<SEC-DOCUMENT>0000950123-23-006654.txt : 20230804
<SEC-HEADER>0000950123-23-006654.hdr.sgml : 20230804
<ACCEPTANCE-DATETIME>20230804061502
ACCESSION NUMBER:		0000950123-23-006654
CONFORMED SUBMISSION TYPE:	13F-HR
PUBLIC DOCUMENT COUNT:		2
CONFORMED PERIOD OF REPORT:	20230630
FILED AS OF DATE:		20230804
DATE AS OF CHANGE:		20230804
EFFECTIVENESS DATE:		20230804

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			BANCO BILBAO VIZCAYA ARGENTARIA, S.A.
		CENTRAL INDEX KEY:			0000842180
		STANDARD INDUSTRIAL CLASSIFICATION:	COMMERCIAL BANKS, NEC [6029]
		IRS NUMBER:				000000000
		STATE OF INCORPORATION:			U3
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		13F-HR
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	028-19997
		FILM NUMBER:		231142057

	BUSINESS ADDRESS:	
		STREET 1:		CALLE AZUL 4
		CITY:			MADRID
		STATE:			U3
		ZIP:			28050
		BUSINESS PHONE:		011 34 91 537 8172

	MAIL ADDRESS:	
		STREET 1:		CALLE AZUL 4
		CITY:			MADRID
		STATE:			U3
		ZIP:			28050

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	BANCO BILBAO VIZCAYA ARGENTARIA S A
		DATE OF NAME CHANGE:	20000505

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	BANCO BILBAO VIZCAYA S A
		DATE OF NAME CHANGE:	19991103
</SEC-HEADER>
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    <nameOfIssuer>iShares 20 Year Treasury Bond ETF</nameOfIssuer>
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    <cusip>464287432</cusip>
    <value>40269765</value>
    <shrsOrPrnAmt>
      <sshPrnamt>391128</sshPrnamt>
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    <cusip>464288661</cusip>
    <value>9219186</value>
    <shrsOrPrnAmt>
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    <nameOfIssuer>ISHARES 7-10 YEAR TREASURY BOND ETF</nameOfIssuer>
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    <cusip>464287440</cusip>
    <value>6828268</value>
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    <nameOfIssuer>iShares China Large-Cap ETF</nameOfIssuer>
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    <cusip>464287184</cusip>
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    <nameOfIssuer>iShares Core S&amp;P 500 ETF</nameOfIssuer>
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    <nameOfIssuer>iShares Core U.S. Aggregate Bond ETF</nameOfIssuer>
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    <cusip>464287226</cusip>
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      <sshPrnamt>287140</sshPrnamt>
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    <nameOfIssuer>iShares Cybersecurity and Tech ETF</nameOfIssuer>
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    <cusip>46435U135</cusip>
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      <Sole>37411</Sole>
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    <nameOfIssuer>iShares Expanded Tech Sector ETF</nameOfIssuer>
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    <cusip>464287549</cusip>
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    <nameOfIssuer>iShares Expanded Tech-Software Sector ETF</nameOfIssuer>
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    <cusip>464287515</cusip>
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    <nameOfIssuer>iShares Exponential Technologies ETF</nameOfIssuer>
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    <cusip>46434V381</cusip>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>43005</Sole>
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    <nameOfIssuer>iShares Floating Rate Bond ETF</nameOfIssuer>
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    <cusip>46429B655</cusip>
    <value>24894634</value>
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      <sshPrnamt>489470</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>489470</Sole>
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    <nameOfIssuer>iShares Global Clean Energy ETF</nameOfIssuer>
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    <cusip>464288224</cusip>
    <value>598646</value>
    <shrsOrPrnAmt>
      <sshPrnamt>32990</sshPrnamt>
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      <Sole>32990</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares Global Energy ETF</nameOfIssuer>
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    <cusip>464287341</cusip>
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      <sshPrnamt>302250</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>302250</Sole>
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    <nameOfIssuer>iShares Global Infrastructure ETF</nameOfIssuer>
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    <cusip>464288372</cusip>
    <value>6445384</value>
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      <sshPrnamt>137267</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>137267</Sole>
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    <nameOfIssuer>iShares Global Tech ETF</nameOfIssuer>
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    <cusip>464287291</cusip>
    <value>4045770</value>
    <shrsOrPrnAmt>
      <sshPrnamt>65055</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
    <otherManager>9</otherManager>
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      <Sole>65055</Sole>
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    <nameOfIssuer>iShares Gold Trust</nameOfIssuer>
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    <cusip>464285204</cusip>
    <value>10299098</value>
    <shrsOrPrnAmt>
      <sshPrnamt>283020</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
    <otherManager>4</otherManager>
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      <Sole>283020</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares iBoxx $ Investment Grade Corporate Bond ETF</nameOfIssuer>
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    <cusip>464287242</cusip>
    <value>19223540</value>
    <shrsOrPrnAmt>
      <sshPrnamt>177565</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>177565</Sole>
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      <None>0</None>
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    <nameOfIssuer>ISHARES INC</nameOfIssuer>
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    <cusip>464286103</cusip>
    <value>527760</value>
    <shrsOrPrnAmt>
      <sshPrnamt>23404</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>23404</Sole>
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      <None>0</None>
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    <nameOfIssuer>ISHARES INC</nameOfIssuer>
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    <cusip>464286624</cusip>
    <value>287327</value>
    <shrsOrPrnAmt>
      <sshPrnamt>4368</sshPrnamt>
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      <Sole>4368</Sole>
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    <nameOfIssuer>iShares Inc iShares ESG Aware MSCI EM ETF</nameOfIssuer>
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    <cusip>46434G863</cusip>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <None>0</None>
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    <nameOfIssuer>iShares JP Morgan EM Local Currency Bond ETF</nameOfIssuer>
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    <cusip>464286517</cusip>
    <value>17180353</value>
    <shrsOrPrnAmt>
      <sshPrnamt>464083</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>464083</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares JP Morgan USD Emerging Markets Bond ETF</nameOfIssuer>
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    <cusip>464288281</cusip>
    <value>23253298</value>
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      <sshPrnamt>268700</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
    <otherManager>5</otherManager>
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      <Sole>268700</Sole>
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    <nameOfIssuer>iShares Latin America 40 ETF</nameOfIssuer>
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    <cusip>464287390</cusip>
    <value>2450734</value>
    <shrsOrPrnAmt>
      <sshPrnamt>90200</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
    <otherManager>5</otherManager>
    <votingAuthority>
      <Sole>90200</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI ACWI ETF</nameOfIssuer>
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    <cusip>464288257</cusip>
    <value>61672199</value>
    <shrsOrPrnAmt>
      <sshPrnamt>642828</sshPrnamt>
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      <Sole>642828</Sole>
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    <nameOfIssuer>iShares MSCI Brazil ETF</nameOfIssuer>
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    <cusip>464286400</cusip>
    <value>27934191</value>
    <shrsOrPrnAmt>
      <sshPrnamt>860076</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>860076</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Canada ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>464286509</cusip>
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    <shrsOrPrnAmt>
      <sshPrnamt>140839</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>140839</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Chile ETF</nameOfIssuer>
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    <cusip>464286640</cusip>
    <value>8166701</value>
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      <sshPrnamt>279620</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>279620</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI China ETF</nameOfIssuer>
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    <cusip>46429B671</cusip>
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      <sshPrnamt>551092</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>551092</Sole>
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    <nameOfIssuer>iShares MSCI EAFE ETF</nameOfIssuer>
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    <cusip>464287465</cusip>
    <value>2363355</value>
    <shrsOrPrnAmt>
      <sshPrnamt>32629</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>32629</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Emerging Markets ETF</nameOfIssuer>
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    <cusip>464287234</cusip>
    <value>26728367</value>
    <shrsOrPrnAmt>
      <sshPrnamt>675268</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>675268</Sole>
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    <nameOfIssuer>iShares MSCI Eurozone ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>464286608</cusip>
    <value>4372511</value>
    <shrsOrPrnAmt>
      <sshPrnamt>95428</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>95428</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Hong Kong ETF</nameOfIssuer>
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    <cusip>464286871</cusip>
    <value>590023</value>
    <shrsOrPrnAmt>
      <sshPrnamt>30564</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>30564</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI India ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>46429B598</cusip>
    <value>10505155</value>
    <shrsOrPrnAmt>
      <sshPrnamt>240371</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>240371</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Japan ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>46434G822</cusip>
    <value>1671522</value>
    <shrsOrPrnAmt>
      <sshPrnamt>27006</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
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      <Sole>27006</Sole>
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      <None>0</None>
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    <nameOfIssuer>iShares MSCI Malaysia ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>46434G814</cusip>
    <value>709835</value>
    <shrsOrPrnAmt>
      <sshPrnamt>35474</sshPrnamt>
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    <investmentDiscretion>DFND</investmentDiscretion>
    <otherManager>4</otherManager>
    <votingAuthority>
      <Sole>35474</Sole>
      <Shared>0</Shared>
      <None>0</None>
    </votingAuthority>
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  <infoTable>
    <nameOfIssuer>iShares MSCI Mexico ETF</nameOfIssuer>
    <titleOfClass>ETP</titleOfClass>
    <cusip>464286822</cusip>
    <value>8353992</value>
    <shrsOrPrnAmt>
      <sshPrnamt>134248</sshPrnamt>
      <sshPrnamtType>SH</sshPrnamtType>
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    <investmentDiscretion>DFND</investmentDiscretion>
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    <votingAuthority>
      <Sole>134248</Sole>
      <Shared>0</Shared>
      <None>0</None>
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  <infoTable>
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    <nameOfIssuer>ISHARES TR</nameOfIssuer>
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    <nameOfIssuer>ISHARES TR</nameOfIssuer>
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    <nameOfIssuer>J M Smucker Co/The</nameOfIssuer>
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    <nameOfIssuer>ZYVERSA THERAPEUTICS INC</nameOfIssuer>
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</informationTable>
</XML>
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
