAYS INDEX J.P. MORGAN
TRANSACTIONS EURO AGG GLOBAL AGG BARCLAYS EMU GOVIES
CORPORATE 500M US GOV
INFLATION-
LINKED
BOND
Revenue
component of the
Management
Company
In absolute amount 114,730.38 500,599.50 135.48 26,724.59 - 101,901.89
IN % of gross 30% 30% 30% 30% 30% 30%
revenue
Revenue
component of
CACEIS as
securities lending
agent
In absolute amount 19,121.73 83,433.25 22.58 4,454.10 - 16,983.65
In % of gross 5% 5% 5% 5% 5% 5%
revenue

SECURITIES AMUNDI INDEX


LENDING J.P. MORGAN
TRANSACTIONS GLOBAL
GOVIES
Assets used
In absolute terms 161,006,245.80
As a % of lendable 21.83%
assets
As a % of total net 21.70%
asset value

Transactions
classified according
to their residual
maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 161,006,245.80

The 10 largest In Eur


counterparties
1st name BNP Paribas
Gross volumes for 92,152,315.51
open trades
1st country of France
domicile

2nd name Calyon


Gross volumes for 57,245,158.37
open trades
2nd country of France
domicile

3rd name Skandinaviska


Enskilda Banken
Stockholm
Gross volumes for 5,505,170.94
open trades
3rd country of Sweden
domicile
4rd name IXIS CIB
Gross volumes for 3,410,243.17
open trades
4rd country of France
domicile

361
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI INDEX


LENDING J.P. MORGAN
TRANSACTIONS GLOBAL
GOVIES
5rd name JP Morgan
Gross volumes for 2,251,984.32
open trades
5rd country of United States
domicile

6rd name Merrill Lynch


Gross volumes for 441,373.50
open trades
6rd country of England
domicile
Collateral received
Type:
Cash 101,468,565.07
Bonds and equities 69,443,832.86

170,912,397.93

Quality (Bond Bond collateral


collateral issuers issuers
rating): rating:AA to B-

Currency: In EUR

Classification
according to
residual maturities
Less than 1 day
From 1 day to 1
week
From 1 week to 1
month
From 1 month to 3
months
From 3 months to 1
year
Above 1 year
Open maturity 69,443,832.86
The 10 largest
issuers of collateral
received
1st name Citigroup INC
Amount 18,503,452.23

2nd name M6 Metropole


TV
Amount 8,689,865.01

3rd name Royal Dutch


Shell
Amount 7,014,301.32

4rd name Smith Nephew


Plc
Amount 5,877,324.13

5rd name Paddy Power


Plc
Amount 5,264,448.20

6rd name Investor B


Amount 4,750,151.19

7rd name Roche Holding


Ag
Amount 2,963,624.06

8rd name CGG SA


Amount 2,331,739.51

9rd name Skandinav.Ensk


Bank
Amount 2,210,001.03

362
Additional information (Unaudited Information) (continued)

SECURITIES AMUNDI INDEX


LENDING J.P. MORGAN
TRANSACTIONS GLOBAL
GOVIES
10rd name Europena
Investment Bank
0.13 04-25
Amount 1,580,693.16
Revenue
components
Revenue
component of the
fund:
In absolute amount 307,875.25
In % of gross 65%
revenue
Revenue
component of the
Management
Company
In absolute amount 92,362.57
IN % of gross 30%
revenue
Revenue
component of
CACEIS as
securities lending
agent
In absolute amount 15,393.75
In % of gross 5%
revenue

All transactions are bilateral or trilateral with various counterparties as disclosed in the table above.

AMUNDI FTSE
AMUNDI GLOBAL
Swap EPRA EUROPE AMUNDI FTSE MIB AMUNDI JAPAN TOPIX
INFRASTRUCTURE
REAL ESTATE
AMUNDI FTSE 100
Assets used
In absolute terms 118,564.44 95,654.19 936,600.01 29,717.07 12,938,395.48
As a % of fund
assets 0.40 0.25 2.46 0.17 1.18
Notional 29,035,358.64 38,745,324.04 39,761,638.14 17,620,941.33 1,086,070,488.41
As a % of fund
assets 96.87105561 102.1286875 104.6245187 99.35177888 99.3831847
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades
29,035,358.64 38,745,324.04 39,761,638.14 17,620,941.33 1,086,070,488.41
1st country of
domicile French French French French French

AMUNDI MSCI
AMUNDI JPX - AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI EM
Swap EASTERN EUROPE
NIKKEI 400 BRAZIL CHINA ASIA
EX RUSSIA

Assets used
In absolute terms 694,953.29 140,255.95 715,673.27 187,468.03 20,905,744.61
As a % of fund
assets 0.13 0.95 0.47 0.53 1.10
Notional 530,833,136.86 15,958,774.66 151,969,451.46 35,591,630.79 1,898,328,605.69
As a % of fund
assets 98.13879316 108.2636922 98.98257034 100.6155183 99.64930271

363
Additional information (Unaudited Information) (continued)

AMUNDI MSCI
AMUNDI JPY- AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI EM
Swap EASTERN EUROPE
NIKKEI 400 BRAZIL CHINA ASIA
EX RUSSIA

The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 530,833,136.86 15,958,774.66 151,969,451.46 35,591,630.79 1,898,328,605.69
1st country of
domicile French French French French French

AMUNDI MSCI AMUNDI MSCI


AMUNDI MSCI EM AMUNDI MSCI AMUNDI MSCI
Swap EMERGING EUROPE EX
LATIN AMERICA EUROPE EUROPE EX UK
MARKETS SWITZERLAND

Assets used
In absolute terms 939,488.06 6,946,619.99 2,891,629.02 39,075.29 15,352.96
As a % of fund assets
0.41 0.13 0.15 0.15 0.03
Notional 214,012,866.18 5,144,438,705.96 2,004,921,082.00 25,886,595.60 52,764,824.88
As a % of fund assets
94.5268779 98.63542996 100.8344003 100.5536829 98.97726538
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 214,012,866.18 5,144,438,705.96 2,004,921,082.00 25,886,595.60 52,764,824.88
1st country of
domicile French French French French French

AMUNDI MSCI
AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
EUROPE MINIMUM
Swap EUROPE EUROPE HIGH EUROPE LOW SIZE EUROPE MOMENTUM
VOLATILITY
GROWTH DIVIDEND FACTOR FACTOR FACTOR
FACTOR

Assets used
In absolute terms 20,410.75 41,663.96 31,789.15 606,690.22 336,681.75
As a % of fund assets
0.20 0.17 0.13 0.17 0.20
Notional 9,957,620.51 24,485,951.08 24,865,071.01 348,540,314.49 167,538,879.48
As a % of fund assets
98.67005963 99.13444746 98.12226304 98.77720821 100.2468428
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 9,957,620.51 24,485,951.08 24,865,071.01 348,540,314.49 167,538,879.48
1st country of
domicile French French French French French

364
Additional information (Unaudited Information) (continued)

AMUNDI MSCI AMUNDI MSCI


AMUNDI MSCI AMUNDI MSCI
Swap EUROPE QUALITY EUROPE VALUE AMUNDI MSCI INDIA
NETHERLANDS NORDIC
FACTOR FACTOR

Assets used
In absolute terms 257,745.57 1,174,343.67 574,103.51 11,684.78 180,336.23
As a % of fund assets
0.26 0.19 0.36 0.08 0.06
Notional 98,201,840.32 626,316,554.23 175,362,250.25 14,084,492.08 313,290,919.33
As a % of fund assets
98.94242618 101.1266825 110.0873171 99.53527871 97.56890743
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 98,201,840.32 626,316,554.23 175,362,250.25 14,084,492.08 313,290,919.33
1st country of
domicile French French French French French

AMUNDI MSCI USA


AMUNDI MSCI AMUNDI MSCI AMUNDI MSCI
Swap AMUNDI MSCI USA MINIUM VOLATILITY
SWITZERLAND WORLD WORLD ENERGY
FACTOR

Assets used
In absolute terms 179,524.63 3,001,215.70 7,019.35 1,944,455.41 951,283.51
As a % of fund assets
0.11 0.20 0.03 0.22 0.88
Notional 157,717,535.71 1,473,590,641.36 23,821,399.00 869,878,980.10 102,336,405.24
As a % of fund assets
98.99427837 99.47100368 114.812466 99.40543028 94.58995379
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 157,717,535.71 1,473,590,641.36 23,821,399.00 869,878,980.10 102,336,405.24
1st country of
domicile French French French French French

AMUNDI MSCI AMUNDI MSCI AMUNDI RUSSELL


Swap AMUNDI NASDAQ-100 AMUNDI S&P 500
WORLD EX EUROPE WORLD FINANCIALS 2000

Assets used
In absolute terms 589,041.35 323,159.91 11,232,551.04 232,906.28 50,503,522.16
As a % of fund assets
0.33 0.35 1.72 0.13 1.21
Notional 175,930,767.83 91,421,267.41 638,893,588.83 173,543,295.38 4,149,940,693.51
As a % of fund assets
99.21406989 100.3777297 97.94563445 100.1706581 99.37178589
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA


PARIS PARIS PARIS PARIS PARIS
Gross volumes for
open trades 175,930,767.83 91,421,267.41 638,893,588.83 173,543,295.38 4,149,940,693.51
1st country of
domicile French French French French French

365
Additional information (Unaudited Information) (continued)

AMUNDI USA EQUITY


AMUNDI BBB EURO
AMUNDI S&P 500 AMUNDI S&P AMUNDI STOXX MULTI SMART
Swap CORPORATE
BUYBACK GLOBAL LUXURY EUROPE 600 ALLOCATION
INVESTMENT GRADE
SCIENTIFIC BETA

Assets used
In absolute terms 264,306.87 405,168.11 612,124.17 40,201.63 279,058.99
As a % of fund assets
0.46 0.55 0.15 0.36 0.15
Notional 57,260,576.19 73,705,401.83 397,833,610.07 10,981,520.00 192,558,100.82
As a % of fund assets
100.1999683 100.535183 98.56530903 98.17936219 100.1174817
The 10 largest
counterparties

1st name BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA BNP-PARIBAS SA SGR SOCIETE


PARIS PARIS PARIS PARIS GENERALE PARIS
Gross volumes for
open trades 57,260,576.19 73,705,401.83 397,833,610.07 10,981,520.00 192,558,100.82
1st country of
domicile French French French French French

AMUNDI EURO AMUNDI EURO AMUNDI EURO HIGH AMUNDI FLOATING


AMUNDI EURO
Swap CORPORATE EX CORPORATE YIELD LIQUID BOND RATE EURO
CORPORATES
FINANCIALS IBOXX FINANCIALS IBOXX IBOXX CORPORATE 1-3

Assets used
In absolute terms 13,102.54 3,989.60 1,111,156.60 895,108.17 526,134.77
As a % of fund assets
0.09 0.00 0.22 0.19 0.06
Notional 14,064,640.00 101,324,250.00 498,727,420.00 449,712,839.00 836,581,062.99
As a % of fund assets
100.3690986 100.5163807 99.97747253 97.76233067 100.0052799
The 10 largest
counterparties

1st name SGR SOCIETE SGR SOCIETE SGR SOCIETE SGR SOCIETE SGR SOCIETE
GENERALE PARIS GENERALE PARIS GENERALE PARIS GENERALE PARIS GENERALE PARIS
Gross volumes for
open trades 14,064,640.00 101,324,250.00 498,727,420.00 449,712,839.00 836,581,062.99
1st country of
domicile French French French French French

AMUNDI GOVT BOND


AMUNDI GOVT BOND
AMUNDI FLOATING AMUNDI GLOBAL AMUNDI GOVT BOND HIGHEST RATED
HIGHEST RATED
Swap RATE USD EMERGING BOND EUROMTS BROAD EUROMTS
EUROMTS
CORPORATE MARKIT IBOXX INVESTMENT GRADE INVESTMENT GRADE
INVESTMENT GRADE
1-3
Assets used
In absolute terms 26,238,950.54 485,010.60 7,084.41 175,022.64 15,500.41
As a % of fund
assets 0.49 0.39 0.00 0.07 0.14
Notional 5,208,037,733.72 139,956,940.00 266,292,320.00 237,925,380.00 11,277,360.00
As a % of fund
assets 113.8296243 112.6472017 100.3047166 99.56645138 100.9182501
The 10 largest
counterparties

1st name SGR SOCIETE SGR SOCIETE SGR SOCIETE SGR SOCIETE SGR SOCIETE
GENERALE PARIS GENERALE PARIS GENERALE PARIS GENERALE PARIS GENERALE PARIS
Gross volumes for
open trades 5,208,037,733.72 139,956,940.00 266,292,320.00 237,925,380.00 11,277,360.00
1st country of
domicile French French French French French

366
Additional information (Unaudited Information) (continued)

AMUNDI GOVT BOND


AMUNDI GOVT BOND
LOWEST RATED
LOWEST RATED AMUNDI US AMUNDI US
Swap EUROMTS
EUROMTS INVESTMENT TREASURY 1-3 TREASURY 3-7
INVESTMENT GRADE
GRADE
1-3
Assets used
In absolute terms 4,006,244.31 211,756.26 192.61 6,051.77
As a % of fund
assets 0.38 0.12 0.00 0.05
Notional 1,064,062,500.00 175,211,634.07 25,207,195.00 15,496,605.00
As a % of fund
assets 100.6480647 99.96649657 100.0040242 116.3805462
The 10 largest
counterparties

1st name SGR SOCIETE SGR SOCIETE SGR SOCIETE SGR SOCIETE
GENERALE PARIS GENERALE PARIS GENERALE PARIS GENERALE PARIS
Gross volumes for
open trades 1,064,062,500.00 175,211,634.07 25,207,195.00 15,496,605.00
1st country of
domicile French French French French

AMUNDI INDEX
AMUNDI STOXX EQUITY GLOBAL
AMUNDI US TREASURY
Swap GLOBAL ARTIFICIAL MULTI SMART
7-10
INTELLIGENCE ALLOCATION
SCIENTIFIC BETA
Assets used
In absolute terms 153,628.33 1,771,009.25 334,501.75
As a % of fund
assets 0.07 1.55 0.09
Notional 193,808,600.00 113,804,689.50 363,622,821.27
As a % of fund
assets 90.00679436 99.36242277 100.7557954
The 10 largest
counterparties

1st name SGR SOCIETE BNP-PARIBAS SA


GENERALE PARIS BNP-PARIBAS SA PARIS PARIS
Gross volumes for
open trades 193,808,600.00 113,804,689.50 363,622,821.27
1st country of
domicile French French French
Revenue and expenditure components: There are no fee sharing arrangements on the swaps and 100% of the cost/returns generated are recognized in the
Company’s Statement of Operations and Changes in Net Assets.

367
Additional information (Unaudited Information)

„ REMUNERATION POLICY AND PRACTICES

Amundi Luxembourg remuneration policy is compliant with the requirements detailed in the European Directive 2014/91/EU that come into force on 18 March 2016,
and was transposed into Luxembourg Law of 10 May 2016.

The remuneration policy is based on Amundi group remuneration framework, and it is reviewed annually by Amundi group Remuneration Committee and approved
by the Board of Amundi Luxembourg.

The policy is subject to independent review by the internal Compliance function. In 2017 there were no material changes to the remuneration policy adopted for
previous years. The policy applicable for 2017 was approved by Amundi Luxembourg Board on March 17th 2017 and reviewed by the Amundi group Remuneration
Committee on February 1st 2018.

The remuneration policy and practices objectives are consistent with and promote sound and effective risk management, aligning remuneration with long-term
performance and risks in order to avoid conflicts of interest. Fixed remuneration components are linked to the roles covered, the professional services rendered and
the scope of responsibilities, reflecting the level of academic qualification, market pay levels, experience and skills required for each position, as well as the level of
excellence demonstrated. Variable remuneration is designed to promote a sustainable long-term development of the Management Company and a solid and
effective risk management system. Variable remuneration awards consider the performance of the employee, her/his business unit and Amundi group as a whole,
and it is based on both financial and non-financial criteria.

Amundi Luxembourg and Amundi group have defined all identified staff having authority or influence on the funds Amundi manages, and who consequently are likely
to have an impact on the performance or the risk profile of our the funds.

1. AMOUNTS OF REMUNERATION AWARDED

Amundi Luxembourg, the Management Company acts as of 30.09.2018 as Management Company or AIFM for several umbrella and standalone UCITS and AIFs.
The total remuneration paid by Amundi Luxembourg to its staff in respect of financial year 2017 is as follows (*) :

Nr of beneficiaries Fixed Variable Total


Staff 110 6,221,356.38 1,043,733.00 7,265,089.38
Out of which
Identified staff 15 1,622,991.83 485,500.00 2,108,491.83
All other staff 95 4,598,364.55 558,233.00 5,156,597.55

(*) Further to the acquisition of Pioneer Investments by Amundi group, the two Luxembourg management companies of Amundi group (Amundi Luxembourg S.A.
and Pioneer Asset Management SA.) merged with effect from January 1st, 2018. The total remuneration figures include fixed remuneration paid by each of the
companies to their staff in 2017 and variable remuneration paid by the merged company in 2018 in respect of financial year 2017.

The Fund represents as of 30.09.2018 27.14% of total Amundi Luxembourg Assets under Management. The total remuneration figures shown above refer to
activities in respect of all funds managed.

Amundi Luxembourg and Amundi group employees who are appointed to the Board of Directors of the Management Company and of the Fund waive the right to
any remuneration in respect of all funds managed.

No employee of the Management Company receives any amount, including carried interest and performance fees, paid directly by the UCITS or AlFs managed.

368
Additional information (Unaudited Information) (continued)

Global Exposure Calculation Method


„ THE COMMITMENT APPROACH

The following sub-funds use the commitment approach in order to monitor and measure the global exposure :

AMUNDI INDEX EQUITY EUROPE LOW CARBON


AMUNDI INDEX EQUITY GLOBAL LOW CARBON
AMUNDI INDEX EQUITY GLOBAL MULTI SMART ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX FTSE EPRA NAREIT GLOBAL
AMUNDI INDEX MSCI EMERGING MARKETS
AMUNDI INDEX MSCI EMU
AMUNDI INDEX MSCI EUROPE
AMUNDI INDEX MSCI JAPAN
AMUNDI INDEX MSCI NORTH AMERICA
AMUNDI INDEX MSCI PACIFIC EX JAPAN
AMUNDI INDEX MSCI WORLD
AMUNDI INDEX S&P 500
AMUNDI CAC 40
AMUNDI EURO STOXX 50
AMUNDI EUROPE EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA
AMUNDI FTSE 100
AMUNDI FTSE EPRA EUROPE REAL ESTATE
AMUNDI FTSE MIB
AMUNDI GLOBAL INFRASTRUCTURE
AMUNDI JAPAN TOPIX
AMUNDI JPX-NIKKEI 400
AMUNDI MSCI BRAZIL
AMUNDI MSCI CHINA
AMUNDI MSCI EASTERN EUROPE EX RUSSIA
AMUNDI MSCI EM ASIA
AMUNDI MSCI EM LATIN AMERICA
AMUNDI MSCI EMERGING MARKETS
AMUNDI MSCI EUROPE
AMUNDI MSCI EUROPE EX SWITZERLAND
AMUNDI MSCI EUROPE EX UK
AMUNDI MSCI EUROPE GROWTH
AMUNDI MSCI EUROPE HIGH DIVIDEND FACTOR
AMUNDI MSCI EUROPE LOW SIZE FACTOR
AMUNDI MSCI EUROPE MINIMUM VOLATILITY FACTOR
AMUNDI MSCI EUROPE MOMENTUM FACTOR
AMUNDI MSCI EUROPE QUALITY FACTOR
AMUNDI MSCI EUROPE VALUE FACTOR
AMUNDI MSCI INDIA
AMUNDI MSCI NETHERLANDS
AMUNDI MSCI NORDIC
AMUNDI MSCI SWITZERLAND
AMUNDI MSCI USA
AMUNDI MSCI USA MINIMUM VOLATILITY FACTOR
AMUNDI MSCI WORLD
AMUNDI MSCI WORLD ENERGY
AMUNDI MSCI WORLD EX EUROPE
AMUNDI MSCI WORLD FINANCIALS
AMUNDI NASDAQ-100
AMUNDI RUSSELL 2000
AMUNDI S&P 500
AMUNDI S&P 500 BUYBACK
AMUNDI S&P GLOBAL LUXURY
AMUNDI STOXX EUROPE 600
AMUNDI USA EQUITY MULTI SMART ALLOCATION SCIENTIFIC BETA
AMUNDI INDEX BARCLAYS EURO AGG CORPORATE
AMUNDI INDEX BARCLAYS EURO CORP BBB 1-5
AMUNDI INDEX BARCLAYS GLOBAL AGG 500M
AMUNDI INDEX BARCLAYS US CORP BBB 1-5
AMUNDI INDEX BARCLAYS US GOV INFLATION-LINKED BOND
AMUNDI INDEX J.P. MORGAN EMU GOVIES IG
AMUNDI INDEX J.P. MORGAN GBI GLOBAL GOVIES
AMUNDI INDEX US CORP SRI
AMUNDI BBB EURO CORPORATE INVESTMENT GRADE
AMUNDI EURO CORPORATE EX FINANCIALS IBOXX
AMUNDI EURO CORPORATE FINANCIALS IBOXX
AMUNDI EURO CORPORATES
AMUNDI EURO HIGH YIELD LIQUID BOND IBOXX

369
Additional information (Unaudited Information)

Global Exposure Calculation Method (continued)

„ THE COMMITMENT APPROACH (CONTINUED)

AMUNDI FLOATING RATE EURO CORPORATE 1-3


AMUNDI FLOATING RATE USD CORPORATE
AMUNDI GLOBAL EMERGING BOND MARKIT IBOXX
AMUNDI GOVT BOND EUROMTS BROAD INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE
AMUNDI GOVT BOND HIGHEST RATED EUROMTS INVESTMENT GRADE 1-3
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE
AMUNDI GOVT BOND LOWEST RATED EUROMTS INVESTMENT GRADE 1-3
AMUNDI US TREASURY 1-3
AMUNDI US TREASURY 3-7
AMUNDI US TREASURY 7-10
AMUNDI STOXX GLOBAL ARTIFICIAL INTELLIGENCE
AMUNDI INDEX MSCI USA SRI
AMUNDI INDEX MSCI EUROPE SRI
AMUNDI INDEX MSCI WORLD SRI

370
Ernst 8t Young

y Societe anonyme

35E, Avenue Jolln F. Kennedy


L-1855 Luxembourg

Tel: +352 42 124 1


B.P.780
L-2017 Luxembourg

R.C.S. Luxembourg B 47 771


Building a better
TVA LU 16063074
working world www.ey.com/luxembourg

Independent auditor's report

To the Shareholders of
Amundi Index Solutions
5, Allee Scheffer
L-2520 Luxembourg

Report on the audit of the financial statements

Opinion

We have audited the financial statements of Amundi Index Solutions (the "Fund") and of each of its sub-
funds, which comprise the statement of net assets and the securities portfolio as at 30 September 2018, and
the statement of operations and changes in net assets for the year then ended, and the notes to the financial
statements, including a summary of significant accounting policies.

In our opinion, the accompanying financial statements give a true and fair view of the financial position of the
Fund and of each of its sub-funds as at 30 September 2018, and of the results of their operations and
changes in their net assets for the year then ended in accordance with Luxembourg legal and regulatory
requirements relating to the preparation and presentation of the financial statements.

Basis for opinion

We conducted our audit in accordance with EU Regulation W 537/2014, the Law of 23 July 2016 on the
audit profession (the "Law of 23 July 2016") and with International Standards on Auditing ("ISAs") as
adopted for Luxembourg by the "Commission de Surveillance du Secteur Financier" ("CSSF"). Our
responsibilities under those Regulation, Law and standards are further described in the "Responsibilities of
the "reviseur d'entreprises agree" for the audit of the financial statements" section of our report. We are also
independent of the Fund in accordance with the International Ethics Standards Board for Accountants' Code
of Ethics for Professional Accountants ("IESBA Code") as adopted for Luxembourg by the CSSF together
with the ethical requirements that are relevant to our audit of the financial statements, and have fulfilled our
other ethical responsibilities under those ethical requirements. We believe that the audit evidence we have
obtained is sufficient and appropriate to provide a basis for our opinion.

Key audit matters

Key audit matters are those matters that, in our professional judgment, were of most Significance in our audit
of the financial statements of the current period. We have determined that there are no key audit matters to
communicate in our report.

Other information

The Board of Directors of the Fund is responsible for the other information. The other information comprises
the information included in the annual report but does not include the financial statements and our report of
"reviseur d'entreprises agree" thereon.

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Our opinion on the financial statements does not cover the other information and we do not express any
form of assurance conclusion thereon.

In connection with our audit of the financial statements, our responsibility is to read the other information
and, in doing so, consider whether the other information is materially inconsistent with the financial
statements or our knowledge obtained in the audit or otherwise appears to be materially misstated. If, based
on the work we have performed, we conclude that there is a material misstatement of this other information,
we are required to report this fact. We have nothing to report in this regard.

Responsibilities of the Board of Directors of the Fund and of those charged with governance for the
financial statements

The Board of Directors of the Fund is responsible for the preparation and fair presentation of the financial
statements in accordance with Luxembourg legal and regulatory requirements relating to the preparation
and presentation of the financial statements, and for such internal control as the Board of Directors of the
Fund determines is necessary to enable the preparation of financial statements that are free from material
misstatement, whether due to fraud or error.

In preparing the financial statements, the Board of Directors of the Fund is responsible for assessing the
Fund's ability to continue as a going concern, disclosing, as applicable, matters related to going concern and
using the going concern basis of accounting unless the Board of Directors either intends to liquidate the
Fund or to cease operations, or has no realistic alternative but to do so.

Responsibilities of the "reviseur d'entreprises agree" for the audit of the financial statements

The objectives of our audit are to obtain reasonable assurance about whether the financial statements as a
whole are free from material misstatement, whether due to fraud or error, and to issue a report of the
"reviseur d'entreprises agree" that includes our opinion. Reasonable assurance is a high level of assurance,
but is not a guarantee that an audit conducted in accordance with EU Regulation N" 537/2014, the Law of
23 July 2016 and with the ISAs as adopted for Luxembourg by the CSSF will always detect a material
misstatement when it exists. Misstatements can arise from fraud or error and are considered material if,
individually or in the aggregate, they could reasonably be expected to influence the economic decisions of
users taken on the basis of these financial statements.

As part of an audit in accordance with EU Regulation N" 537/2014, the Law of 23 July 2016 and with ISAs
as adopted for Luxembourg by the CSSF, we exercise professional judgment and maintain professional
skepticism throughout the audit. We also:

Identify and assess the risks of material misstatement of the financial statements, whether due to fraud
or error, design and perform audit procedures responsive to those risks, and obtain audit evidence that
is sufficient and appropriate to provide a basis for our opinion. The risk of not detecting a material
misstatement resulting from fraud is higher than for one resulting from error, as fraud may involve
collusion, forgery, intentional omissions, misrepresentations, or the override of internal control.

Obtain an understanding of internal control relevant to the audit 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 Fund's internal control.

Evaluate the appropriateness of accounting policies used and the reasonableness of accounting
estimates and related disclosures made by the Board of Directors of the Fund.

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Conclude on the appropriateness of the Board of Directors of the Fund's use of the going concern basis
of accounting and, based on the audit evidence obtained, whether a material uncertainty exists related
to events or conditions that may cast significant doubt on the Fund's ability to continue as a going
concern. If we conclude that a material uncertainty exists, we are required to draw attention in our
report of the "reviseur d'entreprises agree" to the related disclosures in the financial statements or, if
such disclosures are inadequate, to modify our opinion. Our conclusions are based on the audit
evidence obtained up to the date of our report of the "reviseur d'entreprises agree". However, future
events or conditions may cause the Fund to cease to continue as a going concern.
Evaluate the overall presentation, structure and content of the financial statements, including the
disclosures, and whether the financial statements represent the underlying transactions and events in a
manner that achieves fair presentation.

We communicate with those charged with governance regarding, among other matters, the planned scope
and timing of the audit and significant audit findings, including any significant deficiencies in internal control
that we identify during our audit.

We also provide those charged with governance with a statement that we have complied with relevant
ethical requirements regarding independence, and to communicate with them all relationships and other
matters that may reasonably be thought to bear on our independence, and where applicable, related
safeguards.

From the matters communicated with those charged with governance, we determine those matters that were
of most significance in the audit of the financial statements of the current period and are therefore the key
audit matters. We describe these matters in our report unless law or regulation precludes public disclosure
about the matter.

Report on other legal and regulatory requirements

We have been appointed as "reviseur d'entreprises agree" by the General Meeting of the Shareholders on
16 March 2018 and the duration of our uninterrupted engagement, including previous renewals and
reappointments, is two years.

We confirm that the prohibited non-audit services referred to in EU Regulation No 537/2014 were not
provided and that we remained independent of the Fund in conducting the audit.

We provided the following permitted service in addition to the statutory audit:

issuance of a long form report in the context of CSSF Circular 02/81

Ernst & Young


Societe anonyme
Cabinet de revision agree

Luxembourg, 25 January 2019

373
.4..member fHlll of Ernst &. You');] Glob3i LimitEd
Amundi Index Solutions
Société d'investissement à capital variable
R.C.S Luxembourg B 206.810
5, Allée Scheffer - L-2520 Luxembourg
Tel. +352 2686 8080
Fax +352 2686 8081
Amundi Index Solutions
Société d'investissement à capital variable
R.C.S Luxembourg B 206.810
5, Allée Scheffer - L-2520 Luxembourg
Tel. +352 2686 8080
Fax +352 2686 8081

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