HoldingsChannel.com
Lazard Asset Management LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MEDTRONIC PLC 28,066,289 +241,438 $2,733,373
     MDT28,066,289+241,438$2,733,373
AON PLC 9,120,419 -179,450 $1,760,056
     AON9,120,419-179,450$1,760,056
COCA COLA CO 27,974,471 -1,791,725 $1,424,458
     KO27,974,471-1,791,725$1,424,458
CISCO SYS INC 25,680,681 -2,347,094 $1,405,501
     CSCO25,680,681-2,347,094$1,405,501
ALPHABET INC A 1,277,550 -65,548 $1,383,328
     GOOGL1,277,550-65,548$1,383,328
NORFOLK SOUTHER 6,718,842 -615,125 $1,339,265
     NSC6,718,842-615,125$1,339,265
MICROSOFT CORP 9,387,308 -185,837 $1,257,521
     MSFT9,387,308-185,837$1,257,521
ACCENTURE PLC 5,933,910 -336,228 $1,096,406
     ACN5,933,910-336,228$1,096,406
INTERCONTINEN 12,211,738 -588,728 $1,049,476
     ICE12,211,738-588,728$1,049,476
ANALOG DEVICES 9,077,512 -953,700 $1,024,577
     ADI9,077,512-953,700$1,024,577
JOHN & JOHN COM 6,941,879 +296,073 $966,864
     JNJ6,941,879+296,073$966,864
NETEASE INC 3,731,194 -285,415 $954,327
     NTES3,731,194-285,415$954,327
BANK OF AMERICA      $947,171
     BAC30,201,854+7,096,177$875,852
     BAC.PRL51,982+11,897$71,319
HONEYWELL INTL 5,370,334 -333,699 $937,605
     HON5,370,334-333,699$937,605
CHEVRON CORP 5,700,765 +1,310,726 $709,402
     CVX5,700,765+1,310,726$709,402
APPLE INC 3,570,677 -175,526 $706,706
     AAPL3,570,677-175,526$706,706
PROCTER & GAMBL 6,232,181 -679,455 $683,356
     PG6,232,181-679,455$683,356
VISA INC 3,807,480 -184,353 $660,787
     V3,807,480-184,353$660,787
MCDONALDS CORP 3,153,133 +192,327 $654,778
     MCD3,153,133+192,327$654,778
LOWES COS INC 6,133,053 -950,235 $618,883
     LOW6,133,053-950,235$618,883
TELEKM INDO ADR 21,049,542 -1,713,823 $615,487
     TLK21,049,542-1,713,823$615,487
ICICI BANK ADR 46,315,359 -3,489,575 $583,109
     IBN46,315,359-3,489,575$583,109
BAXTER INTL INC 7,011,056 +1,788,422 $574,205
     BAX7,011,056+1,788,422$574,205
THERMO FISHER 1,923,698 -347,706 $564,950
     TMO1,923,698-347,706$564,950
VULCAN MATLS CO 4,108,617 -278,407 $564,153
     VMC4,108,617-278,407$564,153
KANSAS CITY SOU 4,587,382 +400,466 $558,834
     KSU4,587,382+400,466$558,834
AMERICA MOV ADR 36,331,486 -3,676,587 $528,986
     AMX36,331,486-3,676,587$528,986
MOTOROLA SOL 3,093,520 -47,064 $515,781
     MSI3,093,520-47,064$515,781
YPF SOCIEDAD AN 28,059,077 -2,604,324 $510,955
     YPF28,059,077-2,604,324$510,955
ELANCO ANIMAL H 15,058,634 +4,417,670 $508,980
     ELAN15,058,634+4,417,670$508,980
DEERE & CO 2,969,484 -119,582 $492,072
     DE2,969,484-119,582$492,072
APTIV PLC 5,859,759 -19,245 $473,643
     APTV5,859,759-19,245$473,643
ALPHABET INC C 433,435 -34,029 $468,503
     GOOG433,435-34,029$468,503
SKYWORKS SOLUT 6,008,893 +919,902 $464,305
     SWKS6,008,893+919,902$464,305
ALIBABA GRP ADR 2,721,209 -336,031 $461,107
     BABA2,721,209-336,031$461,107
TAIWAN SEMI ADR 11,743,908 -5,354,585 $460,007
     TSM11,743,908-5,354,585$460,007
CHINA MOBILE 10,130,370 -6,323,586 $458,804
     CHL10,130,370-6,323,586$458,804
MOBILE TELESYS 47,762,388 -3,865,137 $444,667
     MBT47,762,388-3,865,137$444,667
INFOSYS TECHADR 40,684,615 +1,959,048 $435,324
     INFY40,684,615+1,959,048$435,324
EATON CORP PLC 5,088,377 -633,126 $423,759
     ETN5,088,377-633,126$423,759
RYANAIR HLD ADR 6,512,329 -21,333 $417,700
     RYAAY6,512,329-21,333$417,700
ARMSTRON WORLD 4,267,902 -1,533,940 $414,839
     AWI4,267,902-1,533,940$414,839
ZOETIS INC 3,588,509 -393,340 $407,258
     ZTS3,588,509-393,340$407,258
PFIZER INC 9,382,817 -1,969,148 $406,462
     PFE9,382,817-1,969,148$406,462
DANAHER CORP DE 2,763,477 -428,656 $394,954
     DHR2,763,477-428,656$394,954
UNION PAC CORP 2,227,865 +1,147,190 $376,752
     UNP2,227,865+1,147,190$376,752
S&P GLOBAL INC 1,615,794 -77,874 $368,061
     SPGI1,615,794-77,874$368,061
ELECTRONIC ARTS 3,599,855 +286,441 $364,520
     EA3,599,855+286,441$364,520
AMBEV SA ADR 74,628,812 -8,681,979 $348,515
     ABEV74,628,812-8,681,979$348,515
HDFC BANK LTD 2,605,738 +58,686 $338,849
     HDB2,605,738+58,686$338,849

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 06/30/2019: $61,672,531
At 03/31/2019: $61,204,221

Combined Holding Report Includes:
LAZARD ASSET MANAGEMENT LLC
UNITED SERVICES AUTOMOBILE ASSOCIATION
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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