-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Gz7G2tY0SOgH6nEe8LkR7UMddpkzXdg1cfa4kYAKHMmxAVfd+DmJtAV8BBWfCIpi Bq71Caa1qh1Rzy7R4hK1EQ== 0001047469-03-005526.txt : 20030214 0001047469-03-005526.hdr.sgml : 20030214 20030214130559 ACCESSION NUMBER: 0001047469-03-005526 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20021231 FILED AS OF DATE: 20030214 EFFECTIVENESS DATE: 20030214 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CDC IXIS ASSET MANAGEMENT CENTRAL INDEX KEY: 0001166767 IRS NUMBER: 000000000 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-10092 FILM NUMBER: 03565237 MAIL ADDRESS: STREET 1: 77 PLACE DES CINQ MARTYRS DU STREET 2: LYCEE BUFFON BP 541 CEDEX 15 CITY: PARIS STATE: I0 ZIP: 00000 13F-HR 1 a2100852z13f-hr.txt 13F-HR Form 13F Cover Page Report for the Calendar Year or Quarter Ended: December 31, 2002 Check here if Amendment [ ]: Amendment Number: ______ This Amendment (Check only one): / / is a restatement / / adds new holdings entries Institutional Investment Manager Filing this Report: Name: CDC IXIS Asset Management Address: 7, place des Cinq Martyrs du Lycee Buffon BP 541 Cedex 15 Paris, France 75725 Form 13F File Number: 28-10092 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manger: Name: Pascal Delauney Title: Compliance Officer CDC IXIS Asset Management Phone: 33 (1) 42 79 27 62 Signature, Place, and Date of Signing: /s/ Pascal Delauney - -------------------------------------- [Signature] Paris, France - -------------------------------------- [City, State] February 14, 2003 - -------------------------------------- [Date] Report Type (Check only one): / / 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) / / 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) /X/ 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) List of Other Managers Reporting for this Manager:
NAME 13F FILE NUMBER - ---- --------------- AEW Capital Management, L.P. 28-6538 CDC IXIS Asset Management Advisers, L.P. 28-5788 Hansberger Global Investors, Inc. 28-6508 Harris Associates L.P. 28-2013 Jurika & Voyles, L.P. 28-2899 Loomis, Sayles & Company, L.P. 28-398 Mercury Advisors 28-790 Miller Anderson 28-3432 Reich & Tang Asset Management LLC 28-4818 RS Investment Management, L.P. 28-5452 Salomon Brothers Asset Management Inc. 28-2568 Snyder Capital Management, L.P. 28-6636 Vaughan, Nelson, Scarborough & McCullough L.P. 28-5840 Westpeak Global Advisors, L.P. 28-4372
Form 13F Summary Page Report Summary: Number of Other Included Managers: 0 Form 13F Information Table Entry Total: 155 Form 13F Information Table Value Total: $ 254,609 (thousands) List of Other Included Managers: None
COLUMN 4 COLUMN 6 COLUMN 1 COLUMN 2 COLUMN 3 MARKET VALUE COLUMN 5 INVESTMENT SECURITY NAME TITLE OF CLASS CUSIP 12/31/2002 (X$1000) SHARES DISCRETION - ----------------------- ---------------------- ------------- -------------------- ------------- ---------------- AKBANK TAS ADR......... common stock 106 17,626 SOLE AMBAC FINANCIAL GP..... common stock 023139108 4,199 74,221 SOLE AMER.INTL.GRP SICO..... common stock 026874107 769 13,425 SOLE AMERICAN EXPRESS....... common stock 025816109 4,838 136,271 SOLE AMERICAN INTL GRP...... common stock 026874107 7,769 135,450 SOLE AMERICAN MOBIL ADR..... common stock 02364W105 245 17,000 SOLE AMERICAN STAND. COS.... common stock 029712106 2,195 30,881 SOLE AMERISOURCEBERGEN...... common stock 03073E105 2,109 39,265 SOLE AMGEN INC.............. common stock 031162100 246 5,000 SOLE ANADARKO PETROLEUM..... common stock 032511107 2,214 46,228 SOLE ANALOG DEVICES......... common stock 032654105 95 4,000 SOLE AOL TIME WARNER........ common stock 00184A105 78 6,300 SOLE APPLIED MATERIALS...... common stock 038222105 2,807 212,783 SOLE AT T CORP.............. common stock 42 1,600 SOLE AT T WIRELESS SCES..... common stock 00209A106 57 9,799 SOLE AUTOZONE............... common stock 053332102 1,998 28,041 SOLE BANK PEKAO GDR......... common stock 1,010 50,000 SOLE BAXTER INTL............ common stock 071813109 1,684 60,830 SOLE BELLSOUTH.............. common stock 079860102 312 12,000 SOLE BP FINANCE 3%06 CV..... convertible EC3423877 8,906 7,000 SOLE BRASIL TELECOM PAR..... common stock 105530109 297 11,800 SOLE CEMENTOS MEX. ADR...... common stock 151290889 428 19,895 SOLE CEMIG ADR N-VTG PF..... common stock 204409601 115 12,238 SOLE CENTURY TEL.ENT........ common stock 156700106 159 5,400 SOLE CHINA MOBILE (HK)-..... common stock 16941M109 399 33,000 SOLE CIA TELE CHILE ADR..... common stock 204449300 243 25,518 SOLE CISCO SYSTEMS.......... common stock 17275R102 5,084 392,555 SOLE CITIGROUP.............. common stock 172967101 9,111 259,210 SOLE CLEAR CHANNEL COMM..... common stock 184502102 211 5,700 SOLE COCA COLA FEMS.ADR..... common stock 191241108 435 24,300 SOLE COCA COLA$0.25......... common stock 191216100 5,471 125,892 SOLE COMCAST CL-A........... common stock 61 2,588 SOLE COMM.INTL BK GRD....... common stock 201712205 38 7,000 SOLE COX CIONS CL.A......... common stock 224044107 168 6,000 SOLE CVS CORP............... common stock 126650100 1,808 73,909 SOLE DEERE.................. common stock 244199105 4,474 97,479 SOLE DELL COMPUTER.......... common stock 247025109 6,861 255,489 SOLE DIAMONDS TRUST......... common stock 252787106 1,550 19,151 SOLE DISNEY................. common stock 254687106 4,923 308,595 SOLE DOW CHEMICAL........... common stock 260543103 76 2,700 SOLE DR REDDY'S LAB ADR..... common stock 256135203 2,304 120,000 SOLE DR REDDY'S LAB ADR..... common stock 256135203 773 40,000 SOLE EDAP TMS ADR........... common stock 268311107 41 35,000 SOLE ELECTRONIC ARTS........ common stock 285512109 69 1,360 SOLE ELECTRONIC DATA........ common stock 285661104 71 4,000 SOLE ELETROB CENT EL AD..... common stock 15234Q108 132 40,000 SOLE EMBRAER SA PREF........ common stock 286 18,000 SOLE EMC.................... common stock 268648102 465 78,963 SOLE EMERSON ELECTRIC....... common stock 291011104 4,874 97,097 SOLE EXXON MOBIL CORP....... common stock 30231G102 9,366 269,601 SOLE FIRST DATA............. common stock 319963104 89 2,500 SOLE FNMA................... common stock 313586109 3,149 48,303 SOLE FOMENTO ADR SPONS...... common stock 344419106 307 8,500 SOLE GENERAL ELECTRIC....... common stock 369604103 23 960 SOLE GENERAL ELECTRIC....... common stock 369604103 6,956 287,657 SOLE COLUMN 7 COLUMN 8 COLUMN 1 OTHER VOTING SECURITY NAME MANAGERS AUTHORITY - ----------------------- ------------- -------------- AKBANK TAS ADR......... SOLE AMBAC FINANCIAL GP..... SOLE AMER.INTL.GRP SICO..... SOLE AMERICAN EXPRESS....... SOLE AMERICAN INTL GRP...... SOLE AMERICAN MOBIL ADR..... SOLE AMERICAN STAND. COS.... SOLE AMERISOURCEBERGEN...... SOLE AMGEN INC.............. SOLE ANADARKO PETROLEUM..... SOLE ANALOG DEVICES......... SOLE AOL TIME WARNER........ SOLE APPLIED MATERIALS...... SOLE AT T CORP.............. SOLE AT T WIRELESS SCES..... SOLE AUTOZONE............... SOLE BANK PEKAO GDR......... SOLE BAXTER INTL............ SOLE BELLSOUTH.............. SOLE BP FINANCE 3%06 CV..... SOLE BRASIL TELECOM PAR..... SOLE CEMENTOS MEX. ADR...... SOLE CEMIG ADR N-VTG PF..... SOLE CENTURY TEL.ENT........ SOLE CHINA MOBILE (HK)-..... SOLE CIA TELE CHILE ADR..... SOLE CISCO SYSTEMS.......... SOLE CITIGROUP.............. SOLE CLEAR CHANNEL COMM..... SOLE COCA COLA FEMS.ADR..... SOLE COCA COLA$0.25......... SOLE COMCAST CL-A........... SOLE COMM.INTL BK GRD....... SOLE COX CIONS CL.A......... SOLE CVS CORP............... SOLE DEERE.................. SOLE DELL COMPUTER.......... SOLE DIAMONDS TRUST......... SOLE DISNEY................. SOLE DOW CHEMICAL........... SOLE DR REDDY'S LAB ADR..... NONE DR REDDY'S LAB ADR..... SOLE EDAP TMS ADR........... SOLE ELECTRONIC ARTS........ SOLE ELECTRONIC DATA........ SOLE ELETROB CENT EL AD..... SOLE EMBRAER SA PREF........ SOLE EMC.................... SOLE EMERSON ELECTRIC....... SOLE EXXON MOBIL CORP....... SOLE FIRST DATA............. SOLE FNMA................... SOLE FOMENTO ADR SPONS...... SOLE GENERAL ELECTRIC....... NONE GENERAL ELECTRIC....... SOLE
COLUMN 4 COLUMN 6 COLUMN 1 COLUMN 2 COLUMN 3 MARKET VALUE COLUMN 5 INVESTMENT SECURITY NAME TITLE OF CLASS CUSIP 12/31/2002 (X$1000) SHARES DISCRETION - ----------------------- ---------------------- ------------- -------------------- ------------- ---------------- GENERAL MOTORS SICO.... common stock 370442105 70 2,000 SOLE GILLETTE............... common stock 375766102 5,035 166,731 SOLE GLOBAL FUND CL A....... mutual fund equity 32008F507 27 1,088 SOLE GOLDEN TELECOM ADR..... common stock 38122G107 741 55,000 SOLE GRPO CARSO ADR SPN..... common stock 400485207 640 131,000 SOLE GRUPO TELEVISA ADR..... common stock 40049J206 645 23,200 SOLE HACI OMER ADR REG...... common stock 40450N209 37 49,303 SOLE HCA-HEALTHCARE CO...... common stock 404119109 9,132 219,263 SOLE HEWLETT PACKARD........ common stock 428236103 136 7,800 SOLE HINDUSTHAN DEV GDR..... common stock Y3214D118 27 122,000 SOLE HOME DEPOT............. common stock 437076102 2,776 117,860 SOLE HONEYWELL INTL INC..... common stock 438516106 5,188 231,100 SOLE IBM.................... common stock 459200101 312 4,000 SOLE IBM.................... common stock 459200101 4,778 61,817 SOLE INDIAN HOTELS GRD...... investment certificate 59 16,000 SOLE INFOSYS TECH ADR S..... common stock 456788108 2,165 31,000 SOLE INTEL.................. common stock 458140100 4,314 274,512 SOLE ITC GDR................ common stock Y4211T114 679 49,000 SOLE J.P. MORGAN CHASE...... common stock 46625H100 2,618 109,124 SOLE JOHNSON JOHNSON........ common stock 478160104 2,097 38,971 SOLE KIMBERLY CLK ADR....... common stock 494386204 331 22,200 SOLE KOREA ELEC.POWER....... investment certificate 500631106 170 20,000 SOLE KOREAN TEL.0.25%07..... convertible 3,235 3,000 SOLE KRAFT FOODS............ common stock 50075N104 3,091 78,957 SOLE KROGER................. common stock 501044101 3,689 239,547 SOLE LABORATORY CP.......... common stock 50540R409 2,230 98,097 SOLE LEHMAN BROTHERS........ common stock 524908100 2,955 54,880 SOLE LIBERTY MEDIA S.A...... common stock 530718105 35 4,000 SOLE MACROPORE INC.......... common stock U55396102 28 7,000 SOLE MADECO ADR............. common stock 556304103 20 50,000 SOLE MAHANAGAR TEL.ADR...... investment certificate 142 36,000 SOLE MAXIM INTEGRATED....... common stock 57772K101 107 3,200 SOLE MC GRAW HILL ORD....... common stock 580645109 109 1,800 SOLE MEDTRONIC.............. common stock 585055106 4,390 96,706 SOLE MICROSOFT.............. common stock 594918104 8,373 158,749 SOLE MING METALG CO......... common stock 46626D108 1,767 87,500 SOLE MOBILE TELE ADR........ common stock 607409109 953 26,000 SOLE MOTOROLA............... common stock 620076109 139 16,000 SOLE NASPERS LTD -N SHS..... common stock 631512100 189 6,895 SOLE NORTHROP GRUMMAN....... common stock 666807102 6,989 71,940 SOLE OIL LUKOIL ADR......... common stock 677862104 7,657 126,734 SOLE OMNICOM GROUP INC...... common stock 681919106 110 1,725 SOLE ORACLE CORP COM........ common stock 68389X105 2,544 233,765 SOLE OTP BANK GDR REG.S..... common stock X60746116 3,149 160,250 SOLE PEPSICO................ common stock 713448108 5,956 142,588 SOLE PETROLEO BRASI ADR..... common stock 71654V408 718 48,100 SOLE PFIZER................. common stock 717081103 11,049 360,850 SOLE PFIZER SICO............ common stock 717081103 764 26,000 SOLE PHILIP LNG PP5ADR...... common stock 718252604 191 38,000 SOLE PHILIP MORRIS CY....... common stock 718154107 13 336 SOLE PHILIP MORRIS CY....... common stock 718154107 553 14,000 SOLE PLIVA-GDR /SHS......... common stock 72917Q202 483 34,000 SOLE COLUMN 7 COLUMN 8 COLUMN 1 OTHER VOTING SECURITY NAME MANAGERS AUTHORITY - ----------------------- ------------- -------------- GENERAL MOTORS SICO.... SOLE GILLETTE............... SOLE GLOBAL FUND CL A....... NONE GOLDEN TELECOM ADR..... SOLE GRPO CARSO ADR SPN..... SOLE GRUPO TELEVISA ADR..... SOLE HACI OMER ADR REG...... SOLE HCA-HEALTHCARE CO...... SOLE HEWLETT PACKARD........ SOLE HINDUSTHAN DEV GDR..... SOLE HOME DEPOT............. SOLE HONEYWELL INTL INC..... SOLE IBM.................... NONE IBM.................... SOLE INDIAN HOTELS GRD...... SOLE INFOSYS TECH ADR S..... NONE INTEL.................. SOLE ITC GDR................ NONE J.P. MORGAN CHASE...... SOLE JOHNSON JOHNSON........ SOLE KIMBERLY CLK ADR....... SOLE KOREA ELEC.POWER....... SOLE KOREAN TEL.0.25%07..... SOLE KRAFT FOODS............ SOLE KROGER................. SOLE LABORATORY CP.......... SOLE LEHMAN BROTHERS........ SOLE LIBERTY MEDIA S.A...... SOLE MACROPORE INC.......... SOLE MADECO ADR............. SOLE MAHANAGAR TEL.ADR...... SOLE MAXIM INTEGRATED....... SOLE MC GRAW HILL ORD....... SOLE MEDTRONIC.............. SOLE MICROSOFT.............. SOLE MING METALG CO......... SOLE MOBILE TELE ADR........ SOLE MOTOROLA............... SOLE NASPERS LTD -N SHS..... SOLE NORTHROP GRUMMAN....... SOLE OIL LUKOIL ADR......... SOLE OMNICOM GROUP INC...... SOLE ORACLE CORP COM........ SOLE OTP BANK GDR REG.S..... SOLE PEPSICO................ SOLE PETROLEO BRASI ADR..... SOLE PFIZER................. SOLE PFIZER SICO............ SOLE PHILIP LNG PP5ADR...... NONE PHILIP MORRIS CY....... NONE PHILIP MORRIS CY....... SOLE PLIVA-GDR /SHS......... SOLE
COLUMN 4 COLUMN 6 COLUMN 1 COLUMN 2 COLUMN 3 MARKET VALUE COLUMN 5 INVESTMENT SECURITY NAME TITLE OF CLASS CUSIP 12/31/2002 (X$1000) SHARES DISCRETION - ----------------------- ---------------------- ------------- -------------------- ------------- ---------------- POLISH TELECOM GDR..... common stock 87943D207 146 43,450 SOLE PROCTER GAMB.SICO...... common stock 742718109 340 4,100 SOLE PROKOM GDR S REG S..... common stock 743394207 88 5,500 SOLE QUALCOMM............... common stock 747525103 142 3,850 SOLE QUILMES IND.ADR B...... common stock 74838Y207 162 26,000 SOLE RAYTHEON............... common stock 755111507 4,063 136,955 SOLE RELIANCE IND.GDR....... common stock 743 60,000 SOLE SAMSUNG ELEC. GDR...... common stock 796050888 192 1,420 SOLE SAUER INC.............. common stock 804137107 8 1,000 SOLE SBC COMM INC SHS....... common stock 78387G103 474 17,400 SOLE SCHERING-PLGH ORD...... common stock 806605101 4,521 205,977 SOLE SIBNEFT................ common stock 1,796 80,000 SOLE SOFTBANK GDR........... common stock 83401R101 74 16,400 SOLE SPDR TRUST S1.......... common stock 78462F103 2,598 30,134 SOLE STATE STREET........... common stock 857477103 2,993 77,304 SOLE SUN INTERBREW GDR...... common stock G8570M107 633 151,000 SOLE SUNGARD DATA SYS....... common stock 867363103 79 3,262 SOLE SURGUTNEFTEGAZ ADR..... common stock 868861204 1,238 79,026 SOLE SYNERGON INFO.GDR...... investment certificate 87159M206 74 30,000 SOLE TAIWAN SEMICOND........ common stock 52 7,500 SOLE TATA ELECTRIC GDR...... investment certificate 110 882 SOLE TATA ELECTRIC GDR...... investment certificate 125 1,000 SOLE TEL.BRAS.ADR HOLD...... common stock 879287308 218 11,700 SOLE TEL.MEXICO ADR S.L..... common stock 879403780 314 9,800 SOLE TELE N.LESTE ADR....... common stock 879246106 259 35,369 SOLE TELEC.NEW ZEAL.ADR..... common stock 879278209 301 15,566 SOLE TELEC.NEW ZEAL.ADR..... common stock 879278208 287 15,025 SOLE TEVA PHARMACEUTIC...... common stock 881624209 819 21,200 SOLE TEXAS INSTRUMENTS...... common stock 882508104 1,683 111,843 SOLE TISZAI VEGYI KOMIN..... common stock 888261203 139 10,000 SOLE TRAVELERS PRO.CL.B..... common stock 89420G406 318 21,386 SOLE TRAVELERS PROPERTY..... common stock 89420G109 159 10,676 SOLE TURKCELL ILET.ADR...... common stock 900111204 28 1,834 SOLE UNIFIED ENERGY SYS..... investment certificate 904688207 763 59,822 SOLE UNITED TECHN. SICO..... common stock 913017109 690 12,100 SOLE US COMMERCIAL ADR...... common stock 98 131,000 SOLE VERIZON COMMUNICAT..... common stock 92343V104 370 9,500 SOLE VIACOM CL.B............ common stock 925524308 304 7,600 SOLE VIDESH SANCHAR ADR..... common stock 92659G600 15 3,621 SOLE VIMPEL COMMUNICATI..... common stock 68370R109 930 29,000 SOLE VINA DE CONCHA ADR..... common stock 927191106 301 8,900 SOLE VODAFONE ADR SPONS..... common stock 92857W100 40 2,200 SOLE WAL-MART STORES........ common stock 931142103 7,515 148,519 SOLE WASHINGTON MUTUAL...... common stock 939322103 4,431 126,242 SOLE COLUMN 7 COLUMN 8 COLUMN 1 OTHER VOTING SECURITY NAME MANAGERS AUTHORITY - ----------------------- ------------- -------------- POLISH TELECOM GDR..... SOLE PROCTER GAMB.SICO...... SOLE PROKOM GDR S REG S..... SOLE QUALCOMM............... SOLE QUILMES IND.ADR B...... SOLE RAYTHEON............... SOLE RELIANCE IND.GDR....... NONE SAMSUNG ELEC. GDR...... SOLE SAUER INC.............. SOLE SBC COMM INC SHS....... SOLE SCHERING-PLGH ORD...... SOLE SIBNEFT................ SOLE SOFTBANK GDR........... SOLE SPDR TRUST S1.......... SOLE STATE STREET........... SOLE SUN INTERBREW GDR...... SOLE SUNGARD DATA SYS....... SOLE SURGUTNEFTEGAZ ADR..... SOLE SYNERGON INFO.GDR...... SOLE TAIWAN SEMICOND........ SOLE TATA ELECTRIC GDR...... NONE TATA ELECTRIC GDR...... SOLE TEL.BRAS.ADR HOLD...... SOLE TEL.MEXICO ADR S.L..... SOLE TELE N.LESTE ADR....... SOLE TELEC.NEW ZEAL.ADR..... NONE TELEC.NEW ZEAL.ADR..... SOLE TEVA PHARMACEUTIC...... SOLE TEXAS INSTRUMENTS...... SOLE TISZAI VEGYI KOMIN..... SOLE TRAVELERS PRO.CL.B..... SOLE TRAVELERS PROPERTY..... SOLE TURKCELL ILET.ADR...... SOLE UNIFIED ENERGY SYS..... SOLE UNITED TECHN. SICO..... SOLE US COMMERCIAL ADR...... SOLE VERIZON COMMUNICAT..... SOLE VIACOM CL.B............ SOLE VIDESH SANCHAR ADR..... SOLE VIMPEL COMMUNICATI..... SOLE VINA DE CONCHA ADR..... SOLE VODAFONE ADR SPONS..... SOLE WAL-MART STORES........ SOLE WASHINGTON MUTUAL...... SOLE
COLUMN 4 COLUMN 6 COLUMN 1 COLUMN 2 COLUMN 3 MARKET VALUE COLUMN 5 INVESTMENT SECURITY NAME TITLE OF CLASS CUSIP 12/31/2002 (X$1000) SHARES DISCRETION - ----------------------- ---------------------- ------------- -------------------- ------------- ---------------- WASTE MANAGEMENT....... common stock 94106L109 3,776 166,050 SOLE WIMM-BILL-DANN ADR..... common stock 97263M109 1,894 84,000 SOLE YAPI VE KREDI BANK..... common stock 984848200 36 60,681 SOLE YUKOS OIL ADR.......... common stock 98849W108 2,230 16,000 SOLE COLUMN 7 COLUMN 8 COLUMN 1 OTHER VOTING SECURITY NAME MANAGERS AUTHORITY - ----------------------- ------------- -------------- WASTE MANAGEMENT....... SOLE WIMM-BILL-DANN ADR..... SOLE YAPI VE KREDI BANK..... SOLE YUKOS OIL ADR.......... SOLE
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