HoldingsChannel.com
Lazard Asset Management LLC Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MEDTRONIC PLC 25,695,607 -3,016,985 $2,317,228
     MDT25,695,607-3,016,985$2,317,228
MICROSOFT CORP 11,513,276 +633,611 $1,815,757
     MSFT11,513,276+633,611$1,815,757
ALPHABET INC A 1,546,802 +150,059 $1,797,305
     GOOGL1,546,802+150,059$1,797,305
NORFOLK SOUTHER 10,519,313 +1,796,367 $1,535,818
     NSC10,519,313+1,796,367$1,535,818
AON PLC 7,979,334 -464 $1,316,907
     AON7,979,334-464$1,316,907
INTERCONTINEN 15,510,694 +775,569 $1,252,486
     ICE15,510,694+775,569$1,252,486
APPLE INC 4,597,746 +419,267 $1,169,159
     AAPL4,597,746+419,267$1,169,159
JOHN & JOHN COM 8,890,651 +145,195 $1,165,830
     JNJ8,890,651+145,195$1,165,830
MCDONALDS CORP 5,986,319 +239,273 $989,836
     MCD5,986,319+239,273$989,836
PROCTER & GAMBL 8,050,725 +345,112 $885,577
     PG8,050,725+345,112$885,577
ANALOG DEVICES 9,630,194 +1,110,646 $863,345
     ADI9,630,194+1,110,646$863,345
VISA INC 5,239,063 +740,681 $844,116
     V5,239,063+740,681$844,116
BANK OF AMERICA      $807,530
     BAC34,866,575-135,531$740,216
     BAC.PRL53,170+918$67,314
COCA COLA CO 18,078,410 -11,461,512 $799,968
     KO18,078,410-11,461,512$799,968
HONEYWELL INTL 5,945,745 -263,214 $795,480
     HON5,945,745-263,214$795,480
LOWES COS INC 9,192,758 +524,644 $791,035
     LOW9,192,758+524,644$791,035
CSX CORP 12,499,966 +1,075,780 $716,247
     CSX12,499,966+1,075,780$716,247
ALIBABA GRP ADR 3,438,572 -105,349 $668,731
     BABA3,438,572-105,349$668,731
CHINA MOBILE 17,343,648 -1,231,101 $653,333
     CHL17,343,648-1,231,101$653,333
ACCENTURE PLC 3,978,454 -1,179,958 $649,521
     ACN3,978,454-1,179,958$649,521
FISERV INC 6,024,284 +3,729,911 $572,246
     FISV6,024,284+3,729,911$572,246
UNION PAC CORP 3,863,376 +819,865 $544,889
     UNP3,863,376+819,865$544,889
CISCO SYS INC 13,494,008 -11,979,677 $530,447
     CSCO13,494,008-11,979,677$530,447
NETEASE INC 1,593,483 -401,148 $511,443
     NTES1,593,483-401,148$511,443
THERMO FISHER 1,783,737 -2,941 $505,867
     TMO1,783,737-2,941$505,867
PFIZER INC 14,479,577 +2,621,300 $472,611
     PFE14,479,577+2,621,300$472,611
MOTOROLA SOL 3,460,158 +376,215 $459,923
     MSI3,460,158+376,215$459,923
TAIWAN SEMI ADR 9,595,358 -1,370,223 $458,561
     TSM9,595,358-1,370,223$458,561
PROLOGIS INC 5,580,428 +884,202 $448,498
     PLD5,580,428+884,202$448,498
VULCAN MATLS CO 4,106,449 -249,957 $443,783
     VMC4,106,449-249,957$443,783
S&P GLOBAL INC 1,752,739 +10,578 $429,508
     SPGI1,752,739+10,578$429,508
AMERICA MOV ADR 35,815,779 -2,933,325 $421,909
     AMX35,815,779-2,933,325$421,909
BAXTER INTL INC 5,065,582 -1,703,089 $411,274
     BAX5,065,582-1,703,089$411,274
DANAHER CORP DE 2,934,999 +4,007 $406,231
     DHR2,934,999+4,007$406,231
RYANAIR HLD ADR 7,504,758 -114,243 $398,427
     RYAAY7,504,758-114,243$398,427
ROSS STORES INC 4,526,117 +806,374 $393,634
     ROST4,526,117+806,374$393,634
ARMSTRON WORLD 4,857,480 +446,829 $385,780
     AWI4,857,480+446,829$385,780
KIMBERLY CLARK 2,903,904 +105,696 $371,321
     KMB2,903,904+105,696$371,321
INFOSYS TECHADR 43,723,968 +6,863,519 $358,972
     INFY43,723,968+6,863,519$358,972
MONDELEZ INTL 7,026,969 +1,181,374 $351,909
     MDLZ7,026,969+1,181,374$351,909
DOLLAR GENERAL 2,301,256 +112,665 $347,512
     DG2,301,256+112,665$347,512
TEXAS INSTR INC 3,432,281 +27,836 $342,987
     TXN3,432,281+27,836$342,987
TELEKM INDO ADR 17,712,842 -841,625 $340,971
     TLK17,712,842-841,625$340,971
CONOCOPHILLIPS 10,990,703 +2,360,960 $338,511
     COP10,990,703+2,360,960$338,511
SKYWORKS SOLUT 3,726,252 -1,827,692 $333,051
     SWKS3,726,252-1,827,692$333,051
ZOETIS INC 2,797,317 -155,479 $329,214
     ZTS2,797,317-155,479$329,214
STARBUCKS CORP 4,987,400 +4,808,063 $327,869
     SBUX4,987,400+4,808,063$327,869
PUBLIC STORAGE 1,650,757 +1,643,013 $327,855
     PSA1,650,757+1,643,013$327,855
ELECTRONIC ARTS 3,144,548 -1,430,957 $314,988
     EA3,144,548-1,430,957$314,988
IQVIA HOLDINGS 2,851,410 +663,347 $307,550
     IQV2,851,410+663,347$307,550

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 03/31/2020: $54,579,113
At 12/31/2019: $70,017,025

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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