# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 KBC Asset Management NV 74,824 2,024 847,157.33 0.0014 0.0021 06/30/2025
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 KBC Institutional Fund - Asia Pacific Responsible Investing 74,824 2,024 847,157.33 0.9561 0.0021 06/30/2025
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1 KBC Asset Management NV 74,824 2,024 847,157.33 0.0014 0.0021 06/30/2025
# Holder Name Position Position Change $ Market Value % Port % O/S Rpt Date
1

Data provided by FactSet Research Systems Inc.