HoldingsChannel.com
Lazard Asset Management LLC Top Holdings
As of  06/30/2023, below is a summary of the Lazard Asset Management LLC top holdings by largest position size, as per the latest 13f filing made by Lazard Asset Management LLC. In the Lazard Asset Management LLC-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Lazard Asset Management LLC in that top holding, then the share count change between reporting periods, and finally the Lazard Asset Management LLC top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
MICROSOFT CORP 11,090,873 +672,835 $3,776,884
     MSFT11,090,873+672,835$3,776,884
ALPHABET INC A 22,934,821 -1,049,522 $2,745,296
     GOOGL22,934,821-1,049,522$2,745,296
AMAZON.COM INC 16,351,321 +1,539,778 $2,131,556
     AMZN16,351,321+1,539,778$2,131,556
NORFOLK SOUTHER 8,365,299 -141,198 $1,896,913
     NSC8,365,299-141,198$1,896,913
JOHN & JOHN COM 10,613,461 +1,453,953 $1,756,738
     JNJ10,613,461+1,453,953$1,756,738
VISA INC 6,885,244 -237,408 $1,635,104
     V6,885,244-237,408$1,635,104
AON PLC IRELAND 4,429,362 +243,371 $1,529,014
     AON4,429,362+243,371$1,529,014
ACCENTURE PLC 3,905,378 +345,775 $1,205,119
     ACN3,905,378+345,775$1,205,119
INTERCONTINEN 9,780,074 +144,834 $1,105,929
     ICE9,780,074+144,834$1,105,929
BANK OF AMERICA      $1,099,643
     BAC38,139,521+4,162,514$1,094,221
     BAC.PRL4,627UNCH$5,422
ANALOG DEVICES 5,571,610 -602,423 $1,085,403
     ADI5,571,610-602,423$1,085,403
UNITEDHEALTH GR 2,177,028 +488,006 $1,046,365
     UNH2,177,028+488,006$1,046,365
THERMO FISHER 1,961,926 +39,591 $1,023,633
     TMO1,961,926+39,591$1,023,633
HONEYWELL INTL 4,550,406 +53,590 $944,207
     HON4,550,406+53,590$944,207
PROCTER & GAMBL 6,033,249 +174,160 $915,483
     PG6,033,249+174,160$915,483
CSX CORP 26,442,306 -1,101,815 $901,681
     CSX26,442,306-1,101,815$901,681
WASTE MGMT INC 5,184,093 -193,846 $899,024
     WM5,184,093-193,846$899,024
AMER EXPRESS CO 5,098,054 -465,636 $888,079
     AXP5,098,054-465,636$888,079
DANAHER CORP DE 3,598,030 +578,555 $863,524
     DHR3,598,030+614,745$863,524
ICON PLC 3,434,431 +456,675 $859,293
     ICLR3,434,431+456,675$859,293
MCDONALDS CORP 2,738,950 -202,954 $817,329
     MCD2,738,950-202,954$817,329
COCA COLA CO 12,863,831 +387,450 $774,658
     KO12,863,831+387,450$774,658
CHEVRON CORP 4,817,348 +1,020,519 $758,008
     CVX4,817,348+1,020,519$758,008
PROLOGIS INC 6,104,300 +45,758 $748,568
     PLD6,104,300+45,758$748,568
UNION PAC CORP 3,644,168 +218,977 $745,667
     UNP3,644,168+218,977$745,667
RYANAIR HLD ADR 6,684,059 +715,572 $739,256
     RYAAY6,684,059+715,572$739,256
CONOCOPHILLIPS 7,012,403 +1,114,513 $726,553
     COP7,012,403+1,114,513$726,553
MARSH & MCLENNA 3,829,197 +73,765 $720,194
     MMC3,829,197+73,765$720,194
EXELON CORP 17,371,666 +9,923,059 $707,721
     EXC17,371,666+9,923,059$707,721
CISCO SYS INC 13,191,151 +1,385,505 $682,507
     CSCO13,191,151+1,385,505$682,507
TAIWAN SEMI ADR 6,615,179 +1,511,288 $667,601
     TSM6,615,179+1,511,288$667,601
APPLE INC 3,430,786 +134,078 $665,468
     AAPL3,430,786+134,078$665,468
APPLIED MATLS I 4,423,444 -1,127,648 $639,363
     AMAT4,423,444-1,127,648$639,363
IQVIA HOLDINGS 2,809,074 +76,078 $631,393
     IQV2,809,074+76,078$631,393
META PLATFORMS 2,164,040 -379,053 $621,035
     META2,164,040-379,053$621,035
SYSCO CORP 8,305,011 -222,211 $616,229
     SYY8,305,011-222,211$616,229
AMPHENOL CORP 7,083,630 +191,043 $601,754
     APH7,083,630+191,043$601,754
ALPHABET INC C 4,787,452 -156,243 $579,136
     GOOG4,787,452-156,243$579,136
MEDTRONIC PLC 6,471,962 +802,936 $570,178
     MDT6,471,962+802,936$570,178
WELLS FARGO CO      $557,162
     WFC13,054,440-10,808$557,162
     WFC.PRL83UNCH$0
PINNACLE WEST C 6,419,141 -500,626 $522,903
     PNW6,419,141-500,626$522,903
SALESFORCE INC 2,437,079 -848,325 $514,856
     CRM2,437,079-848,325$514,856
HOME DEPOT INC 1,631,842 +153,822 $506,914
     HD1,631,842+153,822$506,914
BOSTON SCIENTIF 9,192,578 -2,227,441 $497,225
     BSX9,192,578-2,226,793$497,225
ZOETIS INC 2,818,201 +74,652 $485,320
     ZTS2,818,201+74,652$485,320
S&P GLOBAL INC 1,181,698 -44,901 $473,729
     SPGI1,181,698-44,901$473,729
NVIDIA CORP 1,036,480 -323,560 $438,450
     NVDA1,036,480-323,560$438,450
ESTEE LAUDER 2,207,890 +145,521 $433,584
     EL2,207,890+145,521$433,584
LABORATORY CORP 1,728,619 -43,798 $417,166
     LH1,728,619-43,798$417,166
PETROLEO BRAS A 29,221,292 +2,582,327 $404,130
     PBR29,221,292+2,582,327$404,130

See Full List: All Stocks Held By Lazard Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Lazard Asset Management LLC

Size ($ in 1000's)
At 06/30/2023: $81,244,848
At 03/31/2023: $76,304,116

Combined Holding Report Includes:
LAZARD ASSET MANAGEMENT LLC
Russell Investments Group Ltd.
LAZARD ASSET MANAGEMENT LTD

Lazard Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Lazard Asset Management LLC 13F filings. Link to 13F filings: SEC filings

Lazard Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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