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AT000B116058 swbb Infl.ges.Wohnb.A11-24/16 - - no AT000B116157 swbb Stufenzins WA 12-23/10 - - no AT0000A19XC3 0,25 % Bundesanleihe 14-19/2 101,450 30.12.2015 yes XS1114343798 0,30% Bundesanl. 14-19/258/1 - - yes AT000B041306 0,53%BACA EuropInd.Gar 4/07-18 - - no AT000B041314 0,7% BACA Glob.Ind.Gar 5/07-17 - - no AT0000A05U51 0,96% O GESPAG A. 07-27 - - no XS1056568402 1,0535% KA Finanz 14-16 - - no AT0000A12B06 1,15% Bundesanleihe 13-18/3 103,900 30.12.2015 yes AT0000A1FAP5 1,2% Bundesanleihe 15-25/1 102,880 30.12.2015 yes XS0332046043 1,25% Immofinanz-WA 07-17 102,250 21.04.2015 no AT0000A185T1 1,65% Bundesanleihe 14-24/1 108,020 30.12.2015 yes AT0000A105W3 1,75% Bundesanleihe 13-23/2 109,300 30.12.2015 yes XS0830444039 1,875% BAWAG fund.sv.12-19/s24 - - yes AT0000A0VRF9 1,95% Bundesanl. 12-19/3 107,330 30.12.2015 yes AT0000A13PX8 123IntNetSe.8,5%PartBond 13-23 100,000 28.12.2015 no AT0000A19S18 2,25% voestalpine-anl.14-21/s1 103,450 30.12.2015 no AT0000A10683 2,4% Bundesanleihe 13-34/1 113,400 30.12.2015 yes XS0749005343 2,452% Rep.Oe Notes 12-29/S256 - - yes AT000B112669 2,5% Oberbank CZK SV/13-16 - - no AT000B073937 2,7% swbb MonatsbonusWA11-22/1 - - no AT000B091467 2,75% fund.sv RLB-Stmk.12-30/4 - - no AT000B073960 2,75% swbb fix/var WA11-22/6 - - no AT0000A0G1K5 2,8% HTB Pfandbr. 10-16/S.157 - - yes AT0000A0KLX8 2-4% HTB Anleihe 10-16 102,950 31.03.2015 no AT0000A0LHA2 2-4% HTB Anleihe 10-16 102,980 31.03.2015 no AT0000A17Z60 3 % KELAG-Anleihe 14-26/S.2 106,380 30.12.2015 no AT0000A182L5 3% Novomatic-Anl. 14-21/S.1 104,450 30.12.2015 no AT0000A109Z8 3% STRABAG-Anleihe 13-20 107,670 30.12.2015 no AT000B073929 3% swbb MonatsbonusWA11-22/2 107,600 26.03.2014 no AT0000A10LJ2 3% Wien Holding Anl. 13-23 - - no AT0000326640 3%(6,25)PFG Parkfl.Anl 99-25/P 100,000 30.12.2010 no AT0000325634 3%-6% LHStmk EK SV 04-16/2 101,900 16.10.2013 no AT0000490107 3,125 % Raif.WBB WA 05-17/Stmk 103,550 18.12.2014 no AT0000A15HF7 3,125% DO & CO-Anleihe 14-21 106,950 30.12.2015 no AT0000A0CY60 3,125% Hypo-WBB WA Vbg.09-20/9 108,000 22.04.2015 no AT0000A0VRQ6 3,15% Bundesanl. 12-44/4 130,680 30.12.2015 yes AT0000491329 3,18 % HypoWBB OOe WA 05-21/42 98,700 28.11.2011 no AT0000303722 3,18% Hypo-WBB WA OOe 05-17/2 102,000 28.12.2011 no AT0000A0GLY4 3,20% Bundesanl. 10-17/1/144A 104,000 30.12.2015 yes AT000B020011 3,25 % Rai.WBB 06-19 Raif.Bspk 98,690 06.11.2012 no Ultimo 30.12.2015 1

AT0000491196 3,25% Hypo-WBB NOE-WA 05-17/29 96,200 08.11.2006 yes AT0000491170 3,25% Hypo-WBB WA NOe 05-20/27 97,650 28.12.2009 no AT0000A0CF30 3,25% Hypo-WBB WA Stmk.09-20/1 94,750 28.12.2010 no AT000B004742 3,26% EG Anl. 10-16/S.956 96,230 28.12.2010 no AT000B073911 3,3% swbb MonatsbonusWA11-22/3 - - no AT0000491147 3,33% Hypo-WBB WA OOe 05-20/24 100,000 23.12.2005 no AT000B034863 3,37% Krem.Bank KObl/13-25 - - no AT0000A001U8 3,375% Hypo-WBB WA NOe 06-22/3 96,770 28.12.2009 no AT0000A0CTS8 3,375% HypWBB WA Tirol 09-21/7 110,490 31.03.2015 no AT0000A0U3T4 3,4% Bundesanl. 12-22/2/144A 120,550 30.12.2015 yes XS0232733492 3,42% HAABI kue.anl 05-16/S209 95,000 06.11.2013 no AT0000A0CKC1 3,42% Hypo-WBB WA OOe 09-20/4 108,000 18.06.2015 no XS0275974599 3,49%OBB-Bau Put.Notes06-36/10 - - yes AT000B073754 3,5 % swbb WSV 09-20/1 97,500 31.01.2011 no AT0000A001X2 3,5% Bundesanl. 06-21/1/144A 119,100 30.12.2015 yes AT0000303755 3,5% HypoWBB Vbg WA 05-17/5 109,650 28.02.2014 no AT0000303763 3,5% HypoWBB Vbg WA 05-17/6 109,600 28.02.2014 no AT0000303730 3,5% Hypo-WBB WA NOe 05-17/3 102,000 18.08.2014 yes AT0000491162 3,5% Hypo-WBB WA NOe 05-25/26 94,400 29.09.2014 no AT0000A0T861 3,5% Hypo-WBB WA Sbg 12-27/15 - - no AT000B086996 3,5% Immo-Bank WSV 11-22 - - no XS0232778083 3,5% OEBB-Bau Schuldv 05-20/S1 115,930 30.12.2015 yes AT0000490057 3,5% Raif.WBB WA 05-18/RL N-W 106,000 19.05.2015 no AT0000A0W6B3 3,5% Spar-Anleihe 12-17 103,230 30.12.2015 no AT0000443205 3,5% swbb- WA 05-20/2 111,500 07.12.2015 no AT0000443270 3,5% swbb Wandel-SV 06-21/2 111,700 17.12.2015 no AT0000A03HW8 3,51 % HypoWBB OOe WA 06-17/36 103,000 30.11.2011 no AT0000325139 3,51% LH-Stmk Schuldv.00-30/P1 242,640 28.12.2010 yes AT0000A0G1L3 3,54%Hypo-WBB WA OOe 10-21/4 109,350 16.10.2015 no AT000B073762 3,55 % swbb "MB" WSV 09-22/2 110,600 24.06.2015 no XS0749005186 3,56% Rep.Oe Notes 12-29/S.255 - - yes AT0000A00XJ8 3,6 % HypoWBB OOe WA 06-21/12 109,100 24.06.2014 no AT0000A045Q3 3,6% Hypo-WBB WA OOe 07-17/6 103,850 02.12.2011 no AT000B073903 3,6% swbb MonatsbonusWA11-22/4 108,000 18.09.2013 no AT0000A0LZE6 3,6%Hypo-WBB WA OOe 11-23/4 112,000 08.06.2015 no XS0245578553 3,625% HTB Notes 06-16/S. 84 101,000 22.05.2015 yes AT0000A00XF6 3,625% HypoWBB OOe WA 06-17/11 103,750 03.11.2011 no AT0000A0CWP8 3,625% Hypo-WBB WA NOe 09-21 97,500 29.01.2015 no AT0000A0E228 3,625% HypoWBB WA Vbg.09-22/17 119,000 28.02.2014 no AT0000A0GMG9 3,625% KIG-Anl. 10-17 103,780 30.12.2015 yes AT0000490040 3,625% Raif.WBB WA 05-17/Krnt 100,790 29.12.2009 no Ultimo 30.12.2015 2

AT0000490081 3,625%Rai.WBB WA05-19/Rai.Bspk 105,000 16.12.2015 no AT0000A0N9A0 3,65% Bundesanl. 11-22/1/144A 121,250 30.12.2015 yes AT000B073606 3,7 % swbb WSV 07-22/2 115,100 27.11.2015 no AT0000A0EAJ3 3,7% HypoWBB WA Tirol 09-21/18 116,600 31.03.2015 no AT000B086988 3,7% Immo-Bank Cash V WA 10-21 106,940 29.11.2011 no AT000B087002 3,7% Immo-Bank WSV 11-24 - - no AT000B073838 3,7% swbb MonatsbonusWA10-23/1 112,100 22.06.2015 no AT0000A00EZ4 3,72% HAABI Anl. 06-17/S.221 - - no AT0000506282 3,735% LKA BetrG.TilgAnl 05-30 - - yes AT0000A0LNH5 3,736% Wohnbau Bgld. Anl.10-36 - - no AT0000A0JGE0 3,745% Wohnbau Bgld. Anl.10-30 - - no AT000B009410 3,75% EGB oeff. Pfbr11-21/1042 - - yes AT0000303367 3,75% HypoWBB Vbg.-WA 03-17/14 111,200 28.02.2014 yes AT0000A04538 3,75% Hypo-WBB WA NOe 07-17/4 103,500 28.12.2009 no AT0000A0U299 3,8% Bundesanl. 12-62/1/144A 158,450 30.12.2015 yes AT0000A056J5 3,8% Hypo-WBB WA OOe 07-18/18 104,500 03.11.2011 no AT0000A0CKB3 3,8% Hypo-WBB WA OOe 09-25/3 102,300 28.11.2011 no AT0000443130 3,8% S Wohnbaubank WA 04-17/4 104,050 27.11.2015 no AT000B073549 3,8% swbb Wandel-SV 06-16/8 102,000 31.01.2011 no AT0000A01WZ4 3,84 % HypoWBB OOe WA 06-21/28 110,660 15.12.2015 no AT0000505771 3,857% LKA Betriebsg.Anl 05-25 - - yes AT0000193438 3,86% NOLB kue.schuldv05-16/10 102,000 22.12.2010 yes AT0000A0VLS5 3,875% Andritz-Anleihe 12-19 108,480 30.12.2015 no AT0000347646 3,875% BACA Wohnbb WA 03-18/7 106,000 30.04.2015 no AT0000303292 3,875% HypoWBB Vbg.-WA 03-18/7 113,900 28.02.2014 yes AT0000303359 3,875% HypoWBB Vbg-WA 03-17/13 111,600 28.02.2014 yes AT0000A0K2K7 3,875% Lenzing-Anl. 10-17 104,970 30.12.2015 no XS0271660242 3,875% OBB-Bau Schuldv06-16/S8 103,230 30.12.2015 yes AT000B073796 3,9 % swbb WSV 09-20/4 108,050 04.06.2012 no AT0000386115 3,9% Bundesanl. 05-20/1/144A 117,800 30.12.2015 yes AT0000193446 3,9% NOLB kue.schuldv 05-17/11 101,500 22.12.2010 yes AT0000512744 3,9% WrNeust.Spk KassObl 05-25 88,500 28.12.2007 no AT000B009006 3,91% EB Oeff.Pfbr R.36/06-26 91,900 21.12.2010 yes AT0000443148 3.3 % S Wohnbaubank WA 04-16/5 100,150 27.12.2010 no AT0000491014 3-4% Hypo-WBB WA Stmk.05-20/11 98,650 28.12.2010 no AT0000A026R1 3-4%Hypo-WBB St WA Stk06-17/32 101,050 28.12.2010 no AT0000A19RN2 3BK-WBB Stuf.Zi.WA.14-26/Oberb - - no AT0000A1GZZ9 3BK-WBB Stuf.Zi.WA.15-25/Oberb - - no AT0000A107M0 3BK-WBB Stuf.Zins.WA. 13-25 100,000 31.10.2014 no AT0000A10KE5 3BK-WBB Stuf.Zins.WA. 13-25 112,500 08.10.2015 no AT0000A10SK5 3BK-WBB Stuf.Zins.WA. 13-25 - - no Ultimo 30.12.2015 3

AT0000A17WE5 3BK-WBB Stuf.Zins.WA.14-26/BKS - - no AT0000A17KW2 3BK-WBB Stuf.Zins.WA.14-26/BTV - - no AT0000A1E2D9 3BK-WBB Stuf.Zins.WA.15-28/BKS - - no AT0000A0VRC6 3BK-WBB WA TH BTV 12-24 - - no AT0000A0VSY8 3BK-WBB WA TH Oberbank 12-24 112,550 20.08.2015 no AT0000A15TP1 3BK-WBB WA TH Oberbank 14-26 - - no AT0000A020W4 4 % HypoWBB OOe WA 06-17/29 105,250 03.11.2011 no AT0000A021A8 4 % Hypo-WBB WA Tiro 06-21/30 107,750 31.03.2015 no AT000B086939 4 % Immo-Bank My Cash WA 09-23 105,600 26.03.2014 no AT000B020417 4 % Rai.WBB WA 08-19/1/RaiBspk 108,000 10.12.2015 no AT000B020573 4 % Rai.WBB WA 08-19/2/RLB OOe 108,000 24.04.2015 no AT000B020516 4 % Rai.WBB WA 08-19/3/RaiBspk 106,000 29.09.2010 no AT000B020524 4 % Rai.WBB WA 08-20/RLB Stmk 101,050 28.12.2010 no AT000B020490 4 % Rai.WBB WA 08-23/2/RaiBspk 109,150 09.11.2015 no AT000B073713 4 % swbb "MB" WSV 08-23/5 100,250 31.01.2011 no AT000B073788 4 % swbb "MB" WSV 09-22/5 119,700 16.02.2015 no AT000B073630 4 % swbb WSV 07-21/5 111,300 26.05.2014 no AT000B073705 4 % swbb WSV 08-21/4 111,500 23.03.2015 no AT000B073747 4 % swbb WSV quw. Zz. 08-19/8 109,800 18.06.2012 no AT0000422043 4% BACA WBB WA 04-18/4 106,000 26.11.2015 no AT0000A0VL70 4% Borealis-Anleihe 12-19 108,950 30.12.2015 no AT0000A011T9 4% Bundesanl. 06-16/2/144A 103,050 30.12.2015 yes AT000B002530 4% EGB Amort.Notes 09-24/S.721 96,550 21.12.2010 no AT0000A10J83 4% FACC-Anleihe 13-20 107,930 30.12.2015 no AT0000303540 4% HypoWBB Tirol WA 04-16/8 101,290 23.09.2015 yes AT0000303284 4% Hypo-WBB Vbg.-WA 03-18/6 114,350 28.02.2014 no AT0000303474 4% Hypo-WBB Vbg.-WA 04-17/2 106,500 09.04.2015 no AT0000303482 4% Hypo-WBB Vbg.-WA 04-17/3 102,000 22.04.2015 no AT0000A012W1 4% Hypo-WBB WA NOe 06-21/18 110,670 06.02.2014 no AT0000303623 4% Hypo-WBB WA OOe 04-16/17 106,250 18.03.2013 no AT0000A04BG2 4% Hypo-WBB WA OOe 07-22/9 95,400 27.12.2007 no AT0000A04DU9 4% Hypo-WBB WA OOe 07-23/11 105,400 27.12.2013 no AT0000A08DT2 4% Hypo-WBB WA OOE 08-19/15 108,550 02.12.2015 no AT0000A0EMG4 4% Hypo-WBB WA OOe 09-25/19 110,300 07.04.2015 no AT0000A0G1M1 4% Hypo-WBB WA OOe 10-26/5 106,250 09.01.2013 no AT0000303243 4% Hypo-WBB WA Stmk. 03-16/2 104,300 19.08.2014 no AT0000303532 4% Hypo-WBB WA Stmk. 04-19/9 104,870 21.12.2015 no AT0000A085V9 4% Hypo-WBB WA Tirol 08-20/1 - - no AT000B020409 4% Idx-li RWBB WA 07-20/RBspk 104,200 08.07.2010 no AT0000152681 4% IMMO-Bank WA 04-17/4 100,100 24.09.2014 no AT0000152723 4% IMMO-Bank WA 04-18/8 105,050 23.04.2014 no Ultimo 30.12.2015 4

AT000B086970 4% Immo-Bank WA 10-22 111,500 12.09.2014 no AT0000A0XSN7 4% Novomatic-Anl. 13-19/S.1 106,280 30.12.2015 no AT000B020581 4% Rai.WBB WA 08-19/4/RLBNoeW 109,730 29.09.2011 no AT000B020474 4% Rai.WBB WA 08-20/2/RLBNoeW 118,500 17.12.2015 no AT0000353586 4% Raiff.WBB WA 04-16/RLB N-W 100,850 04.08.2015 no AT0000353594 4% Raiff.WBB WA 04-17/Rai.Bspk 103,750 08.09.2015 no AT000B020433 4% Raiff.WBB WA 08-18/RLB Vbg 108,300 01.12.2010 no AT0000490024 4% Raiff.WBB WA04-17/2Rai.Bspk 105,000 15.09.2015 no AT0000353511 4% Raiff.Wohnbaub. WA 03-23/NO 110,570 29.09.2011 no AT000B073945 4% swbb MonatsbonusWA11-22/5 - - no AT000B073564 4% swbb NR EK WSV 06-21/10 107,600 09.10.2014 no AT0000A0Z7A0 4% WEB Windenergie-Anl. 13-18 101,000 05.06.2015 no AT0000A100E2 4% Wienerberger-Anl. 13-20 107,980 30.12.2015 no AT0000A00QF0 4%HTB Bond 06-17 109,790 31.03.2015 yes AT0000A0MQW5 4%Hypo-WBB WA OOe 11-26/13 104,500 18.09.2013 no AT000B086897 4,% Immo-Bank MyCash WA08-23/8 108,690 29.11.2011 no AT000B086921 4,1 % Immo-Bank kndb.wa 09-23 107,750 29.11.2011 no AT0000A08QS6 4,1% Hypo-WBB WA OOE 08-24/19 108,350 11.08.2015 no AT000B004734 4,11% EG Anl. 10-20/S.955 94,330 28.12.2010 no AT0000A04SD3 4,11% Hypo IB SV 07-16/62 - - yes AT000B020441 4,125 % RWBB WA 08-18/1/RLBNW 110,020 29.09.2011 no AT0000347687 4,125% BACA WBB WA 03-17/11 105,750 16.09.2015 no AT0000422019 4,125% BACA WBB WA 04-18/1 105,400 30.12.2015 no AT000B086889 4,125% Immo-Bank kb WA 08-23/7 102,500 29.11.2011 no AT000B085162 4,125% Oberbank EK-SV 08-16 102,010 10.11.2015 no AT000B090154 4,15 % RLB Stmk Obl. 08-18/26 100,300 28.12.2010 no AT0000A04967 4,15% Bundesanl. 07-37/1/144A 145,030 30.12.2015 yes AT000B087515 4,15% LHSt SV06-17/4 101,350 28.12.2010 yes AT0000A0CXN1 4,15% RLOO fu.schuldv 09-17/16 106,330 29.12.2010 yes AT000B020458 4,2 % Rai.WBB WA 08-23/RLB OOe 119,500 18.12.2015 no AT000B073689 4,2 % swbb "MB" WSV 08-23/2 110,900 19.06.2012 no AT0000A05RL5 4,2% Hypo-WBB WA OOe 07-18/30 108,800 08.04.2015 no AT0000A08810 4,2% Hypo-WBB WA OOE 08-19/4 105,750 02.04.2012 no AT000B086780 4,2% Immo-Bank WA 08-23/3 110,110 29.11.2011 no AT000B075874 4,2% RLB N-W Fix-Obl.09-16/18 104,190 29.09.2011 no AT000B075825 4,2% RLB N-W Fixz-Obl.09-16/13 104,190 29.09.2011 no AT0000A00ML7 4,215%HTB Single Call.N. 06-17 102,500 02.04.2013 yes AT000B073622 4,25 % NR swbb WSV 07-22/4 101,500 22.06.2015 no AT000B020557 4,25 % RWBB WA 08-18/3/RLBNoeW 109,000 15.12.2015 no AT000B073671 4,25 % swbb WSV 08-21/1 110,050 18.06.2012 no AT0000A0V7Q0 4,25% Const.Flex. Anl. 12-17 101,650 17.12.2015 no Ultimo 30.12.2015 5

AT000B086723 4,25% IMMO Bank kb WA 07-21/6 102,500 29.11.2011 no XS0592528870 4,25% Immofinanz-WA 11-18 4,500 28.12.2015 no AT0000A0KQ52 4,25% KapschTraffCom Anl.10-17 104,250 23.09.2015 no AT0000A04DB9 4,25% NOLHB Schuldv. 07-17/17 100,000 21.02.2007 yes AT000B053277 4,25% OEVAG Anleihe 07-17/S.92 100,260 30.11.2011 no XS0690406243 4,25% OMV-Anl. 11-21/S.4 116,840 30.12.2015 no AT0000A0D8U2 4,25% RLB OOe Fund.SV 09-17/30 106,890 29.12.2010 yes AT0000A0V7D8 4,25% STRABAG-Anleihe 12-19 110,740 30.12.2015 no XS0210629522 4,25% Telekom FM Anl. 05-17/S3 104,570 30.12.2015 no AT000B008008 4,27% EB Pfandbr R.34/06-26 95,550 21.12.2010 yes AT000B073721 4,3 % swbb "MB" WSV 08-23/7 107,600 07.12.2011 no AT000B073663 4,3 % swbb WSV 07-20/8 118,050 10.11.2014 no AT0000A06P24 4,3% Bundesanl. 07-17/2/144A 107,850 30.12.2015 yes AT0000A04S56 4,301% HTB nr Anl 07-17 /S.122 100,150 29.11.2013 no AT0000A04ED3 4,3025% NOLHB Schuldv 07-17/24 100,000 21.02.2007 yes AT0000A08968 4,35% Bundesanl. 08-19/1/144A 114,550 30.12.2015 yes AT000B048186 4,37% BACA Pfandbr R.103/08-18 107,000 13.07.2010 yes AT0000A0UJP7 4,375% KTM-Anleihe 12-17 103,330 30.12.2015 no AT000B089750 4,375% RLB Stmk Obl. 07-16/12 104,300 28.12.2010 no AT0000152707 4,375%NR EK IMMO-B.WA 04-17/6 94,500 23.09.2014 no AT000B086764 4,4 % Immo-Bank WA 08-23/1 109,500 29.11.2011 no AT000B073739 4,4 % swbb WSV 08-21/6 113,000 09.12.2015 no AT000B085147 4,4% Fund. Oberbank SV 08-16 110,100 29.02.2012 no AT0000A05RK7 4,4% Hypo-WBB WA OOe 07-23/29 108,200 07.07.2015 no AT0000A08828 4,4% Hypo-WBB WA OOE 08-24/5 109,750 11.03.2015 no AT000B008248 4,41% EGB kb Hyp.Pfbr10-30/932 95,650 21.12.2010 yes AT000B008230 4,44% EGB kb Hyp.Pfbr10-30/931 95,550 21.12.2010 yes AT000B089883 4,44% RLB Stmk TilObl 07-17/25 104,100 28.12.2010 no AT000B086863 4,45% Immo-Bank WA 08-23/6 102,500 29.11.2011 no XS0325876661 4,5% ASFINAG-Anl. 07-17/S.12 108,330 30.12.2015 yes AT0000A092X1 4,5% BKS Bank EK-Obl. 08-16/2 99,400 11.12.2015 no AT0000A0WMQ5 4,5% conwert-wandelanl. 12-18 - - no AT000B009337 4,5% EGB oeff. Pfbr09-19/801 104,430 28.12.2010 yes AT0000A0WNP5 4,5% Egger HolzweSt-Anl.12-19 107,430 30.12.2015 no XS0213737702 4,5% Energie AG OOe Anl. 05-25 123,750 30.12.2015 no AT0000307962 4,5% HypoWBB Vbg.-WA 01-16/15 111,300 28.02.2014 yes AT0000307855 4,5% HypoWBB Vbg.-WA 01-16/4 100,350 22.04.2015 yes AT0000303029 4,5% HypoWBB Vbg.-WA 02-17/2 102,000 22.04.2015 yes AT0000303037 4,5% HypoWBB Vbg.-WA 02-17/3 112,400 28.02.2014 yes AT0000A0T8M1 4,5% Miba-Anleihe 12-19 108,750 30.12.2015 no AT0000285473 4,5% RZB nachr. Anl. 05-35/P3 103,000 11.11.2011 no Ultimo 30.12.2015 6

AT0000A177D2 4,5% S IMMO Anleihe 2014-2021 110,550 18.12.2015 no AT0000A0WPF1 4,5% SIGNA Anl.12-22 - - no XS0200438223 4,54 % HAABI EUR-Anl. 04-17 100,000 06.05.2005 yes AT000B008214 4,55% EB Hyp.Pfandbr09-19/756 105,230 28.12.2010 yes AT0000437850 4,5-6% RLBNO nrsz-obl 04-19/21 100,000 28.08.2015 no AT000B058227 4,57% OVAG Schuldv. 09-16/S167 102,680 30.11.2011 no AT000B076039 4,58% RLB N-W Fix-Ob 09-16/34 105,780 29.09.2011 no AT0000A0WR40 4,625 % Swietelsky Anl.12-19 106,650 30.12.2015 no AT0000A0WQ66 4,625% CROSS Industr.Anl.12-18 105,200 09.12.2015 no AT0000A0UJL6 4,625% Otto-Anl. 12-17 105,940 30.12.2015 no AT0000443577 4,625%RaiffBSPK NR EK-Obl05-17 100,010 21.12.2015 no AT000B002712 4,64% EGB Anl. 09-16/S.760 102,000 31.01.2011 no AT000B063169 4,64% RLBVbg Notes 07-16/6 106,500 01.12.2010 no AT0000385745 4,65% Bundesanl. 03-18/1/144A 110,080 30.12.2015 yes AT000B052493 4,67%䉺AG fund.call. Anl.06-26 100,650 30.11.2011 yes AT000B086749 4,75% IMMO-B. kb EK WA 07-22/7 98,000 22.12.2015 no AT0000A0PHV9 4,75% STRABAG-Anleihe 11-18 109,530 30.12.2015 no AT0000A0MS58 4,75% voestalp.-anl. 11-18/S.1 107,980 30.12.2015 no AT000B048269 4,75%BACA Pfandbr.R. 104/08-18 110,800 28.09.2015 yes AT0000325659 4,8% LHStmk SV. 04-17/PP/3 104,800 28.12.2010 yes AT0000A01KH7 4,8% OOLB Hypo-EK-Anl. 06-21 - - no AT000B002621 4,84% EGB Anl. 09-17/S.739 103,730 28.12.2010 no AT0000A0DXC2 4,85% Bundesanl. 09-26/2/144A 138,230 30.12.2015 yes AT0000A0PG75 4,875% Frauenthal-Anl. 11-16 102,030 30.12.2015 no AT0000A0NE46 4,875% Knapp-Anl. 11-16 - - no XS0307792159 4,875% OBB-Bau SV 07-22/S.11 128,180 30.12.2015 yes AT0000347695 4,875%BACAWBB nrek-wa 03-16/12 103,000 29.07.2015 no AT000B076047 4,88% RLB N-W Fix-Ob 09-18/35 107,160 29.09.2011 no AT000B011754 4,9 % RZB Obl. 09-16/PP/S.105 105,000 11.11.2011 no AT0000326889 4,9% Spk.Vers. ew.ek-anl 99/1P 94,000 01.02.2011 no AT0000341904 4,95% SpkVers.ew.EK-Anl 03/P 93,250 01.02.2011 no AT0000A0R2J2 5% AT&S-Anleihe 11-16 103,800 30.12.2015 no AT0000A05J07 5% BKS EK-Obl. 07-17/3 100,500 17.12.2015 no AT0000A0JE42 5% Casinos Austr.Int-Anl 10-17 104,050 30.12.2015 no AT0000A0V7L1 5% Montana Anl. 12-17 102,000 18.12.2015 no AT0000A0KSM6 5% Novomatic-Anl. 10-17/S.2 105,850 30.12.2015 no AT000B085204 5% Oberbank EK-SV 09-19 106,800 28.12.2015 no AT0000356795 5% OOeLB Anleihe 03-33 100,000 23.07.2003 yes AT000B010541 5% RZB Obl. 08-18/PP/S.36 104,700 11.11.2011 no AT0000A0QZH8 5% WEB Windenergie-Anl. 11-16 98,600 29.12.2015 no AT0000333117 5,05% HTB Erg.Kap.-Anl. 04-17 102,800 29.11.2013 no Ultimo 30.12.2015 7

AT0000437819 5,05% RLBNOe NR Obl. 04-16/17 102,790 29.09.2011 no AT0000351259 5,1% BAWAG Obl. 05-25/11 106,700 30.03.2012 no DE000LBW9JL5 5,1%/varLBBW nr IHS R482/06-26 - - no AT0000A026P5 5,125% CA Immo-Anl. 06-16 103,000 30.12.2015 no AT0000485925 5,15% RLB-OOe Anl. 03-18/23 107,760 29.12.2010 no AT0000483615 5,2% Stmk.Bank+Spk SV 04-24/4 100,000 17.12.2007 no AT0000512694 5,2% WrNeust.Spk. SV 03-23/1 98,150 28.12.2007 no AT0000A0GMD6 5,25% conwert Wandelanl. 10-16 - - no AT0000A0VDP8 5,25% IMMOFINANZ-Anleihe 12-17 104,450 30.12.2015 no AT0000A11BP8 5,25% ViennaEstate NR SV 13-18 100,000 27.12.2013 no AT0000A0Z785 5,25% WEB Windenerg.-Anl 13-23 100,660 18.09.2014 no AT0000A0PQY4 5,25% Wienerberger Anl. 11-18 108,950 30.12.2015 no AT000B053558 5,27% OVAG nr Anl. 07-27/S.119 62,750 30.11.2011 no AT0000339858 5,28% LHB-Tir. nr SV 99-19 /11 102,150 29.11.2013 no AT0000443551 5,3% Raiff.BSK nr EK-Obl 04-16 98,000 23.12.2009 no AT0000350665 5,31% BAWAG nr Obl. 03-23/12/P 89,260 30.03.2012 no DE000A0LDKW2 5,36% VeVic.Bausp. nr SV 06-16 90,800 30.04.2008 no AT0000312145 5,375 % BA WBB-WA 97-6 112,100 03.07.2013 no AT0000A0H0V3 5,375% Borealis-Anl. 10-17 105,730 30.12.2015 no AT0000A0H2Z0 5,375% Swietelsky-Anl. 10-17 104,630 30.12.2015 no AT0000350657 5,4% BAWAG nr Obl. 03-23/11/PP 89,500 30.03.2012 no XS0185015541 5,43% KommKr. nr Anl 04-24/179 78,320 30.12.2008 no AT0000351119 5,43%BAWAGnrCallable N04-24PP 88,600 30.03.2012 no DE000A0NQ991 5,435% PrismaLife Schuldv07-17 90,000 30.04.2008 no AT0000438767 5,45%kuendb.OVAG EK-Anl 04-19 72,700 30.12.2010 no AT000B059852 5,5% OVAG Schuldv. 10-17/S.127 106,360 30.11.2011 no AT0000A0R0M0 5,5% RIH Anleihe/11-17 - - no AT0000A0Z793 5,5% WEB Windenergie-Anl 13-23 100,000 03.10.2013 no AT0000435896 5,55% OEVAG Anleihe 03-28 100,000 31.05.2006 no AT0000A0NBF0 5,625% Egger-Anl. 11-18 107,130 30.12.2015 no AT0000A066X5 5,75% BAWAGPSK EK-Obl 07-19/10 101,000 08.09.2015 no AT0000A0VAL3 5,75% conwert-anleihe 12-17 104,050 18.12.2015 no AT0000A0G215 5,75% Egger HolzweSt Anl.10-17 104,400 30.12.2015 no AT0000336714 5,85% B.Bgld. Schuldv 02-17/PP 112,430 30.12.2008 yes AT0000339684 6 NR TIR 98-28 93,100 29.11.2013 no AT0000539481 6% BA nachr. Obl. 01-21/P12 - - no AT0000539606 6% BA nachr. Obl. 01-26/P15 - - no AT0000342753 6% Bet&WohnAnlag.OEG Anl 04-24 100,000 30.12.2004 no AT0000342761 6% Beteilig.&Immob. Anl. 04-24 100,000 30.12.2004 no AT0000A0QR71 6% UBM-Anleihe 11-16 102,530 30.12.2015 no AT0000325279 6,09% LHB-Stmk. nr SV 01-21/1P 100,000 28.12.2010 no Ultimo 30.12.2015 8

AT0000330691 6,1% Spk.Vers.ew.EK-Anl 01/2/P 99,750 01.02.2011 no XS0412518911 6,2% EGB CLN 09-19/S.747 102,550 28.12.2010 no AT0000383864 6,25% Bundesanl. 97-27/6 156,400 30.12.2015 yes AT0000A0XJ15 6,25% Porr-Anleihe 12-16 104,400 30.12.2015 no DE000A1HSNV2 6,25% PORR-Anleihe 13-18 112,130 30.12.2015 no AT0000432976 6,35%-7% OeVAG nr SV 02-22/P2 82,000 30.11.2011 no AT0000432984 6,35%-7% OeVAG nr SV 02-22/P3 91,900 30.12.2010 no XS0409318309 6,375% Telekom FinMa Anl 09-16 100,810 30.12.2015 no AT0000322441 6,4% Investkr. nr Anl. 01-16/P 96,780 30.12.2010 no DE0002978608 6,42% LB Sachs. nr SV 20/01-31 - - no XS0144772927 6,46% KommKred. nr. Anl. 02-22 87,280 30.12.2008 no AT0000541719 6,5% BA nachr. Anl. 00-20/P11 - - no AT0000432661 6,5%/ 6,75% OeVAG nr SV 01-21 91,800 30.12.2010 no AT0000272505 6.625 I 97-27/4 130,250 17.01.2014 no AT0000272513 6.625 I 97-27/5 100,000 28.12.2010 no AT00006B4704 6B47 Real Estate 6% Anl. 15-20 - - no AT0000A0NWH2 7% AquariusWater Opt-Anl.11-16 100,000 12.07.2013 no AT0000349469 7% BAWAG Multitr.Obl 01-16/20P 119,170 30.03.2012 yes XS0129802301 7% B-Spires LimRecN S.30/01-31 - - no AT0000322458 7% Investkredit EK-Anl 01-21/P 86,200 30.11.2011 no AT0000322466 7% Investkredit EK-Obl 01-21/P 79,480 22.12.2010 no AT0000428842 7% PSK Multitr.-Obl. 00-25/2P 138,000 29.03.2012 yes DE0007062614 7,125% LBBW nachr. SV 54/01-16 100,000 04.09.2003 no DE0005940621 7,25% LBBW nr Schuldv 50/01-21 100,000 04.09.2003 no DE000A1G82U1 7,5%+Bonus Identec-Anl. 12-17 103,000 03.05.2013 no DE000A1G7JQ9 7,75% Sanochemia Anl. 12-17 97,510 07.05.2015 no AT0000296181 7.5 NR GC94-24/5 121,000 18.03.2014 no AT0000327101 7.5LH KTN94-24NR 100,000 22.07.2003 no AT0000173026 7.75 LHB-Stmk.Anl.n.94-24 125,350 28.12.2010 no DE000A1HELE2 8% Photon Energ.Inv. Anl.13-18 100,000 19.08.2015 no XS0286696231 8,2% Xenon LiRe CLN 07-16/S120 - - no AT0000A0U9J2 8,5% Scholz-Anl.12-17 42,250 30.12.2015 no AT0000A1HMY8 AAB CPTPfdb.15-20/1 - - yes AT0000A086F0 ABAP obl. Genussrechte 2007 - - no XS0498817542 ABENGOA 10/16 86,500 25.09.2015 no XS0875275819 ABENGOA 13/19 CV REGS 112,730 23.07.2015 no US00289RAD44 Abengoa 5,125 %ExchN.144a15-17 - - no XS1196424698 Abengoa 5,125 %ExchN.RegS15-17 - - no XS0882237729 ABENGOA FIN. 13/18 REGS 71,630 27.08.2015 no XS1048657800 ABENGOA FIN. 14/21 REGS 64,280 27.08.2015 no XS1113021031 ABENGOA GREENF.14/19 REGS 62,430 27.08.2015 no Ultimo 30.12.2015 9

XS1114155283 ADIDAS AG ANL. 14/21 100,450 30.12.2015 no XS1114159277 ADIDAS AG ANL. 14/26 100,950 30.12.2015 no DE000AB100B4 AIR BERLIN 11/18 99,030 30.12.2015 no XS1051719786 AIR BERLIN 14/19 92,980 30.12.2015 no FR0012650281 AIR FRANCE-KLM 15-UND. 92,230 30.12.2015 no XS0176914579 AIRBUS GP FIN. 03/18 MTN 114,630 30.12.2015 no XS0445463887 AIRBUS GRP FIN. /16 MTN 103,080 30.12.2015 no XS1050846507 AIRBUS GRP FIN. 14/24 MTN 108,750 30.12.2015 no IT0005120859 Alb.d Inghilt. Zero-Notes15-18 - - no IT0005137002 Alitalia 6,31% Notes 2015-2020 - - no AT0000A08RR6 Allg.BSPK 5,9 % NR SV 08-18 - - no AT0000212584 Allg.Spk CMS-Schuldv 01-26/11P 125,250 29.12.2015 no AT0000212550 Allg.Spk nachr. SV 01-31/8/PP 97,650 29.12.2015 no AT000B099627 Allg.Spk. CMS Floater 07-17/8 100,650 29.12.2015 no AT0000212535 Allg.Spk. CMS-Anl. 01-31/6/PP 97,850 29.12.2015 no AT0000212931 Allg.Spk. CMS-Schuldv. 04-34/1 102,850 29.12.2015 no AT0000473426 Allg.Spk. Ziel Bond 04-24/10/P 126,950 29.12.2015 no AT0000473558 Allg.Spk. Zielbond 05-25/10/P 101,300 29.12.2015 no AT000B100961 AllgSpk 1,63% Fixz.Anl.14-19/2 102,800 29.12.2015 no AT000B100797 AllgSpk 2,1% Fixzi-Anl.13-18/2 103,550 29.12.2015 no AT000B100920 AllgSpk 2,33% fund.sv 13-23/15 109,150 29.12.2015 yes AT000B100326 AllgSpk 3,125% Schuldv.10-16/8 100,700 29.12.2015 no AT000B100490 AllgSpk 3,5% Fixzi-Anl.11-16/3 100,350 29.12.2015 no AT000B100953 AllgSpk 4,5% nr Anl. 14-24/1 104,650 29.12.2015 no AT0000473483 AllgSpk CMS Floater SV 05-17/3 100,500 29.12.2015 no AT000B100045 AllgSpk EK Jubil.Anl. 09-19/5 107,400 29.12.2015 no AT000B099817 AllgSpk nr EK Geldm-Fl.08-18/4 104,650 29.12.2015 no AT000B099809 AllgSpk St.Zi EK-Schuv.08-18/3 106,000 29.12.2015 no AT000B100987 AllgSpk. 4,5% nr Anl. 14-24/4 100,000 29.12.2015 no AT000B100805 AllgSpk3,25% Fixzi-Anl.13-28/3 112,200 29.12.2015 no AT000B100821 AllgSpk3,3 % Fixzi-Anl.13-28/5 100,000 29.12.2015 no AT000B100896 AllgSpk4,6 % NR Anl.13-23/12 105,500 29.12.2015 no DE000A1R1BR4 ALNO AG 13/18 81,430 30.12.2015 no IT0005091563 Alt.Liqu Cl.A FiRate ABS 15-17 - - no XS1271658319 Ambretta Sen.sec.FRN 15-21 - - no XS0992613157 Ampliter Exchang. Bond 13-18 - - no XS0431928414 ARCELORMITTAL 09/16 102,320 30.12.2015 no XS0559641146 ARCELORMITTAL 10/17 MTN 97,430 30.12.2015 no XS0765621569 ARCELORMITTAL 12/18 MTN 96,020 30.12.2015 no XS1048518358 ARCELORMITTAL 14/19 MTN 87,200 30.12.2015 no XS1084568762 ARCELORMITTAL 14/20 MTN 81,620 30.12.2015 no Ultimo 30.12.2015 10

XS1167308128 ARCELORMITTAL 15/22 MTN 77,130 30.12.2015 no FR0012452191 ARKEMA 15/25 MTN 96,700 30.12.2015 no XS1148552190 ArkFin.12% Loan-li Note14-17/1 - - no IT0005058695 ArnoldCoffee7% Bond 15-20 - - no AT0000A0UG60 Art Invest. 6% Kunstanl. 12-16 101,500 19.02.2015 no XS1291264775 ASFiNAG 0,625% Notes 15-22/S21 100,780 30.12.2015 yes XS1055095704 ASFiNAG 1,375% Notes 14-21/S20 105,850 30.12.2015 yes XS1291270319 ASFiNAG 1,5% Notes 15-30/S22 99,730 30.12.2015 yes XS0982549197 ASFiNAG 1,75% Notes 13-20/S.19 107,450 30.12.2015 yes XS0790003023 ASFiNAG 2,75% Notes 12-32/17 116,600 30.12.2015 yes XS0944835734 ASFiNAG 2,75% Notes 13-33/S.18 117,450 30.12.2015 yes XS0542825160 ASFiNAG 3,375% Notes 10-25/S16 122,080 30.12.2015 yes XS0438332271 ASFiNAG 4,375% Notes 09-19/14 115,380 30.12.2015 yes AT0000473566 ASK Switch.Zero Bond 05-30/11P 116,500 29.12.2015 no AT000B101175 ASpk 0,3% fund.fixz-a.15-18/12 100,500 29.12.2015 yes AT000B101068 ASpk 0,46%fund.Fixz-A.15-20/1 100,400 29.12.2015 yes AT000B101076 ASpk 1,13% fund.fixz-a.15-27/2 97,200 29.12.2015 yes AT000B101092 ASpk 1,3% fund.fixz-a.15-33/4 93,200 29.12.2015 yes AT000B101084 ASpk 1,35% fund.fixz-a.15-35/3 93,700 29.12.2015 yes AT000B101126 ASpk 1,52% fund.fixz-a.15-35/7 95,250 29.12.2015 yes AT000B101159 ASpk 1,6% fund.fixz.a.15-30/10 102,350 29.12.2015 yes AT000B101167 ASpk 1,75% fd.fixz.a.15-35/11 102,150 29.12.2015 yes AT000B101100 ASpk 3-3,5% nr Stfz.A.15-24/5 99,800 29.09.2015 no AT000B101142 ASpk Var.fund. GM-Fltr.15-25/9 100,000 29.12.2015 yes AT000B100714 ASPKO var. fund. Anl. 12-19/6 101,900 29.12.2015 yes IE00BP4K0J92 Avalon Subord.Struc.Notes11-20 - - no XS0994784030 Azimut Subord.Conv. Bond 13-20 - - no AT0000541917 BA nr Floater-Obl. 01-16/P1 - - no AT0000539531 BA nr Rev.Float. Obl 01-16/P13 - - no AT0000541669 BA nrjpy-cms-floater 00-20/P10 - - no AT0000539416 BA Rev. Floater Obl. 01-16/P11 - - no AT0000540984 BA Swap-linked Obl. 99-19/6 - - no AT0000312194 BA WBB var. WA 98-16/5 92,750 03.03.2014 no AT0000347653 BACA 4% Wohnbaub. WA 03-18/8 107,100 25.11.2015 no XS0296698995 BACA CLN/Rep.Ungarn 07-17/S302 - - no AT0000248182 BACA CMS linked Obl. 03-23/P4 90,100 29.07.2011 no AT000B041108 BACA CMS Spr.Flot.Obl.06-16/P3 - - no AT0000248489 BACA Global Ind.Garant 02/2005 - - no AT000B041017 BACA Global Index Gar. 03/2006 - - no XS0342239471 BACA kapgar.index SV 08-19/338 - - no AT000B048194 BACA Mortg.Pfandbr.08-18/S.337 - - yes Ultimo 30.12.2015 11

AT000B041264 BACA USD-CMS Floater 06-16/P6 - - no AT0000347570 BACA Wohnbaub. var WA 02-18/10 92,000 12.01.2015 no AT0000422001 BACA Wohnbaub. var WA 03-18/13 97,050 20.11.2015 no AT0000347679 BACA Wohnbaub. var WA 03-19/10 94,500 17.07.2015 no AT0000422027 BACA Wohnbaub. var WA 04-19/2 95,500 07.12.2015 no AT0000347596 BACA Wohnbaub. var. WA 03-19/2 92,000 28.01.2015 no AT0000347661 BACA Wohnbaub. var. WA 03-19/9 93,250 01.08.2014 no AT0000347455 BA-CA WohnbB. var. WA 01-16/2 98,250 25.08.2015 no AT0000347497 BA-CA WohnbB. var. WA 02-17/2 98,500 13.07.2015 no XS0270487738 BA-CA ZeroCoupTRY N.06-18/S278 - - no AT000B041116 BACAZielk.Aktienb.Obl.06-16/3 95,270 13.05.2014 no AT0000336839 Bank Bgld nr var. SV 04-17/P 89,560 30.09.2009 no AT0000336946 Bank Bgld var. SV 04-16/PP 97,820 30.12.2008 yes AT0000336953 Bank Bgld var. SV 04-16/PP 97,510 30.12.2008 yes AT0000336383 Bank Bgld. EK-SV 98-18/P 101,920 30.12.2008 no IT0005138455 Barilla Iniz. guar.notes 15-27 - - no IT0005138471 Barilla Iniz.amend.Notes 13-25 - - no XS0437957086 BASF MTN 09/17 106,900 30.12.2015 no XS0836260975 BASF MTN 12/18 103,750 30.12.2015 no DE000A1R0XG3 BASF MTN 12/22 106,980 30.12.2015 no XS0883560715 BASF MTN 13/21 106,330 30.12.2015 no XS1017828911 BASF MTN 14/19 103,450 30.12.2015 no XS1017833242 BASF MTN 14/24 109,800 30.12.2015 no DE000A0JRFB0 BASF ANL.06/16 102,200 30.12.2015 no AT0000A0DG04 Bauspk.WuestRot var.ek-anl. 09 99,800 31.01.2011 no AT0000A044A0 BAWAG 4,04% fund.obl.06-16/31p 107,500 29.03.2012 yes AT0000A13406 BAWAG 6,5% nachr.obl. 13-23/16 110,000 17.12.2015 no AT0000351176 BAWAG Infl.-KapObl II 04-16/15 99,000 10.12.2015 no AT0000351168 BAWAG Infl.-li KapObl 04-16/14 99,300 04.11.2015 no AT0000A133Z8 BAWAG nr Fix-Var.Obl. 13-21/17 100,500 09.12.2015 no AT0000349949 BAWAG Nullkupon-Anl. 02-17/10P 84,500 30.03.2012 no AT0000349980 BAWAG Nullkupon-Anl. 02-17/15P 84,300 30.03.2012 no AT0000A00LR6 BAWAG PSK 3,85 % Obl. 06-16/4 - - no AT0000A0PKZ4 BAWAG PSK 4% Obl.11-16/20 103,550 29.03.2012 no AT0000351069 BAWAG Zero fix/rev 03-33/PP90 140,840 30.11.2011 no AT0000A0Z7C6 BAWAGPSK fund.sv PP 13-19/01 102,450 29.12.2015 yes XS1023268490 BAYER AG 14/18 MTN 101,730 30.12.2015 no XS1023268573 BAYER AG 14/21 MTN 105,430 30.12.2015 no DE000A11QR73 BAYER AG 2014/2074 100,750 30.12.2015 no DE000A11QR65 BAYER AG 2014/2075 100,500 30.12.2015 no XS1135309794 BAYER CAP.CORP. 14/23 MTN 101,330 30.12.2015 no Ultimo 30.12.2015 12

DE000A12T1W6 BEATE UHSE AG 14/19 80,120 20.11.2015 no AT0000492525 BELIG var. Anl. 05-20/PP - - yes XS0268583993 BERTELSMANN ANL.06/16 103,400 30.12.2015 no XS0811690550 BERTELSMANN ANL.12/22 108,800 30.12.2015 no XS1121177767 BERTELSMANN ANL.14/24 100,980 30.12.2015 no DE000A0GSUA5 Bgl.LaHo fix/var Schuldv 06-36 - - yes AT0000A01658 Bgld.Landes Holding Anl. 06-36 100,000 16.06.2006 yes XS0718905978 BIG 4,11% Schuldv. 11-26/S.27 - - no XS0626438203 BIG 4,45 Notes 11-31/S.24 - - no XS0769132936 BIG Fixed Rate Note 12-42/S.31 - - no XS1147528431 BIG Float.Rate Note 14-20/S.33 - - no DE000A1R0TU2 BILFINGER SE ANL 12/19 99,300 30.12.2015 no AT0000341144 BIOMAY BUERG.-gar Gewinn-SV 02 - - no AT0000A1BTD0 BKS 1,3% fund.obl. 15-30/2/PP - - yes AT0000A14KC1 BKS 1,9% fund.obl. 14-21/1/PP - - yes AT0000A14K03 BKS 2,40 % Obl. 14-21/1 - - no AT0000A0XP66 BKS 2,55% fund. Obl.12-22/8/PP - - yes AT0000A146U1 BKS 2,64% fund.obl. 13-24/8/PP - - yes AT0000A14KD9 BKS 2,9% fund.obl. 14-26/2/PP - - yes AT0000A0ZCP1 BKS 3 % Obl. 13-21/2 99,000 04.11.2014 no AT0000A0YEH7 BKS 3,21% fund.obl. 13-28/1/PP - - yes AT0000A0XPM5 BKS 3,35% fund. Obl.12-27/9/PP - - yes AT0000A15QQ5 BKS 3,80% Obl. 14-29/4/PP - - no AT0000A0FRY3 BKS 4,75 % EK-Obl. 09-17/8 101,500 18.12.2015 no AT0000A0D519 BKS 5 % EK-Obl. 09-17/3 102,000 30.12.2015 no AT0000A15MJ9 BKS 5 % NR Obl. 14-23/2 103,500 30.12.2015 no AT0000A1FW27 BKS Additional Tier1-Anl. 2015 - - no AT0000A0XHK6 BKS Bank 2% Obl. 12-17/4 - - no AT0000A10SJ7 BKS Bank 2% Obl. 13-19/3 - - no AT0000A11R82 BKS Bank 2,42% Obl. 13-21/7/PP - - yes AT0000A11U38 BKS Bank 2,5% Obl. 13-20/4 - - no AT0000A0W4F9 BKS Bank 2,625% Obl. 12-18/3 - - no AT0000A0JG08 BKS Bank 3% Obl. 10-16/3 95,450 23.04.2015 no AT0000A0S5A3 BKS Bank 3% Obl. 11-16/5 100,000 03.09.2014 no AT0000A0U4N5 BKS Bank 3% Obl. 12-17/1 - - no AT0000A0PS30 BKS Bank 3,75% Obl. 11-17/4 99,900 28.12.2011 no AT0000A0MRD3 BKS Bank 4% Obl. 11-18/1 100,000 03.09.2014 no AT0000A0ZD92 BKS Bank 4% Obl. 13-26/4/PP - - no AT0000A0P1K4 BKS Bank 4,75% EK Obl. 11-19/3 101,150 14.12.2015 no AT0000A0HB39 BKS Bank EK-Stfz.-Obl. 10-20/2 105,100 17.12.2015 no AT0000A0LH94 BKS Bank Stfz. Obl. 10-16/4 97,750 28.12.2011 no Ultimo 30.12.2015 13

AT0000A0V7F3 BKS Bank Stfz. Obl. 12-17/2 - - no AT0000A0A002 BKS Bank Stuf.-EK-Obl. 08-20/4 103,550 22.12.2015 no AT0000A0BK75 BKS Hybrid alpha Hybridanl.08 101,000 30.12.2015 no AT0000A0K1U8 BKS Hybrid beta Hybridanl.2010 99,000 18.12.2015 no AT0000A16R61 BKS Stfz. Obligation 14-21/3 - - no AT0000A0ZCN6 BKS Stufenzins-Obl. 13-18/1 - - no AT0000A1E0X1 BKS var. Obl. 15-23/1 - - no AT0000A0GZ57 BKS var. Obligation 10-19/PP - - no AT0000A19J76 BKS var. Obligation 14-22/4 - - no IE00BY2ZHJ89 Bl.Mount. SummitTrad.Note15-16 - - no IE00BY2ZHL02 Bl.Mount.CredAlt.Fu.Note 15-16 - - no IE00BY2ZHH65 Bl.Mount.Logan Fund Note 15-16 - - no IE00BY2ZHK94 Bl.Mount.Montenv.Fu.Note 15-16 - - no IE00BTDCX404 Bl.RockRen Pr.part.Note13-37/1 - - no IE00BTDCX511 Bl.RockRen Pr.part.Note13-37/2 - - no IE00BTDCXB72 Bl.RockRen Pr.part.Note13-37/3 - - no AT0000A0X5X8 Blackwire Perf.-li Bond 12-42 - - no IE00BJ8RGF22 BlueMount. Struct.Notes14-23/1 - - no IE00BJ8RGG39 BlueMount. Struct.Notes14-23/2 - - no IE00BJ8RGJ69 BlueMount. Struct.Notes14-23/4 - - no IE00BJWHX248 BlueMount. Struct.Notes14-23/5 - - no XS1310031296 BlueRiv. PassThr.Notes 15-21/1 - - no XS0173501379 BMW FIN. NV 03/18 MTN 111,800 30.12.2015 no XS0478931354 BMW FIN. NV 10/17 MTN 103,980 30.12.2015 no XS0583801997 BMW FIN. NV 11/16 MTN 100,300 30.12.2015 no XS0653885961 BMW FIN. NV 11/18 MTN 106,880 30.12.2015 no XS0860596575 BMW FIN. NV 12/18 MTN 102,800 30.12.2015 no XS0729046218 BMW FIN. NV 12/19 MTN 108,300 30.12.2015 no XS0877622380 BMW FIN. NV 13/16 MTN 100,830 30.12.2015 no XS0968316256 BMW FIN. NV 13/20 MTN 105,780 30.12.2015 no XS0877622034 BMW FIN. NV 13/23 MTN 107,430 30.12.2015 no XS1105264821 BMW FIN. NV 14/18 MTN 100,380 30.12.2015 no XS1015212811 BMW FIN. NV 14/19 MTN 103,680 30.12.2015 no XS1105276759 BMW FIN. NV 14/22 MTN 100,300 30.12.2015 no XS1015217703 BMW FIN. NV 14/24 MTN 109,530 30.12.2015 no XS1168971213 BMW FIN. NV 15/20 MTN 99,550 30.12.2015 no XS1168962063 BMW FIN. NV 15/25 MTN 95,550 30.12.2015 no DE000A1G7EH9 BMW US CAP 12/16 MTN 100,750 30.12.2015 no DE000A1HJLN2 BMW US CAP 13/17 MTN 101,280 30.12.2015 no XS1086758536 Bond House C2 Ser.I 14-19 - - no XS1198278258 Bond House C2 Ser.II Bds15-22 - - no Ultimo 30.12.2015 14

XS1086759005 Bond House C3 Ser.I Cert.14-24 - - no LU1044807300 Bond House C4 Ser.I Cert.14-24 - - no XS1294422636 BondH.C1 7,375% S.3 15-18 - - no XS1105201070 BondHouse 7,375% S2 14-21 - - no XS0377044747 Breeze Fin2 12,5% nr Anl 08-28 - - no AT0000A10UC8 BruneckStr 3,75% ImmoAnl.13-23 - - no AT0000A1AE73 BTV 0,66 %fund.obl 14-19/28 PP - - yes AT0000A1ARX4 BTV 0,78% Obl. 15-18/30 PP - - no AT0000A0XJ80 BTV 1,35% fund.obl. 12-17/20PP - - yes AT0000A0Z7H5 BTV 1,85% fund.obl. 13-20/7 PP - - yes AT0000A0ZB03 BTV 2% fund.obl. 13-21/10 PP - - yes AT0000A10TE6 BTV 2% fund.obl.13-20/25pp - - yes AT0000A127N6 BTV 2,01% Obl.13-18/31PP - - no AT0000A17J45 BTV 2,125% fund.obl.14-25/15pp - - yes AT0000A19KP2 BTV 2,125% Obl. 14-24/22 PP - - no AT0000A193E7 BTV 2,21% Obl. 14-24/19 PP - - no AT0000A138R4 BTV 2,65% fund.obl. 13-23/35PP - - yes AT0000A10HC5 BTV 2,675% fund.obl.13-28/20pp - - yes AT0000A0YEG9 BTV 3% fund.obl. 13-33/6 PP - - yes AT0000A11RA6 BTV 3,105% fund.obl.13-28/29pp - - yes AT0000A11WB4 BTV 3,125% fund.obl.13-26/30pp - - yes AT0000A15245 BTV fund.obl.14-24/7/pp - - yes AT0000A18XF8 BTV fund.var. Obl. 14-24/17 - - yes AT0000A1GTK4 BTV fund.var. Obl. 15-17/20/PP - - yes AT0000A1BTE8 BTV fund.var. Obl. 15-18/2 - - yes AT0000A1EKP7 BTV fund.var. Obl. 15-20/12/PP - - yes AT0000A1D2Z3 BTV fund.var. Obl. 15-20/6 - - yes AT0000A1EE38 BTV fund.var. Obl. 15-22/11 - - yes AT0000A10A82 BTV fund.var.obl. 13-18/17 PP - - yes AT0000A10MD3 BTV fund.var.obl. 13-20/21 PP - - yes AT0000A171Y1 BTV nr Anl. 14-24/10 100,000 15.12.2015 no AT0000A19XW1 BTV nr. Anl. 14-24/24 97,000 04.11.2015 no AT0000A1EZF6 BTV nr. Anl. 15-25/13 - - no AT0000A175A2 BTV Obl. 2014-24/11 PP - - yes AT0000A178F5 BTV Obl.14-24/12/PP - - no AT0000A0UJR3 BTV var. Kassenobl. 12-16/7PP - - no AT0000A0ZCD7 BTV var. Obl. 13-16/11 PP - - no AT0000A19PP1 BTV var. Obl. 14-17/23 PP - - no AT0000A1APA6 BTV var. Obl. 14-21/29/PP - - no AT0000A14JY7 BTV var.kassenobl. 13-17/39 PP - - no AT0000A10BC8 BTV Var.Obl. 13-17/19 PP - - no Ultimo 30.12.2015 15

AT0000A153N2 BTV var.obl.14-19/8/pp - - no AT0000A12FX1 BTV var.obligation 13-17/32 PP - - no AT0000A15AA3 BTV var.obligation 14-24/9 PP - - no IE00BYZWJC31 Buckthorn S.2015-1 Pref.Sec. - - no XS0953046991 Buzzi Unicem Equ-li Bond 13-19 - - no AT0000A1CB33 CA IMMO 2,75 % Anl. 2015-2022 103,930 30.12.2015 no AT0000245790 CA nr Flexible- 89-19/2 104,000 21.02.2012 no AT0000246814 CA nr GM-Fl. 96-21/1 80,000 07.06.2013 no AT0000A195U8 Casin.Aust.Int 4,75% Anl.14-21 105,000 09.09.2015 no AT0000326897 CA-Vers. ewige var EK NamSV 98 - - no XS0503554627 CELESIO FINANCE 10/17 104,500 30.12.2015 no XS0843328526 CELESIO FINANCE 12/16 102,350 30.12.2015 no AT0000A0SNC1 Centr.Point Insur.IT Anl 11-26 - - no AT0000A1ERH9 Ceske drahy 1,89% Anl. 15-22 - - no AT0000A1ERJ5 Ceske drahy 3% Anl. 15-35 - - no XS1211657678 CFJIL L/S Phy/Cash CLN15-25/37 - - no XS1212392051 CFJIL L/S Phy/Cash CLN15-25/38 - - no XS1213824078 CFJIL L/S Phy/Cash CLN15-25/39 - - no XS0170386998 CIBA SP.CH.FIN.LUX. 03/18 111,280 30.12.2015 no IE00BWTNLD37 CL Vita Notes 15-65/Nr.1 - - no IE00BWTNLF50 CL Vita Notes 15-65/Nr.2 - - no IE00BWTNLG67 CL Vita Notes 15-65/Nr.3 - - no IE00BWTNLH74 CL Vita Notes 15-65/Nr.4 - - no IE00BWTNLJ98 CL Vita Notes 15-65/Nr.6 - - no IE00BWTNLK04 CL Vita Notes 15-65/Nr.7 - - no XS0299127182 CLEAR 4% LimRec CLN 07-22/S.55 - - no XS0425902078 CLEAR JPY LimRec CLN 09-17/S72 - - no XS0294787329 CLEAR Limit.Rec CLN 07-17/S.44 - - no XS1327011133 CompoundingClubFlexETP46 2018 - - no AT0000A01252 Constantia NR EK Bank SV 06-14 - - no XS0972719412 CONTI-GUMMI FIN. 13/17MTN 102,680 30.12.2015 no XS0953199634 CONTINENTAL MTN 13/18 106,930 30.12.2015 no XS0969344083 CONTINENTAL MTN 13/20 110,800 30.12.2015 no CH0216544061 Convisum 6,82% Anl. 13-18 104,200 26.09.2013 no XS1157107456 CorpAm.Italia 6,25% Notes14-19 - - no XS1251798275 Corsair Fin.JE CLN 15-20/S.43 - - no XS1251798358 Corsair Fin.JE CLN 15-20/S.44 - - no XS1278111213 Corsair Fin.JE CLN 15-24/S.51 - - no XS1238234519 Corsair Fin.JE CLN 15-25/S.40 - - no XS1287931353 Corsair Fin.JE CLN 15-25/S.53 - - no XS1304463455 Corsair Fin.JE CLN 15-25/S.56 - - no Ultimo 30.12.2015 16

XS1258855946 Corsair FinJE RepackN.15-38/47 - - no XS1255380708 Corsair FinJE RepackN.15-39/46 - - no XS1227249999 Corsair JPY-FiR.Notes15-16/133 - - no XS1242516489 Corsair(IE) Idx-li N.15-26/134 - - no XS1242516307 Corsair(IE) Idx-li N.15-26/135 - - no XS1242516646 Corsair(IE) Idx-li N.15-26/136 - - no XS1245246795 Corsair(IE) Idx-li N.15-26/137 - - no FR0122739081 Cr.MunicParis 0,84% BMTN 14-17 - - no FR0122268305 Cred.Munic.Paris 2% BMTN 14-19 - - no IE00BY4JZT42 Crestline S.B Notes 15-66 - - no AT0000500913 CROSS nr fix/var ewige Anl. 05 97,000 14.04.2015 no IE00BJMYXT28 Crownwheel Struct.Notes14-34/1 - - no IE00BVFNLF24 CrownWheel Struct.Notes14-34/2 - - no IE00BXDZN929 CrownWheel Struct.Notes15-35/3 - - no XS1233785713 CSEMC S.2015-1A Notes due 2020 - - no XS1233785804 CSEMC S.2015-1B Notes due 2020 - - no XS1140504231 CuMa2 NatureCons.Notes 14-21/2 - - no LU0928159945 CVC Eur.Cred.Opp.C Notes 13-33 - - no DE000A1C9VQ4 DAIMLER AG.MTN 10/17 104,230 30.12.2015 no DE000A1MA9V5 DAIMLER AG.MTN 12/17 102,400 30.12.2015 no DE000A1PGQY7 DAIMLER AG.MTN 12/18 104,450 30.12.2015 no DE000A1MLXN3 DAIMLER AG.MTN 12/19 106,980 30.12.2015 no DE000A1R0TN7 DAIMLER AG.MTN 12/20 104,380 30.12.2015 no DE000A1PGWA5 DAIMLER AG.MTN 12/22 108,350 30.12.2015 no DE000A1R0683 DAIMLER AG.MTN 13/16 100,450 30.12.2015 no DE000A1X3GC3 DAIMLER AG.MTN 13/18 103,280 30.12.2015 no DE000A1TNK86 DAIMLER AG.MTN 13/20 105,500 30.12.2015 no DE000A1TNJ97 DAIMLER AG.MTN 13/21 106,030 30.12.2015 no DE000A1R0691 DAIMLER AG.MTN 13/23 108,350 30.12.2015 no DE000A1R04X6 DAIMLER AG.MTN 14/22 107,480 30.12.2015 no XS0243406278 DB Notes/Liqu.Comm.Index 06-16 - - no DE000DB7XLA7 DB var.schuldv Cap/Floor 10-16 99,790 03.11.2014 no XS1218093380 dbinvso DWS MuOpp Notes15-21/5 - - no XS1218091251 dbinvso JPM Gl.IncFu N.15-22/4 - - no XS1252976508 dbinvso JPMoGl.In.Fu N.15-21/8 - - no XS1227225460 dbinvso LO Fund Notes 15-20/S7 - - no XS1227220404 dbinvso M&G Fund Notes 15-20/6 - - no XS1300573067 dbinvsol2 Sec.N/DWSConc15-22/9 - - no XS1222590306 DBLu Fid.Notes/JapTr 15-18/S87 - - no XS1238253659 DBLu Fid.Notes/JapTr 15-18/S88 - - no XS1238253733 DBLu Fid.Notes/JapTr 15-20/S89 - - no Ultimo 30.12.2015 17

XS1331801339 DBLu Fid.Notes/JapTr 15-20/S94 - - no DE000A1R1BC6 DEUT.BOERSE ANL 13/18 102,150 30.12.2015 no DE000A1RE1W1 DEUT.BOERSE MTN 12/22 109,530 30.12.2015 no AT0000330071 Deutsche Bank SV S.296/00-30 113,390 27.12.2001 no XS1075385184 DomRe IC Risk-part.Notes 14-20 - - no AT0000342274 Donau Vers. EK-Anl 04/P1 106,500 01.02.2011 no AT0000A0RHX1 DPI nr St.Zi.Anl+Bonuszi 11-18 - - no XS0997664411 DT.RASTSTAETTEN 13/20REGS 107,790 30.12.2015 no XS0166179381 DT.TELEK.INTL F.03/18 MTN 114,350 30.12.2015 no XS0161488498 DT.TELEK.INTL F.03/33 MTN 162,380 30.12.2015 no DE000A0GTCB9 DT.TELEK.INTL F.06/16 MTN 101,980 30.12.2015 no DE000A0T5X07 DT.TELEK.INTL F.09/17 MTN 106,200 30.12.2015 no XS0494953820 DT.TELEK.INTL F.10/20 MTN 115,180 30.12.2015 no XS0525787874 DT.TELEK.INTL F.10/22 MTN 120,000 30.12.2015 no XS0503603267 DT.TELEK.INTL F.10/25 MTN 129,150 30.12.2015 no XS0553728709 DT.TELEK.INTL F.10/30 MTN 126,550 30.12.2015 no XS0850057588 DT.TELEK.INTL F.12/19 MTN 106,250 30.12.2015 no XS0847580353 DT.TELEK.INTL F.12/24 MTN 111,650 30.12.2015 no XS0875796541 DT.TELEK.INTL F.13/21 MTN 107,050 30.12.2015 no XS0875797515 DT.TELEK.INTL F.13/28 MTN 115,300 30.12.2015 no XS1048589458 DUERR AG ANL.14/21 104,380 30.12.2015 no XS1262520486 DurhamCap.C1 8% S1 15-18 - - no XS1275374376 DurhamCap.C2 S.1 15-25 - - no XS0148579153 E.ON INTL FIN. 02/17 MTN 108,630 30.12.2015 no XS0322977223 E.ON INTL FIN. 07/17 MTN 108,730 30.12.2015 no XS0361244667 E.ON INTL FIN. 08/20 MTN 119,530 30.12.2015 no XS0347908096 E.ON INTL FIN. 08/23 MTN 126,150 30.12.2015 no XS0408095387 E.ON INTL FIN. 09/16 MTN 100,200 30.12.2015 no XS0256161620 East Cameron Gas Sukuk 06-19 - - no AT000B008024 EB 4,32 % Pfandbr. 08-18/S.539 104,130 28.12.2010 yes XS0304994337 EB CapGuar LLE Notes 07-17/462 77,950 09.11.2011 no XS0192293941 EB CMS CLN Serie 241/04-24/PP 86,500 31.01.2011 no XS0283428455 EB CMS Floater 07-17/S.404 99,050 21.12.2010 no XS0284406187 EB CMS Floater 07-17/S.406 99,350 21.12.2010 no XS0275028909 EB CMS FRN 06-16/S.380 98,950 21.12.2010 no XS0272381491 EB CMS FRN 06-21/S.374 92,350 21.12.2010 no XS0306975532 EB CMS FRN 07-17/S.470 98,650 21.12.2010 no AT000B000047 EB CMS linked Note S.318/06-16 98,300 21.12.2010 no AT000B000179 EB Com. Alpha PlusN.06-16/S325 97,500 01.07.2010 no XS0336433148 EB EUR 3 Mio Bond 08-18/501 78,500 29.12.2008 no XS0306897983 EB EUR 5 Mio Bond 07-17/S.469 75,000 29.12.2008 no Ultimo 30.12.2015 18

AT000B001342 EB EuroGar.2008 Bond 08-20/521 - - no AT000B001334 EB Gar.-Concept Bond 08-20/518 - - no AT0000114681 EB HYP BGLD Var Pfd R 68 04-16 96,920 30.12.2008 yes AT000B000062 EB NR EK BankSV 06-16 101,300 20.10.2014 no AT000B000195 EB NR EK BSV 06-16/DIP 326 91,510 02.01.2013 no AT000B001466 EB nr EK Geldma-Fl. 08-16/S544 98,500 06.11.2015 no AT000B001078 EB NR EK Gmfloater 07-16/S.472 100,610 31.10.2013 no AT000B000450 EB NR EK Stufz.BSV 06-16/S 351 104,050 08.10.2013 no AT000B000518 EB nr EK StZi Schuldv06-16/359 95,000 28.12.2010 no AT000B000476 EB nr Fix/CMS FRN S.354/06-21 79,400 21.12.2010 no AT000B000039 EB NR Step-up Bankschv. 06-26 75,050 21.12.2010 no AT000B009014 EB Oeff. Pfbr. R. 37/06-26 94,150 21.12.2010 yes AT000B009105 EB Oeff.Pfbr R.46/06-21 101,050 21.12.2010 yes AT000B009139 EB 犟f. Pfdbr.06-17/S.371 101,750 21.12.2010 yes AT000B009212 EB 犟f. Pfdbr.07-17/S.484 107,030 28.12.2010 yes AT000B009188 EB 犟f. Pfdbr.07-22/S.409 118,350 21.12.2010 yes AT000B009121 EB 犟f.Switch.Pfdbr.06-21 119,200 21.12.2010 yes AT000B001458 EB S GarConc.Bond II 08-20/542 - - no XS0303559115 EB Subord CMSlinkN 07-19/S.455 - - no XS0260783005 EB Subord. FRN 06-17/S.349 92,500 31.01.2011 no AT000B008065 EB Zero Pfdbr. 08-18/558 76,430 28.12.2010 yes AT000B008123 EB Zero Pfdbr. 08-19/647 - - yes AT000B008131 EB Zero Pfdbr. 08-19/648 - - yes AT000B008040 EB Zero Pfdbr.08-19/S.541 73,180 28.12.2010 yes AT000B004692 EG var. verz. Anl. 10-16/S.953 99,120 28.12.2010 no AT0000A1D2V2 EGB fix/var A.15-30 2/1393 - - no AT0000A1CB58 EGB fix/var A.15-35/DIP1385 - - no XS1288539874 EGB 0,375% HypPfbr.15-20/1456 - - yes XS1181448561 EGB 0,75% HypPfandbr15-25/1390 - - yes AT0000A192G4 EGB 1,09% HypPfandbr14-22/1343 - - yes AT0000A15TU1 EGB 1,1% FixzAnl.14-17/DIP1289 - - no AT0000A191G6 EGB 1,43% HypPfandbr14-24/1341 - - yes AT0000A1GLN5 EGB 1,5% Fixzinsanl.15-22/1460 - - no AT000B007471 EGB 1,625% KMU A.12-17/PEP284 - - no XS0993272862 EGB 1,875% Schv 13-19/DIP 1230 - - no AT0000A16WL2 EGB 1,93% Anl. 14-20/DIP 1291 - - no AT000B119912 EGB 1,93% Bond 13-18/DIP 1206 - - no AT0000A16R12 EGB 10,75% TRY-Anl. 14-17/1285 - - no AT0000A1HF00 EGB 10-J-CMS Anl. 15-25/S1480 - - no AT000B004825 EGB 10y-CMS-Floater10-20/961 96,500 21.12.2010 no AT000B120134 EGB 2% Fixzinsa. 13-19/DIP1233 - - no Ultimo 30.12.2015 19

AT000B120266 EGB 2% Fixzinsa. 13-19/DIP1241 - - no AT000B120308 EGB 2,075%Fixzinsa. 13-19/1243 - - no AT0000A19PJ4 EGB 2,09% Anl. 14-25/DIP 1356 - - no AT0000A16WM0 EGB 2,19% Anl. 14-21/DIP 1292 - - no AT0000A1AS93 EGB 2,25%USD-Anl.14-19/DIP1371 - - no AT000B120316 EGB 2,37%Fixzinsa. 13-20/1244 - - no AT000B119698 EGB 2,5% Anl. 13-20/DIP 1179 - - no AT000B006283 EGB 2,55% KMU-Anl.11-16/PEP127 100,000 21.12.2015 no AT0000A17ZN9 EGB 2,56% Anl. 14-24/DIP 1320 - - no AT000B120415 EGB 2,58% Fixzinsa. 14-22/1268 - - no XS0508117198 EGB 2,76% Mortg.Bond 10-16/938 100,000 07.07.2010 yes AT000B007323 EGB 2,79% Anl. 12-17/DIP 1122 - - no AT000B120423 EGB 2,79% Fixzinsa. 14-23/1269 - - no AT000B007273 EGB 2,83% Anl. 12-17/DIP 1118 - - no AT000B008289 EGB 3,08%HypoPfdbr10-17/DIP993 96,430 28.12.2010 yes AT000B008313 EGB 3,125% Pfbr.11-16/DIP 1016 - - yes AT000B007315 EGB 3,13% Anl.12-18/DIP 1121 - - no AT000B007380 EGB 3,2% NOK-Anl 12-16/PEP 266 100,250 10.12.2015 no AT000B006846 EGB 3,25% FixAnl.12-17/PEP187 - - no AT000B008388 EGB 3,25% HypPfb 11-17/DIP1048 - - yes AT000B007596 EGB 3,3% Anl. 12-21/DIP S.1144 - - no AT000B005749 EGB 3,33%Jubilumsanl.11-16/93 - - no XS0765299655 EGB 3,375% Notes 12-17/DIP1097 - - no AT000B007224 EGB 3,38% Anl. 12-18/DIP 1114 - - no AT0000A1FR32 EGB 3,4% Fix.Rate B.15-20/1440 - - no AT000B007307 EGB 3,40 % Anl.12-19/DIP 1120 - - no XS0547438589 EGB 3,5% Bond 10-18/DIP S.987 100,000 28.10.2010 no XS0743547183 EGB 3,5% Mortg.Pfbr 12-22/1075 - - yes AT000B007042 EGB 3,52% Anl. 12-18/DIP 1103 - - no AT000B008321 EGB 3,85 % Pfbr.11-20/DIP 1022 - - yes AT000B008347 EGB 3,85% Hyp.Pfbr.11-19/S1029 - - yes AT000B005517 EGB 3,9 % Anl. 11-16/DIP 1012 - - no AT000B005038 EGB 3,93% Anl. 10-20/DIP 980 92,530 28.12.2010 no AT0000A1CJZ2 EGB 3Mo-Eurib.Fl.15-20/DIP1391 - - no AT000B008362 EGB 4% Hyp.Pfbr.11-21/DIP 1035 - - yes AT000B007182 EGB 4% NOK-Anl.12-16/PEP234 - - no AT000B004155 EGB 4,04% Anl. 10-17/908 99,230 28.12.2010 no AT000B009287 EGB 4,05% Oeff.Pfbr. 09-17/780 103,030 28.12.2010 yes AT000B007059 EGB 4,08% Anl. 12-20/DIP 1104 - - no AT000B004072 EGB 4,08% Anl.10-17/DIP 901 99,430 28.12.2010 no AT000B004643 EGB 4,1% Anl. 10-20/DIP S.949 94,330 28.12.2010 no Ultimo 30.12.2015 20

AT000B009352 EGB 4,125% OeffPfbr 09-19/S834 101,830 28.12.2010 yes AT000B005848 EGB 4,15% Anl. 11-16/DIP S1034 - - no AT000B006887 EGB 4,17% Anl. 12-19/DIP 1096 - - no AT000B006788 EGB 4,18 % Anl. 12-22/DIP 1087 - - no AT000B006911 EGB 4,18% Anl. 12-22/DIP 1098 - - no AT000B007208 EGB 4,2% NOK-Anl.12-17/PEP 246 - - no AT000B003835 EGB 4,25% Anl. 09-16/S.887 100,830 28.12.2010 no AT000B007760 EGB 4,25% AUD-Anl.13-18/PEP334 97,800 28.10.2013 no AT000B006192 EGB 4,25% NOK-Anl.11-16/PEP120 103,000 13.05.2015 no XS0616431689 EGB 4,25% Notes 11-16/DIP 1031 - - no AT000B005764 EGB 4,31% Anl.11-18/DIP S.1025 - - no AT000B006150 EGB 4,75% NOK-Anl.11-16/PEP119 100,000 21.05.2015 no AT000B003306 EGB 4,77% Anl. 09-17/S.832 102,930 28.12.2010 no AT000B003561 EGB 4,8 % Anl. 09-19/859 100,530 28.12.2010 no AT000B002837 EGB 5,08 % Anl. 09-23/S.731 97,130 28.12.2010 no AT000B120233 EGB 5,25% NR FixAnl.13-24/1239 - - no AT000B006242 EGB 6% AUD-Anl.11-16/PEP124 99,450 19.03.2012 no AT0000A178D0 EGB 8,75% TRY-Anl.14-16/S.1302 - - no AT000B002340 EGB Anl. 08-20/S.706 - - no AT000B120555 EGB Ass.-li Note/RO 14-19/ALN4 - - no AT000B120571 EGB Ass.-Note/RO 14-19 II/ALN5 - - no XS0489551779 EGB Asset-li Note Ro 10-18/912 97,320 28.12.2010 no AT000B120498 EGB Asset-li Note/BCR 14-20/S1 - - no XS0859664483 EGB Ass-li Note/Ro 12-18/1142 - - no AT000B002795 EGB Best oftrend III 09-21/769 - - no AT000B007612 EGB Bestzinsanl. 13-18/PEP 307 100,300 07.04.2015 no AT000B119771 EGB Bon.abh.Anl/TKA 13-23/CRD9 - - no AT000B002175 EGB Bond Garant 08-20/681 - - no AT000B006101 EGB Cap/Floor Fl.11-17/PEP 115 - - no AT000B004221 EGB Cap/Floor Float.10-20/915 95,850 21.12.2010 no AT000B004668 EGB Cap/Floor Floater10-16/951 98,000 27.12.2010 no AT000B004254 EGB Cap/Floor Floater10-20/919 94,250 27.12.2010 no AT000B004338 EGB Cap/Floor Floater10-20/923 99,000 28.12.2010 no AT000B119664 EGB CapFloor Fl. 13-20/DIP1174 - - no XS0794226141 EGB CLN Slovak Rep. 12-17/1112 - - no AT0000A1FQG0 EGB CLN/Aegon NV 15-25/CRD 123 - - no AT000B119599 EGB CLN/Allianz 13-23/CLN S.41 - - no AT000B119631 EGB CLN/Allianz 13-23/CLN S.44 - - no AT0000A1FQF2 EGB CLN/Assi.Gen.15-25/CRD 122 - - no AT0000A1FQH8 EGB CLN/Aviva PLC15-25/CRD 124 - - no AT000B006176 EGB CLN/DAX Top20 11-16/CLN 02 - - no Ultimo 30.12.2015 21

AT000B007729 EGB CLN/Dt.Telek.13-18/DIP1150 - - no AT000B034632 EGB CLN/Dte.Bk.13-21/DIP1165 - - no AT000B119607 EGB CLN/E.ON 13-20/CLN S.42 - - no AT000B007968 EGB CLN/Electr.Fran 13-21/1164 - - no AT000B005590 EGB CLN/Frankr. 11-18/CLN S.01 - - no AT0000A157V6 EGB CLN/Lettland 14-21/CRD32 - - no AT0000A1FJ73 EGB CLN/M&S PLC 15-25/CRD 120 - - no AT0000A15AE5 EGB CLN/Polen 14-21(2)/CRD35 - - no AT0000A157W4 EGB CLN/Polen 14-21/CRD33 - - no AT000B007737 EGB CLN/RWE 13-18/DIP1151 - - no AT0000A15PR5 EGB CLN/RWE 14-24/CRD S.41 - - no AT0000A1FJ65 EGB CLN/RWE 15-25/CRD 119 - - no AT000B119615 EGB CLN/Siemens 13-20/CLN S.43 - - no XS0881401763 EGB CLN/Slov.Rep. 13-20/1147 - - no AT0000A1FJ81 EGB CLN/Telefonica15-25/CRD121 - - no XS0667415599 EGB CLN/UniCred 11-16/DIP 1054 - - no AT000B119714 EGB CLN/UniCred. 13-16/CRD S.5 - - no AT000B007711 EGB CLN/Volksw. 13-18/DIP1149 - - no AT000B007893 EGB CLN/Volksw. 13-21/DIP1159 - - no AT0000A1FQX5 EGB CLN/VW AG.15-22/CRD 126 - - no AT000B007927 EGB CLN/VW II 13-21/DIP1162 - - no XS0823997985 EGB CLNZeroSlovakRep12-19/1127 - - no XS0794927011 EGB CLNZeroSlovakRep12-22/1111 - - no XS0558271762 EGB CMS Fltr 10-20/991/1+ 100,000 27.12.2010 no AT000B008339 EGB CMS Hyp-Pfbr.11-21/DIP1027 - - yes XS0542374722 EGB CMS li. FRN 10-20/975 - - no AT0000A1FW01 EGB CMS NR-Fltr.15-25/DIP 1444 - - no AT000B005400 EGB CMSfix to float 11-21/1005 - - no AT0000A192L4 EGB CMS-Floater 14-24/DIP 1340 - - no AT0000A1DK07 EGB CMS-Floater 15-25/DIP 1406 - - no AT000B004833 EGB CMS-Floater10-20/962 - - no AT0000A1ASB8 EGB CMS-Fltr.14-24/DIP 1370 - - no AT0000A1DWP4 EGB CMS-Fltr.II 15-25/DIP 1413 - - no AT000B005533 EGB CMS-li Anl. 11-21/DIP 1010 - - no AT000B003066 EGB CMS-li FRN 09-16/S.806 100,350 21.12.2010 no AT000B006341 EGB CMS-li.N. 11-18/DIP S.1061 - - no AT0000A1GQR5 EGB CMS-NR-fltr.15-25 II/1465 - - no AT0000A1G7C8 EGB Collar Floater 15-25/S1454 - - no AT0000A1HEZ2 EGB Collar.Floater 15-25/S1479 - - no AT000B005103 EGB Collared FRN 10-16/PEP S58 100,000 28.10.2010 no AT000B005939 EGB Collared FRN 11-16/PEP 104 - - no Ultimo 30.12.2015 22

AT000B119755 EGB CREDEA/TKA 13-18/CRD6 - - no AT000B119839 EGB CZK Floater 13-16/DIP 1195 - - no AT0000A14QE4 EGB CZK Floater 14-19/DIP 1258 - - no AT000B002043 EGB CZK Guar.Conc152 08-18/657 - - no AT0000A1AUY6 EGB CZK-Fltr. 14-19/DIP 1376 - - no AT000B001185 EGB East-West Suc.B. 07-19/485 - - no AT000B006986 EGB Eurib.Korrid.Fltr12-20/203 - - no AT000B006630 EGB EUROSTOXX50Zero 12-27/1074 - - no AT000B119888 EGB FestzinsAnl.13-17/DIP1204 - - no AT000B006317 EGB Fix to float Bd. 11-17/130 102,300 09.06.2015 no AT000B005673 EGB Fix/CMS-li.Bd11-16/DIP1021 - - no AT000B006762 EGB Fix/Float.Anl.12-17/PEP180 - - no AT000B006853 EGB Fix/Float.II Anl.12-17/186 - - no AT000B006895 EGB Fix/Float.IIIAnl.12-17/193 - - no AT000B007034 EGB Fix/Float.IV Anl.12-18/214 - - no AT0000A1D2W0 EGB fix/var A.15-30/DIP1392 - - no AT000B006713 EGB Fix/Var Anl. 12-20/PEP169 - - no AT000B006549 EGB fix/var.anl. 12-16/PEP 148 - - no AT000B006564 EGB fix/var.anl. 12-18/PEP 146 - - no AT000B119797 EGB fix/var.anl. 13-19/1193 - - no AT000B006721 EGB Fix-Float Anl.12-16/PEP171 - - no AT0000A17CH0 EGB Fix-FloatAnl.14-21/DIP1307 - - no AT000B007125 EGB Fix-to-Float 12-19/DIP1109 - - no AT000B005624 EGB Fix-Var. nr. Anl. 11-19/85 104,200 07.12.2015 no AT000B007455 EGB Fix-Var.Anl. 12-17/PEP276 - - no AT000B007620 EGB Fix-Var.Anl. 13-20/PEP 308 - - no AT000B007133 EGB Fix-Var.Anl.12-16/PEP 223 - - no AT000B007141 EGB Fix-Var.Anl.12-21/PEP 224 101,500 09.01.2014 no AT0000A15MA8 EGB fix-var.anl.14-21/dip 1272 - - no AT000B006002 EGB Fix-Var.nr Anl.II11-19/108 103,750 31.03.2015 no AT000B007943 EGB FixVar.nr.A13-21/II/PEP362 96,600 10.12.2015 no AT000B007752 EGB Fix-Var.nr.Anl13-21/PEP321 97,000 30.12.2015 no AT000B119789 EGB Fixzinsanl. 13-16/DIP 1192 - - no AT000B003470 EGB Float.Rate Notes 09-17/850 99,000 28.12.2010 no AT000B003355 EGB Floater 09-16/S.839 100,270 28.12.2010 no AT000B003082 EGB Floater 09-17/S.808 94,800 28.12.2010 no AT000B005657 EGB Floater 11-16/DIP 1019 - - no AT000B006044 EGB Floater 11-16/DIP 1045 - - no AT000B005756 EGB Floater 11-16/DIP S.1024 - - no AT000B005723 EGB Floater 11-16/PEP S.91 - - no AT0000A18017 EGB Floater 14-19/DIP 1325 - - no Ultimo 30.12.2015 23

AT0000A193G2 EGB Floater 14-19/DIP 1349 - - no AT0000A18025 EGB Floater 14-21/DIP 1326 - - no AT0000A193F4 EGB Floater 14-21/DIP 1348 - - no AT000B120563 EGB Float-to-Fix Bond 14-34 - - no XS0880932917 EGB FRCLN/Slov.Rep. 13-18/1146 - - no AT000B003728 EGB FRN 09-16/S.876 97,700 28.12.2010 no AT000B007992 EGB Fruehl.Floater13-20/PEP372 - - no AT000B006705 EGB Fruehlingsfltr12-18/PEP168 105,200 15.12.2015 no AT000B004437 EGB Frhlings Fltr.10-16/PEP29 95,250 27.12.2010 no AT0000A1DVV4 EGB Frhlingsfl.15-22/DIP 1411 - - no AT0000A15ZG7 EGB Frhlingsfltr. 14-21/1290 - - no AT000B005582 EGB Frhlings-Fltr.11-17/PEP84 104,000 17.04.2015 no AT000B005897 EGB Frhlingsfltr.II 11-17/101 103,800 11.12.2015 no AT000B006960 EGB Frhlingsfltr.II 12-18/202 102,300 16.09.2013 no AT0000A16X14 EGB fund. FRN 14-17/DIP 1297 - - yes AT000B004940 EGB Gar.-Float.III 10-16/PEP51 98,250 27.12.2010 no AT000B002852 EGB Garant 09-21/S.775 - - no AT000B004429 EGB Garant-Fltr.II 10-16/PEP30 97,250 27.12.2010 no AT000B004130 EGB Garantie-Fltr.10-16/PEP16 97,500 27.12.2010 no AT000B003264 EGB GBP/EUR CMS-Anl 09-21/S828 102,500 21.12.2010 no AT000B004064 EGB Gipfelst.-Fltr.10-16/PEP14 100,700 01.10.2015 no AT000B004361 EGB GipfelstFlt.II 10-16/PEP24 103,250 12.08.2013 no AT0000A19SK6 EGB GM-Floater 14-20/DIP 1358 - - no AT000B006218 EGB Herbstfloat.11-17/PEP S121 103,600 04.05.2015 no AT000B004908 EGB Herbst-Floater 10-16/PEP49 94,500 13.12.2011 no AT000B007448 EGB Herbstfloater 12-18/PEP275 - - no AT000B119938 EGB Herbstfloater13-20/DIP1212 101,200 09.01.2014 no AT0000A1A3L4 EGB Herbstflt.14-21/DIP 1361 - - no AT000B120357 EGB Herbstfltr.14-21/DIP1246 - - no AT0000A1GMG7 EGB Herbstfltr.15-22/DIP 1464 - - no AT0000A18XH4 EGB Hyp.-Pfandbr14-29/1339 - - yes AT000B007117 EGB Ind.Cap.As.Call 12-17/1105 - - no AT000B004726 EGB Index-li Bond 10-16/S.954 - - no AT000B005418 EGB Inf.li. ZeroBond11-26/1006 - - no AT000B007067 EGB Inf.li. ZeroBond12-27/1106 - - no AT000B003587 EGB Infl. schutz A.09-17/861 107,000 05.12.2012 no AT000B005426 EGB infl. Zero B. 11-26/1007 - - no AT000B120142 EGB Inflation-li Zero Bd.14-30 - - no AT000B119623 EGB Inflation-li. Bond 13-19 - - no AT000B119581 EGB Inf-li Zero Bond 13-29 - - no AT000B006416 EGB Inf-li ZeroB 12-27/DIP1064 - - no Ultimo 30.12.2015 24

AT000B007257 EGB Inf-li ZeroB 12-28/DIP1116 - - no AT000B007539 EGB Inf-li ZeroB 13-28/DIP1136 - - no AT000B006648 EGB Infl-li Bond 12-27/PEP 161 - - no AT0000A15PT1 EGB kb Stufenz.A.14-29/DIP1276 - - no AT000B006622 EGB Memory Fltr. 12-18/PEP 158 - - no XS0432079381 EGB Mortg.ba.Pfandbr 09-16/805 104,250 31.01.2011 yes AT000B003967 EGB Neujahrs-Float.10-16/PEP10 100,410 22.07.2015 no AT000B005277 EGB Neujahrs-Float.11-17/PEP68 103,000 10.03.2015 no AT000B006507 EGB Neujahrsfloat.12-18/PEP145 - - no AT0000A1BMV7 EGB Neujahrsfloater 15-21/1382 - - no AT0000A1AJE1 EGB nr fix/var A.14-22/DIP1365 - - no AT000B119680 EGB nr fix/var.anl. 13-23/1172 100,250 03.12.2015 no AT0000A15ZJ1 EGB nr fix-var A.II 14-22/1283 93,000 23.03.2015 no AT000B120084 EGB nr Fix-Var.A.13-23/DIP1229 95,000 02.11.2015 no AT0000A14PZ1 EGB nr fix-var.anl. 14-22/1257 100,000 28.02.2014 no AT0000A1BTF5 EGB nr Fix-Var.Anl. 15-23/1384 94,500 31.08.2015 no AT0000A19NS0 EGB NR Floater 14-22/DIP 1354 96,000 28.07.2015 no AT000B007950 EGB NR Fltr.13-23/PEP368 98,750 29.04.2015 no AT000B005202 EGB NR Inf.li. Zero B11-26/990 - - no AT000B005566 EGB Nr infl.geb. A.11-19/PEP83 97,900 22.10.2014 no AT000B004791 EGB NR Zero Bond 10-22/DIP959 95,500 28.12.2010 no AT000B004981 EGB NR Zero Bond 10-22/DIP973 84,820 28.12.2010 no AT000B005137 EGB NR Zero Bond 10-22/DIP988 95,500 28.12.2010 no AT000B004296 EGB nr Zero Bond 10-22/S.922 97,250 21.12.2010 no AT000B004312 EGB nr Zero Bond 10-22/S.925 90,100 21.12.2010 no AT0000A17J78 EGB nr Zi.Stufe Anl.14-22/1309 96,900 20.02.2015 no AT0000A1E283 EGB NR-Floater 15-25/DIP 1416 102,750 06.10.2015 no AT000B009428 EGB 𨰣f. Pfbr 11-16/DIP 1050 - - yes AT000B009402 EGB 𨰣f. Zero Pfdb 11-26/1039 - - yes XS0673643093 EGB Pub.Sec.Pfd 11-18/DIP 1058 - - yes XS0799386700 EGB Puttable Fltr12-17/DIP1113 - - no AT000B001938 EGB Safety Plus 08-18/S.639 - - no AT000B002142 EGB SGar-Conc166,5 IV09-21/677 - - no AT000B002381 EGB S-GarConc166,5 V 09-21/709 - - no AT000B001813 EGB SGarConcBond III 08-20/623 - - no AT000B001920 EGB SKK Guar.Conc. 08-18/638 - - no AT000B002274 EGB SKK Guar.Concept 08-18/696 - - no AT000B004551 EGB Sommer Fltr. 10-16/PEP37 101,500 18.11.2013 no AT000B006085 EGB Sommerfloat.11-17/PEP S114 105,000 20.04.2015 no AT000B119672 EGB Sommerfloat.13-20/DIP 1173 - - no AT0000A18QS5 EGB Sommerfloat.14-21/DIP 1332 - - no Ultimo 30.12.2015 25

AT000B007190 EGB Sommerfloater 12-18/PEP239 100,000 28.09.2012 no AT000B007521 EGB Stufenz.Anl. 12-17/DIP1135 - - no AT000B005061 EGB Stufenzi.Anl 10-17/PEP S56 108,000 02.04.2014 no AT000B005988 EGB Stufenzi.Anl 11-16/PEP 107 - - no AT000B005475 EGB Stufenzi.Anl 11-16/PEP S78 105,400 30.01.2013 no AT000B006747 EGB Stufenzi.Anl 12-17/PEP 176 - - no AT000B005368 EGB Stufenzi.-Anl. 11-16/PEP73 - - no AT000B005715 EGB Stufenzinsanl.11-16/PEP 90 - - no AT000B004817 EGB subo.cms-li Notes10-17/960 88,150 21.12.2010 no AT0000A1H5Z2 EGB Subord.RON-Fl. 15-23/1471 - - no AT0000A1FW68 EGB Subord.RON-Fltr.15-25/1446 - - no AT0000A1G7S4 EGB SuborRON-Fl.15-25(II)/1455 - - no AT000B005186 EGB Switch.Bond 10-16/DIP 992 99,000 27.12.2010 no AT000B004858 EGB Switch.Bond 10-20/DIP 964 93,350 21.12.2010 no AT000B004866 EGB Switch.Bond 10-20/DIP 965 91,900 21.12.2010 no AT000B005012 EGB Switch.Bond 10-20/DIP 979 92,250 21.12.2010 no AT000B005525 EGB Switch.Bond 11-21/DIP 1013 - - no AT000B120506 EGB Switchable Bond II 14-24 - - no AT000B119805 EGB Switchable Bond 13-23 - - no AT000B119862 EGB Switchable Bond 13-23 (II) - - no AT000B120175 EGB Switchable Bond 13-23 (IV) - - no AT000B119979 EGB Switchable Bond 13-23(III) - - no AT000B120449 EGB Switchable Bond 14-24 - - no AT000B120381 EGB Switchable Bond 14-29 - - no AT000B120605 EGB Switchable Bond 14-34 - - no AT000B120654 EGB Switchable Bond 15-25 - - no AT0000A1G2M8 EGB Switchable Bond 15-25 (II) - - no AT000B120613 EGB Switchable Bond 15-35 - - no AT000B120530 EGB Switchable Bond III 14-24 - - no AT000B008305 EGB var Hyp-Pfbr 11-16/1015 - - yes AT000B008370 EGB var Hyp-Pfbr 11-17/1040 - - yes AT0000A1D5G6 EGB var USD-A.15-21/DIP1397 - - no AT000B003629 EGB var. Anl. 09-17/S.865 98,700 28.12.2010 no AT000B002696 EGB var. Anl. 09-19/S.758 98,630 28.12.2010 no AT000B004916 EGB var. Anl. 10-16/DIP S.968 99,000 28.12.2010 no AT000B004148 EGB var. Anl. 10-16/PEP S.17 98,250 29.12.2010 no AT000B004122 EGB var. Anl. 10-20/DIP 905 97,250 21.12.2010 no AT000B003918 EGB var. Anl. 10-20/PEP S.5 98,000 28.12.2010 no AT000B005541 EGB var. Anl. 11-20/PEP S.80 - - no AT000B005392 EGB var. Anl. 11-21/DIP 1004 - - no AT000B006820 EGB var. Anl. 12-16/DIP S.1092 - - no Ultimo 30.12.2015 26

AT000B007331 EGB var. Anl. 12-16/DIP S.1123 - - no AT000B006838 EGB var. Anl. 12-17/DIP S.1093 - - no AT000B007349 EGB var. Anl. 12-17/DIP S.1124 - - no AT000B006697 EGB var. Anl. 12-27/DIP S.1083 - - no AT000B007901 EGB var. Anl. 13-16/DIP 1160 - - no AT000B007919 EGB var. Anl. 13-17/DIP 1161 - - no AT0000A15ZF9 EGB var. Anl. 14-17/DIP 1282 - - no AT000B120431 EGB var. Anl.14-24/DIP1270 - - no AT000B005731 EGB var. nr Anl. 11-20/PEP 92 - - no AT000B004346 EGB var.anl. 10-18/DIP S.926 98,250 28.12.2010 no AT0000A17ZV2 EGB var.hyp.pfandbr 14-19/1321 - - yes AT0000A17ZZ3 EGB var.hyp.pfandbr 14-23/1322 - - yes AT0000A17ZX8 EGB var.hyp.pfandbr 14-24/1323 - - yes AT000B008396 EGB var.hyppfbr.11-19/dip 1059 - - yes AT0000A18QR7 EGB var.oeff.pfandbr14-19/1333 - - yes AT0000A17ZY6 EGB var.oeff.pfbr. 14-20/1324 - - yes AT0000A1AN72 EGB var.verz. A.14-24/DIP 1368 - - no AT000B003538 EGB var.verz. Anl. 09-19/856 100,700 28.12.2010 no AT000B004197 EGB var.verz. Anl. 10-16/PEP19 97,500 27.12.2010 no AT000B004478 EGB var.verz.anl. 10-16/S.933 95,250 27.12.2010 no AT000B004650 EGB var.verz.anl. 10-17/S.950 98,650 28.12.2010 no AT000B005152 EGB Winter-Floater 10-16/PEP62 102,500 02.12.2013 no AT000B006473 EGB Winterfloater 11-17/141 - - no AT000B119920 EGB ZeCoup.Ass-li Note/Ro13-18 - - no AT000B003884 EGB Zero Bond 10-22/889 99,500 21.12.2010 no AT000B005210 EGB Zero Bond 10-22/DIP995 54,200 23.12.2010 no AT000B008297 EGB Zero HypoPfdb 10-30/DIP994 98,500 23.12.2010 yes AT000B007786 EGB ZeroCoup.CLN/Ro 13-20/1154 - - no AT000B007554 EGB Zins-Stufe 12-18/PEP 297 - - no AT000B119656 EGB Zinsstufe 13-18/DIP S.1170 - - no AT0000A14J71 EGB Zinsstufe 14-19/DIP1253 - - no AT0000A15TS5 EGB Zinsstufe II14-20/DIP 1288 101,750 12.10.2015 no AT0000A17AP7 EGB Zinsstufe III 14-20/1303 - - no AT0000A1FQK2 EGB1,59% FixzAnl.15-22/DIP1438 - - no AT000B119904 EGB1,75%KMU-F-bd13-18/DIP1205 - - no AT0000A1FWS3 EGB10-J-CMS A. 15-25/DIP 1447 - - no AT0000A1FWT1 EGB10-J-CMS A. 15-25II/DIP1448 - - no XS0490603270 EGB2,76%MortCovBd 10-19/DIP914 - - yes AT000B119649 EGB2,81% FixAnl.13-23/PEP402 - - no AT000B007653 EGB3,125% NOK-Anl.13-18/PEP311 97,200 28.06.2013 no AT000B007505 EGB3,5%CREDEA/Immof12-16/CLN26 - - no Ultimo 30.12.2015 27

XS0580561545 EGB4%Mortg.Pfd 11-21/DIP 1003 99,250 31.01.2011 yes AT0000A1FW76 EGB6,75%RONsubord.B.15-23/1445 - - no AT000B007513 EGBFix-Var.nr.Anl 12-20/PEP292 103,100 04.03.2015 no AT0000A1DWQ2 EGBGr.Op.Floridsdf.B15-20/1412 - - no AT000B005889 EGBGraben reform Fltr11-17/100 - - no AT0000A1FH59 EGBSommerfltr.15-22/1432 - - no AT000B004718 EGBSommer-Fltr.II 10-16/PEP 42 101,200 11.05.2015 no AT0000A11BC6 Egger HolzweSt. Hybridanl.2013 103,000 30.12.2015 no XS0258132272 EIB Euroz.Harm.IoCPli.N.06-16 100,150 22.12.2010 no XS0219361036 Eirles3 Fix to Fl. R.182/05-32 - - no XS1200035001 ELG 0,25% Fix.Rate 15-19 - - no XS0905658349 ELG 2,75% Fix.Rate 13-28 111,000 30.12.2015 no XS0674277933 ENBW AG ANL.11/72 106,000 30.12.2015 no XS1044811591 ENBW AG ANL.14/76 93,000 30.12.2015 no XS0207320242 ENBW INTL FIN. 04/25 MTN 126,330 30.12.2015 no XS0271757832 ENBW INTL FIN. 06/16 MTN 103,130 30.12.2015 no XS0399861086 ENBW INTL FIN. 08/18 MTN 118,200 30.12.2015 no XS0438844093 ENBW INTL FIN. 09/39 MTN 146,700 30.12.2015 no XS1074208270 ENBW INTL FIN. 14/26 MTN 105,880 30.12.2015 no XS0877820422 ENI Exchang.Bond/Snam 13-16 - - no XS0268694808 ErstCapFin(Jersey)Fix/FRN 06/1 68,600 16.03.2012 no XS1055121716 Espresso Equity-li 14-19 - - no DE000A0JQYS7 EUROGATE ANL.07/UNBEFR. 104,000 30.12.2015 no XS0911405784 EVONIK IND.MTN 13/20 105,900 30.12.2015 no XS1230115625 ExpoCap 8% LoanPart.Notes15-21 - - no XS1326573869 FCT Holding Exchang.Bond 15-20 - - no AT0000443163 Fix verz. swbb- WA 04-17/7 105,300 17.12.2015 no AT0000443189 Fix verz. swbb- WA 04-17/9 106,700 16.04.2015 no XS0477568637 FMC FINANCE VI 10/16 REGS 102,900 30.12.2015 no XS0576395478 FMC FINANCE VII 11/21 116,450 30.12.2015 no XS0675221419 FMC FINANCE VIII 11/18 114,830 30.12.2015 no XS0723509104 FMC FINANCE VIII 12/19 114,280 30.12.2015 no AT0000A1AY46 FOP 3,5% Praemienanl. 14-19 - - no XS0759200321 FRESENIUS FIN. 12/19 REGS 111,880 30.12.2015 no XS0873432511 FRESENIUS FIN. 13/20 REGS 107,480 30.12.2015 no XS1013954646 FRESENIUS FIN. 14/19 REGS 105,450 30.12.2015 no XS1013955379 FRESENIUS FIN. 14/21 REGS 107,630 30.12.2015 no XS1026109204 FRESENIUS FIN. 14/24 REGS 113,650 30.12.2015 no XS0491211644 GE CAP. TR.II 10/67 FLR 104,400 30.12.2015 no XS0491212451 GE CAP. TR.IV 10/66 FLR 100,680 30.12.2015 no XS0272770396 GE CAP.EURO. 06/16 103,330 30.12.2015 no Ultimo 30.12.2015 28

XS0273570241 GE CAP.EURO. 06/21 118,980 30.12.2015 no XS0288429532 GE CAP.EURO. 07/27 130,080 30.12.2015 no XS0340180149 GE CAP.EURO. 08/18 110,430 30.12.2015 no XS0385688097 GE CAP.EURO. 08/19 MTN 116,950 30.12.2015 no XS0350890470 GE CAP.EURO. 08/38 150,700 30.12.2015 no XS0453908377 GE CAP.EURO. 09/20 MTN 119,380 30.12.2015 no XS0491042353 GE CAP.EURO. 10/17 MTN 104,850 30.12.2015 no XS0612837657 GE CAP.EURO. 11/16 MTN 100,930 30.12.2015 no XS0626808496 GE CAP.EURO. 11/17 MTN 105,080 30.12.2015 no XS0794230507 GE CAP.EURO. 12/19 MTN 108,430 30.12.2015 no XS0925519380 GE CAP.EURO. 13/17 MTN 101,200 30.12.2015 no XS0874839086 GE CAP.EURO. 13/18 MTN 103,080 30.12.2015 no XS0954025267 GE CAP.EURO. 13/20 MTN 106,980 30.12.2015 no XS0874840845 GE CAP.EURO. 13/23 MTN 109,700 30.12.2015 no XS1169353254 GE CAP.EURO. 15/22 MTN 98,680 30.12.2015 no IT0005135758 Gemelli Service 4% Notes 15-25 - - no XS0229567440 GENL EL.CAP. 05/35 MTN 119,580 30.12.2015 no XS0319639232 GENL EL.CAP. 07/67 FLR 104,430 30.12.2015 no DE000A12DKE5 Georgsmarienh. Hybrid-Anl.2014 - - no XS0626028566 GERRESHEIMER ANL.11/18 109,580 30.12.2015 no AT0000A13ED4 GetBucks 11% Microfi.Bond14-17 102,000 29.09.2015 no AT0000A10568 Goldcube Perf.-li Bond 13-43 - - no XS0615238630 GOODYEAR DUNLOP 11/19REGS 103,380 30.12.2015 no AT0000341540 Graz.Baul. var TilgAnl 03-17/P - - no AT0000342175 Graz.Baul. var TilgAnl 04-18/P - - no AT0000342191 Graz.Baul. var TilgAnl 04-24/P - - no AT0000A0JGV4 Graz.Untern.Fin var.anl. 10-35 - - no AT0000341912 GSG OpenEnd Var. Anl. 03/PP/1 100,000 23.12.2009 no IT0004983067 GVS USPP Notes 13-23 - - no AT0000A0UMM8 HAAB 3,6% Oeff.Pfandbr.12-22 - - yes XS0293591995 HAABI CMS-li. Anl. 07-17/S.239 - - no XS0293592613 HAABI CMS-li. Anl. 07-17/S.240 - - no XS0166422823 HAABI EUR-var.Anl. 03-43/S.116 - - no XS0863484035 HAABI Sub.Gov.Guar.Notes 12-22 - - yes XS0067434042 Hamb.LB Rev.Dual Curr.N. 96-26 - - no XS0974356262 HAPAG-LLOYD AG 13(18)REGS 103,500 30.12.2015 no XS1144214993 HAPAG-LLOYD AG 14(19)REGS 103,560 30.12.2015 no IE00BB22LQ31 Harbert Struct.Notes 13-33 - - no XS0686703736 HDLBGCEM.FIN.LU. 11/18 123,130 30.12.2015 no XS0755521142 HDLBGCEM.FIN.LU. 12/16 100,660 30.12.2015 no XS0985874543 HDLBGCEM.FIN.LU. 13/20MTN 106,800 30.12.2015 no Ultimo 30.12.2015 29

XS1002933072 HDLBGCEM.FIN.LU. 13/21MTN 106,710 30.12.2015 no XS1044496203 HDLBGCEM.FIN.LU. 14/19 103,240 30.12.2015 no DE000A0TKUU3 HDLBGCEM.FIN.LU.MTN 07/18 108,590 30.12.2015 no XS0458230322 HDLBGCEM.FIN.LU.MTN 09/17 107,810 30.12.2015 no XS0458685913 HDLBGCEM.FIN.LU.MTN.09/19 124,800 30.12.2015 no XS0478803355 HDLBGCEM.FIN.LU.NTS 10/20 122,920 30.12.2015 no XS0626438112 HECKLER+KOCH 11/18 REG.S 89,740 30.12.2015 no DE000A1KQ1E2 HEIDELBERG.NTS11/18REG.S 104,480 03.12.2015 no XS0173731539 Helium LR PrinPr.Notes38/03-28 - - no AT0000A04RE3 HIB 3,45% Schuldv. 07-16/53 - - yes AT0000A04AA7 HIB 3,68% Schuldv. 07-17/7 - - yes AT0000A03NJ3 HIB 3,98% Schuldv. 06-17/15 - - yes IE00BYXDVL13 Hilcrest Sub.PrP.S.2010-2110 - - no XS1290200325 HNOGr 0,5% HypPfandbr.15-20/R7 - - yes XS1112184715 HNOGr 0,75% Hyp.Pfandbr.14-21 - - yes AT0000A19S34 HNOGr 0,9% Schuldv. 14-18/30 - - no XS1136259022 HNOGr 1,125 % SV 14-19/S.36 - - no XS0829215838 HNOGr 1,625% OePfbr.12-19/S266 - - yes XS0921670385 HNOGr 1,625% Schuldv.13-18/S.6 - - no XS0981808933 HNOGr 1,75% OePfbr.13-20/S.272 - - yes AT0000A19PN6 HNOGr 1,92% Schuldv.14-24/S.28 - - no XS0780267406 HNOGr 3% OeffPfbr.12-22/S.262 - - yes XS0741295447 HNOGr 4,1% OeffPfbr.12-32/S253 - - yes XS0580551157 HNOGr 4,11%Oeff.Pfbr 11-31/233 - - yes AT0000A1GD94 HNOGr CZK-Floater 15-20 - - no XS1068195996 HNOGr Hypoth.Pfbr.14-19/13_R.3 - - yes XS1248526508 HNOGr 犟f.Pfbr.15-20 - - yes AT0000A10GJ2 HNOGr var.czk-sv 13-18/S.8 - - no AT0000A18Q37 HNOGr var.hyp.pfbr.14-19/15 R3 - - yes XS1082455814 HNOGr var.hyp.pfbr.14-21/16 R4 - - yes XS0783534224 HNOGr var.oeff Pfbr.12-19/S263 - - yes AT0000A11U46 HNOGr var.sv 13-16/S.12 - - no AT0000A18X46 HNOGr var.sv 14-16/S.20 - - no AT0000A18X53 HNOGr var.sv 14-17/S.21 - - no AT0000A18X61 HNOGr var.sv 14-18/S.22 - - no AT0000A18XE1 HNOGr var.sv 14-21/S.23 - - no DE000A1MA9X1 HOCHTIEF AG 12/17 105,250 30.12.2015 no DE000A1TM5X8 HOCHTIEF AG 13/20 107,670 30.12.2015 no DE000A12TZ95 HOCHTIEF AG 14/19 103,210 30.12.2015 no DE000A1R02E0 HORNBACH-BAUM. ANL. 13/20 108,170 30.12.2015 no AT0000459235 HSbg Subord. CMS-Notes 00-20/6 90,550 28.12.2010 no Ultimo 30.12.2015 30

AT0000A1HCF8 HTB 0,1% Hyp.Pfbr.15-16/S.174 - - yes AT0000A1FUB3 HTB 0,1% Oeff.Pfbr.15-16/S.173 - - yes AT0000A1DCM3 HTB 0,204% Hyp.Pfbr.15-18/S172 - - yes AT0000A1ERN7 HTB 0,24% Hyp.Pfbr.15-18 - - yes AT0000A1EZR1 HTB 0,74% Hyp.Pfbr.15-20 - - yes AT0000A01UC7 HTB 11Y CMS ParticipNote 06-17 98,110 31.03.2015 yes AT0000A15M83 HTB 2,3% Hypoth.Pfandbr. 14-24 114,110 31.03.2015 yes AT0000470000 HTB 3,75 % Bond 2005-2017 104,460 31.03.2015 yes AT0000A0Q842 HTB 4,09% Kommunalbrief 11-23 129,960 31.03.2015 yes AT0000333091 HTB 4,6 % Anleihe 2004-2016 107,820 31.03.2015 yes AT0000470083 HTB CMS Spread Notes 05-17 104,150 31.03.2015 yes AT0000A01VC5 HTB EK-Anl.06-16 93,400 02.11.2015 no AT0000332804 HTB EK-Anleihe. 03-18/4 90,000 26.02.2014 no AT0000A04KQ2 HTB EUR-CMS FRN 07-17 101,080 31.03.2015 yes AT0000A04QQ9 HTB Fix/Floating CMS N. 07-17 101,280 31.03.2015 yes AT0000A0J7W4 HTB Fix/Var. EK-anl.10-20 85,050 29.11.2013 no AT0000470059 HTB Floating Rate Note 05-17 99,980 31.03.2015 yes XS0285803127 HTB FRN 07-17 /S.111 100,000 28.01.2008 no XS0291695434 HTB FRN 07-17/S.123 95,700 21.12.2010 yes AT0000A0ZCE5 HTB Hypotheken Pfandbr. 13-16 99,700 02.04.2013 yes AT0000A0JQ14 HTB Inflat.geb. Pfbr. 10-20 103,580 31.03.2015 yes AT0000333174 HTB Inflat.geb. Schuldv. 04-16 101,370 31.03.2015 yes AT0000A1GTJ6 HTB nr SV 15-25/S.174 - - no XS0253271018 HTB nr var.schuldv. S.88/06-17 89,950 29.11.2013 no AT0000A0JQS9 HTB Null-Kupon Pfbr. 10-16 112,390 31.03.2015 yes AT0000A0FSQ7 HTB var. BSV 09-16/S.152 102,160 31.03.2015 no AT0000470026 HTB Var. Schuldv. 05-17 100,050 31.03.2015 yes XS0280332577 HTB Var/Fix SV 06-17/S. 100 106,500 28.07.2014 no XS0280333542 HTB Var/Fix SV 06-17/S. 102 - - no AT0000A01U97 HTB vario EK-Anl.06-17 89,550 29.11.2013 no AT0000470174 HTB Vario Erg.Kap.-Anl. 05-16 91,600 29.11.2013 no AT0000332903 HTB Vario-Anleihe. 03-33/13 80,870 31.03.2015 yes AT0000332853 HTB Vario-Anleihe. 03-43/8 74,630 31.03.2015 yes AT0000333190 HTB Zero-Kupon Schuldv. 04-16 176,050 31.03.2015 yes AT0000A0GX67 HTB Zinsopti. Anl. 10-16/S.159 100,800 31.03.2015 no XS0119485885 HVB Subordinated FRN 00-20 - - no XS0132540955 HVbg fix/swap Rate Notes 01-31 100,000 06.08.2001 no AT0000A159V2 HWBB 2,40 % WA OOe14-25/1 - - no AT0000A159W0 HWBB 3 % WA OOe14-30/2 - - no AT0000A19RW3 HWBB DYNAMIK WA OOe14-25/15 100,700 29.12.2015 no AT0000A16QU5 HWBB DYNAMIK WA OOe14-28/11 - - no Ultimo 30.12.2015 31

AT0000A19RX1 HWBB DYNAMIK WA OOe14-29/16 - - no AT0000A04U52 HypIB Schuldv.ZiWa 07-16/S.66 - - yes XS0843955013 HYPO NOE GruppeB.2,2%SV12-19/3 - - no XS1246235458 HYPO NOEGr oeff. Pfdb.15-16/11 - - yes AT0000A10A25 HypoBgld 2,5% hypo.pfdbr.13-28 - - yes AT0000A013V1 Hypo-Bgld var. Schuldv. 06-16 98,780 30.10.2009 yes AT0000A01468 Hypo-Bgld var. Schuldv. 06-16 98,780 30.10.2009 yes AT0000A01211 Hypo-Bgld var. Schuldv. 06-17 98,640 30.10.2009 yes AT0000A01260 Hypo-Bgld var. Schuldv. 06-17 98,600 30.10.2009 yes AT0000A01278 Hypo-Bgld var. Schuldv. 06-17 98,600 30.10.2009 yes AT0000A01484 Hypo-Bgld var. Schuldv. 06-17 98,610 30.10.2009 yes XS0735918723 HypoNOGr 4% Pfandbr.12-29/S251 - - yes AT0000338926 Hypo-Stmk Zero-SV 99-29/4P 188,660 28.12.2010 yes AT0000332598 HypoTirol Erg.Kap-Anl 02-17/14 89,500 29.11.2013 no AT0000A10TJ5 HypoVbg. Anl.13-18/S.109 - - no XS1124548964 HypoVbg. 1,38% Anl.14-22/S.117 - - no AT0000A10GB9 HypoVbg. 1,87% Anl.13-20/S.108 - - no AT0000A12GP5 HypoVbg. 2,15% Anl.13-20/S.112 - - no AT0000A14FT5 HypoVbg. var. Anl. 13-18/S.113 - - no AT0000A0YE76 Hypo-WBB 2,4% WA OOe 13-24/1 - - no AT0000A0YEF1 Hypo-WBB 2,8% kbwa OOe 13-28/2 - - no AT0000A0ZJF7 Hypo-WBB 3% WA OOe 13-29/14 108,500 10.09.2015 no AT0000A0T846 Hypo-WBB 3% WA OOe 12-25/14 103,350 11.04.2014 no AT0000491121 HypoWBB CMS-li WA OOe 05-19/22 101,000 09.06.2015 no AT0000491220 HypoWBB CMS-li WA OOe 05-20/32 105,550 24.03.2015 no AT0000A0LZ68 Hypo-WBB Dyn WA OOe 11-22/3 - - no AT0000A0R1R7 Hypo-WBB Dyn WA OOe 11-23/24 - - no AT0000A0SL91 Hypo-WBB Dyn WA OOe 12-24/3 - - no AT0000A0KQT5 Hypo-WBB Dynam WA OOe 10-22/16 102,500 24.10.2013 no AT0000A063C6 Hypo-WBB fix WA Tirol 07-17/37 - - no AT0000A0HKP2 Hypo-WBB FixtoFWA OOe 10-24/14 98,250 30.11.2011 no AT0000491287 Hypo-WBB Krn. Zielk.Anl 05-26 96,500 17.12.2015 no AT0000491279 Hypo-WBB NOE-Zielk-WA 05-26/37 96,500 17.12.2015 no AT0000491303 Hypo-WBB NOE-Zielk-WA 05-26/40 98,510 03.09.2015 no AT0000303573 HypoWBB OO St.Zins-WA 04-16/12 105,000 02.03.2012 yes AT0000303565 Hypo-WBB OOe var. WA 04-16/11 99,750 18.12.2015 yes AT0000303516 Hypo-WBB OOe var. WA 04-16/6 105,250 20.06.2012 yes AT0000303680 Hypo-WBB OOe WA 04-17/23 102,600 03.11.2015 yes AT0000A018Y4 HypoWBB OOe WA 06-17/20 109,000 08.05.2014 no AT0000A01UE3 HypoWBB OOe WA 06-30/21 100,000 30.12.2010 no AT0000A0PDF1 Hypo-WBB SMR WA OOe 11-22/20 - - no Ultimo 30.12.2015 32

AT0000A0H0N0 Hypo-WBB StufenWA OOe 10-25/13 101,350 25.10.2011 no AT0000491006 Hypo-WBB Stufz.WA OOe 05-17/10 105,000 16.03.2015 no AT0000491022 HypoWBB Tir 2,75-4%WA 05-17/12 104,780 22.09.2015 yes AT0000303656 HypoWBB Tirol Var. WA 04-16/20 100,750 31.03.2015 yes AT0000A044L7 Hypo-WBB var WA OOe 07-30/3 100,000 30.12.2010 no AT0000A089V1 Hypo-WBB Var WA OOE 08-31/14 100,000 30.12.2010 no AT0000A063B8 Hypo-WBB var WA Tirol 07-17/36 - - no AT0000A0FZ58 Hypo-WBB var WA Tirol 10-20/3 105,970 31.03.2015 no AT0000A012V3 Hypo-WBB var. WA NOe 06-21/17 100,280 28.12.2009 no AT0000491048 Hypo-WBB var. WA OOe 05-19/14 106,300 19.10.2015 no AT0000A0CYR0 Hypo-WBB var. WA OOe 09-21/12 98,360 02.12.2015 no AT0000491030 Hypo-WBB var. WA Sbg 05-16/13 - - no AT0000A01W04 Hypo-WBB var. WA Sbg 06-21/25 - - no AT0000A01W12 Hypo-WBB var. WA Sbg 06-21/26 - - no AT0000A01W20 Hypo-WBB var. WA Sbg 06-21/27 - - no AT0000303300 HypoWBB var. WA Stmk 03-16/8 98,500 04.06.2014 no AT0000A044F9 Hypo-WBB var. WA Tirol 07-17/2 - - yes AT0000A0CY78 Hypo-WBB var. WA Vbg. 09-20/10 106,000 28.02.2014 no AT0000A00AQ1 Hypo-WBB var.wa Stmk 06-21/6 99,700 28.12.2010 no AT0000491089 Hypo-WBB var.wa Tirol 05-17/18 97,800 31.03.2015 yes AT0000491097 Hypo-WBB var.wa Tirol 05-17/19 98,340 31.03.2015 yes AT0000491204 Hypo-WBB var.wa Tirol 05-17/30 101,360 31.03.2015 yes AT0000491352 Hypo-WBB var.wa Tirol 06-17/1 104,430 31.03.2015 yes AT0000A0DWQ4 Hypo-WBB var.wa Tirol 09-20/16 101,430 31.03.2015 no AT0000303748 HypoWBB Vbg var. WA 05-17/4 100,300 29.01.2015 no AT0000A0FZ17 Hypo-WBB WA Tirol 10-20/2 113,200 05.05.2015 no AT0000307293 HYPO-Wohnb. var OOE-WA 96-19/8 97,000 01.12.2014 no AT0000A0C8T5 HypWBB Dynamik-WA OOe 08-21/32 97,850 02.12.2011 no AT0000A002W2 HypWBB f/v ZKup WA OOe 06-30/5 99,600 13.03.2015 no AT0000A00EW1 HypWBB f/v ZKup WA OOe 06-30/9 82,000 29.11.2011 no AT0000491261 HypWBB f/v ZKup WA OOe05-26/36 100,000 03.11.2015 no AT0000491311 HypWBB f/v ZKup WA OOe05-26/41 100,000 03.11.2015 no AT0000491295 HypWBB f/v ZKup WA Stk05-25/39 94,000 28.12.2010 no AT0000A0CF48 HypWBB Fi/Float.WA Stmk09-20/2 96,700 28.12.2010 no AT0000491246 Hyp-WBB Stk Spread An 05-25/34 91,000 28.12.2010 no AT0000491154 Hyp-WBB Stmk CMS Anl 05-25/25 87,450 28.12.2010 no AT0000491071 Hyp-WBB Stmk CMS WA 05-20/17 94,150 28.12.2010 no AT0000491238 Hyp-WBB Stmk Infl Anl 05-25/33 97,000 13.06.2014 no XS1276705958 IAC 25th Street ProdigyNwk S37 - - no XS1337366113 IAC Alpha Portfol.FlexETP S.54 - - no XS1270465815 IAC Argent.OPP Fund N.15-35/26 - - no Ultimo 30.12.2015 33

XS1282635603 IAC ArgentinaFlexETP 05-35/S35 - - no XS1334565899 IAC Atenea Fund FlexETP (S.53) - - no XS1276707228 IAC NFS Strategic Inc Fund S39 - - no XS1276706337 IAC Prodigy Conv.Corp.Bond S38 - - no XS1239745653 IAC ProdigyNwk 25th Street S30 - - no XS1224713658 IAC Shard Alliance FlexETP S29 - - no XS1258828380 IAC Theatric.Fund FlexETP S.34 - - no XS1304663898 IAC Wilgran Equity Invests S43 - - no XS0999246753 IACap Acr.Moment.Notes13-33/10 - - no XS1278528713 IACap AD Markets FlexETP S.36 - - no XS1207460657 IACap Areca Val Discovery S-25 - - no XS1110282149 IACap BA Macro-Tactic/3-16/S18 98,500 13.10.2014 no XS1199017580 IACap Barnett Wealth Opp. S-24 - - no XS1246651597 IACap BosQuinFlexETP S33 2020 100,500 21.08.2015 no XS1224712684 IACap ClearWater IG Portf.S.27 - - no XS1084503801 IACap Equ.YiePofo Note14-34/15 - - no XS0785895581 IACap Equ-li GPI Notes12-17/S5 - - no XS0784985441 IACap Equ-li LatmNotes12-32/S4 - - no XS1061846314 IACap Equ-li Vol.Notes14-34/14 - - no XS1028415062 IACap Futures-li.Notes14-34/12 - - no XS1044487558 IACap Futures-li.Notes14-34/13 - - no XS1239748160 IACap GSC Notes S.31 due 2019 - - no XS0855794367 IACap GWM Notes 13-28/S.6 - - no XS1246650862 IACap Liqu.Notes S.32 due 2035 - - no XS1150691795 IACap MexicIndustr.FlexETP/S23 - - no XS0931697519 IACap MoraMTA Lo-Sh.EquFu-N.S7 - - no XS1116046068 IACap MoraNETALPHA Fu-N. S16 - - no XS1121503822 IACap NXTP Labs EMHITS 2015/20 - - no XS1102848618 IACap Prodigy AKA Wall St /S17 - - no XS0972245285 IACap RealEst.Opp.Notes13-23/9 125,340 05.06.2015 no XS1021727364 IACap Shorew.-li Notes14-21/11 - - no XS1113562380 IACap US Aerospace Bond Srs-19 - - no XS1132653293 IACap. Across Bond+ S.2014-21 - - no XS0968569623 IACap. Venez.-li Notes 13-18/8 - - no IT0005092785 Iacobucc.Aero.7,25% Notes15-18 - - no XS0362224841 IBERDROLA FIN. 08/18 MTN 112,720 30.12.2015 no XS0548801207 IBERDROLA FIN. 10/16 MTN 102,700 30.12.2015 no XS0494868630 IBERDROLA FIN. 10/20 MTN 114,360 30.12.2015 no XS0693855750 IBERDROLA FIN. 11/16 MTN 100,250 30.12.2015 no XS0614190477 IBERDROLA FIN. 11/17 MTN 105,650 30.12.2015 no XS0829209195 IBERDROLA INTL 12/17 MTN 107,360 30.12.2015 no Ultimo 30.12.2015 34

XS0767977811 IBERDROLA INTL 12/18 MTN 110,770 30.12.2015 no XS0940711947 IBERDROLA INTL 13/20 MTN 109,900 30.12.2015 no XS0879869187 IBERDROLA INTL 13/21 MTN 112,750 30.12.2015 no XS0990109240 IBERDROLA INTL 13/22 MTN 110,760 30.12.2015 no XS1057055060 IBERDROLA INTL 14/22 MTN 107,650 30.12.2015 no XS1116408235 IBERDROLA INTL 14/24 MTN 102,060 30.12.2015 no XS1171541813 IBERDROLA INTL 15/23 MTN 98,510 30.12.2015 no XS0808632763 IBERDROLA INTL.13/UND.FLR 107,560 30.12.2015 no AT0000322581 IK CMS li./7% nr EK SV 02-22/4 63,690 29.12.2010 no DE0009576108 IK Funding Subord.LimRec.Notes 95,000 08.10.2007 no AT0000322383 IK nr Floating Rate N. 00-20/P 70,410 22.12.2010 no AT0000479050 IK Windkraft-Anl. 05-20 100,000 27.02.2009 no DE0008592759 IKB Fund.Trust Pref.Securities - - no AT000B086582 IMMO B. Zielk. WA 06-26/6 102,500 29.11.2011 no AT0000186465 IMMO Bank 3.3% WA 05-18/5 98,000 31.08.2015 no AT0000186424 IMMO Bank 3.5% WA 05-18/1 97,080 08.04.2015 no AT000B086707 IMMO Bank fix/var WA 07-20/5 98,350 30.09.2011 no AT000B086525 IMMO Bank StepUpTo4 WA 06-21/3 102,500 29.11.2011 no AT0000186473 IMMO Bank Var. WA 05-18/6 95,550 29.11.2011 no AT0000186481 IMMO Bank Zinsk.PerfWA 05-20/7 103,250 07.05.2014 no AT0000186499 IMMO Bank Zinsk.PerfWA 05-26/8 99,000 30.10.2015 no AT0000187018 IMMO Bank Zinsk.PerfWA 05-27/9 99,950 30.10.2015 no AT000B086541 IMMO Bank ZK.PerfWA 06-26/4 97,510 14.07.2014 no AT0000187026 IMMO Bank ZK.PerfWA 06-27/1 94,100 05.05.2015 no AT000B086624 IMMO Bk kuendb. WA 07-21/1 104,000 23.09.2014 no AT000B086665 IMMO Bk var. WA 07-18/3 99,500 29.11.2011 no AT000B086848 IMMO BK4,20%My Cash2 WA08-20/5 109,850 29.11.2011 no AT000B086509 IMMOB AustrBund Fl. WA 06-16/2 99,900 29.11.2011 no AT0000A0XHZ4 Immo-B. 2,7% Wandelanl. 13-25 - - no AT0000A0XN68 Immo-B. 2,75% Wandelanl. 13-25 - - no AT0000A15807 Immo-B. 3% Wandel SV 14-29/1 - - no AT000B087051 Immo-B. 3,05% Wandelanl. 12-24 - - no AT000B087028 Immo-B. 3,1% Wandelanl. 12-24 - - no AT0000186440 IMMO-B. 3.8% NR EK WA 05-18/3 96,000 19.11.2015 no AT000B086608 IMMO-B. 4% EK WA 06-19/7 96,800 10.07.2015 no AT0000A0Z819 ImmoB. FixPlus Wandelanl.13-23 - - no AT000B087036 Immo-B. Inflationsgeb-WA 12-24 - - no AT0000A0XN92 Immo-B. Inflationsgeb-WA 13-25 - - no AT0000A15856 Immo-B. MiniMax FltrWA 14-26/4 - - no AT0000A15815 Immo-B.2,68% WandelSV 14-26/3 - - no IT0005120867 Immob.Centrale Zero-Notes15-18 - - no Ultimo 30.12.2015 35

AT0000A157Z7 Immo-B.Fix Plus WA 2 14-24/2 - - no AT0000500244 Immob.Linz var.tilg. A. 05-25 - - no AT0000A073W3 Immob.Linz var.tilg. A. 07-27 - - no AT0000A1D582 ImmoB0,75-1,75% f.wsv 15-30/3 - - no AT000B086822 Immo-Bank Cash WA 08-20/4 99,800 29.11.2011 no AT000B086962 Immo-Bank Fix tofloat WA 10-24 101,900 29.11.2011 no AT000B086772 Immo-Bank fixtoliqu WA 08-19/2 100,000 29.11.2011 no AT000B087010 Immo-Bank MiniMax WSV 11-22 - - no AT000B087044 Immo-Bank Step Up WSV 12-24 - - no AT000B086640 Immo-Bank var. WA 07-17/2 99,500 29.11.2011 no AT000B086681 Immo-Bank var. WA 07-19/4 90,000 14.02.2012 no AT0000163423 IMMO-Bank var. WA 98-18/1 92,550 29.11.2011 no AT0000163449 IMMO-Bank var. WA 99-17/1 92,840 01.04.2014 no AT0000152699 IMMO-Bank variable WA 04-17/5 95,200 29.11.2011 no AT0000152731 IMMO-Bank variable WA 04-18/9 94,950 16.01.2015 no AT0000152715 IMMO-Bank variable WA 04-19/7 101,860 22.07.2015 no AT0000186432 IMMO-Bank variable WA 05-18/2 96,000 30.08.2013 no AT000B086566 IMMO-Bank ZiKu-Perf WA 06-27/5 102,450 29.11.2011 no AT0000A1D574 ImmoBk 1,05% fd. WSV 15-27/1 - - no AT0000A1D590 ImmoBk 1,18% fd. WSV 15-29/2 - - no XS1088278319 INEOS GRANGEM. 14/19 101,720 29.12.2015 no XS0928189777 INEOS GRP HLDG 13/18 101,500 30.12.2015 no XS0982710740 INEOS GRP HLDG 14/19 100,960 30.12.2015 no XS1064899120 INTRALOT CAP.LU 14/21REGS 92,630 23.07.2015 no XS0947176631 INTRALOT FIN.LU 13/18REGS 105,280 23.07.2015 no AT0000322557 Inv.Kred 6,7/7% EK-SV 02-12/22 84,200 30.09.2011 no AT0000322532 InvKred NR CMS li Note 02-22/2 74,700 29.12.2010 no XS1008213628 Iris Cr.Mun.Paris Note14-23/43 - - no XS0545416439 Ironsh.Prof.Part.EUR-N.10-22/2 - - no XS0545416355 Ironsh.Prof.Part.GBP-N.10-22/2 - - no XS0545416785 Ironsh.Prof.Part.USD-N.10-22/2 - - no AT0000A0XJ64 JP Immo.I 3,5% bes.anl. 12-22 - - no AT0000A153X1 JPI ZWEI 3,75% bes.anl. 14-24 - - no DE000A1PGZ82 K+S AG ANL.12/22 105,730 30.12.2015 no XS0997941199 K+S AG ANL.13/18 106,130 30.12.2015 no XS0997941355 K+S AG ANL.13/21 114,330 30.12.2015 no XS0592235187 KA 3,5% Covered 11-16/S2 - - yes XS0255439803 KA Call.Zero Notes 06-26/S.488 - - no XS1270771006 KA Fin 0,375%guar.FixRateN2020 - - yes XS1288050799 KA Fin. 0,35% Cov. 15-17 - - yes XS1004231970 KA Finanz FRN 13-16 - - no Ultimo 30.12.2015 36

XS1120430985 KA Finanz Puttable FRN 14-16 - - no XS1265773116 KA var.cov.bd. 15-24/S.37 - - yes AT0000A188C1 KABEG 2,38 % Anl. 14-25 - - no AT0000A0LWS3 KABEG 3,66% Tilgungsanl. 10-20 - - no AT0000A0AHT5 KABEG 4,55 % Tilg.A. 08-33 - - yes AT0000A0F6P4 KABEG 4,6% Anleihe 09-34 - - yes AT0000A07QE8 KABEG 4,61 % Tilg.A. 07-27 - - no AT0000A0BE65 KABEG 5,02% Anleihe 08-28 - - yes AT0000A0BE24 KABEG 5,155 % Anl. 08-28 - - no AT0000A0FD13 KABEG var. Anleihe 09-29 - - yes AT0000A01X37 KABEG var. Tilg.Anl. 06-31 - - yes XS1331664679 KAFin Float Rate Cov.Bd. 15-17 - - yes XS1325164132 KAFin Float Rate Cov.Bd. 15-19 - - yes XS1288050872 KAFin Float.Rate CovBond 15-18 - - yes AT0000385752 Kap.-Strip 15.01.18 Bund 03/1 - - yes AT0000A08976 Kap.-Strip 15.03.19/ Bund 08/1 - - yes AT0000A0DXH1 Kap.-Strip 15.03.26/ Bund 09/2 - - yes AT0000A04975 Kap.-Strip 15.03.37/ Bund 07/1 - - yes AT0000383872 Kap.-Strip 15.07.27/ Bund 97/6 21,180 31.07.2001 yes AT0000A0GLZ1 Kap.-Strip 20.02.17/ Bund 10/1 - - yes AT0000386123 Kapital-Strip 15.07.20/ BU05/1 - - yes AT0000A011U7 Kapital-Strip 15.09.16/ BU06/2 - - yes AT0000A06P32 Kapital-Strip 15.09.17/ BU07/2 - - yes AT0000A001Y0 Kapital-Strip 15.09.21/ BU06/1 - - yes AT0000A0VRG7 Kapital-Strip 18.06.19/ BU12/3 - - yes AT0000A19XD1 Kapital-Strip 18.10.19/ BU14/2 - - yes AT0000A12B89 Kapital-Strip 19.10.18/ BU13/3 - - yes AT0000A0N9B8 Kapital-Strip 20.04.22/ BU11/1 - - yes AT0000A0VRR4 Kapital-Strip 20.06.44/ BU12/4 - - yes AT0000A105X1 Kapital-Strip 20.10.23/ BU13/2 - - yes AT0000A1FAQ3 Kapital-Strip 20.10.25/ BU15/1 - - yes AT0000A18629 Kapital-Strip 21.10.24/ BU14/1 - - yes AT0000A0U3U2 Kapital-Strip 22.11.22/ BU12/2 - - yes AT0000A10691 Kapital-Strip 23.05.34/ BU13/1 - - yes AT0000A0U2A6 Kapital-Strip 26.01.62/ BU12/1 - - yes AT0000330683 Kathrein Priv.Equ.I Anl. 01-17 116,810 18.12.2006 no AT0000A0X913 KELAG 3,25% Schuldv. 12-22/1 111,990 30.12.2015 no XS0889217716 KION FIN. 13/20 REGS 105,000 30.12.2015 no XS1055031139 KK.Austr FRN 14-16/S.31 - - no XS1193302970 KLP II Mezzanin Notes 14-24 - - no XS1193303192 KLP II Profit Part.Notes 14-24 - - no Ultimo 30.12.2015 37

XS1193300925 KLP II Senior Notes 14-24 - - no AT0000A1DC72 Kollitsch Immob. 5% Anl. 15-20 100,000 23.06.2015 no AT0000441209 Kom.Kr.nr Stepup-Anl.04-24/183 97,050 30.12.2009 no XS1013581274 Komm.Kred.Austr FRN 14-21/S.18 - - no XS0864385264 KRAUSSMAFF.12/20 REG.S 106,970 03.12.2015 no AT000B034855 Krem.Bank KObl/13-19 - - no AT0000323142 KremserB Zielkupon KO 05-25/1 82,300 30.12.2009 no AT000B034640 KremserBK 3,26% KOBL 13-28/3 - - no AT0000A03KZ5 Ktn.Wif㽣dfo 3,935%Tilg A06-21 - - no AT0000A19JA6 Land Kaernten 2,178% Anl.14-24 - - yes AT0000A19JC2 Land Kaernten 3,05% Anl. 14-39 - - yes AT0000A19J92 Land Kaernten var. Anl. 14-19 - - yes AT0000A00YY5 Land NO EUR QuantoUSD SV 06-26 - - yes AT0000A013S7 Land NO EUR QuantoUSD SV 06-26 - - yes DE000A0GRYU7 Land NO fest/var.schuldv 06-26 - - yes AT0000A1G858 Land NOE 2,1% Schuldv. 15-35 - - yes AT0000A10NQ3 Land NOE 2,633% SV 13-28 - - yes AT0000A10QD4 Land NOE 2,65% SV 13-28 - - yes AT0000A1ALA5 Land NOE Fixverz. SV 14-23 - - yes AT0000A13A30 Land NOE var. Schuldv. 13-23 - - yes AT0000A11772 Land NOE var. Schuldv. 13-28 100,000 05.12.2013 yes AT0000A19UR7 Land NOE var. Schuldv. 14-19 - - yes AT0000A17ZM1 Land NOE var. Schuldv. 14-32 - - yes AT0000A10M13 Land NOE var. verz. SV 13-28 - - yes XS0222423005 Land Sachs.-Anhalt Notes 05-20 - - no AT0000A0M7F4 Land Sbg. Vario-Schuldv. 10-17 - - yes AT0000342902 LandesimmoG var.tilg.anl 05-29 - - yes AT0000492855 LandesimmoG var.tilg.anl 05-30 - - yes AT0000A009S5 LandesimmoG var.tilg.anl 06-38 - - yes XS1311330812 LandNO 2,68% NOK Schuldv.15-25 - - yes DE0005873921 LB B.Wuert. var nr SV 48/00-20 100,000 28.12.2000 no DE0005940159 LB Bad-Wuert var SV R.49/01-21 100,000 09.04.2001 no DE000LBW7SA3 LBBW 4,15%/var IHS R.543/07-22 - - no DE000LBW7YY1 LBBW 4,43% OeffPfbr 1162/07-27 - - no DE000LBW11X3 LBBW 4,98% IHS 08-16/818 - - no DE000LBW01S4 LBBW 6,5%犟f.Pfd.br.08-18/1270 - - no DE000LBW9H98 LBBW var. nr IHS R.480/06-16 - - no DE000LBW6XN8 LBBW var. nr IHS R.669/07-17 - - no DE000LBW0HZ8 LBBW var. Oeff.Pfbr 1296/08-23 - - no XS0271555616 LBVbg World GarPerf.130% 06-16 127,050 06.02.2014 no XS0185247912 LehBr.Treas.HFRX-li Note 04-34 98,000 28.03.2006 no Ultimo 30.12.2015 38

AT0000325774 LHB Stmk 3,375 % SV 05-16/9 100,050 22.12.2010 yes AT000B087580 LHB Stmk 4,15 % SV 06-17/9 102,650 28.12.2010 yes AT000B087572 LHB Stmk CMS li. SV 06-16/8 96,500 28.12.2010 yes AT000B087598 LHB Stmk Vario SV 06-16/10 100,000 22.12.2009 yes AT000B087606 LHB Stmk Vario SV 07-17/1 100,000 22.12.2009 yes AT000B088091 LHB Stmk2,31%Oeff.Pfbr.12-23 - - yes AT0000325105 LHB-Stmk EUR/CHF-li SV 99-19/3 100,000 22.12.2009 yes AT0000325113 LHB-Stmk EUR/CHF-li SV 99-19/4 100,000 22.12.2009 yes AT0000325410 LHB-Stmk FixCMS-li SV 02-17/7P 104,750 28.12.2010 yes AT0000325303 LHB-Stmk Vario-SV 01-26/PP/3 100,000 22.12.2009 no AT0000339924 LHB-Tirol nr var. SV 99-19 /18 94,150 29.11.2013 no AT0000325683 LHStmk CMS-li EK-SV 05-17/1 84,650 28.12.2010 no AT0000325717 LHStmk CMS-linked SV 05-25/11 107,100 28.12.2010 no AT000B087507 LHStmk CMS-linked SV 06-17/3 99,800 28.12.2010 yes AT0000325618 LHStmk EK StufenZi. SV 04-16/1 98,200 09.05.2014 no AT0000325576 LHStmk Fix CMS-li SV 03-33/P/5 89,000 28.12.2010 yes AT0000325451 LH-Stmk Fix-Rev SV 02-32/PP/9 117,250 29.12.2010 yes AT0000325568 LH-Stmk Floater 03-43/PP/4 100,000 22.12.2009 yes AT0000325550 LH-Stmk GM-Floater 03-43/PP/3 81,700 28.12.2010 yes AT0000325345 LHStmk MTr Zero-SV 02-32/PP/2 100,000 22.12.2009 yes AT0000325584 LHStmk Vario-SV 03-33/PP/6 85,250 28.12.2010 yes XS0166390103 LHStmk Vario-SV 03-43 100,000 22.12.2009 yes AT0000325477 LHStmk. Zero-SV 02-22/PP/11 153,320 28.12.2010 yes AT0000325402 LHStmk. Zero-SV 02-32/PP/6 27,720 28.12.2010 yes XS0246216344 LHVbg SwissTop10 GarPerf 06-16 104,900 29.01.2015 no AT0000A188P3 LifestyleHol.Club 6% Anl.14-19 100,000 10.12.2014 no AT0000341920 LIG Kaernten Tilgungsanl 03-28 100,000 30.12.2010 yes AT0000342738 LIG Ktn. var. Tilg.Anl. 04-29 - - yes AT0000A04UH0 LIG var.tilg. Anl. 07-31 - - no XS0259604329 LINDE FIN. 06/66 FLR 104,080 30.12.2015 no XS0297699588 LINDE FIN. 07/17 MTN 106,210 30.12.2015 no XS0718526790 LINDE FIN. 11/18 MTN 108,540 30.12.2015 no XS0632659933 LINDE FIN. 11/21 MTN 117,370 30.12.2015 no XS0790015548 LINDE FIN. 12/19 MTN 105,230 30.12.2015 no XS1069836077 LINDE FIN. 14/24 MTN 106,580 30.12.2015 no XS0828235225 LINDE MTN 12/20 106,340 30.12.2015 no DE000A1R07P5 LINDE MTN 13/23 107,630 30.12.2015 no AT0000174552 LKA Betriebs.4,09 Tilg A.04-19 - - no AT0000174560 LKA Betriebsg.4,395% A.04-24 - - no AT0000174537 LKA Betriebsg.4,875% A.03-18/P - - no AT0000174511 LKA Betriebsg.Tilg A.03-18/P - - no Ultimo 30.12.2015 39

AT0000A1HEX7 Lowland Proj. 6,5% Anl. 15-19 - - no XS0438813536 LUFTHANSA AG MTN 09/16 103,100 30.12.2015 no XS1109110251 LUFTHANSA AG MTN 14/19 100,530 30.12.2015 no XS1233783007 Magnolia XI S.2015-1 Cert.2020 - - no XS1233782884 Magnolia XI S.2015-1 Notes2020 - - no XS1068092839 MAHLE MTN 14/21 102,960 30.12.2015 no XS1034126331 MaireTecn. Equ.-li 14-19 - - no AT0000496633 MEL CMS-Floater 05-17/Tr.I 107,500 06.08.2015 no IT0005070039 Merc.Benz FinServ.It FRN 14-16 - - no XS1028941976 MERCK CO. 14/21 101,620 30.12.2015 no XS1028941117 MERCK CO. 14/26 103,140 30.12.2015 no XS1028941893 MERCK CO. 14/34 103,370 30.12.2015 no XS0497186758 MERCK FIN.SERV. MTN 10/20 116,410 30.12.2015 no XS1152338072 MERCK KGAA SUB.ANL.14/74 98,620 30.12.2015 no XS1152343668 MERCK KGAA SUB.ANL.14/74 98,980 30.12.2015 no XS0863116231 METRO FIN. 12/18 MTN 104,010 30.12.2015 no DE000A1C92S3 METRO FINANCE 10/17 104,430 30.12.2015 no DE000A1MA9K8 METRO MTN 12/19 108,500 30.12.2015 no DE000A13R8M3 METRO MTN 14/21 100,440 30.12.2015 no XS1066486629 MOTOR OIL FIN. 14/19 81,240 09.07.2015 no IT0005114571 MyBestGroup Convert.Bond 15-20 - - no XS0910494813 Neon LimRec CL-FRN 13-18/S.590 - - no XS0922160048 Neon LimRec CL-FRN 13-18/S.594 - - no XS0944784213 Neon LimRec CL-FRN 13-18/S.604 - - no XS1324199576 New Lands FlexETPSerie45 15-25 - - no AT0000193453 NOE LHB 3,83% kndb.sv 06-17/1 101,000 22.12.2010 yes AT0000193354 NOE LHB CMS-linked-SV 05-17/2 97,500 29.12.2010 yes AT0000193370 NOE LHB CMS-linked-SV 05-17/4 102,500 31.01.2011 yes AT0000193396 NOE LHB CMS-li-SV 05-17/6 - - yes AT0000A01VL6 NOLB PraemAnl ZiWaRecht06-17/4 103,050 21.12.2007 yes AT0000A05378 NOLBvar.SV m. ZiWaR 07-17/92 100,000 29.06.2007 yes AT0000A05386 NOLBvar.SV m. ZiWaR 07-17/93 100,000 29.06.2007 yes AT0000A05394 NOLBvar.SV m. ZiWaR 07-17/94 100,000 29.06.2007 yes AT0000A053A1 NOLBvar.SV m. ZiWaR 07-17/95 100,000 29.06.2007 yes AT0000A053B9 NOLBvar.SV m. ZiWaR 07-17/96 100,000 29.06.2007 yes AT0000A04XP7 NOLBvar.SV Zi/SprWaR 07-17/70 - - yes AT0000A04XR3 NOLBvar.SV Zi/SprWaR 07-17/72 - - yes AT0000A04XS1 NOLBvar.SV Zi/SprWaR 07-17/73 - - yes AT0000A04XT9 NOLBvar.SV Zi/SprWaR 07-17/74 - - yes AT0000A04XY9 NOLBvar.SV Zi/SprWaR 07-17/79 - - yes AT0000172747 NOLH variable SV 03-33/4/PP 100,000 23.12.2008 yes Ultimo 30.12.2015 40

AT0000A04U11 NOLHB 4,17% SV 07-17/64 - - yes AT0000A04QS5 NOLHB 4,2 % SV 07-17/47 - - yes AT0000A04QT3 NOLHB 4,2 % SV 07-17/48 - - yes AT0000A04QU1 NOLHB 4,2 % SV 07-17/49 - - yes AT0000A04QV9 NOLHB 4,2384 % SV 07-17/50 - - yes AT0000A04QW7 NOLHB 4,2384 % SV 07-17/51 - - yes AT0000A04UN8 NOLHB NR Fix/CMS Fltr 07-17/68 - - no AT0000A03FJ9 NOLHB nr Steep.Schuldv 06-17/8 - - no AT0000A03FF7 NOLHB var. nr Schuldv. 06-17/7 94,100 21.12.2010 no AT0000A05154 NOLHB var. NR SV 07-17/91 - - no AT0000A04918 NOLHB var. Schuldv. 07-17/1 100,000 21.02.2007 yes AT0000A04GV0 NOLHB var. Schuldv. 07-17/31 95,700 21.12.2010 yes AT0000A04RN4 NOLHB var. SV 07-17/55 - - yes AT0000A04RP9 NOLHB var. SV 07-17/56 - - yes AT0000A04RQ7 NOLHB var. SV 07-17/57 - - yes AT0000A04RR5 NOLHB var. SV 07-17/58 - - yes AT0000A04RS3 NOLHB var. SV 07-17/59 - - yes AT0000A04RT1 NOLHB var. SV 07-17/60 - - yes XS0307552355 NORSKE SKOGINDUSTR. 07/17 51,500 09.12.2015 no XS0636567710 NORSKE SKOGINDUSTR. 11/16 72,600 08.10.2015 no SI0022103301 Nova Kred.banka 6% 12-17 - - no XS0752852995 Novus Capital CLN 12-21/S.23 - - no AT0000346069 NR Waldv. Spk. EK-SV 04-16/2 91,000 31.01.2011 no XS1028956222 NUMERICABLE-SFR 14/22 102,560 30.12.2015 no XS1028956149 NUMERICABLE-SFR 14/24REGS 101,740 30.12.2015 no XS1107268135 NYRSTAR NL HLDS 14/19REGS 82,010 30.12.2015 no AT000B126537 OB 1% Anleihe 15-04.12.2020 - - no AT000B126511 OB 1% Anleihe 15-18.06.2020 - - no AT000B112933 OB 1,75% CZK SV 15-27.02.2018 - - no AT000B112552 OB 2% hyp.fund.sv 13-23 - - yes AT000B126552 OB 3% nr Anl.15-11.12.2023 - - no AT000B126529 OB 3% nr Anl.15-18.06.2023 - - no AT000B112990 OB Anleihe 15-21 - - no AT000B126560 OB Bond Garant 1 in CZK 15-20 - - no AT000B126503 OB Cash Garant 30 /15-03.06.20 - - no AT000B126545 OB Cash Garant 31 /15-01.12.20 - - no AT000B112925 OB Cash Garant B in CZK 15-20 - - no AT000B112412 OB EKStufenz.-Anl. 12-04.07.21 111,000 22.12.2015 no AT0000A0A1T2 OB Hybrid1 Hybridkap-Anl. 2008 88,130 10.12.2015 no AT000B112974 OB MinMax Fltr. 15-10.03.2022 - - no AT000B112966 OB Stufenz.Anl. 15-23 - - no Ultimo 30.12.2015 41

AT000B112370 OB Stufenzins-Anl. 12-09.05.17 - - no AT000B112388 OB Stufenzins-Anl. 12-09.05.19 - - no AT000B112735 OB Stufenzins-Anl. 14-18 - - no AT000B112743 OB Stufenzins-Anl. 14-20 - - no AT000B112826 OB var.hyp.fund. SV 14-24/PP - - yes AT000B112941 OB var.hyp.fund. SV 15-22/PP - - yes XS0324893626 OBB-Bau 10/20yPut.Note07-37/14 - - yes XS0328866982 OBB-Bau 10/30yPut.Note07-37/15 - - yes XS0436314545 OBB-Bau 4,5% Schuldv 09-19/S22 115,740 30.12.2015 yes XS0252697130 OBB-Bau CMS-li Notes 06-36/S.7 - - yes XS0331427905 OBB-Bau kundb.schuldv 07-37/16 - - yes XS0336043517 OBB-Bau kundb.schuldv 07-37/17 - - yes XS0324895670 OBB-Bau put.notes 07-37/13 - - yes XS0463371236 OBB-Infr.Str. FRN 09-19/S.23 - - yes XS1138366445 OBB-IS 1 % SV 14-24/S.37/1 101,290 30.12.2015 yes XS1071747023 OBB-IS 2,25 % SV 14-29/S.36/1 110,060 30.12.2015 yes XS0949964810 OBB-IS 2,25% Schuldv.13-23/S33 112,140 30.12.2015 yes XS0984087204 OBB-IS 3% Schuldv. 13-33/S.35 120,160 30.12.2015 yes XS0782697071 OBB-IS 3,375 % SV 12-32/S.32 125,230 30.12.2015 yes XS0691970601 OBB-IS 3,5% Schuldv.11-26/S.30 124,710 30.12.2015 yes XS0648186517 OBB-IS 3,625%SV 11-21/29/Tr1+2 118,270 30.12.2015 yes XS0475835863 OBB-IS 3,75% Notes 09-19/S.24 - - yes XS0520578096 OBB-IS 3,875%SV 10-25/28/Tr1+2 126,760 30.12.2015 yes XS0512125849 OBB-IS 3,9% Notes 10-30/S.27 - - yes XS0717614951 OBB-IS 4% Schuldv. 11-31/S.31 - - yes XS0503724642 OBB-IS 4,2% Notes 10-30/S.26 - - yes XS0497430172 OBB-IS 4,21% Notes 10-30/S25/1 - - yes AT000B084520 Oberb CashGarant Schuldv 06-16 99,900 29.02.2012 no AT000B084850 Oberb. EK Geldm. Floater 07-17 97,500 23.11.2015 no AT000B084934 Oberb. EK Geldm. Floater 07-19 92,000 30.12.2015 no AT000B085030 Oberb. EK Geldm. Floater 08-18 95,000 21.12.2015 no AT000B084538 Oberb. EK KapM.Floater 06-16/2 98,510 29.09.2015 no AT000B084587 Oberb. EK KapM.Floater 06-16/3 99,010 21.12.2015 no AT0000214051 Oberb. EK KapMa.Floater 06-16 97,510 23.10.2015 no AT000B112107 Oberb. EK Stufenzi-Anl. 10-20 111,000 29.12.2015 no AT000B085436 Oberb. EK-Stufenz.Anl. 10-20 112,000 29.12.2015 no AT000B112206 Oberb. ErgKap St.Zi Anl. 11-21 112,000 29.12.2015 no AT000B085451 Oberb. fund. Sv. 10-17 105,000 16.06.2014 yes AT000B112040 Oberb. Inflationsanl. 10-18 101,500 21.09.2015 no AT000B112479 Oberb.2,08% fund.schuldv.12-21 - - yes AT000B112453 Oberb.2,2% hyp. fund.sv 12-20 - - yes Ultimo 30.12.2015 42

AT000B112602 Oberb.2,72% fund.schuldv.13-28 - - yes AT000B112511 Oberba. CashGarant XVIII 13-18 - - no AT000B112529 Oberba. EK Stufenzi-Anl. 13-22 111,000 29.10.2015 no AT000B112271 Oberbank 2,5% Schuldv. 11-16 99,000 06.05.2014 no AT000B112289 Oberbank 2,7% Schuldv. 11-16 100,500 11.05.2012 no AT000B112099 Oberbank 2,75% Schuldv. 10-16 100,850 29.02.2012 no AT000B112347 Oberbank 3 % Schuldv. 12-19 - - no AT000B112867 Oberbank 3% nr Anl. 14-24 96,250 19.10.2015 no AT000B112123 Oberbank 3% Schuldv. 10-17 103,000 23.02.2015 no AT000B112313 Oberbank 3% Schuldv. 11-16 98,500 10.12.2015 no AT000B112198 Oberbank 3,125% Schuldv. 11-16 101,750 02.12.2014 no AT000B112727 Oberbank 4,50% nr Anl. 14-24 108,000 15.12.2015 no AT000B112909 Oberbank Addit.Tier1 Anl. 2014 - - no AT000B112982 Oberbank Addit.Tier1 Anl. 2015 - - no AT000B112750 Oberbank Cash Garant 24/14-19 - - no AT000B112800 Oberbank Cash Garant 25/14-19 - - no AT000B112917 Oberbank Cash Garant 28/15-20 - - no AT000B112958 Oberbank Cash Garant 29/15-20 - - no AT000B084785 Oberbank Cash Garant II 07-17 99,860 29.02.2012 no AT000B085154 Oberbank Cash Garant IV 08-16 99,000 29.11.2012 no AT000B112214 Oberbank Cash Garant IX 11-17 100,160 29.02.2012 no AT000B112248 Oberbank Cash Garant X 11-18 101,850 03.12.2015 no AT000B112321 Oberbank Cash Garant XII 12-16 100,200 12.03.2012 no AT000B112354 Oberbank Cash Garant XIII12-17 - - no AT000B112396 Oberbank Cash Garant XIV 12-17 - - no AT000B112404 Oberbank Cash Garant XV 12-17 - - no AT000B112677 Oberbank CashGarant 22/ 13-19 - - no AT000B112685 Oberbank CashGarant 23/ 13-19 - - no AT000B112545 Oberbank CashGarant XIX 13-18 - - no AT000B112461 Oberbank CashGarant XVII 12-17 - - no AT000B112578 Oberbank CashGarant XX 13-18 - - no AT000B112636 Oberbank CashGarant XXI 13-18 - - no AT000B112784 Oberbank CZK SV 14-18 - - no AT000B112610 Oberbank Div.Akt.Garant13-19 - - no AT000B085337 Oberbank EK Infl.anl. II 09-17 99,600 03.12.2015 no AT000B085295 Oberbank EK Inflationsanl09-17 99,000 13.10.2015 no AT000B085329 Oberbank EK Jub.anl. II 09-19 111,000 09.12.2015 no AT000B085279 Oberbank EK Jubilum Anl 09-19 113,500 16.12.2015 no AT000B112131 Oberbank EK Stufenz.Anl. 10-20 110,150 29.12.2015 no AT000B085063 Oberbank EK-Gmfl. 08-18 96,000 18.12.2015 no AT000B112255 Oberbank Europa Gar III 11-16 97,000 29.02.2012 no Ultimo 30.12.2015 43

AT0000A0CE23 Oberbank Hybrid 2 Hybridanl.08 107,000 25.09.2015 no AT000B112164 Oberbank Inflationsanl.II10-18 102,800 29.02.2012 no AT000B112719 Oberbank MinMax Floater 14-21 - - no AT000B112859 Oberbank MinMax Floater 14-21 - - no AT000B112792 Oberbank MinMax Fltr. 14-21 - - no AT000B112842 Oberbank Stfz.-Anl. 14-20 - - no AT000B112883 Oberbank Stfz.-Anl. 14-22 - - no AT000B112339 Oberbank Stufenzins Anl. 12-17 - - no AT000B112230 Oberbank Stufenzins-Anl. 11-17 110,250 02.09.2014 no AT000B112420 Oberbank Stufenzins-Anl. 12-17 - - no AT000B112438 Oberbank Stufenzins-Anl. 12-19 - - no AT000B112644 Oberbank Stufenzins-Anl. 13-18 100,500 14.12.2015 no AT000B112503 Oberbank Stufenzins-Anl. 13-19 100,500 03.11.2014 no AT000B112537 Oberbank Stufenzins-Anl. 13-19 - - no AT000B112651 Oberbank Stufenzins-Anl. 13-19 - - no AT000B112875 Oberbank USD MinMax Fltr.14-21 - - no AT000B112701 Oberbank var.schuldv. 13-18/PP - - no AT000B112834 OberbankCashGar. 26 14-19 - - no AT000B112891 OberbankCashGar. 27 14-19 - - no AT000B112776 OberbankCashGarant 14-19 - - no XS0243862876 OEBB-Bau Puttable Fix RN 06-36 - - yes XS0252721450 OEBB-IB kundb.schuldv 06-36/S6 - - yes AT0000A0XB70 OeKB var.fund.kobl 12-16/146/P - - yes AT0000A0XB88 OeKB var.fund.kobl 12-16/147/P - - yes AT0000A0XB96 OeKB var.fund.kobl 12-16/148/P - - yes AT0000A0XBA0 OeKB var.fund.kobl 12-16/149/P - - yes AT0000A0XBB8 OeKB var.fund.kobl 12-16/150/P - - yes AT0000A0XBC6 OeKB var.fund.kobl 12-16/151/P - - yes AT0000A0XBD4 OeKB var.fund.kobl 12-16/152/P - - yes AT0000A0XBE2 OeKB var.fund.kobl 12-16/153/P - - yes AT0000A0XBF9 OeKB var.fund.kobl 12-16/154/P - - yes AT0000A0XBG7 OeKB var.fund.kobl 12-16/155/P - - yes AT0000A1ADY2 OeKB var.fund.kobl 14-17/165/P - - yes AT0000A1ADZ9 OeKB var.fund.kobl 14-17/166/P - - yes AT0000A1AE08 OeKB var.fund.kobl 14-17/167/P - - yes AT0000A1AE16 OeKB var.fund.kobl 14-17/168/P - - yes AT0000A1H5N8 OeKB var.fund.kobl 15-18/169/P - - yes AT0000A1H5P3 OeKB var.fund.kobl 15-18/170/P - - yes AT0000329859 OEKK NULLKP97/P4 69,800 30.12.2010 no AT000B054481 OEVAG 10Y CMS Kmfl. 07-22/S.27 83,900 30.11.2011 no AT000B054770 OEVAG 10YCMS Kmfl 07-17/S.58 92,100 30.11.2011 no Ultimo 30.12.2015 44

AT000B054994 OEVAG 10YCMS Kmfl 07-17/S.86 91,950 30.11.2011 no AT000B055082 OEVAG 10YCMS Kmfl 07-22/S.96 84,400 30.11.2011 no AT000B054788 OEVAG 4,7% fund.anl. 07-27/S59 - - yes AT0000438643 OeVAG 5Y-CMS FRN + Floor 04-19 93,100 30.11.2011 no AT000B054846 OEVAG 6% Fixzinsanl.07-17/S.70 108,930 30.11.2011 no AT0000435904 OEVAG callable nr. SV 03-23 83,150 30.12.2010 no AT000B059571 OEVAG Fix to Float.SV 09-16/99 98,550 30.11.2011 no AT000B058391 OEVAG FixCash 09-19/184 - - no AT000B114954 OEVAG FixFloat 12-17/20 - - no AT000B114988 OEVAG FIXFLOAT 12-18/S.17 - - no AT000B061197 OEVAG Floating to Fix 10-16/60 97,040 30.11.2011 no AT000B060777 OEVAG FRN 10-16/S. 18 95,750 30.11.2011 no AT000B060918 OEVAG FRN 10-16/S. 32 95,750 30.11.2011 no AT000B060728 OEVAG FRN 10-16/S.13 96,000 30.11.2011 no AT000B060975 OEVAG FRN 10-16/S.38 94,950 30.11.2011 no AT000B061072 OEVAG FRN 10-16/S.48 95,050 30.11.2011 no AT000B061205 OEVAG FRN 10-16/S.61 96,990 30.11.2011 no AT000B061551 OEVAG FRN 11-16/S.23 99,550 30.09.2011 no AT000B061411 OEVAG FRN 11-17/S.12 95,900 30.11.2011 no AT000B114343 OEVAG FRN 11-17/S.50 96,150 30.11.2011 no AT000B114608 OEVAG FRN 11-17/S.67 95,300 30.11.2011 no AT000B115241 OEVAG FRN 12-17/S.4 - - no AT000B059753 OEVAG FRN Cap/Floor 10-16/117 97,050 09.10.2014 no AT000B053442 OEVAG FRN SV 07-17/S.108 89,480 30.11.2011 no AT000B121785 OEVAG FUND FRN 15-18/S.2 - - yes AT000B121793 OEVAG FUND FRN 15-18/S.3 - - yes AT000B121801 OEVAG FUND FRN 15-19/S.4 - - yes AT000B121819 OEVAG FUND FRN 15-19/S.5 - - yes AT000B121827 OEVAG FUND FRN 15-20/S.6 - - yes AT000B121835 OEVAG FUND FRN 15-20/S.7 - - yes AT000B121843 OEVAG FUND FRN 15-21/S.8 - - yes AT000B121850 OEVAG FUND FRN 15-21/S.9 - - yes AT000B121868 OEVAG FUND FRN 15-23/S.10 - - yes AT000B121876 OEVAG FUND FRN 15-23/S.11 - - yes AT000B121884 OEVAG FUND FRN 15-25/S.12 - - yes AT000B121892 OEVAG FUND FRN 15-25/S.13 - - yes AT000B121595 OEVAG GFB STZANL 13-18/11 - - no AT000B060611 OEVAG INFL FRN 10-16/S.2 93,200 06.08.2012 no AT000B061403 OEVAG INFL FRN 11-17/S.11 95,950 30.11.2011 no AT000B115589 OEVAG INFL FRN2 13-19/S31 - - no AT000B114111 OEVAG INFLFLOOR 11-16/S36 96,050 30.11.2011 no Ultimo 30.12.2015 45

AT000B115217 OEVAG MINMAX FRN 12-16/S2 - - no AT000B115845 OEVAG MINMAX FRN 13-18/S48 - - no AT000B115696 OEVAG MINMAX FRN 13-19/39 - - no AT000B115795 OEVAG MINMAX FRN2 13-20/44 - - no AT000B121520 OEVAG MINMAXFRN 13-20/S.8 - - no AT000B115597 OEVAG NOK-SCHV 13-16/S.32 - - no AT000B115902 OEVAG NR FRN SV 13-18/S.2 90,000 31.03.2014 no AT000B115910 OEVAG NR FRN SV 13-19/S.3 - - no AT000B115928 OEVAG NR FRN SV 13-20/S.4 - - no AT000B115936 OEVAG NR FRN SV 13-24/S.5 - - no AT000B115944 OEVAG NR FRN SV 13-25/S.6 - - no AT000B061684 OEVAG SCHV 11-17/S.84 101,030 30.11.2011 no AT000B114962 OEVAG SCHV 12-22/S.21 - - no AT000B115571 OEVAG SCHV 13-16/S.11 - - no AT000B060850 OEVAG S-FRN 10-16/S.26 95,700 30.11.2011 no AT000B114855 OEVAG STZ ANL 12-17/S.13 - - no AT000B061395 OEVAG STZ ANL 11-16/10 101,500 30.09.2011 no AT000B114764 OEVAG STZ ANL 11-16/S.7 - - no AT000B114681 OEVAG STZ ANL 11-17/S.74 - - no AT000B061726 OEVAG STZ ANL2 11-16/S.28 99,450 30.11.2011 no AT000B114236 OEVAG STZ ANL3 11-16/S.44 98,000 17.10.2014 no AT000B114558 OEVAG STZ ANL4 11-16/S.63 97,300 30.11.2011 no AT000B121694 OEVAG STZANL1 14-20/S.13 - - no AT000B114921 OEVAG STZANL2 12-17/S.17 - - no AT000B115621 OEVAG STZANL2 13-19/S.35 - - no AT000B121736 OEVAG STZANL2 14-20/S.14 - - no AT000B115001 OEVAG STZANL3 12-17/S.24 - - no AT000B115761 OEVAG STZANL3 13-19/S.41 - - no AT000B115068 OEVAG STZANL4 12-18/S.26 - - no AT000B115878 OEVAG STZANL4 13-19/S.1 - - no AT000B115316 OEVAG STZANL5 12-18/S.8 - - no AT000B121512 OEVAG STZANL5 13-19/S.7 - - no AT000B115373 OEVAG STZANL6 12-18/S.14 - - no AT000B121553 OEVAG STZANL6 13-19/S.9 - - no AT000B115456 OEVAG STZANL7 12-18/S.21 - - no AT000B121678 OEVAG STZANL7 13-19/S.12 - - no AT000B061254 OEVAG ZINSKRAX 10-16/S.4 98,050 30.09.2011 no AT000B061643 OEVAG ZINSKRAX 11-17/S.26 95,900 30.11.2011 no AT000B114665 OEVAG ZINSKURV 11-21/S.72 - - no AT000B114517 OEVAG ZTREND 11-17/S.59 96,500 28.10.2014 no AT0000438668 OeVAG10Y-CMS FRN + Floor 04-19 95,150 30.11.2011 no Ultimo 30.12.2015 46

AT0000438650 OeVAG10Y-CMS FRN+4 j. Fl 04-19 87,650 30.11.2011 no AT000B054960 OEVAG12Y 4,95%Fix B.07-19/S.83 98,000 30.11.2011 no XS1138423774 OMV 0,60% Anl. 14-18/S.8 100,800 30.12.2015 no XS0996734868 OMV 1,75% Anl. 13-19/S.7 104,900 30.12.2015 no XS0834367863 OMV 2,625% Anl. 12-22/S.5 107,520 30.12.2015 no XS0834371469 OMV 3,5% Anl. 12-27/S.6 112,650 30.12.2015 no XS0485316102 OMV 4,375% Schuldv. 10-20/S.3 113,980 30.12.2015 no XS0434993431 OMV 5,25% Schuldv. 09-16/S.2 105,330 04.11.2015 no XS0629626663 OMV Hybridkap.-Anl. 2011 106,650 30.12.2015 no XS1294342792 OMV Perp.Subord.Fix N.2015 NC6 97,230 30.12.2015 no XS1294343337 OMVPerp.Subord.Fix N.2015 NC10 97,970 30.12.2015 no AT0000A01S59 O GESPAG var. Anl. 06-26 - - no AT0000131966 OOe CMS-Fl. Oeff.Pfbr 96/99-19 105,250 29.12.2010 yes AT0000133459 OOe CMS-Fl. Pfbr. R.145/99-19 103,450 28.12.2010 yes AT0000133467 OOe CMS-Fl. Pfbr. R.146/99-19 104,750 31.01.2011 yes AT0000486402 OOE Raiff. SV 04-24/09 103,920 29.12.2010 no AT0000A01UG8 OOE Raiff. SV 06-16/22 105,250 29.12.2010 no AT0000A00LW6 OOE Raiff. SV 06-17/12 103,280 29.12.2010 no AT0000A00AA5 OOE Raiff. SV 06-21/09 100,450 29.12.2010 no AT0000510441 OOE RaiffCMS-SpreadSV05-25/29 77,150 28.12.2010 no AT0000A00B00 OOeLB Callable Anl. 06-17 96,340 21.12.2007 yes AT0000356704 OOeLB CMS Floater 03-23 96,250 23.07.2003 yes AT0000358205 OOeLB EUR/YEN Kap.-Obl. 00-20 100,000 20.07.2001 no AT0000A18PY5 OOLB 0,5%-2,25% kb Pfdbr14-22 - - yes AT0000A18S68 OOLB 0,5%-2,875% kb Pfbr.14-26 - - yes AT0000A18A01 OOLB 0,5%-3% kb Pfdbr14-27 - - yes AT0000A14JE9 OOLB 0,5%-3,25,% kb Pfbr.13-21 - - yes AT0000A0W5T7 OOLB 0,5%-4,5% kb Pfandbr12-26 - - yes AT0000A0X665 OOLB 0,5%-4,5% kb Pfandbr12-26 - - yes AT0000A16WS7 OOLB 0,50%-3,00% kb Pfbr.14-21 - - yes AT0000A174Q1 OOLB 0,50%-3,00% kb Pfbr.14-21 - - yes AT0000A16TL8 OOLB 0,50%-3,5% kb Pfbr.14-26 - - yes AT0000A14K52 OOLB 0,75%-3,5% kb Pfbr.14-21 - - yes AT0000A1CJR9 OOLB 0,8%-1,15% Pfdbr15-25 - - yes AT0000A1GD60 OOLB 2% Hypo-Pfandbr.15-35 - - yes AT0000A1G841 OOLB 2,05% 犟f.Pfandbr.15-35 - - yes AT0000A0MS66 OOLB 3,125%Hypo-Pfandbr. 11-18 - - yes AT0000A03H84 OOLB 3,9 % Anleihe 06-16 100,000 28.12.2006 yes XS0271859752 OOLB 4,065% Notes 06-16/S.100 - - yes AT0000A1HGZ7 OOLB 4,125% nr Anleihe 15-30 - - no XS0282113256 OOLB 4,175% Notes 07-16/S.106 - - yes Ultimo 30.12.2015 47

XS0282374643 OOLB 4,24% Notes 07-17/S.107 - - yes XS0289451246 OOLB 4,32% Notes 07-17/S.123 - - no AT0000A09UX6 OOLB 5,5%/var.Hypo Obl. 08-16 95,900 04.11.2011 no AT0000A02YD5 OOLB Callable Anl. 06-17 95,000 28.12.2007 yes AT0000A0G7B1 OOLB Dyn.Hyp.Pfandbr. 10-16 103,150 25.11.2011 yes AT0000A0UMY3 OOLB DynamikHypo-Pfandbr.12-18 - - yes XS0282607414 OOLB FRN 07-16/S.109 - - no AT0000A0R1N6 OOLB Hypo-Pfandbr. 11-16 - - yes AT0000A0RN41 OOLB Kuendb.var.HypPfdbr.11-18 - - yes AT0000358189 OOLB var GBP-EUR Kap.Obl 00-20 100,000 20.07.2001 no AT0000A0T8Q2 OOLB var. Hypo-Pfandbr.12-18 - - yes AT0000A19SF6 OOLB var.hypoth.pfandbr.14-19 - - yes AT0000A1BSR2 OOLB var.hypoth.pfandbr.15-20 - - yes AT0000A1G7T2 OOLB var.hypoth.pfandbr.15-20 - - yes XS0275776283 OTE PLC 06/16 MTN 100,620 30.12.2015 no XS0885718782 OTE PLC 13/18 MTN 107,540 30.12.2015 no XS1086785182 OTE PLC 14/20 MTN 94,300 30.12.2015 no XS0847087714 OTTO GCKG ANL.12/19 106,650 30.12.2015 no XS0972058175 OTTO GCKG MTN 13/20 107,530 30.12.2015 no AT000B052055 OVAG 4,05/5% NR Anl. 06-26 60,250 30.11.2011 no AT0000439724 OVAG kndb. 4,81% EK A. 05-25 61,000 30.11.2011 no AT0000439807 OVAG Kndb. 4,9% EK A. 05-25 61,300 30.11.2011 no AT000B057328 OVAG MerkB.Li.III G.08-20/77 108,400 30.11.2011 no AT0000439765 OVAG Stepup to 8% EK A. 05-20 70,350 30.11.2011 no AT000B054986 OVAG 10Y Zero Bond 07-17/S85 113,600 30.11.2011 no AT000B052964 OVAG 10Y-CMS Floater 06-21/S67 84,300 30.11.2011 no AT000B053731 OVAG 10Y-CMS KapM.Fl.07-17/138 93,200 30.11.2011 no AT000B059746 OVAG 4% Schuldv. 10-16/S.116 100,690 30.11.2011 no AT000B055942 OVAG 5% Schuldv. 08-18/S.182 103,690 30.11.2011 no AT000B058615 OVAG 5,11% Schuldv. 09-17/S.3 104,500 30.11.2011 no AT0000439948 OVAG Call.Switch. Cov. B.05-35 99,900 30.06.2011 yes AT0000439732 OVAG Callable 13 J.EK A. 05-18 25,000 11.03.2013 no AT0000439476 OVAG Dynamic Spread-Anl. 05-25 79,020 30.11.2011 no AT000B059654 OVAG EUR/USD TwinGar.10-16/107 - - no AT000B060058 OVAG Fix to Float.SV 10-16/147 95,450 30.11.2011 no AT000B060579 OVAG Fix to Float.SV 10-25/199 88,100 30.11.2011 no AT000B056544 OVAG FRN 08-18/S.242 - - no AT000B058482 OVAG FRN 09-16/S.193 95,000 30.11.2011 no AT000B060207 OVAG FRN 10-16/S.162 96,150 30.11.2011 no AT000B060504 OVAG FRN 10-16/S.192 99,200 30.09.2011 no AT000B053046 OVAG FRN Anl. 06-16/S.39 91,030 30.11.2011 no Ultimo 30.12.2015 48

AT000B060280 OVAG FRN CMS 10-25/170 87,800 30.11.2011 no AT000B060041 OVAG FRN m.cap/floor 10-16/146 96,250 30.11.2011 no AT000B060116 OVAG FRN m.cap/floor 10-16/153 95,350 30.11.2011 no AT000B060231 OVAG Infl.Prot.6 Bond10-16/165 95,650 30.11.2011 no AT000B056676 OVAG KM FRN 10Y CMS 08-18/S13 101,550 30.11.2011 no AT000B058045 OVAG Merkur Life IV 09-21/S149 93,950 30.11.2011 no AT000B053715 OVAG nr CMS Fl./Fix 07-17/S136 59,000 10.11.2014 no AT000B056759 OVAG NR MerkB.Li.II G.08-20/20 83,750 30.11.2011 no AT000B053855 OVAG nr Nullkup.Anl 07-17/S150 96,100 30.11.2011 no AT000B052899 OVAG NR Nullkuponanl 06-16/S34 101,000 30.11.2011 no AT000B052600 OVAG NR Nullkuponanl. 06-16 120,550 30.11.2011 no AT0000438908 OVAG Step up fix/10y CMS 04-19 89,150 30.11.2011 no AT0000439120 OVAG StepUp-10Y CMS FRN 05-18 89,150 30.11.2011 no AT000B060314 OVAG Stufenzinsanl.10-16/S.173 98,250 30.11.2011 no AT000B060413 OVAG Stufenzinsanl.10-16/S.183 97,450 30.11.2011 no AT000B060819 OVAG Stufenzinsanl.10-17/S.22 97,650 30.11.2011 no XS0275528627 OVAG Sub.Tier2 Notes 06-16/S53 - - no AT000B055561 OVAG Zero Bond 08-18/S.144 112,100 30.11.2011 no AT000B056254 OVAG Zero Bond 08-18/S.213 112,000 30.11.2011 no AT000B057336 OVAG Zero Bond 08-18/S.78 113,550 30.11.2011 no AT000B055579 OVAG Zero Bond 08-19/S.145 78,100 30.11.2011 no AT000B058037 OVAG Zero Bond 09-19/S.148 103,850 30.11.2011 no AT000B058797 OVAG Zero Bond 09-19/S.21 103,500 30.11.2011 no AT000B060462 OVAG Zero Bond 10-20/S.188 95,250 30.11.2011 no AT000B059456 OVAG Zero Bond 10-20/S.87 99,500 30.11.2011 no AT0000439211 OVAG Zero/Fix Kup Cov.SV 05-30 113,750 30.06.2011 yes AT0000439583 OVAG Zero/Fix Switch.B. 05-35 104,950 30.06.2011 yes AT0000439757 OVAG Zero/Fix Switch.B.II05-35 104,300 30.06.2011 yes AT000B052667 OVAG Zero/Fix SwitchSV 06-21/4 123,750 30.06.2011 yes AT000B052659 OVAG Zero/Fix SwitchSV 06-36/5 113,450 30.06.2011 yes AT000B060645 OVAG Zinskraxler 10-16/S5 92,050 30.11.2011 no AT000B052022 OVAGSwitch.Call. Cov. B.06-26 109,750 30.06.2011 yes XS0243441184 PfbrSt Kap.Markt Floater 06-16 98,140 21.12.2007 yes XS0215412148 PfbrSt Turbo CMS Floater 05-17 95,980 21.12.2007 no XS1174158052 Pirika USD-FRN 15-16/23 - - no XS1232347234 Pirika USD-FRN 15-17/25 - - no AT0000A19Y28 Porr 3,875% Senior-Anl.14-19/1 107,250 30.12.2015 no AT0000A19Y36 Porr Hybrid-Anleihe 2014/S.2 107,380 30.12.2015 no XS0215828913 PORT.TEL.INTL 05/17 MTN 85,690 01.12.2015 no XS0221854200 PORT.TEL.INTL 05/25 MTN 64,700 01.12.2015 no XS0462994343 PORT.TEL.INTL 09/19 MTN 78,660 01.12.2015 no Ultimo 30.12.2015 49

XS0587805457 PORT.TEL.INTL 11/16 MTN 96,080 01.12.2015 no XS0843939918 PORT.TEL.INTL 12/18 MTN 73,090 01.12.2015 no XS0927581842 PORT.TEL.INTL 13/20 MTN 62,150 01.12.2015 no PTPTCYOM0008 PORT.TEL.SG. 12/16 91,000 29.12.2015 no AT0000A1FV44 Pr.Manag Perf-li Bond15-45/S.A - - no XS1043498382 PRAXAIR 14/20 103,530 30.12.2015 no XS1143916465 PRAXAIR 14/25 100,270 30.12.2015 no XS1332125159 Prdgy 46thStreet AKA UN (S49) - - no XS1332125662 Prdgy 46thStreet AKA UN (S50) - - no AT0000A01U63 Primeno Life Notes Typ10 06-17 70,000 26.06.2015 no AT0000A01U89 Primeno Life Notes Typ35 06-17 79,000 29.12.2014 no DE000A11QFA7 PROSIEBENSAT.1 ANL.14/21 103,330 30.12.2015 no XS0901332337 Prysmian 1,25% Equ.-Bond 13-18 - - no AT0000428750 PSK GBP-CMS link. Obl 99-19/7P 102,830 30.03.2012 yes AT0000A03MR8 Rai.Hold.NO f/v HybrKap-Anl 06 100,000 01.10.2007 no AT0000A04AB5 Rai.Hold.NO f/v HybrKap-Anl 07 100,000 01.10.2007 no AT000B020383 Rai.WBB 4% WA 07-17/3 RLBN类 101,650 30.12.2009 no AT000B020300 Rai.WBB 4% WA 07-19/2/Rai Bspk 113,500 29.04.2015 no AT000B020326 Rai.WBB 4% WA 07-22/2/RLB OOE 107,210 28.12.2015 no AT000B020284 Rai.WBB 4% WA 07-22/Rai Bspk 99,300 03.12.2009 no AT000B020292 Rai.WBB 4% WA 07-25/RLB OOE 105,500 16.09.2015 no AT0000490016 Rai.WBB Stabilit. WA 04-16/Tir 100,050 09.09.2015 no AT0000490149 Rai.WBB Var. WA 05-25/Rai.Bspk 92,500 27.09.2011 no AT000B020086 Rai.WBB var. WA 06-21/RLB Krn 92,000 17.03.2011 no AT000B020367 Rai.WBB var. WA 07-17/2 RLBN类 96,170 29.09.2011 no AT000B020243 Rai.WBB var. WA 07-18/Rai Bspk 98,500 28.12.2010 no AT000B020391 Rai.WBB var. WA 07-18/RLB Stmk 100,000 28.12.2010 no AT000B020219 Rai.WBB var. WA 07-22/RLB Ktn. 100,000 29.12.2009 no AT0000490115 Rai.WBB Ziel WA 05-26/RLB N-W 94,050 29.09.2011 no AT0000490123 Rai.WBB Ziel WA 05-26/RLB N-W 92,800 12.05.2015 no AT000B020029 Rai.WBB Ziel WA 06-27/RLB Krn 92,600 29.12.2009 no AT000B020003 Rai.WBB Ziel WA 06-27/RLB N-W 95,230 29.09.2011 no AT0000490131 Rai.WBB Zielk. WA 05-26/RLB O 100,010 10.09.2014 no AT000B020060 Rai.WBB ZielWA 06-26/RLB O 97,000 08.09.2015 no AT000B020102 Rai.WBB ZielWA 06-27 Raif.Bspk 88,900 05.02.2013 no AT000B020094 Rai.WBB ZielWA 06-27/2 RLBKrn 94,920 29.12.2009 no AT000B020037 Rai.WBB ZielWA 06-27/2RLB N-W 90,050 15.10.2012 no AT000B020078 Rai.WBB ZielWA 06-27/3RLB N-W 96,600 29.09.2011 no AT000B020128 Rai.WBB ZielWA 06-27/4 RLB N 102,160 12.11.2015 no AT000B020110 Rai.WBB ZielWA 06-28/2 RLB O 99,000 18.12.2015 no AT000B020185 Rai.WBB3,25-4%WA06-17/RLB Stmk 102,100 28.12.2010 no Ultimo 30.12.2015 50

AT000B020276 Rai.WBB3,75% WA 07-17/RLB Vbg. 107,300 01.12.2010 no AT000B020227 Rai.WBB3,75% WA 07-18/Rai Bspk 106,500 20.07.2015 no AT000B020342 Rai.WBB4,125% WA07-17/2 RLBN类 105,550 09.12.2015 no AT000B020359 Rai.WBB4,25% WA 07-18/RLB Stmk 104,600 28.12.2010 no AT000B020201 Rai.WBBvar.WA 06-16/3/ RLBNoeW 97,360 29.09.2011 no AT000B020268 Rai.WBBvar.WA 07-18/2 Rai Bspk 98,500 28.12.2010 no AT000B020334 Rai.WBBvar.WA 07-18/3/Rai Bspk 98,500 28.12.2010 no AT000B020375 Rai.WBBvar.WA 07-18/4/Rai Bspk 99,220 29.09.2011 no AT000B020425 Rai.WBBvar.WA 08-18/ RLB Vbg 99,500 01.12.2010 no AT000B020466 Rai.WBBvar.WA 08-18/1/ RLBNoeW 95,800 29.09.2011 no AT000B020565 Rai.WBBvar.WA 08-18/3/ RaiBspk 94,000 28.12.2010 no AT000B020482 Rai.WBBvar.WA 08-19/1/ RaiBspk 99,000 28.12.2010 no AT000B020508 Rai.WBBvar.WA 08-20/ RLB Ktn - - no AT000B020540 Rai.WBBvar.WA 08-20/2/ RaiBspk 97,500 28.12.2010 no AT0000490073 Raif.WBB Var.WA 05-18/RLB N-W 90,000 04.07.2014 no AT000B011044 Raiff Nullkup.Obl.IA08-16/P/70 83,000 11.11.2011 no AT0000285184 Raiff.CMS Dyn. FRN 04-19/PP/14 95,000 11.11.2011 no AT0000490099 Raiff.WBB Var. WA 05-18/Tirol 91,200 27.12.2007 no AT000B020888 RaiffWBB 2,25% WA12-23/2/RBspk - - no AT000B020870 RaiffWBB 2,75% WA12-24/1/RVbg - - no AT000B020714 RaiffWBB 2-4% WA 10-20/2 RLBO 100,000 21.12.2015 no AT000B020854 RaiffWBB 3,25% WA12-24/1/RN类 - - no AT000B020052 RaiffWBB 3,25%WA 06-16/RLB Vbg 104,750 01.12.2010 no AT000B020599 RaiffWBB 3,5% WA 09-19/1 106,600 30.11.2015 no AT000B020615 RaiffWBB 3,5% WA 09-20/1 Stmk 96,300 28.12.2010 no AT000B020672 RaiffWBB 3,5% WA 10-21/2/Bspk 101,000 01.09.2015 no AT000B020862 RaiffWBB 3,5,%WA12-23/1/RLBOOE 113,000 25.08.2014 no AT000B020797 RaiffWBB 3,7% WA11-24/2/RLB Vb - - no AT000B020656 RaiffWBB 3,75% WA 10-22/1/Stmk - - no AT000B020664 RaiffWBB 3,75% WA 10-23/1 109,000 18.09.2015 no AT000B020698 RaiffWBB 3,75% WA 10-23/1/Bspk 99,000 06.08.2013 no AT000B020649 RaiffWBB 3,8% WA 10-22/1 RLBO 110,000 24.04.2015 no AT000B020136 RaiffWBB 3,8%WA 06-18/Rai.Bspk 105,750 06.10.2015 no AT000B020805 RaiffWBB 3-4,%WA11-21/1/RLBOOE 115,100 01.10.2015 no AT000B020151 RaiffWBB 4 % WA 06-20/RLB N-W 108,020 20.02.2014 no AT000B020532 RaiffWBB 4% Index-li WA 08-21 102,000 08.07.2010 no AT000B020169 RaiffWBB 4% WA 06-21/Rai.Bspk 104,010 09.01.2015 no AT000B020318 RaiffWBB 4% WA 07-19/RLB N类 109,000 14.10.2014 no AT000B020623 RaiffWBB 4% WA 09-21/1 Rlb NOe 108,400 08.10.2013 no AT000B020631 RaiffWBB 4% WA 09-21/1 Rlb OOe 110,500 01.06.2015 no AT000B020607 RaiffWBB 4% WA 09-23/1 R Bspk 108,900 03.12.2015 no Ultimo 30.12.2015 51

AT000B020235 RaiffWBB 4%WA 07-22/RLB N类 105,680 29.09.2011 no AT000B020722 RaiffWBB Fix/VarWA 10-20/2Stmk 107,500 18.09.2015 no AT000B020706 RaiffWBB Stfz.WA 10-20/RLB N类 - - no AT000B020144 RaiffWBB var WA 06-17/Rai.Bspk 98,000 28.12.2010 no AT000B020680 RaiffWBB var. WA 10-23/1 RBspk - - no AT000B020813 RaiffWBB var. WA11-21/1/RLBOOE - - no AT000B020193 RaiffWBB var.wa 06-16/RLB Ktn. 100,000 29.12.2009 no AT000B020177 RaiffWBB var.wa 06-18/RLB N类 94,670 29.09.2011 no AT000B020045 RaiffWBB Var.WA 06-18/RLB N-W 95,380 29.09.2011 no AT000B020896 RaiffWBB2,3%-3% WA12-27/1/BSPK - - no AT000B020847 RaiffWBB2,625% WA12-23/2/BSPK - - no AT000B020839 RaiffWBB2,875% WA12-25/1/BSPK - - no AT000B020821 RaiffWBB2-4%WA12-24/1/RLB Stmk - - no AT000B020755 RaiffWBB3,5% WA11-22/2/BSPK 105,000 07.04.2014 no AT000B020771 RaiffWBB3,5-4% WA11-22/1/Stmk - - no AT000B020789 RaiffWBB3,75% WA11-23/1/RLB Vb - - no AT000B020748 RaiffWBB3,75% WA11-24/1/BSPK 113,000 17.09.2015 no AT000B020730 RaiffWBB3-4% WA11-21/1/RN类 - - no AT000B020763 RaiffWBBvar. WA11-24/1/BSPK - - no AT0000438031 RaiHold.NO f/v HybrKap-Anl 05P - - no AT000B013388 RBI 0,4% Schuldv. 14-16/S.67 - - no XS1222743731 RBI 0,74% SV 15-20/S.86/1 - - no XS1111240781 RBI 0,75% Schuldv. 14-16/S.72 - - no AT000B013073 RBI 0,95% Fixz-Anl. 13-16/S.78 - - no XS1202084890 RBI 1,16% Schuldv. 15-20/S.82 - - no AT000B013263 RBI 1,25% Schuldv. 14-17/S.55 - - no AT000B013339 RBI 1,66% Schuldv. 14-19/S.63 - - no AT000B013016 RBI 1,92%Fixzins-Anl.13-18/S74 - - no XS0778404789 RBI 3,05% Schuldv. 12-18/DIP14 - - no AT000B012646 RBI 3,15 % Fixzins-A.12-16/S48 - - no AT000B012695 RBI 3,82 % Fixzins-A.12-22/S53 - - no AT000B013131 RBI 3Y FRN 13-16/DIP S. 37/1 - - no AT000B013164 RBI 4,5Y FRN 13-18/DIP S. 43/1 - - no AT000B013149 RBI 4Y FRN 13-17/DIP S. 38/1 - - no AT000B013156 RBI 5Y FRN 13-18/DIP S. 39/1 - - no AT000B013081 RBI AUD-Anl. 13-17/S.79 - - no AT000B012927 RBI Autoswitch-Anl.12-16/PP/68 - - no AT000B012745 RBI CMS Floater 12-19/PP/S.55 - - no AT000B012877 RBI CMS-Floater 12-19/PP/S.64 - - no AT000B012901 RBI CMS-FRN 12-19/PP/66 - - no XS0994332137 RBI Coll.Fix/Flt.N.13-18/DIP48 - - no Ultimo 30.12.2015 52

AT000B013453 RBI Collared FRN 14-24/S.73 - - no AT000B012729 RBI DreibandAnl 12-18/S.54 - - no AT000B013297 RBI festverzinsl.sv 14-16/S.58 - - no AT000B013305 RBI festverzinsl.sv 14-17/S.59 - - no AT000B013446 RBI Fixed Rate N. 14-19/S.71 - - no AT000B013503 RBI Fixed Rate N. 14-25/S.77 - - no AT000B013412 RBI Fixed Rate Notes14-18/S.68 - - no AT000B013438 RBI Fixed Rate Notes14-19/S.70 - - no AT000B012505 RBI FRN 12-17/PP/S.35 - - no AT000B012810 RBI FRN 12-18/PP/S.60 - - no AT000B013032 RBI FRN 13-16/PP/S.75 - - no AT000B013008 RBI FRN 13-18/PP/S.73 - - no AT000B013420 RBI FRN 14-16/S.69 - - no AT000B013487 RBI FRN 14-16/S.75 - - no AT000B013529 RBI FRN 14-17/S.80/1 - - no AT000B013495 RBI FRN 14-18/S.76 - - no AT000B013511 RBI FRN 14-19/S.78/1 - - no XS1204193400 RBI FRN 15-17/S.83/1 - - no AT000B013552 RBI FRN 15-17/S.84/1 - - no AT000B013214 RBI fund.var.schuldv.13-18/s51 - - yes AT000B013354 RBI fund.var.sv 14-19/S.65 - - yes XS0880877476 RBI FX-PLN-li CorrNote13-17/30 - - no AT000B013594 RBI Infl.Schutz Anl. 15-21/S87 - - no AT000B013685 RBI Infl.Schutz Anl.15-22/S.95 - - no AT000B012299 RBI Inflationsanl. 11-18/S.18 101,600 11.08.2015 no AT000B012497 RBI Inflationsanl. 12-19/S.34 100,510 14.09.2012 no AT000B013180 RBI Inflationsanl. 13-20/S.46 - - no AT000B012265 RBI Mini-Max Anl. 11-16/PP/S.5 99,800 11.11.2011 no AT000B012935 RBI Min-Max-Anl.12-18/69 - - no AT000B012372 RBI Multipl. FRN 11-17/PP/S.24 94,200 17.11.2011 no AT000B013644 RBI NOK Festzins-A.15-20/92 - - no AT000B012919 RBI NOK-Anl. 12-17/S.67 97,000 18.11.2014 no AT000B013065 RBI NOK-Anl. 13-18/S.77 - - no XS1034950672 RBI NR kb fest.verz.sv14-25/56 - - no AT000B012414 RBI Nullkupon-Anl.11-16/PP/S27 83,900 17.11.2011 no XS0850886457 RBI PLN FX-li Note 12-16/S.23 102,200 31.01.2014 no AT000B012547 RBI Step-Up-Anl. 12-17/PP/S.39 - - no AT000B012554 RBI Step-Up-Anl. 12-19/PP/S.40 - - no AT000B012562 RBI Step-Up-Anl. 12-22/PP/S.41 - - no AT000B012794 RBI Stufenzins-Anl. 12-16/S.59 95,000 05.07.2013 no AT000B012828 RBI Stufenzins-Anl. 12-16/S.61 97,720 26.04.2013 no Ultimo 30.12.2015 53

AT000B012869 RBI Stufenzins-Anl. 12-16/S.63 100,010 21.05.2013 no AT000B013560 RBI USD MinMax-Anl. 15-20/S.85 - - no AT000B013628 RBI USD MinMax-Anl.15-20 II/90 - - no AT000B012422 RBI var.fund.schuldv11-16/s28p - - yes AT000B012471 RBI var.fund.sv 11-16/PP/S.32 - - yes AT000B013313 RBI var.schuldv. 14-16/S.57 - - no AT000B013347 RBI var.schuldv. 14-17/S.64 - - no AT000B013248 RBI var.schuldv. 14-18/S.53 - - no AT000B013230 RBI var.schuldv. 14-19/S.52 - - no AT000B013255 RBI var.schuldv. 14-24/S.54 - - no AT000B012455 RBI Zielverzi.20-Anl 11-21/S31 - - no AT000B012331 RBI Zinshuepfer Anl.11-18/S.20 105,600 11.11.2011 no AT000B012448 RBI ZinsNOKerl-Anl. 11-16/S.30 97,550 07.04.2014 no XS0221500571 Rep.Oest. FRN 05-20/S.109 - - yes XS0208462910 Rep.Oest. Fixed/ FRN 04-34/90 - - yes XS1074418671 Rep.Oesterr. FRN 14-20/S.257 101,250 30.12.2015 yes XS0231558858 RepOest Fi+CMS-Notes 05-35/120 88,000 23.06.2010 yes XS0542369219 RHEINMETALL AG ANL.10/17 107,070 30.12.2015 no XS0491047154 RHOEN-KLINIK.ANL.10/16 100,580 30.12.2015 no DE000A1TNA39 RICKMERS HOLD.ANL 13/18 90,900 30.12.2015 no AT000B076526 RLB N类 Nullkuponanl 10-17/11 78,860 30.06.2011 no AT000B076724 RLB N-W 3,35% Fixzobl 11-16/6 99,990 29.09.2011 no AT000B075783 RLB N-W 4,2% Fix-Obl.09-16/9 104,190 29.09.2011 no AT000B076716 RLB N-W 5,25% EK Schv 11-19/5 100,010 25.09.2015 no AT000B075155 RLB N-W 5,36% Fix-Obl.08-48/1 96,110 29.09.2011 yes AT000B075577 RLB N-W EK Fix-Obl. 08-23/42 109,020 29.09.2011 no AT000B075981 RLB N-W fix/var.obl.09-17/29 100,070 29.09.2011 no AT000B075098 RLB N-W Fund.Fix-Obl.07-47/33 102,350 29.09.2011 yes AT000B075114 RLB N-W Fund.Fix-Obl.07-47/35 95,820 29.09.2011 yes AT000B076450 RLB N-W Kapm.Float 10-18/4 94,370 29.09.2011 no AT000B076393 RLB N-W NR fix/var Ob 09-17/70 96,000 07.12.2015 no AT000B076096 RLB N-W Nullkuponanl 09-16/40 123,130 29.09.2011 no AT000B075791 RLB N-W Stuf.zins-Obl.09-16/10 105,660 29.09.2011 no AT000B075551 RLB N-W var. EK Obl. 08-21/40 94,670 29.09.2011 no AT000B075486 RLB N-W var. EK Obl. 08-28/33 92,320 29.09.2011 no AT000B075585 RLB N-W var. NR Obl. 08-21/43 94,780 29.09.2011 no AT000B075841 RLB N-W var.raiff-obl.09-19/15 104,580 29.09.2011 no AT000B076435 RLB N-W var.verz. Obl. 10-16/2 100,690 29.09.2011 no AT0000A1ACZ1 RLB Tirol Covered Bond 14-32 - - yes AT0000A1FQS5 RLB Tirol 0,52% Fixzinsa.15-16 - - no AT0000A185P9 RLB Tirol 1,387% Anl.14-20 - - no Ultimo 30.12.2015 54

AT0000A146H8 RLB Tirol cov Bond 13-18 - - no AT0000A17ZT6 RLB Tirol Eurib.PLUS-Anl.14-17 - - no AT0000A17ZS8 RLB Tirol Eurib.PLUS-Anl.14-18 - - no AT0000A15WP5 RLB Tirol EuriborFloater 14-18 - - no AT0000446869 RLB-Bgld nrek Bgld.Bond05-25/6 76,000 21.05.2010 no AT000B077581 RLBNO 0,6% fund.obl.13-16/15pp - - yes AT000B077524 RLB-NO 1,25% Obl. 13-17/9/PP - - no AT000B077045 RLBNO 4% Fixzins-Obl. 11-21/38 - - no AT000B076583 RLBNO 5% EK-Schuldv. 10-20/15 100,000 30.11.2015 no AT000B077037 RLBNO fix/var. Obl. 11-16/37 - - no AT0000438080 RLB-NO Kap.Ma Floater 05-20/15 90,770 29.09.2011 no AT000B075387 RLB-NO nr kdb.varobl 08-28/23 95,980 29.09.2011 no AT000B074695 RLB-NO nr kuendb.obl 06-21/20P 94,800 29.09.2011 no AT000B077565 RLBNO nr Tier2var.Obl.13-23/13 92,000 07.07.2015 no AT000B077516 RLB-NO Nullkupon-Obl. 13-23/8 - - no AT000B075353 RLBNO var.erg.kap-obl 08-23/20 95,450 29.09.2011 no AT0000176219 RLB-NOe FLEXI-Bond 96-26/4 99,990 29.09.2011 no AT0000313671 RLB-NOe Flexi-Bond 97-17/11 101,340 29.09.2011 no AT0000334800 RLB-NOe nachr. Obl. 02-17/9P 91,880 29.09.2011 no AT000B077433 RLBNOE-W 1,76 % SV 12-18/S35/1 - - no AT000B075023 RLB-NOE-W fund. var. SV 07-17 96,500 29.09.2011 yes AT000B074679 RLB-NOE-W Rohst. Gar 06-16/18 97,310 29.09.2011 no AT000B076948 RLBNOEW var.verz.obl. 11-16/28 - - no AT000B076922 RLBNOEW var.verz.obl. 11-17/26 - - no AT000B078001 RLBNOW 0,3% fd.fixz.o.15-18/10 - - yes XS1308628707 RLBNOW 0,5 % fund..banksv15-21 - - yes AT000B077680 RLBNOW 0,75 % Fixz.Obl.14-16/1 - - no AT000B077920 RLBNOW 0,75 % Obl 15-20/2 - - no AT000B078035 RLBNOW 0,75% Fixz.O.15-18/13 - - no AT000B077938 RLBNOW 1 % Obl 15-22/3 - - no AT000B078050 RLBNOW 1% Fixz.O.15-18/15 - - no AT000B078118 RLBNOW 1%Fixz-Obl. 15-20/21/PP - - no AT000B077961 RLBNOW 1,125% Fixz.Obl 15-20/6 - - no AT000B077870 RLBNOW 1,25% FixzObl 14-19/20 - - no AT000B077482 RLBNOW 1,29%Fixz.-Obl.13-16/5P - - no AT000B078084 RLBNOW 1,4% Fixz.O.15-19/18 - - no AT000B077698 RLBNOW 1,5 % Fixz.Obl.14-19/2 - - no AT000B078076 RLBNOW 1,5% Fixz.O.15-20/17 - - no AT000B077532 RLBNOW 1,5% Fixz.Obl. 13-18/10 - - no AT000B077441 RLBNOW 1,75% Fixz.Obl. 13-18/1 - - no AT000B077599 RLBNOW 2% Fixz.Obl. 13-18/16 - - no Ultimo 30.12.2015 55

AT000B077342 RLBN类 2% KMU-Anl.12-17/30 - - no AT000B077631 RLBNOW 2,25% Fixz.Obl.13-20/20 - - no AT000B076955 RLBN类 2,65% KMU Anl.11-16/29 - - no AT000B077334 RLBN类 2,85% Fixz-Obl.12-20/29 - - no AT000B076799 RLBN类 4% Fixzi-Obl.11-17/13 104,180 29.09.2011 no AT000B075940 RLBNOW 4,2% FixzObl 09-16/25 104,170 29.09.2011 no AT000B076203 RLBNOW 4,717% FixzObl 09-16/51 106,380 29.09.2011 no AT000B076963 RLBN类 5% EK SV 11-21/30 - - no AT000B077094 RLBN类 5% EK-SV 12-22/5 99,000 16.10.2015 no AT000B077904 RLBNOW 5% NachrFixzObl14-26/23 - - no AT000B077730 RLBNOW 5% NR T2 Obl. 14-24/6 104,000 23.11.2015 no AT000B077623 RLBNOW 5%NR T2 FixObl.13-23/19 100,000 22.12.2015 no AT000B076153 RLBNOW 6,75% NR Obl 09-17/46 95,150 09.12.2015 no AT000B076146 RLBNOW 7,5% NR Obl 09-19/45 117,000 21.10.2014 no AT000B076500 RLB-NOW EK Stufenz.Obl.10-18/9 98,850 15.10.2015 no AT000B078027 RLBNOW Fd.var.Obl 15-18/12/PP - - yes AT000B078019 RLBNOW fd.var.verz.o.15-20/11 - - yes AT000B077508 RLBNOW fix/var. Obl.13-28/7PP - - no AT000B076211 RLBNOW Kap.M.Floater 09-16/52 100,720 29.09.2011 no AT000B076492 RLBNOW Kap.M.Floater 10-16/8 100,870 29.09.2011 no AT000B078100 RLBNOW kb.var.verz.o.15--18/20 - - no AT000B078043 RLBNOW kb.var.verz.o.15-20/14 - - no AT000B076849 RLBN类 Nullkuponanl. 11-16/18 88,830 29.09.2011 no AT000B076690 RLBN类 Nullkuponanl. 11-16/3 87,890 29.09.2011 no AT000B078068 RLBNOW Stfz.O.15-20/16 - - no AT000B077979 RLBNOW Stfz.-Obl 15-25/7 - - no AT000B077243 RLBN类 Stfz.-Obl. 12-19/20 - - no AT000B077607 RLBNOW Stfz.-Obl. 13-21/17 - - no AT000B077656 RLBNOW Stfz.-Obl.13-21/22 - - no AT000B077946 RLBNOW Stfz-Obl. 15-25/4 - - no AT000B077086 RLBN类 Stufenz.Obl. 12-19/4 - - no AT000B077540 RLBNOW Stufenz.-Obl. 13-21/11 - - no AT000B076559 RLB-NOW Stufenz.Obl.10-17/14 98,200 29.09.2011 no AT000B077193 RLBN类 Stufenzi.EK-SV 12-20/15 102,950 17.07.2015 no AT000B077888 RLBNOW StufenzinsObl 14-22/21 - - no AT000B077458 RLBNOW Stufenzins-Obl. 13-21/2 - - no AT000B076856 RLBN类 Stufenzins-Obl.11-17/19 104,550 29.09.2011 no AT000B077219 RLBN类 Stufenzins-Obl.12-19/17 - - no AT000B077706 RLBNOW Stufenzins-Obl.14-22/3 - - no AT000B076369 RLBNOW var. NR Obl 09-17/67 102,100 29.09.2011 no AT000B077615 RLBNOW var. Obl. 13-23/18 - - no Ultimo 30.12.2015 56

AT000B077664 RLBNOW var. Obl. 13-23/23 - - no AT000B077128 RLBN类 var. Raif.Obl.12-17/8 - - no AT000B077136 RLBN类 var. Raif.Obl.12-18/09 - - no AT000B077060 RLBN类 var. Raiff.Obl. 12-16/2 - - no AT000B077078 RLBN类 var. Raiff.Obl. 12-17/3 - - no AT000B076773 RLBN-W var. Raiffobl.11-16/11 96,750 28.08.2013 no AT000B077896 RLBNOW Var.Obl 14-24/22 - - no AT000B077912 RLBNOW Var.Obl 15-17/1 - - no AT000B077367 RLBNOW var.obl. 12-17/32 - - no AT000B077375 RLBNOW var.obl. 12-17/33/PP - - no AT000B077318 RLBN类 var.obl. 12-20/27/PP - - no AT000B077151 RLBN类 var.raiff.obl. 12-17/11 - - no AT000B077201 RLBN类 var.raiff.obl. 12-17/16 - - no AT000B077235 RLBN类 var.raiff.obl. 12-17/19 - - no AT000B077557 RLBNOW var.verz. Obl. 13-23/12 - - no AT000B077466 RLBNOW var.verz. Obl. 13-23/3 100,010 17.02.2015 no AT000B077490 RLBNOW var.verz. Obl.13-18/6PP - - no AT000B078092 RLBNOW var.verz.o.15-20/19 - - no AT000B075528 RLBNOW var.verz.obl 08-18/37 95,190 29.09.2011 no AT000B075536 RLBNOW var.verz.obl 08-18/38 94,890 29.09.2011 no AT000B076278 RLBNOW var.verz.obl 09-16/58 99,490 29.09.2011 no AT000B077995 RLBNOW var.verz.obl 15-17/9 - - no AT000B077987 RLBNOW var.verz.obl 15-27/8 - - no AT000B077029 RLBN类 var.verz.obl. 11-18/36 - - no AT000B077953 RLBNOW var.verz.obl. 15-27/5 - - no AT000B076823 RLBN类 var.verz.obl.11-16/16 102,520 29.09.2011 no AT000B076740 RLBN类 Var.verz.Obl.11-16/8 101,800 29.09.2011 no AT000B076708 RLBN类 Var.verz.Obl.11-17/4 99,660 29.09.2011 no AT000B077714 RLBNOW var.verz.obl.14-24/4 - - no AT000B077847 RLBNOW1,42% FixzObl14-19/17/PP - - no AT000B077391 RLBNOW1,94%fixObl.12-17/35/PP - - no AT000B077409 RLBNOW2,19%fixObl.12-18/36/PP - - no AT000B076617 RLB-NOW2,75%Fixz.Obl.10-16/18 97,270 29.09.2011 no AT0000A1EL96 RLBOO Fix verz. SV 15-25/06 - - no XS1111119100 RLB-OO 0,43% Schuldv.14-17/S79 - - no AT0000A18Q45 RLBOO 1,285% fund. SV 14-21/76 - - no XS0920718391 RLB-OO 1,7% Schuldv.13-19/S.61 - - no XS0900814038 RLBOO 3,68% kb SV 13-53/58 - - no AT0000A0E9U9 RLBOO 4,6% fund. SV 09-19/14 108,010 30.12.2010 no AT0000A0DJM0 RLB-OO CMS-Schuldv. 09-19/40 104,480 29.12.2010 no DE000A1A2S05 RLBO EURIBOR Cap Fltr10-16/66 101,490 19.05.2014 no Ultimo 30.12.2015 57

DE000A1AUXH1 RLBO EURIBOR FRN 10-16/49 100,480 11.04.2014 no AT0000A1FQ09 RLBOO Fd.Fix verz.sv 15-18/10 - - yes AT0000A1FQ17 RLBOO Fd.Fix verz.sv 15-20/11 - - yes AT0000A1FQ25 RLBOO Fd.Fix verz.sv 15-23/12 - - yes AT0000A0VQ75 RLBOO fix Schuldv. 12-16/10 - - no AT0000A0WMS1 RLBOO fix Schuldv. 12-17/18 - - no AT0000A0ZD68 RLB-OO fix Schuldv. 13-20/5 - - no AT0000A1FR81 RLBOO Fix verz. SV 15-21/14 - - no AT0000A0LW79 RLBOO Fixzins-Anlage 10-17/72 - - no AT0000A048W5 RLB-OO FRN 07-17/S.6 96,020 30.12.2010 no AT0000A05QN3 RLB-OO FRN 07-17/S.8 95,480 29.12.2010 no AT0000A0EAF1 RLBOO fund. SV 09-21/64 106,490 29.12.2010 yes AT0000A0VQ67 RLBOO fund.fix Schuldv.12-16/9 - - yes AT0000A0VQ59 RLBOO fund.fix Schuldv.12-20/8 - - yes AT0000A1FHN5 RLB-OO fund.var. SV 15-22/09 - - yes AT0000A1D5R3 RLB-OO fund.var. SV 15-22/83 - - yes AT0000A10CL7 RLB-OO fund.var.sv 13-20/S.63 - - no AT0000A0F8X4 RLBOO Linz09 EK Fltr. 09-17/26 101,500 17.12.2015 no AT0000A1CB74 RLBOO NR fix verz SV 15-27/16 - - no AT0000A1CAZ1 RLBOO NR FixZins Anl.15-22/14 - - no AT0000A1EKT9 RLBOO NR FixZins Anl.15-22/19 - - no AT0000A1CB09 RLBOO NR FixZins Anl.15-25/15 - - no AT0000A1EKS1 RLBOO NR FixZins Anl.15-25/18 - - no AT0000A1FQN6 RLB-OO 犟f.fd.var. SV 15-16/84 - - yes AT0000A1FQV9 RLB-OO 犟f.fd.var. SV 15-16/85 - - yes AT0000A1FR08 RLB-OO 犟f.fd.var. SV 15-16/86 - - yes AT0000A1FR57 RLB-OO 犟f.fd.var. SV 15-16/87 - - yes AT0000A0DWH3 RLB-OO Stuf.Zi Anlage 09-16/48 108,600 29.12.2010 no AT0000A0LSQ5 RLBOO Stufenzi.Anlage 10-16/25 97,050 10.04.2015 no AT0000A0ZCV9 RLB-OO Stufenzi.Anlage 13-19/3 97,000 21.01.2014 no AT0000A0KPZ4 RLB-OO SV 10-30/22 92,360 29.12.2010 no AT0000A0FMH9 RLB-OO var. Schuldv. 09-16/85 100,650 29.12.2010 no AT0000A0FDF2 RLB-OO var. Schuldv. 09-17/82 100,370 29.12.2010 no AT0000A0DWF7 RLB-OO var. Schuldv. 09-18/47 - - no AT0000A1AK42 RLB-OO var. SV 14-21/32 - - no AT0000A1AK59 RLB-OO var. SV 14-24/33 - - no AT0000A0T7B6 RLB-OO var.schuldv. 11-16/S.33 - - no AT0000A0T7A8 RLB-OO var.schuldv. 11-18/S.32 - - no AT0000A10519 RLB-OO var.schuldv. 13-17/07 - - no XS0889407259 RLB-OO var.schuldv. 13-18/S.56 - - no XS1072658724 RLB-OO var.schuldv. 14-18/S.75 - - no Ultimo 30.12.2015 58

AT0000A1H583 RLB-OO var.schuldv. 15-17/S.88 - - no AT0000A10G94 RLBOO2.525% fund. SV 13-30/64 - - no AT0000510136 RLB-OOe CMS Spr.SV 05-25/17 79,500 31.01.2011 no AT0000A0W5S9 RLBOOE Fund.fix SV 12-20/16 - - yes AT0000A0W5Y7 RLBOOE Fund.fix SV 12-22/17 - - yes AT0000510565 RLB-OOe KM-Floater 05-17/32 98,160 29.12.2010 no AT0000510003 RLB-OOe KM-Floater 05-20/10 96,180 29.12.2010 no AT0000A127S5 RLBOOE NR CZK Fltr.13-23/4 - - no AT0000A14Q49 RLBOOE NR FixZinsA.14-24/6 - - no AT0000A14Q64 RLBOOE NR VarioZinsA.14-24/7 - - no AT0000A0DSY6 RLB-OOE Zerokuponanl. 09-16/04 119,360 29.12.2010 no AT0000A0DT33 RLB-OOE Zerokuponanl. 09-18/08 121,840 29.12.2010 no AT0000A0DT41 RLB-OOE Zerokuponanl. 09-20/09 123,570 29.12.2010 no AT000B089594 RLBSt.Stufenz.Obl. 06-16/17/PP 106,300 28.12.2010 no AT000B091681 RLB-Stmk 1,877% SV 13-19/5/PP - - no AT000B091707 RLB-Stmk 2% fund.obl.13-22/1p - - yes XS0942965525 RLB-Stmk 2,375% fund.sv13-28/4 - - yes AT000B090519 RLB-Stmk 2,5-5 % Obl. 10-17/4 101,100 28.12.2010 no AT000B091871 RLB-Stmk 2,81% Obl.13-20/21/PP - - no AT000B091418 RLB-Stmk 2,903% Obl.12-18/12/P - - no AT000B090303 RLB-Stmk 3,35 % Obl. 09-16/15 99,250 28.12.2010 no AT000B092440 RLBStmk 3,4% nr Fixz.A.15-22/7 - - no AT000B090527 RLB-Stmk 3,5-4,5 %Obl. 10-19/5 99,350 28.12.2010 no AT000B090261 RLB-Stmk 3,65 % Obl. 09-18/11 97,800 28.12.2010 no AT000B091905 RLB-Stmk 3,705 % SV 13-33/24/P - - no AT000B092101 RLBStmk 3,75-6 %NRStfz.14-24/1 99,500 24.04.2015 no AT000B090279 RLB-Stmk 3,9 % Obl. 09-20/12 95,100 28.12.2010 no AT000B091699 RLBStmk 3-3,5% MC-Obl.13-23/6P - - no AT000B090568 RLB-Stmk 3-4,65% Obl.10-18/9 99,000 28.12.2010 no AT000B090188 RLB-Stmk 4% Obl 09-19/3 97,950 28.12.2010 no AT000B090246 RLB-Stmk 4% Obl mit KR 09-19/9 99,550 28.12.2010 no AT000B090444 RLB-Stmk 4,4 % Obl. 09-19/30 100,300 28.12.2010 no AT000B092291 RLB-Stmk 4,4-6% nr Flt.15-27/1 - - no AT000B091921 RLBStmk 4,8 % NR Anl.13-24/1 - - no AT000B092390 RLBStmk 5% nr Fixz.A.15-25/3 - - no AT000B091533 RLBStmk Bestzi-Float.12-18/16P - - no AT000B091632 RLBStmk Bestzi-Float.12-20/26P - - no AT000B090642 RLB-Stmk FixtoFlo Obl.10-16/17 99,600 28.12.2010 no AT000B090725 RLB-Stmk FixtoFlo Obl.10-17/25 98,000 28.12.2010 no AT000B090808 RLB-Stmk FixtoFlo Obl.10-18/33 99,100 28.12.2010 no AT0000456819 RLB-Stmk Floater 03-23/9/PP - - no Ultimo 30.12.2015 59

AT0000456850 RLB-Stmk Floater 03-33/13 100,000 28.12.2010 no AT0000456868 RLB-Stmk Floater 03-33/14 100,000 28.12.2010 no AT0000456876 RLB-Stmk Floater 03-33/15 100,000 28.12.2010 no AT0000456884 RLB-Stmk Floater 03-33/16 100,000 28.12.2010 no AT0000457163 RLB-Stmk Floater 05-20/10/PP - - no AT0000457247 RLB-Stmk Floater 05-20/18/PP - - no AT000B090717 RLB-Stmk Floor Fl Obl.10-20/24 97,800 28.12.2010 no AT000B090915 RLB-Stmk FloorFloater 11-20/8P - - no AT000B090543 RLB-Stmk FloorFloatObl.10-19/7 97,250 28.12.2010 no AT000B091947 RLB-Stmk fund.var.obl.13-18/5p - - yes AT000B092275 RLB-Stmk fund.var.obl.15-20/9p - - yes AT000B092127 RLB-Stmk Stuf.Zi-Obl.14-21/15P - - no AT000B092119 RLB-Stmk Stuf.Zi-Obl.14-22/14P - - no AT000B092150 RLB-Stmk Stuf.Zi-Obl.14-24/17P - - no AT000B090311 RLB-Stmk StufZi Obl 09-17/17 100,650 28.12.2010 no AT000B090477 RLB-Stmk StufZi Obl 09-18/32 104,150 28.12.2010 no AT000B089800 RLB-Stmk Var.Obl. 07-16/17/PP - - no AT000B089818 RLB-Stmk Var.Obl. 07-16/18/PP - - no AT000B089792 RLB-Stmk Var.Obl. 07-17/16/PP - - no AT000B089974 RLB-Stmk Var.Obl. 08-16/8/PP - - no AT000B091053 RLB-Stmk Var.Obl. 11-18/18/PP - - no AT000B091590 RLBStmk var.sv 12-20/22/PP - - no AT000B090923 RLB-Stmk Vario-Obl. 11-20/9/PP - - no AT000B092366 RLB-Stmk Vario-SV 15-25/2/PP - - no AT000B092143 RLB-Stmk. 2,88% Obl. 14-25/16P - - no AT0000456827 RLB-Stmk. Floater 03-23/10/PP - - no AT0000456835 RLB-Stmk. Floater 03-33/11/PP - - no AT0000456843 RLB-Stmk. Floater 03-33/12/PP - - no AT000B092200 RLB-Stmk.4,6% EK-Anl.14-29/2/P - - no AT000B092515 RLBStmk0,73% fd.fix.o.15-23/11 - - yes AT000B092523 RLBStmk0,765% f.fix.o.15-23/12 - - yes AT000B091863 RLBStmk2,25-4%Stfz.13-21/20/PP - - no AT000B091822 RLBStmkHyp.fund.VarObl 13-23/3 - - yes AT000B092564 RLBStmkVario-SV15-20/10/PP - - no AT000B092473 RLBStmkVario-SV15-20/8/PP - - no AT000B092481 RLBStmkVario-SV15-20/9/PP - - no AT0000A1FVJ4 RLB-Tir. Cov.Bond 15-18 - - yes AT0000A1FAN0 RLB-Tir. Cov.Bond 15-20/2 - - yes AT0000A1DP85 RLB-Tir. EuriborPLUS-Anl.15-20 - - no AT0000A1DW45 RLB-Tir. EuriborPLUS-Anl.15-20 - - no AT0000A1ENU1 RLB-Tir. EuriborPLUS-Anl.15-20 - - no Ultimo 30.12.2015 60

AT0000A1HH81 RLBTir.Covered Bond 15-19 - - yes AT0000A1GD29 RLBTir.EuriborPLUS-Anl.15-20/2 - - no AT0000A1HGE2 RLBTir.EuriborPLUS-Anl.15-20/3 - - no AT0000A1H0S8 RLB-Tirol 1,87% Anl. 15-25 - - no AT0000A1GZU0 RLB-Tirol Cov.Bd. 15-22 - - no AT0000A193P3 RLB-Tirol Covered Bond 14-21 - - yes AT0000A1D2Y6 RLB-Tirol Covered Bond 15-20 - - yes AT0000A153M4 RLBTirol EuriborPLUS-Anl.14-18 - - no AT0000A1DKA1 RLB-Tirol EuriborPLUS-Anl15-25 - - yes AT0000A1FG76 RLB-Tirol Fixz.Anl. 15-20 - - no AT0000A193Q1 RLB-Tirol Nachrang-Anl. 14-24 - - no AT000B065032 RLBVbg fund. SV 12-18/51 - - yes AT000B065149 RLBVbg Notes 13-18/11 - - no AT000B065255 RLBVbg Notes 13-18/22 - - no AT000B065826 RLB-Vbg 0,39% fund. SV14-19/42 - - yes AT000B065289 RLB-Vbg 0,84% Notes 13-16/25 - - no AT000B065479 RLB-Vbg 1% Fixzi.-Obl. 14-17/7 - - no AT000B065214 RLBVbg 1,1% fund.schv 13-18/18 - - yes AT000B065024 RLBVbg 1,3% fund. SV 12-18/50 - - yes AT000B066113 RLB-Vbg 1,6% Fixobl.15-23/28 - - no AT000B065123 RLB-Vbg 1,6% Fixzi-Obl.13-18/9 - - no AT000B066055 RLB-Vbg 1,75% Fix-O.15-25/22 - - no AT000B065164 RLBVbg 1,92% fund. SV 13-21/13 - - yes AT000B065008 RLBVbg 2,625% fund SV 12-29/48 - - yes AT000B065107 RLB-Vbg 2,7% fund.schv 13-32/7 - - yes AT000B065172 RLBVbg 2,8% fund.schv 13-31/14 - - yes AT000B064068 RLBVbg 2,95% Fixz.Obl.10-16/18 97,500 01.12.2010 no AT000B064290 RLBVbg 3,9% FixzinsObl11-16/17 - - no AT000B065503 RLBVbg 3M Eurib.Float.14-18/10 - - no AT000B065461 RLB-Vbg 3-M Eurib.Flt.14-20/6 - - no AT000B066063 RLB-Vbg 3-M Eurib.Fltr15-20/23 - - no AT000B066022 RLB-Vbg 3-M Eurib.Fltr15-25/19 - - no AT000B066089 RLB-Vbg 3-M Eurib.Fltr15-25/25 - - no AT000B065990 RLB-Vbg 3-M-Eurib-Flt.15-19/16 - - no AT000B064076 RLB-Vbg 3M-Euribor-Fl.10-16/19 100,000 01.12.2010 no AT000B064241 RLBVbg 4% FixzinsObl.11-18/12 - - no AT000B064084 RLBVbg Fix tofloat-obl10-25/20 - - no AT000B066006 RLB-Vbg fund. BankSV15-21/17 - - yes AT000B065388 RLBVbg fund. SV 13-18/35 - - yes AT000B065396 RLB-Vbg fund.schuldv. 13-18/36 - - yes AT000B065305 RLB-Vbg fund.schuldv. 13-20/27 - - yes Ultimo 30.12.2015 61

AT000B064423 RLBVbg Notes 11-18/31 - - no AT000B064993 RLBVbg Notes 12-17/47 - - no AT000B065016 RLBVbg var. fund. SV 12-18/49 - - yes AT000B065537 RLB-Vbg. 2% Notes 14-22/13 - - no AT000B064001 RLB-Vbg. 2,90 % Obl. 10-16/12 97,900 01.12.2010 no AT000B065685 RLB-Vbg. Fixzins-Obl. 14-22/28 - - no AT000B065651 RLB-Vbg. Fund.Bank-SV 14-17/25 - - yes AT000B065859 RLB-Vbg. fund.schuldv. 15-17/2 - - yes AT000B065867 RLB-Vbg. fund.schuldv. 15-18/3 - - yes AT000B065875 RLB-Vbg. fund.schuldv. 15-19/4 - - yes AT000B065925 RLB-Vbg. fund.schuldv. 15-20/9 - - yes AT000B065933 RLB-Vbg. fund.schuldv.15-25/10 - - yes AT000B065552 RLB-Vbg. Notes 14-16/15 - - no AT000B065545 RLB-Vbg. var. Notes 14-20/14 - - no AT000B065602 RLB-Vbg. var. Notes 14-20/20 - - no AT000B065677 RLB-Vbg. var. Notes 14-22/27 - - no AT000B064787 RLB-Vbg.1M-Euribor-N. 12-17/26 - - no AT000B066154 RLB-Vbg0,64% Fixz.Obl.15-18/32 - - no AT000B064258 RLBVbg3,65% FixzinsObl11-16/13 - - no AT0000A15989 RLOO 0,02%hyp.fund.SV 14-16/74 - - yes AT0000A104T2 RLOO 1,55% fund.schuv.13-20/60 - - yes AT0000A0WP42 RLOO 2,15% fund.schuv.12-21/43 - - yes AT0000A14PM9 RLOO 2,35%hyp.fund.SV 14-24/71 - - yes XS0925152810 RLOO 2,375% SV 13-23/62 - - no AT0000A0WP91 RLOO 2,5% fund.schuv.12-22/s44 - - yes XS1084166617 RLOO 4,04% Tier2 Notes14-24/77 - - no DE000A1AX273 RL-OO EURIBOR CapFloat10-16/55 98,890 07.12.2012 no AT0000A185X3 RLOO Fix verz. SV 14-21/21 - - no AT0000A10709 RLOO fund.fix.sv 13-28/08 - - yes AT0000A11W69 RLOO fund.var.schuldv.13-18/67 - - yes AT0000A10HQ5 RLOO fund.var.schuldv.13-20/65 - - yes AT0000A018Z1 RLOO GDF7A-NullkupAnl 06-16/19 95,230 29.12.2010 no AT0000509120 RL-OO GDF7-NullkupAnl 04-16/10 113,050 29.12.2010 no AT0000A1CPB0 RLOO hyp.fund.stzi SV 15-25/81 - - yes AT0000A1AXT0 RLOO NR fix verz SV 14-27/12 - - no AT0000A17HL1 RLOO nr FixZIns Anl. 14-25/8 105,000 11.12.2015 no AT0000A19395 RLOO NR FixZins Anl.14-22/10 100,000 19.05.2015 no AT0000A1ADX4 RLOO NR FixZins Anl.14-25/11 - - no AT0000A17HM9 RLOO nr VarioZins Anl. 14-25/9 - - no AT0000A13LJ6 RLOO var.hyp.fund.sv 13-18/S69 - - yes AT0000A0XPB8 RLOOE fix.verz. SV 12-20/23 - - no Ultimo 30.12.2015 62

AT0000A1FH26 RLOOE nr 5,6% Schuldv.15-27/20 - - no AT0000A11WF5 RLOOE NR FixZins Anlage13-24/3 107,400 07.10.2015 no AT0000A10UF1 RLOOE NR VarioZins Anl.13-23/2 97,990 28.10.2015 no AT0000A0XBU8 RLOOE var. SV 12-16/21 - - no AT000B091723 RL-Stmk 2,08% Schuldv.13-20/8P - - no AT000B091715 RL-Stmk 2,53% Schuldv.13-23/7P - - no AT000B092135 RL-Stmk 2,6% fund.obl.14-29/8p - - yes AT000B092093 RL-Stmk 3,2% fund.obl.14-34/7p - - yes AT000B092457 RLStmk fund.varioobl.15-20/10p - - yes AT000B092408 RL-Stmk fund.varioobl.15-21/4p - - yes AT000B092416 RL-Stmk fund.varioobl.15-22/5p - - yes AT000B092424 RL-Stmk fund.varioobl.15-23/6p - - yes AT000B091749 RL-Stmk Geldm.Floater13-21/10P - - no AT000B063094 RLVbg NatBas.GarPerf. 06-16/12 107,500 01.12.2010 no XS0934389221 ROB.BOSCH INV.NL 13/21MTN 104,420 30.12.2015 no XS0934539726 ROB.BOSCH INV.NL 13/28MTN 109,450 30.12.2015 no XS0937160272 ROB.BOSCH INV.NL 13/33MTN 112,680 30.12.2015 no XS0254720633 ROBERT BOSCH ANL.06/16 101,560 30.12.2015 no XS0433001137 ROBERT BOSCH MTN.09/17 107,220 30.12.2015 no XS1084563615 ROBERT BOSCH MTN.14/24 103,460 30.12.2015 no XS1084874533 ROBERT BOSCH MTN.14/39 110,280 30.12.2015 no XS1123386838 Roof Pol.Leas. Cl.A FRN 14-28 - - no XS1313115161 Roof Pol.Leas. Cl.A2 FRN 15-25 - - no XS1313115328 Roof Pol.Leas. Cl.B FRN 15-25 - - no AT0000A10HV5 RV Sbg Fixzinsanlage 13-16/18 - - no AT0000A10HW3 RV Sbg Fixzinsanlage 13-17/19 - - no AT0000A19S26 RV Sbg Fixzinsanlage 14-18/27 - - no AT0000A19X94 RV Sbg Geldmkt-Anl.14-20/28 - - no AT0000A1DW29 RV Sbg Geldmkt-Anl.15-20/3 - - no AT0000A1DW37 RV Sbg Geldmkt-Anl.15-20/4 - - no AT0000A10113 RV Sbg Geldmkt-Anlage 13-16/10 - - no AT0000A104U0 RV Sbg Geldmkt-Anlage 13-16/11 - - no AT0000A107P3 RV Sbg Geldmkt-Anlage 13-17/13 - - no AT0000A10M21 RV Sbg Geldmkt-Anlage 13-17/21 - - no AT0000A107Q1 RV Sbg Geldmkt-Anlage 13-18/14 - - no AT0000A10P85 RV Sbg Geldmkt-Anlage 13-19/22 - - no AT0000A191F8 RV Sbg Geldmkt-Anlage 14-20/22 - - no AT0000A18WW5 RVSbg Zi.Klett-Anl.II 14-20/19 - - no AT0000451208 RV-Sbg. Rev.Floater 03-33/10 98,210 27.02.2004 no AT000B020987 RWBB 1,5-2,5% Stfz.WSV 14-28/5 - - no AT000B020979 RWBB 2% WSV 14-29/S.4 - - no Ultimo 30.12.2015 63

AT000B020953 RWBB 2%-3% Stfz. WSV 14-28/S.2 - - no AT000B020946 RWBB 2,2% WSV 14-26/S.1 - - no AT000B020904 RWBB 2,25-3,5%WA13-24/TH RLBOO - - no AT000B020920 RWBB 2,4%WA13-25/TH Raiff.BSpk 100,000 22.12.2015 no AT000B020912 RWBB MinMaxWA13-24/TH RaiBSpk - - no AT000B124508 RWBB var.verz.wsv 14-25/7 - - no AT000B020938 RWBB vario WSV 13-25/RLBTirol - - no AT000B020995 RWBB Vario WSV 14-26/6 - - no AT000B020961 RWBB2-2,75% Stfz.WSV 14-26/3 - - no XS0162513211 RWE AG MTN 03/33 123,550 30.12.2015 no XS0127984747 RWE FIN. 01/16 MTN 1-3 101,750 30.12.2015 no XS0172851650 RWE FIN. 03/18 MTN 111,540 30.12.2015 no XS0399647675 RWE FIN. 08/19 MTN 116,890 30.12.2015 no XS0412842857 RWE FIN. 09/21 MTN 125,580 30.12.2015 no XS0878010718 RWE FIN. 13/20 MTN 102,100 30.12.2015 no XS0982019126 RWE FIN. 13/24 MTN 105,500 30.12.2015 no AT000B010590 RZB 10Y CMS Fl. 08-18/PP/41 94,000 11.11.2011 no AT000B012133 RZB 10Y CMS li.n. 10-20/S.135 - - no AT000B010251 RZB 10Y CMS-Floater 07-17/P/12 97,400 11.11.2011 no AT000B010335 RZB 10y CMS-Floater 07-17/PP/3 97,300 11.11.2011 no AT000B010269 RZB 10Y RangeSpr.Note07-17/P13 106,900 11.11.2011 no AT000B012141 RZB Col.FRN 10-16/S.136 97,800 11.11.2011 no XS0253262025 RZB Fin.IV Subord.Perp.Notes06 40,000 09.06.2009 no AT000B010319 RZB FRN 07-17/PP/S.18 92,600 11.11.2011 no XS0300807939 RZB FRN 07-17/S.59 - - no AT000B011788 RZB Frhlingsanl. 09-19/S.108 109,500 29.08.2014 no AT000B010707 RZB Geldm.Floater 08-16/PP/45 96,400 11.11.2011 no AT000B010475 RZB Geldm.Floater 08-18/S.30PP 93,500 11.11.2011 no AT000B011572 RZB Geldm.Floater 09-18/PP/3 99,800 11.11.2011 no AT0000285267 RZB Hochzins-Anl. 05-25/P3 104,000 11.11.2011 no AT000B011853 RZB Infl.Schutz Anl.09-16/S117 99,000 09.10.2014 no AT000B011846 RZB Inflat.Anl. 09-17/S.116 100,000 05.08.2015 no XS0439489625 RZB Inflat.li.N. 09-17/108 - - no AT0000285366 RZB KapMarkt-Spr.Fl. 05-20/10P 94,400 11.11.2011 no AT0000284922 RZB KapSpreadFloater 03-18/P/4 112,200 11.11.2011 no AT000B011051 RZB NK Obl TOPAS100 08-16/P/71 82,000 11.11.2011 no AT000B011069 RZB NK Obl TOPAS100 08-17/P/72 81,300 11.11.2011 no AT000B011077 RZB NK Obl TOPAS90 08-16/P/73 79,700 11.11.2011 no AT000B011085 RZB NK Obl TOPAS90 08-17/P/74 81,300 11.11.2011 no XS0383448114 RZB nr FRN 08-18/S.100 - - no AT000B010301 RZB NR Nullk.Anl. 07-16/PP/17 65,500 11.11.2011 no Ultimo 30.12.2015 64

AT000B010434 RZB nr Nullkup. Anl. 07-17/P26 55,500 11.11.2011 no AT000B010442 RZB nr Nullkup. Anl. 07-17/P27 57,200 11.11.2011 no AT000B011192 RZB NR Obl. 08-18/82 95,000 17.11.2009 no AT000B011432 RZB Nullkup. Obl. 08-17/PP/42 - - no AT000B011200 RZB Nullkup.Obl. 08-20/PP/92 63,100 11.11.2011 no AT0000284765 RZB Raiffeisen-Floater 01-21/1 99,990 05.12.2006 no AT000B011416 RZB Stufenzins-Obl 08-18/PP/34 - - no AT0000285390 RZB Superior Bond 05-25/5 85,110 07.02.2014 no XS0361753204 RZB USD FiRate Notes 08-18/S89 - - no AT0000A1DNL2 RZB var.fund.schuldv.15-18/s.1 - - yes XS0309195724 RZB5%Fixed Rate N.07-16/S67 - - no AT000B012117 RZB-Mixzins-Anl. 10-17/S.134 92,000 16.10.2015 no AT000B012091 RZB-Zinskletter-Anl 10-16/S133 98,050 07.11.2014 no AT0000A15MU6 s BSpK 1,80 % Pfdb.14-22/02 - - yes AT0000A15MT8 s BSpK 2,15 % Pfdb.14-24/03 - - yes AT0000A14Q98 s BSpK 2,39 % Pfdb.14-24/01 - - yes AT0000A05JP3 S Bspk Euribor-geb. WA 07-22/1 99,250 15.01.2015 no AT0000A03F78 S Bspk var. verz. WA 06-21 99,200 15.06.2012 no AT0000A19SB5 S IMMO 3% Anleihe 2014-2019 106,000 30.12.2015 no AT0000A1DBM5 S IMMO 3,25% Anl.15-25/S1/2015 102,000 11.11.2015 no AT0000A1DWK5 S IMMO 3,25% Anl.15-27/S2/2015 105,000 30.12.2015 no AT000B073556 S Wohnbaub. var. WA 06-18/9 99,250 20.11.2013 no AT0000443262 S Wohnbaub. var. WA 06-21/1 95,250 31.01.2011 no AT0000347125 s Wohnbaubank var. WA 01-16/1 97,300 01.02.2011 no AT0000347281 S Wohnbaubank var. WA 03-16/3 99,500 25.09.2015 no AT0000443106 S Wohnbaubank var. WA 04-17/1 97,800 09.12.2015 no AT0000443122 S Wohnbaubank var. WA 04-19/3 97,700 08.10.2014 no AT0000443155 S Wohnbaubank var. WA 04-19/6 98,000 23.09.2014 no AT0000443171 S Wohnbaubank var. WA 04-19/8 90,200 20.11.2012 no AT0000443197 S Wohnbaubank var. WA 05-20/1 99,700 04.11.2015 no AT0000443247 S Wohnbaubank var. WA 05-20/6 100,000 31.01.2011 no AT000B073580 S Wohnbaubank var. WA 06-21/12 99,250 04.07.2013 no AT000B073572 S Wohnbb fix/var. WA 06-21/11 94,000 31.01.2011 no DE000A1HA979 SAF HOLLAND 12/18 112,130 30.12.2015 no XS1069899232 Safilo Group Equ-li Bond 14-19 - - no XS1086773337 Saras SpA 5% Notes 14-19 - - no IT0005152043 SAXA GRES Tas.Fis.Bond15-17 - - no AT000B023072 Sbg LHB 0,62% Pfbr.15-20 - - yes AT000B023056 Sbg LHB 0,8% Pfbr.15-21 - - yes AT000B022728 Sbg LHB 1,49% Pfbr.14-20 - - yes AT000B022751 Sbg.Hypo 1,7% Pfandbrief 14-23 - - yes Ultimo 30.12.2015 65

AT000B022181 Sbg.Hypo 2,57% Oeff.Pfbr.12-19 - - yes AT000B022876 Sbg.LHB 2,15% Pfandbrief 14-29 - - yes AT000B022868 Sbg.LHB 2,41% Pfandbrief 14-34 - - yes AT000B022850 Sbg.LHB 2,6% Pfandbrief 14-34 - - yes AT0000466545 Sbg.Spk nr CMS-Floater 99-19/1 88,800 30.12.2010 no AT000B022512 SbgLHB 2% Oeff. Pfdbr.13-22 - - yes AT000B023080 SbgLHB Vario Pfandbrief 15-16 - - yes XS0923613060 SCHAEFFLER FIN.13/18 REGS 102,170 30.12.2015 no XS1067862919 SCHAEFFLER FIN.14/19 REGS 101,300 30.12.2015 no XS1067864881 SCHAEFFLER FIN.14/19 REGS 101,470 30.12.2015 no XS1067864022 SCHAEFFLER FIN.14/22 REGS 102,520 30.12.2015 no XS0954907787 SCHAEFFLER H.F.13/18 REGS 103,630 30.12.2015 no XS1126486239 SCHAEFFLER H.F.14/21 REGS 107,290 30.12.2015 no XS1078234330 SELECTA GRP 14/20 REGS 96,270 30.12.2015 no DE000A1H3YJ1 SEMPER IDEM GMBH 11/16 102,100 30.12.2015 no XS1002933403 SGL CARBON ANL.13/21 REGS 98,420 30.12.2015 no DE000A0Z2BL6 SGL CARBON WA 09/16 102,670 19.10.2015 no DE000A1ML4A7 SGL CARBON WA 12/18 92,460 18.12.2015 no AT0000A0ZZD8 SID banka FRN 13-16 - - no XS1056813303 SID Banka 2,25% GuarNotes14-17 - - no AT0000A14F91 SID banka 4,12% Notes 13-16 - - no XS0266838746 SIEMENS FINANC. 06/66 FLR 103,030 30.12.2015 no XS0369461644 SIEMENS FINANC. 08/18 MTN 113,470 30.12.2015 no XS0413806596 SIEMENS FINANC. 09/17 MTN 105,960 30.12.2015 no DE000A1G85B4 SIEMENS FINANC. 12/20 MTN 104,960 30.12.2015 no DE000A1UDWM7 SIEMENS FINANC. 13/21 MTN 106,000 30.12.2015 no DE000A1UDWN5 SIEMENS FINANC. 13/28 MTN 113,950 30.12.2015 no XS0251004098 Signum Secured Notes 06-21/S.3 - - no DE000A1MASJ4 SINGULUS TECHN. AG 12/17 22,870 30.12.2015 no XS1063878422 SIT Technol. FRN 14-20/Tr.1 - - no XS1063881723 SIT Technol. FRN 14-20/Tr.2 - - no DE000A1E8V89 SIXT SE ANL.10/16 102,820 30.12.2015 no DE000A1PGPF8 SIXT SE ANL.12/18 106,550 30.12.2015 no XS0206024498 SNS Bank CMS-li Notes04-16/550 87,800 30.12.2010 no XS1069853247 Sogefi Equity-li 14-21 - - no AT0000A0EU88 Sonneninvest 7%Corp.Bond 09-19 100,000 26.05.2015 no AT0000492046 SO-St.Spk. Fix-Rev-Fl. 01-16/4 96,550 28.12.2007 no IE00BLY1Q413 SpecCred.Opp ProfitNote14-44/1 - - no AT0000311501 Spk NOe nr CMS-Floater 99-19/3 93,300 28.12.2007 no AT0000A01U48 Spk Vers.4,75 % EK Anl. 2006/P 93,000 01.02.2011 no AT0000331061 Spk.Horn Fix-Rev-Fl. 01-16/3 100,000 30.12.2008 no Ultimo 30.12.2015 66

AT0000A10B32 Spk.Vers. Nullkup.EK-Anl 13-23 - - no AT0000A11EA4 SpkVers Nullkup.EK-Anl 13-23/2 - - no AT0000A14J63 SpkVers Nullkup.EK-Anl 13-23/3 - - no AT0000A17CQ1 SpkVers Nullkup.EK-Anl 14-24/1 - - no AT0000A19HS2 SpkVers Nullkup.EK-Anl 14-24/2 - - no AT0000A1BD32 SpkVers Nullkup.EK-Anl 14-24/3 - - no AT0000A1FGQ0 SpkVers Nullkup.EK-Anl I 15-25 - - no AT0000A1HQ49 SpkVers Nullkup.EK-Anl II15-25 - - no XS1208555810 St.Hel BloComm.Idx Note15-16/7 - - no XS1073039288 St.Hel ChinOpp.Fu-li Note14-16 - - no XS1218873047 St.Hel FV Feeder li.n.15-20/17 - - no XS1248246727 St.Hel N./DrDyChEquFu 15-17/21 - - no XS1259276969 St.Hel N./SDIC ChinFu 15-17/23 - - no XS1259325170 St.Hel N./SDIC ChinFu 15-17/24 - - no XS1197760074 St.Hel Note/IndTig.Fu 15-18/18 - - no XS1076108809 St.Hel UBSChinaBo-li Note14-17 - - no XS1111986755 StaCo CompassFund-Note S27/Tr1 - - no XS0938218400 STADA ANL 13/18 102,620 30.12.2015 no XS1213831362 STADA ARZNEIMITT.IS 15/22 100,330 30.12.2015 no AT0000A100A0 Stadt Graz 3,3% Anleihe 13-28 - - no AT0000A0GYA7 Stadt Wien 3,579% Anl. 10-20 - - yes XS0871979646 Star Helios Perf.Notes A 13-23 - - no XS0871979729 Star Helios Perf.Notes B 13-23 - - no XS0871980065 Star Helios Perf.Notes C 13-23 - - no XS0871980222 Star Helios Perf.Notes D 13-23 - - no XS1086717854 StarCo AlphaStrFu-Note14-19/24 - - no XS1111981954 StarCo Arden Fund-Note S26/Tr1 - - no XS1111982762 StarCo Arden Fund-Note S26/Tr2 - - no XS1111983141 StarCo Arden Fund-Note S26/Tr3 - - no XS1251110927 StarCo ArosaCM Fu-Note15-20/38 - - no XS1112003196 StarCo Q-BLK Fund-Note S31/Tr1 - - no XS1112003436 StarCo Q-BLK Fund-Note S31/Tr2 - - no XS1112003949 StarCo Q-BLK Fund-Note S31/Tr3 - - no XS1290255659 StarCo S.39 A&O Index N. 15-20 - - no XS1316580791 StarCo S.44 N/China Everg15-18 - - no XS1306624807 StarCo S41 ChinaEvgrFu N.15-18 - - no XS1322452662 StarCo S46 Sys.Trad.VehN.15-20 - - no XS1111994189 StarCo StrataAlt.Fund-Note S28 - - no XS1111997521 StarCo StrataEqu.Fund-Note S29 - - no XS1061023179 StarCom Fund-li Notes 14-24/20 - - no XS0451453442 StarCom GAM-li.EUR Notes09/S10 - - no Ultimo 30.12.2015 67

XS0974115650 StarCom Index-li Notes13-18/19 - - no XS0478483935 StarCom Q-BKL-li Notes10-16/11 - - no XS0946367793 StarComp Fund-li Notes13-18/15 - - no XS0942988816 StarComp Fund-li Notes13-18/16 - - no XS0942988907 StarComp Fund-li Notes13-18/17 - - no XS0946818126 StarComp Ind-li Notes13-18/18 - - no XS0940747628 StarHel. Tr6 Perf.Note A 13-17 - - no XS0940749590 StarHel. Tr7 Perf.Note B 13-17 - - no XS0940752388 StarHel. Tr8 Perf.Note A 13-17 - - no XS0940752545 StarHel. Tr9 Perf.Note B 13-17 - - no XS0803218998 StarHelios perfnotes 12-17/5 - - no XS0803215622 StarHelios perfnotes A 12-17/1 - - no XS0803217164 StarHelios perfnotes A 12-17/3 - - no XS0803216430 StarHelios perfnotes B 12-17/2 - - no XS0803218485 StarHelios perfnotes B 12-17/4 - - no XS1112009474 StCo UBS A&Q Alt.Fund-Note S33 - - no XS1112009805 StCo UBS AFA Tr.Fu-Note S34/T1 - - no XS1112009987 StCo UBS AFA Tr.Fu-Note S34/T2 - - no XS1112010050 StCo UBS AFA Tr.Fu-Note S34/T3 - - no XS1112011884 StCo UBS AlphaHeFu-Note S35/T1 - - no XS1112012189 StCo UBS AlphaHeFu-Note S35/T2 - - no XS1112012692 StCo UBS AlphaHeFu-Note S35/T3 - - no XS1112006371 StCo UBS AlphStrFu-Note S32/T1 - - no XS1112006611 StCo UBS AlphStrFu-Note S32/T2 - - no XS1112007007 StCo UBS AlphStrFu-Note S32/T3 - - no XS1112014987 StCo UBS Alt.Comm.Fu-No.S37/T1 - - no XS1112015018 StCo UBS Alt.Comm.Fu-No.S37/T3 - - no XS1112014805 StCo UBS Alt.Comm.Fu-No.S37/T5 - - no XS1112013237 StCo UBS GlAlphStrFu-No.S36/T1 - - no XS1112013401 StCo UBS GlAlphStrFu-No.S36/T2 - - no XS1112013740 StCo UBS GlAlphStrFu-No.S36/T3 - - no XS1112013823 StCo UBS GlAlphStrFu-No.S36/T4 - - no XS1112014045 StCo UBS GlAlphStrFu-No.S36/T5 - - no XS1112013310 StCo UBS GlAlphStrFu-No.S36/T6 - - no XS1112014557 StCo UBS GlAlphStrFu-No.S36/T7 - - no XS1119993928 StHel Ch.FixIn.Fu-Note14-17/15 - - no XS1119999370 StHel Ch.FixIn.Fu-Note14-17/16 - - no XS1324089397 StHel ExtManAc.li.N.15-16/27 - - no XS1170577800 StHel N.Ind.Tiger Fd HeBask/19 - - no XS1090713311 StHel RQFII Ch.Fu-Note14-17/12 - - no XS1081905587 StHel UBS ChBo II-li Note14-17 - - no Ultimo 30.12.2015 68

AT0000A01G04 Stift.Treuh. Masterbond 06-20 100,000 05.04.2007 no AT0000483276 Stmk.B u.spk Praem.Anl 98-28/1 161,760 17.12.2007 no AT000B033659 Stmk.Ba+Spk Nullkup.SV 11-27/9 - - no AT000B035332 StmkSpk 3,05% nr BankSV15-24/3 - - no AT000B035027 StmkSpk 4,2% nr BankSV14-24/5 - - no AT000B034947 StmkSpk 4,25% nr BankSV14-22/2 99,500 01.10.2015 no AT0000A1C741 STRABAG 1,625% Anleihe 15-22 100,340 30.12.2015 no XS0606202454 SUEDZUCKER INTL 11/18 107,270 30.12.2015 no XS0222524372 SUEDZUCKER INTL05/UND.FLR 93,070 30.12.2015 no AT0000A09JZ4 Swarco Hybridkap.-Anl. 08 100,000 05.11.2015 no AT000B116363 swbb Stfz-WBA 14-29/09 - - no AT000B116413 swbb 1,3% M-sWB-Anl.14-25/15 - - no AT000B116397 swbb 1,8% M-sWB-Anl.14-25/12 - - no AT000B116355 swbb 2% Monats-WBA 14-25/08 - - no AT0000A15WD1 swbb 2,05% kom.wba 14-24/07 - - no AT000B116322 swbb 2,2%Monatsertr.WA 14-25/4 - - no AT000B116298 swbb 2,4% Wohnbauanl. 14-25/1 - - no AT000B116074 swbb 2,6% Monatsbon.WA 12-23/3 - - no AT000B116124 swbb 3% Monatsbon. WA 12-23/6 104,200 16.10.2013 no AT000B073887 swbb 3% Monatsbonus WA 10-21/8 109,000 23.05.2014 no AT000B116108 swbb 3,2% Monatsbon.WA 12-23/4 108,800 26.03.2014 no AT000B073820 swbb 3,2% WA 10-21/5 109,000 29.07.2015 no AT000B116132 swbb Eurib.-geb. WA 12-23/7 99,600 30.06.2014 no AT000B073648 swbb Euribor geb. WSV 07-22/6 100,000 25.11.2015 no AT000B073770 swbb Euribor geb. WSV 09-20/3 99,250 26.08.2015 no AT000B073952 swbb Euribor-geb WA11-22/7 - - no AT000B073846 swbb Euribor-gebund. WA10-21/2 - - no AT000B073853 swbb fundierte WA 10-20/4 - - yes AT000B073804 swbb Fundierte WSV 09-19/7 100,500 31.01.2011 yes AT000B116405 swbb KMU WBA 14-25/13 - - no AT000B116454 swbb KMU WBA 14-25/16 - - no AT000B116389 swbb MinMax Flt.sWB-A.14-29/11 100,500 22.12.2015 no AT000B116348 swbb MinMax WBA 14-29/06 - - no AT000B116421 swbb MinMax-Floater 14-29/14 - - no AT000B116314 swbb MinMax-Floater 14-29/3 - - no AT000B073879 swbb MinMax-Fltr. WA 10-24/7 96,000 28.02.2012 no AT000B116306 swbb St.Zi.Wohnbauanl. 14-29/2 - - no AT000B116330 swbb St.Zi.Wohnbauanl. 14-29/5 - - no AT000B116371 swbb Stfz.-WB-Anl.14-29/10 - - no AT000B073598 swbb var. verzinst WSV 07-22/1 88,750 16.10.2012 no AT0000443213 swbb- Zielkupon WA 05-25/3 97,950 26.03.2015 no Ultimo 30.12.2015 69

AT0000443239 swbb- Zielkupon WSV 05-30/5 98,500 22.09.2015 no AT000B073507 swbb- Zielkupon WSV 06-26/4 99,700 21.12.2015 no AT0000443288 swbb- Zielkupon WSV 06-31/3 99,450 27.11.2014 no AT000B073614 swbb Zielkupon WSV 07-27/3 102,750 28.03.2013 no AT000B073895 swbb2,75% Mon.-bonus WA10-21/9 99,800 30.01.2013 no AT0000A07LU5 Swietelsky Hybridkap.-Anl. 07 102,200 10.11.2015 no AT0000315098 S-Wohnbaubank var. WA 98-16/1 104,450 24.06.2014 no AT0000315155 S-Wohnbaubank var. WA 99-17/1 103,700 08.07.2014 no XS0954227210 TAG IMMOBILIEN ANL.13/18 105,980 30.12.2015 no DE000A1PGZM3 TAG IMMOBILIEN WDL 12/19 - - no XS0999667263 TEL.FIN. 13/21 MTN 109,940 30.12.2015 no XS0767278301 TEL.FIN.12/22 MTN 115,470 30.12.2015 no XS0994433240 Tel.It.Fin.sub.mand.Conv.13-16 - - no XS1209185161 Telec.Ital. Equ-li 15-22 - - no XS1111075997 Telef.Part. US mand.conv.14-17 - - no XS1111071574 TelefonicaPart.mand.Conv.14-17 - - no XS0473928371 TELEK.SLOVEN.INH. 09/16 102,750 30.12.2015 no XS0877720986 TELEKOM AUSTR. 13-UND.FLR 104,430 30.12.2015 no XS1059697323 TFB Fin.11% Loan-li Notes14-17 - - no XS1095606932 TFBFin.12,5% Perp.Loan-li Note - - no AT0000330857 THERM-IC BUERGES-gar Gew-SV 01 100,000 20.12.2002 no XS0937169570 THOMAS COOK FIN.13/20REGS 104,470 30.12.2015 no DE000A0T61L9 THYSSENKR.FIN.NED. 09/16 101,260 30.12.2015 no DE000A1MA9H4 THYSSENKRUPP MTN 12/17 103,530 30.12.2015 no DE000A1R08U3 THYSSENKRUPP MTN 13/18 105,130 30.12.2015 no DE000A1R0410 THYSSENKRUPP MTN 14/19 103,180 30.12.2015 no DE000A14J579 THYSSENKRUPP MTN 15/20 97,080 30.12.2015 no DE000A14J587 THYSSENKRUPP MTN 15/25 95,500 30.12.2015 no AT0000A10B73 TiH Substanz I nr Anl. 2014 100,000 18.12.2015 no XS0862274445 TITAN GLOBAL FIN. 12/17 100,830 10.07.2015 no XS1086071146 TITAN GLOBAL FIN. 14/19 84,850 08.07.2015 no XS1327011216 TitaniumFundFlexETP S48 2035 - - no IT0005142481 Torino Hotel Imm.7% Bond 15-20 - - no XS1028943162 TUI AG AN.REG.S 14/19 105,160 30.12.2015 no DE000A18UQM6 UBM 4,25% Anleihe 15-20 100,100 30.12.2015 no AT0000A185Y1 UBM 4,875% Anleihe 14-19 102,200 30.12.2015 no XS0342408258 UBS CPPT Notes 08-16/S.6492 - - no CH0121960147 UBS LIBOR Infl.Zert.11-16/7960 - - no CH0224696119 UBS LondonBr. CLN/Basket 14-19 - - no XS0376550314 UBS NOK Infl-li Note08-18/7266 - - no XS0307387133 UBS Notes/aeris CapAbsRe.F.Div - - no Ultimo 30.12.2015 70

XS0307380120 UBS Notes/aeris CapAbsRe.F.Equ - - no DE000HV5B7G1 UC Daxglobal Alt.En.I.GA 10-16 93,400 07.12.2012 no AT000B049531 UCBA 0,5% Mortg.Pfbr.14-20/468 - - yes AT000B049374 UCBA 0,62% Fixzi-Pfd.13-16/130 - - yes AT000B049572 UCBA 0,75% Mortg.Pfbr15-25/477 - - yes AT000B049598 UCBA 0,75% MortgPfbr.15-22/483 - - yes XS1090178846 UCBA 0,943% Notes 14-17/S.467 - - no XS1086775894 UCBA 0,975% Notes 14-16/S.464 - - no XS1071075417 UCBA 1,046% Notes 14-16/S.461 - - no AT000B049424 UCBA 1,08% Hypo-Pfdb.13-18/447 - - yes XS1082572022 UCBA 1,22% Notes 14-18/S.463 - - no AT000B049390 UCBA 1,25% MortgPfbr.13-18/444 - - yes AT000B049481 UCBA 1,25% MortgPfbr.14-19/457 - - yes XS1064834937 UCBA 1,28% Notes 14-17/S.459 - - no AT000B049507 UCBA 1,375% Pub.Pfbr.14-21/460 - - yes AT000B042999 UCBA 1,6% Fixzi.-Obl.13-17/S3 101,000 03.09.2015 no XS1123753334 UCBA 1,615% Notes 14-17/S.472 - - no AT000B042866 UCBA 1,7% Fixzi.-Obl.13-17/S62 - - no AT000B049408 UCBA 1,875% 犟f.Pfbr.13-20/445 - - yes AT000B042494 UCBA 1,9% Fixzi.-Obl.12-17/S56 - - no AT000B043070 UCBA 2% Fixzins-Obl. 13-18/4 103,000 30.12.2014 no XS1055204504 UCBA 2,03% Notes 14-18/S.456 - - no AT000B049465 UCBA 2,375%MortgPfbr.14-24/452 - - yes XS0996755350 UCBA 2,5% Notes 13-19/S.446 - - no XS0881544281 UCBA 2,625% Notes 13-18/S.439 - - no AT000B049226 UCBA 2,625% PS.Pfbr.12-19/S427 - - yes AT000B049119 UCBA 2,875% PS.Pfbr.11-16/S418 - - yes AT000B043179 UCBA 3% Fixzins-Obl. 13-21/5 - - no AT000B042270 UCBA 3% Fixzins-Obl.11-16/S27 100,250 07.12.2015 no AT000B043187 UCBA 3,125% Fixzi-Obl. 13-22/6 - - no AT000B048913 UCBA 3,125%Mortg.Pf.10-17/400 - - yes AT000B042387 UCBA 3,875% FiZi-Obl.11-16/S35 101,100 22.12.2015 no AT000B048988 UCBA 4,125% PuSe.Pfbr11-21/405 - - yes AT000B048384 UCBA 4,15 % Pfandbr.09-19/108 - - yes AT000B042080 UCBA CMS-Floater 11-21/S.15 - - no XS0457134079 UCBA festverz.schuldv09-16/383 - - no XS0418678925 UCBA festverz.sv 09-19/372 - - no XS0465619376 UCBA festverz.sv 10-20/385/Tr1 - - no AT000B049333 UCBA FiR.Mortg.Pfbr.13-17/S437 - - yes XS0874950941 UCBA Fix.Rate Notes 13-16/S438 - - no AT000B041892 UCBA Fix-Float. 10-16/S.8 99,800 28.12.2015 no Ultimo 30.12.2015 71

AT000B042767 UCBA Fix-Floater 12-17/S.58 100,000 15.12.2015 no AT000B042817 UCBA Fix-Floater 12-17/S.60 - - no AT000B042916 UCBA Fix-Floater 13-16/S.65 - - no AT000B042890 UCBA Fix-Floater 13-17/S.63 100,900 09.06.2015 no AT000B042932 UCBA Fix-Floater 13-17/S.66 99,000 29.05.2015 no AT000B042858 UCBA Fix-Floater 13-18/S.61 - - no AT000B042973 UCBA Fix-Floater 13-18/S.67 - - no AT000B043021 UCBA Fix-Floater 13-19/S.68 99,750 18.11.2014 no AT000B043088 UCBA Fix-Floater 13-19/S.70 - - no AT000B043153 UCBA Fix-Floater 14-20/S.72 - - no AT000B043252 UCBA Fix-Floater 14-20/S.75 99,000 18.08.2015 no AT000B043146 UCBA Fix-Floater O. 13-17/P15 - - no AT000B043500 UCBA FixFloater Obl. 14-18/11 - - no AT000B043435 UCBA FixFloater Obl. 14-18/7 98,500 22.12.2015 no AT000B041884 UCBA Fix-Floater-Anl 10-16/2 100,100 04.12.2015 no AT000B041900 UCBA Fix-Floater-Anl 10-16/S9 100,150 22.12.2015 no AT000B042098 UCBA Fix-Floater-Anl 11-16/2 100,000 12.10.2015 no AT000B042031 UCBA Fix-Floater-Anl 11-16/S14 99,800 21.12.2015 no AT000B042130 UCBA Fix-Floater-Anl 11-16/S17 100,000 22.12.2015 no AT000B042478 UCBA Fix-Floater-Anl 12-16/S37 100,800 07.12.2015 no AT000B042510 UCBA Fix-Floater-Anl 12-16/S42 - - no AT000B042619 UCBA Fix-Floater-Anl 12-16/S49 100,250 03.11.2015 no AT000B042684 UCBA Fix-Floater-Anl 12-16/S54 99,500 17.11.2015 no AT000B042585 UCBA Fix-Floater-Anl 12-17/S39 - - no AT000B042569 UCBA Fix-Floater-Anl 12-17/S46 102,000 27.10.2015 no AT000B042593 UCBA Fix-Floater-Anl. 12-16/48 100,250 29.05.2015 no AT000B043336 UCBA Fix-Floater-Anl. 14-18/3 100,300 14.12.2015 no AT000B042403 UCBA Fix-Floater-Anl.12-17/S36 - - no AT000B043518 UCBA Fix-Fltr.Anl.14-19/12 - - no AT000B043377 UCBA Fix-Fltr.Anl.14-19/5 96,000 22.10.2015 no AT000B043419 UCBA Fix-Fltr.Anl.14-20/82 98,000 14.12.2015 no AT000B043484 UCBA Fix-Fltr.Anl.14-20/S.86 - - no AT000B043575 UCBA Fix-Fltr.Anl.15-20/1 - - no AT000B043641 UCBA Fix-Fltr.Anl.15-21/92 - - no AT000B043542 UCBA Fix-Fltr.Anl.15-21/S.87 - - no AT000B049549 UCBA Fl.R.Mortg.Pfbr.14-18/474 - - yes XS1129176241 UCBA Float.Rate Notes14-16/473 - - no AT000B049606 UCBA Float.Rate Pfdb.15-18/484 - - yes AT000B043138 UCBA Floater Obl. 13-20/P14 - - no AT000B043443 UCBA Floater Obl. 2014-2017/8 - - no AT000B042148 UCBA Floater-Anl 11-16/S18 102,750 15.10.2014 no Ultimo 30.12.2015 72

AT000B042288 UCBA Floater-Anl. 11-16/S.28 94,000 09.12.2011 no AT000B042361 UCBA Floater-Anl. 11-16/S33 - - no AT000B042643 UCBA Floater-Obl. 12-17/S.52 100,000 02.02.2015 no AT000B043880 UCBA Flt.R.Cov.Bd.15-16/P8 - - yes AT000B042940 UCBA Fltr.-Obl. 13-16/1 - - no AT000B043286 UCBA Fltr.-Obl. 14-19/P3 - - no AT000B043278 UCBA Fltr.-Obl. 14-21/P2 - - no AT000B043294 UCBA Fltr.-Obl. 14-24/P4 - - no AT000B041967 UCBA Fonds Gar.Anl. 10-17/S.12 97,250 08.10.2015 no XS1120002248 UCBA FRN 14-16/S.471 - - no XS1086775621 UCBA FRN 14-19/S.465 - - no AT000B041934 UCBA Gar.Cap.Anl./ATX 10-16/11 96,000 30.12.2015 no AT000B043682 UCBA GlobalPlay.Gar.A.15-22/94 - - no XS0742363327 UCBA Infl.li.Redem.N.12-27/423 - - no XS0943753631 UCBA Infl.li.Redem.N.13-29/441 - - no AT000B042114 UCBA Inflat.Gar.Anl. 11-16/S16 99,500 24.03.2015 no AT000B043716 UCBA Inflat.Gar.Anl.15-22/S96 - - no XS0418831979 UCBA kaga.idx SV 09-20/S.373 - - no AT000B043591 UCBA MegaTrend Gar.A.15-22/89 97,500 02.12.2015 no AT000B043633 UCBA MegaTrend Gar.A.15-22/91 - - no AT000B049457 UCBA Oeff.StZi.Pfbr.14-21/R125 - - yes AT000B048517 UCBA St.Zi.Pfandbr.10-16/R.111 100,400 23.12.2015 yes AT000B048889 UCBA St.Zi.Pfandbr.10-16/R.113 102,500 28.09.2015 yes AT000B049002 UCBA St.Zi.Pfandbr.11-17/R.118 106,250 20.07.2015 yes AT000B049093 UCBA St.Zi.Pfandbr.11-17/R.121 103,500 22.06.2015 yes AT000B049135 UCBA St.Zi.Pfandbr.11-17/R.122 105,000 18.12.2015 yes AT000B049184 UCBA St.Zi.Pfandbr.12-18/R.123 105,000 18.12.2015 yes AT000B049283 UCBA St.Zi.Pfandbr.12-20/R.126 103,000 22.06.2015 yes AT000B049309 UCBA St.Zi.Pfandbr.12-20/R.128 103,500 22.12.2015 yes AT000B049382 UCBA St.Zi.Pfandbr.13-20/R.131 104,000 22.12.2015 yes AT000B048905 UCBA Stfz.pfandbr. 10-16/115 102,750 16.11.2015 yes AT000B048947 UCBA Stfz.pfandbr. 11-17/117 103,500 18.12.2015 yes AT000B049044 UCBA Stfz.Pfandbr. 11-17/120 105,500 22.06.2015 yes AT000B049242 UCBA Stfz.Pfandbr. 12-18/125 103,000 18.12.2015 yes AT000B049416 UCBA Stufenzi.-Pfbr.13-21/R132 103,000 22.12.2015 yes AT000B049499 UCBA Stufenzi.-Pfbr.14-22/R133 - - yes AT000B049523 UCBA Stufenzi.-Pfbr.14-23/R134 101,500 02.04.2015 yes AT000B049564 UCBA Stufenzi.-Pfbr.15-24/R135 - - yes AT000B042155 UCBA Stufenzins-Anl 11-16/S.19 101,250 07.12.2015 no AT000B043567 UCBA USDFixFltr.Anl.15-19/S.88 - - no AT000B043807 UCBA USDFixFltr.Anl.15-19/S102 - - no Ultimo 30.12.2015 73

AT000B043765 UCBA Weltakt.IndGar.A.15-22/98 - - no AT000B042775 UCBA Zi.Mult.Float.Obl.12-16/5 - - no AT000B042700 UCBA Zins Multi Fl.Obl.12-16/3 - - no AT000B042411 UCBA Zins/Laufz.-Obl.12-17/S44 102,500 24.06.2014 no AT000B042809 UCBA Zins/LZ Fltr.Obl.12-17/59 - - no AT000B042981 UCBA Zins/LZ Fltr.Obl.13-17/2 - - no AT000B043211 UCBA Zins/LZ Fltr.Obl.14-17/1 - - no AT000B043492 UCBA Zins/LZ Fltr.Obl.14-17/10 - - no AT000B043245 UCBA Zins/LZ Fltr.Obl.14-17/2 100,700 20.03.2015 no AT000B043344 UCBA Zins/LZ Fltr.Obl.14-17/4 - - no AT000B043385 UCBA Zins/LZ Fltr.Obl.14-17/6 - - no AT000B043476 UCBA Zins/LZ Fltr.Obl.14-17/9 - - no AT000B043583 UCBA Zins/LZ Fltr.Obl.15-18/2 - - no AT000B042601 UCBA Zins-LZ Flt.Obl. 12-17/50 - - no AT000B042304 UCBA ZiSamml.Gar.Anl.11-16/S30 113,250 23.10.2015 no AT0000326921 Union-Vers. ew.var EK NamSV 98 - - no AT0000A03MS6 UNIQA fix/var ew. EK-Anl 06/P 100,000 18.09.2007 no AT0000A04AC3 UNIQA fix/var ew. EK-Anl 07/P 100,000 18.09.2007 no XS0808635436 UNIQA Sub.ord.Fix-to-FRN 13-43 110,480 30.12.2015 no XS1117293107 UNIQA Sub.ord.Fix-to-FRN 15-46 102,800 30.12.2015 no XS0827991760 UNITYM.NRW/HE.12/22 REGS 107,030 03.12.2015 no XS0862322947 UNITYM.NRW/HE.12/23 REGS 107,390 03.12.2015 no XS0877974062 UNITYM.NRW/HE.13/23 REGS 106,510 03.12.2015 no XS0918739318 UNITYM.NRW/HE.13/23 REGS 107,320 03.12.2015 no XS0982713330 UNITYM.NRW/HE.13/29 REGS 109,700 30.12.2015 no XS1150437579 UNITYM.NRW/HE.14/25 REGS 96,630 30.12.2015 no AT0000303490 Var. Hypo-WBB Vbg.-WA 04-17/4 100,550 28.02.2014 no AT0000491188 var. Hypo-WBB WA NOe 05-26/28 89,500 16.03.2015 no DE000A1GRKE8 Var. Oberbank-SV 11-16/PP 100,000 18.07.2011 no AT000B073697 var. verz. swbb WSV 08-23/3 97,500 31.01.2011 no AT000B112768 Variable SV Oberbank 14-22/PP - - no AT000B112818 Variable SV Oberbank 14-22/PP - - no AT000B055363 VB 5,1% SV 08-18/124 104,280 30.11.2011 no AT000B054895 VB 5,10% SV 07-17/76 104,340 30.11.2011 no XS0266351286 Vbg LH NR Subord. FRN 06-17 94,100 21.12.2010 no XS0266493310 Vbg LH NR Subord. FRN 06-17 94,100 21.12.2010 no XS0267498912 Vbg LH NR SV 06-17 - - no XS0266959617 Vbg LH Subord. FRN 06-17 - - no XS1017243285 Vbg LHB Anl. 14-19/S.114 - - no AT0000309315 Vbg. Illwerke var. Anl. 04-17 - - yes AT0000158241 Vbg.VB ewige var. EK-Anl. 94 95,070 29.12.2015 no Ultimo 30.12.2015 74

AT0000158209 Vbg.Volksb. ewige var EK-SV 93 97,650 30.12.2014 no AT0000158258 Vbg.Volksb. ewige var EK-SV 97 95,700 29.12.2015 no XS0920712600 VbgHyp.1,25% Pfandbr.13-20/106 - - yes XS0914402887 VbgHyp.1,75% Schuldv.13-19/105 100,000 06.02.2014 no XS0932026601 VbgHyp.1,75% SV 13-20/107 - - no XS0705565298 VbgHyp.2,125% OePfbr.11-16/102 103,950 06.02.2014 yes AT0000A0XB21 VbgHypo 5% nachr.schuldv.12-22 107,000 28.08.2015 no XS0288405433 VbgLH var/fix Schuldv 07-16/36 - - no AT0000A1FQL0 VbgLHB 0,1% Pfandbr15-16 - - yes AT0000A1GTF4 VbgLHB 4,5% NR SV 15-25 - - no XS1188081936 VbgLHB0,75%H-Pfb.15-25/118/1+2 - - yes XS0439828269 Verb.IF 4,75% SV 09-19/S.2/1 115,660 30.12.2015 no XS1140300663 VERBUND 1,50 % Notes 14-24 99,590 30.12.2015 no DE000A0H5VH7 VHV Vers. nr fix/var ew.anl 06 - - no AT0000A12GN0 VIG nachrang.schuldv.13-43/s.1 108,880 30.12.2015 no IE00BYNK8W29 VikingLeasing44227 Sub.N.15-50 - - no IE00BYNK8V12 VikingLeasing44228 Sub.N.15-50 - - no IE00BYNK8T99 VikingLeasing44229 Sub.N.15-50 - - no IE00BYNK8S82 VikingLeasing44230 Sub.N.15-50 - - no IE00BP856Q93 VivaCap Profit Part.Notes14-54 - - no XS0838764685 VOESTALPINE 12/18 MTN 108,030 30.12.2015 no AT0000A0ZHF1 voestalpine Hybrid Notes 2013 106,580 30.12.2015 no XS0306488627 VOITH NTS.07/17 104,970 30.12.2015 no XS0927639780 VOLKSWAGEN BK. 13/18 100,590 30.12.2015 no XS1031018911 VOLKSWAGEN BK. MTN 14/19 101,280 30.12.2015 no XS0168881760 VOLKSWAGEN INTL 03/18 MTN 109,370 30.12.2015 no XS0412443052 VOLKSWAGEN INTL 09/16 MTN 100,680 30.12.2015 no XS0782708456 VOLKSWAGEN INTL 12/17 MTN 101,140 30.12.2015 no XS0731681556 VOLKSWAGEN INTL 12/19 MTN 105,560 30.12.2015 no XS0909787300 VOLKSWAGEN INTL 13/16 MTN 100,180 30.12.2015 no XS0873793375 VOLKSWAGEN INTL 13/20 MTN 101,960 30.12.2015 no XS0909788290 VOLKSWAGEN INTL 13/21 MTN 101,480 30.12.2015 no XS0908570459 VOLKSWAGEN INTL 13/33 MTN 100,410 30.12.2015 no XS0968913268 VOLKSWAGEN INTL 13/UN.FLR 97,470 30.12.2015 no XS0968913342 VOLKSWAGEN INTL 13/UN.FLR 102,560 30.12.2015 no XS1082890663 VOLKSWAGEN INTL 14/39 MTN 107,460 22.06.2015 no XS1048428012 VOLKSWAGEN INTL 14/UNDFLR 93,230 30.12.2015 no XS1048428442 VOLKSWAGEN INTL 14/UNDFLR 98,030 30.12.2015 no XS1167644407 VOLKSWAGEN INTL 15/23 MTN 92,100 30.12.2015 no XS1167667283 VOLKSWAGEN INTL 15/30 MTN 86,450 30.12.2015 no XS0633111207 VOLKSWAGEN LEASING 11/16 101,080 30.12.2015 no Ultimo 30.12.2015 75

XS0702452995 VOLKSWAGEN LEASING 11/18 104,480 30.12.2015 no XS0823975585 VOLKSWAGEN LEASING 12/22 102,020 30.12.2015 no XS1050916649 VOLKSWAGEN LEASING 14/17 99,740 30.12.2015 no XS1050917373 VOLKSWAGEN LEASING 14/22 100,810 30.12.2015 no XS1014610254 VOLKSWAGEN LEASING 14/24 103,130 30.12.2015 no AT0000A18Q78 Warimpex 4% Wandelanl. 14-17 100,000 05.11.2015 no PLWRMFB00016 Warimpex Series C Bond 13-16 - - no AT0000A1GTN8 WEB 2,75% Senior-TeilSV 15-20 - - no AT0000A191B7 WEB 3,5% Windenergie-Anl.14-19 97,800 28.05.2015 no AT0000A1GTP3 WEB 4 % Senior-TeilSV 15-25 - - no AT0000A191A9 WEB 6,5% Hybrid-Anl. 2014 100,000 16.12.2014 no AT0000A1GTQ1 WEB 6,5% Hybrid-TeilSV 2015 - - no AT0000A192H2 Wiener Stadthaeuser Anl. 14-24 100,000 26.11.2014 no DE000A0G4X39 Wienerberger Hybrid-Anl. 07 101,250 30.12.2015 no DE000A1ZN206 Wienerberger Hybrid-Anl. 2014 101,750 30.12.2015 no AT0000A1B230 Windkr.Simonsf.3,25% Anl.15-22 - - no AT0000A0WBX4 Windkr.Simonsf.5% Anl.12-17 - - no XS1334526487 WindMW 2,125% Series D N.15-21 - - no AT0000A1GQJ2 WOFIN 2,2% besich.anl. 15-35 - - no AT0000A11WC2 WOFIN 3% Anleihe 13-25 - - no AT0000A09SA8 Wr.Staedt. Hybridkap-Anl 08/S1 113,850 27.11.2015 no AT0000342696 Wr.Staedt.Vers. EK-Anl. 05-22 102,550 14.12.2015 no AT0000A0M148 Wr.Staedt.Vers. ErgKap-Anl. 10 - - no AT0000342704 Wr.Staedt.Vers. var EK-Anl. 05 96,950 30.12.2015 no AT0000A0KRZ0 Wr.Staedt.VIG 3,63% Anl. 10-20 100,000 05.10.2010 no AT0000A0DFZ0 WueRot Vers. var.ek-anl. 09-19 - - no XS0625977987 WUERTH FIN.INTL 11/18 108,240 30.12.2015 no DE000A1HJ483 WUERTH FIN.INTL 13/20 105,440 30.12.2015 no AT0000A0AN99 Xenon 198 subord.lirefrn 08-12 - - no XS0293019302 Xenon LiRe JGSPM Note07-20/124 - - no AT0000A01FT2 Xenon LiRec ZeroNotes 06-24/95 - - no XS0286695696 Xenon LiReFRN/ICTSI 07-18/S119 - - no XS0378752447 Xenon S.198 Cl.A LiReFRN 08-12 - - no XS0378752793 Xenon S.198 Cl.B LiReFRN 08-12 - - no XS0378753254 Xenon S.198 Cl.C LiReFRN 08-12 - - no LI0114660496 ZBI 5%-6,5% Immo-Anl.10-17(20) 100,000 26.01.2015 no LI0125701867 ZBI 5%-6,5% Immo-Anl.11-18(21) 100,000 27.01.2015 no XS0909788613 ZIGGO 13/20 REGS 99,590 30.12.2015 no XS1170079443 ZIGGO BOND FIN.15/25 REGS 93,400 30.12.2015 no AT0000A1B0C8 ZIMA Holding 5,25% Anl. 15-20 - - no AT0000385885 ZinsStrip 15.01.16/Bund03 144A - - yes Ultimo 30.12.2015 76

AT0000385893 ZinsStrip 15.01.17/Bund03 144A - - yes AT0000385901 ZinsStrip 15.01.18/Bund03 144A - - yes AT0000A049H4 Zins-Strip 15.03.16/ Bund 07/1 - - yes AT0000A049J0 Zins-Strip 15.03.17/ Bund 07/1 - - yes AT0000A049K8 Zins-Strip 15.03.18/ Bund 07/1 - - yes AT0000A049L6 Zins-Strip 15.03.19/ Bund 07/1 - - yes AT0000A049M4 Zins-Strip 15.03.20/ Bund 07/1 - - yes AT0000A049N2 Zins-Strip 15.03.21/ Bund 07/1 - - yes AT0000A049P7 Zins-Strip 15.03.22/ Bund 07/1 - - yes AT0000A049Q5 Zins-Strip 15.03.23/ Bund 07/1 - - yes AT0000A049R3 Zins-Strip 15.03.24/ Bund 07/1 - - yes AT0000A049S1 Zins-Strip 15.03.25/ Bund 07/1 - - yes AT0000A049T9 Zins-Strip 15.03.26/ Bund 07/1 - - yes AT0000A049U7 Zins-Strip 15.03.27/ Bund 07/1 - - yes AT0000A049V5 Zins-Strip 15.03.28/ Bund 07/1 - - yes AT0000A049W3 Zins-Strip 15.03.29/ Bund 07/1 - - yes AT0000A049X1 Zins-Strip 15.03.30/ Bund 07/1 - - yes AT0000A049Y9 Zins-Strip 15.03.31/ Bund 07/1 - - yes AT0000A049Z6 Zins-Strip 15.03.32/ Bund 07/1 - - yes AT0000A04A07 Zins-Strip 15.03.33/ Bund 07/1 - - yes AT0000A04A15 Zins-Strip 15.03.34/ Bund 07/1 - - yes AT0000A04A23 Zins-Strip 15.03.35/ Bund 07/1 - - yes AT0000A04A31 Zins-Strip 15.03.36/ Bund 07/1 - - yes AT0000A04A49 Zins-Strip 15.03.37/ Bund 07/1 - - yes AT0000386149 Zins-Strip 15.07.16/ BU 05/1 - - yes AT0000386156 Zins-Strip 15.07.17/ BU 05/1 - - yes AT0000386164 Zins-Strip 15.07.18/ BU 05/1 - - yes AT0000386172 Zins-Strip 15.07.19/ BU 05/1 - - yes AT0000386180 Zins-Strip 15.07.20/ BU 05/1 - - yes AT0000A00296 Zins-Strip 15.09.16/ BU 06/1 - - yes AT0000A002A8 Zins-Strip 15.09.17/ BU 06/1 - - yes AT0000A002B6 Zins-Strip 15.09.18/ BU 06/1 - - yes AT0000A002C4 Zins-Strip 15.09.19/ BU 06/1 - - yes AT0000A002D2 Zins-Strip 15.09.20/ BU 06/1 - - yes AT0000A002E0 Zins-Strip 15.09.21/ BU 06/1 - - yes AT0000384060 Zins-Strip 15.7.2016/ BA 97/6 50,000 15.12.2003 yes AT0000384078 Zins-Strip 15.7.2017/ BA 97/6 43,110 27.12.2001 yes AT0000384086 Zins-Strip 15.7.2018/ BA 97/6 40,690 27.12.2001 yes AT0000384094 Zins-Strip 15.7.2019/ BA 97/6 38,380 27.12.2001 yes AT0000384102 Zins-Strip 15.7.2020/ BA 97/6 36,160 27.12.2001 yes AT0000384110 Zins-Strip 15.7.2021/ BA 97/6 34,050 27.12.2001 yes Ultimo 30.12.2015 77

AT0000384128 Zins-Strip 15.7.2022/ BA 97/6 32,040 27.12.2001 yes AT0000384136 Zins-Strip 15.7.2023/ BA 97/6 30,110 27.12.2001 yes AT0000384144 Zins-Strip 15.7.2024/ BA 97/6 28,280 27.12.2001 yes AT0000384151 Zins-Strip 15.7.2025/ BA 97/6 49,000 23.01.2006 yes AT0000384169 Zins-Strip 15.7.2026/ BA 97/6 24,850 27.12.2001 yes AT0000384177 Zins-Strip 15.7.2027/ BA 97/6 23,260 27.12.2001 yes AT0000A0VRL7 Zins-Strip 18.06.16/ Bund 12/3 - - yes AT0000A0VRM5 Zins-Strip 18.06.17/ Bund 12/3 - - yes AT0000A0VRN3 Zins-Strip 18.06.18/ Bund 12/3 - - yes AT0000A0VRP8 Zins-Strip 18.06.19/ Bund 12/3 - - yes AT0000A19XF6 Zins-Strip 18.10.16/ Bund 14/2 - - yes AT0000A19XG4 Zins-Strip 18.10.17/ Bund 14/2 - - yes AT0000A19XH2 Zins-Strip 18.10.18/ Bund 14/2 - - yes AT0000A19XJ8 Zins-Strip 18.10.19/ Bund 14/2 - - yes AT0000A12BB6 Zins-Strip 19.10.16/ Bund 13/3 - - yes AT0000A12BC4 Zins-Strip 19.10.17/ Bund 13/3 - - yes AT0000A12BD2 Zins-Strip 19.10.18/ Bund 13/3 - - yes AT0000A0GM52 Zins-Strip 20.02.16/ Bund 10/1 - - yes AT0000A0GM60 Zins-Strip 20.02.17/ Bund 10/1 - - yes AT0000A0N9G7 Zins-Strip 20.04.16/ Bund 11/1 - - yes AT0000A0N9H5 Zins-Strip 20.04.17/ Bund 11/1 - - yes AT0000A0N9J1 Zins-Strip 20.04.18/ Bund 11/1 - - yes AT0000A0N9K9 Zins-Strip 20.04.19/ Bund 11/1 - - yes AT0000A0N9L7 Zins-Strip 20.04.20/ Bund 11/1 - - yes AT0000A0N9M5 Zins-Strip 20.04.21/ Bund 11/1 - - yes AT0000A0N9N3 Zins-Strip 20.04.22/ Bund 11/1 - - yes AT0000A0VRV6 Zins-Strip 20.06.16/ Bund 12/4 - - yes AT0000A0VRW4 Zins-Strip 20.06.17/ Bund 12/4 - - yes AT0000A0VRX2 Zins-Strip 20.06.18/ Bund 12/4 - - yes AT0000A0VRY0 Zins-Strip 20.06.19/ Bund 12/4 - - yes AT0000A0VRZ7 Zins-Strip 20.06.20/ Bund 12/4 - - yes AT0000A0VS08 Zins-Strip 20.06.21/ Bund 12/4 - - yes AT0000A0VS16 Zins-Strip 20.06.22/ Bund 12/4 - - yes AT0000A0VS24 Zins-Strip 20.06.23/ Bund 12/4 - - yes AT0000A0VS32 Zins-Strip 20.06.24/ Bund 12/4 - - yes AT0000A0VS40 Zins-Strip 20.06.25/ Bund 12/4 - - yes AT0000A0VS57 Zins-Strip 20.06.26/ Bund 12/4 - - yes AT0000A0VS65 Zins-Strip 20.06.27/ Bund 12/4 - - yes AT0000A0VS73 Zins-Strip 20.06.28/ Bund 12/4 - - yes AT0000A0VS81 Zins-Strip 20.06.29/ Bund 12/4 - - yes AT0000A0VS99 Zins-Strip 20.06.30/ Bund 12/4 - - yes Ultimo 30.12.2015 78

AT0000A0VSA8 Zins-Strip 20.06.31/ Bund 12/4 - - yes AT0000A0VSB6 Zins-Strip 20.06.32/ Bund 12/4 - - yes AT0000A0VSC4 Zins-Strip 20.06.33/ Bund 12/4 - - yes AT0000A0VSD2 Zins-Strip 20.06.34/ Bund 12/4 - - yes AT0000A0VSE0 Zins-Strip 20.06.35/ Bund 12/4 - - yes AT0000A0VSF7 Zins-Strip 20.06.36/ Bund 12/4 - - yes AT0000A0VSG5 Zins-Strip 20.06.37/ Bund 12/4 - - yes AT0000A0VSH3 Zins-Strip 20.06.38/ Bund 12/4 - - yes AT0000A0VSJ9 Zins-Strip 20.06.39/ Bund 12/4 - - yes AT0000A0VSK7 Zins-Strip 20.06.40/ Bund 12/4 - - yes AT0000A0VSL5 Zins-Strip 20.06.41/ Bund 12/4 - - yes AT0000A0VSM3 Zins-Strip 20.06.42/ Bund 12/4 - - yes AT0000A0VSN1 Zins-Strip 20.06.43/ Bund 12/4 - - yes AT0000A0VSP6 Zins-Strip 20.06.44/ Bund 12/4 - - yes AT0000A10600 Zins-Strip 20.10.16/ Bund 13/2 - - yes AT0000A10618 Zins-Strip 20.10.17/ Bund 13/2 - - yes AT0000A10626 Zins-Strip 20.10.18/ Bund 13/2 - - yes AT0000A10634 Zins-Strip 20.10.19/ Bund 13/2 - - yes AT0000A10642 Zins-Strip 20.10.20/ Bund 13/2 - - yes AT0000A10659 Zins-Strip 20.10.21/ Bund 13/2 - - yes AT0000A10667 Zins-Strip 20.10.22/ Bund 13/2 - - yes AT0000A10675 Zins-Strip 20.10.23/ Bund 13/2 - - yes AT0000A1FAR1 Zins-Strip 20.10.24/ Bund 15/1 - - yes AT0000A1FAS9 Zins-Strip 20.10.25/ Bund 15/1 - - yes AT0000A18652 Zins-Strip 21.10.16/ Bund 14/1 - - yes AT0000A18660 Zins-Strip 21.10.17/ Bund 14/1 - - yes AT0000A18678 Zins-Strip 21.10.18/ Bund 14/1 - - yes AT0000A18686 Zins-Strip 21.10.19/ Bund 14/1 - - yes AT0000A18694 Zins-Strip 21.10.20/ Bund 14/1 - - yes AT0000A186A9 Zins-Strip 21.10.21/ Bund 14/1 - - yes AT0000A186B7 Zins-Strip 21.10.22/ Bund 14/1 - - yes AT0000A186C5 Zins-Strip 21.10.23/ Bund 14/1 - - yes AT0000A186D3 Zins-Strip 21.10.24/ Bund 14/1 - - yes AT0000A0U3Z1 Zins-Strip 22.11.16/ Bund 12/2 - - yes AT0000A0U406 Zins-Strip 22.11.17/ Bund 12/2 - - yes AT0000A0U414 Zins-Strip 22.11.18/ Bund 12/2 - - yes AT0000A0U422 Zins-Strip 22.11.19/ Bund 12/2 - - yes AT0000A0U430 Zins-Strip 22.11.20/ Bund 12/2 - - yes AT0000A0U448 Zins-Strip 22.11.21/ Bund 12/2 - - yes AT0000A0U455 Zins-Strip 22.11.22/ Bund 12/2 - - yes AT0000A106C3 Zins-Strip 23.05.16/ Bund 13/1 - - yes Ultimo 30.12.2015 79

AT0000A106D1 Zins-Strip 23.05.17/ Bund 13/1 - - yes AT0000A106E9 Zins-Strip 23.05.18/ Bund 13/1 - - yes AT0000A106F6 Zins-Strip 23.05.19/ Bund 13/1 - - yes AT0000A106G4 Zins-Strip 23.05.20/ Bund 13/1 - - yes AT0000A106H2 Zins-Strip 23.05.21/ Bund 13/1 - - yes AT0000A106J8 Zins-Strip 23.05.22/ Bund 13/1 - - yes AT0000A106K6 Zins-Strip 23.05.23/ Bund 13/1 - - yes AT0000A106L4 Zins-Strip 23.05.24/ Bund 13/1 - - yes AT0000A106M2 Zins-Strip 23.05.25/ Bund 13/1 - - yes AT0000A106N0 Zins-Strip 23.05.26/ Bund 13/1 - - yes AT0000A106P5 Zins-Strip 23.05.27/ Bund 13/1 - - yes AT0000A106Q3 Zins-Strip 23.05.28/ Bund 13/1 - - yes AT0000A106R1 Zins-Strip 23.05.29/ Bund 13/1 - - yes AT0000A106S9 Zins-Strip 23.05.30/ Bund 13/1 - - yes AT0000A106T7 Zins-Strip 23.05.31/ Bund 13/1 - - yes AT0000A106U5 Zins-Strip 23.05.32/ Bund 13/1 - - yes AT0000A106V3 Zins-Strip 23.05.33/ Bund 13/1 - - yes AT0000A106W1 Zins-Strip 23.05.34/ Bund 13/1 - - yes AT0000A0U2E8 Zins-Strip 26.01.16/ Bund 12/1 - - yes AT0000A0U2F5 Zins-Strip 26.01.17/ Bund 12/1 - - yes AT0000A0U2G3 Zins-Strip 26.01.18/ Bund 12/1 - - yes AT0000A0U2H1 Zins-Strip 26.01.19/ Bund 12/1 - - yes AT0000A0U2J7 Zins-Strip 26.01.20/ Bund 12/1 - - yes AT0000A0U2K5 Zins-Strip 26.01.21/ Bund 12/1 - - yes AT0000A0U2L3 Zins-Strip 26.01.22/ Bund 12/1 - - yes AT0000A0U2M1 Zins-Strip 26.01.23/ Bund 12/1 - - yes AT0000A0U2N9 Zins-Strip 26.01.24/ Bund 12/1 - - yes AT0000A0U2P4 Zins-Strip 26.01.25/ Bund 12/1 - - yes AT0000A0U2Q2 Zins-Strip 26.01.26/ Bund 12/1 - - yes AT0000A0U2R0 Zins-Strip 26.01.27/ Bund 12/1 - - yes AT0000A0U2S8 Zins-Strip 26.01.28/ Bund 12/1 - - yes AT0000A0U2T6 Zins-Strip 26.01.29/ Bund 12/1 - - yes AT0000A0U2U4 Zins-Strip 26.01.30/ Bund 12/1 - - yes AT0000A0U2V2 Zins-Strip 26.01.31/ Bund 12/1 - - yes AT0000A0U2W0 Zins-Strip 26.01.32/ Bund 12/1 - - yes AT0000A0U2X8 Zins-Strip 26.01.33/ Bund 12/1 - - yes AT0000A0U2Y6 Zins-Strip 26.01.34/ Bund 12/1 - - yes AT0000A0U2Z3 Zins-Strip 26.01.35/ Bund 12/1 - - yes AT0000A0U307 Zins-Strip 26.01.36/ Bund 12/1 - - yes AT0000A0U315 Zins-Strip 26.01.37/ Bund 12/1 - - yes AT0000A0U323 Zins-Strip 26.01.38/ Bund 12/1 - - yes Ultimo 30.12.2015 80

AT0000A0U331 Zins-Strip 26.01.39/ Bund 12/1 - - yes AT0000A0U349 Zins-Strip 26.01.40/ Bund 12/1 - - yes AT0000A0U356 Zins-Strip 26.01.41/ Bund 12/1 - - yes AT0000A0U364 Zins-Strip 26.01.42/ Bund 12/1 - - yes AT0000A0U372 Zins-Strip 26.01.43/ Bund 12/1 - - yes AT0000A0U380 Zins-Strip 26.01.44/ Bund 12/1 - - yes AT0000A0U398 Zins-Strip 26.01.45/ Bund 12/1 - - yes AT0000A0U3A4 Zins-Strip 26.01.46/ Bund 12/1 - - yes AT0000A0U3B2 Zins-Strip 26.01.47/ Bund 12/1 - - yes AT0000A0U3C0 Zins-Strip 26.01.48/ Bund 12/1 - - yes AT0000A0U3D8 Zins-Strip 26.01.49/ Bund 12/1 - - yes AT0000A0U3E6 Zins-Strip 26.01.50/ Bund 12/1 - - yes AT0000A0U3F3 Zins-Strip 26.01.51/ Bund 12/1 - - yes AT0000A0U3G1 Zins-Strip 26.01.52/ Bund 12/1 - - yes AT0000A0U3H9 Zins-Strip 26.01.53/ Bund 12/1 - - yes AT0000A0U3J5 Zins-Strip 26.01.54/ Bund 12/1 - - yes AT0000A0U3K3 Zins-Strip 26.01.55/ Bund 12/1 - - yes AT0000A0U3L1 Zins-Strip 26.01.56/ Bund 12/1 - - yes AT0000A0U3M9 Zins-Strip 26.01.57/ Bund 12/1 - - yes AT0000A0U3N7 Zins-Strip 26.01.58/ Bund 12/1 - - yes AT0000A0U3P2 Zins-Strip 26.01.59/ Bund 12/1 - - yes AT0000A0U3Q0 Zins-Strip 26.01.60/ Bund 12/1 - - yes AT0000A0U3R8 Zins-Strip 26.01.61/ Bund 12/1 - - yes AT0000A0U3S6 Zins-Strip 26.01.62/ Bund 12/1 - - yes Ultimo 30.12.2015 81