
Entity | Amount | Change
12/31/2022 to 03/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
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3,537,073 | +253,232 | $1,019,738 |
MSFT | 3,537,073 | +253,232 | $1,019,738 |
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4,045,082 | +744,729 | $667,034 |
AAPL | 4,045,082 | +744,729 | $667,034 |
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1,870,774 | +50,250 | $519,645 |
NVDA | 1,870,774 | +50,250 | $519,645 |
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4,695,942 | +1,140,000 | $485,044 |
AMZN | 4,695,942 | +1,140,000 | $485,044 |
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1,994,595 | +92,515 | $449,702 |
V | 1,994,595 | +92,515 | $449,702 |
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3,453,556 | +321,716 | $358,237 |
GOOGL | 3,453,556 | +321,716 | $358,237 |
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1,557,735 | +113,287 | $330,146 |
META | 1,557,735 | +113,287 | $330,146 |
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2,580,613 | -73,692 | $281,906 |
VSS | 2,580,613 | -73,692 | $281,906 |
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4,371,248 | +480,064 | $260,133 |
SCZ | 4,371,248 | +480,064 | $260,133 |
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1,749,252 | +889,191 | $241,589 |
VTV | 1,749,252 | +889,191 | $241,589 |
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1,505,604 | +47,277 | $239,602 |
NVO | 1,505,604 | +47,277 | $239,602 |
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1,172,952 | +239,814 | $234,333 |
CRM | 1,172,952 | +239,814 | $234,333 |
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494,884 | -28,246 | $233,878 |
UNH | 494,884 | -28,246 | $233,878 |
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1,107,378 | +560,733 | $229,737 |
TSLA | 1,107,378 | +560,733 | $229,737 |
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2,190,707 | +55,884 | $227,833 |
GOOG | 2,190,707 | +55,884 | $227,833 |
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2,234,465 | -4,885 | $207,626 |
ORCL | 2,234,465 | -4,885 | $207,626 |
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982,583 | +87,403 | $207,246 |
VO | 982,583 | +87,403 | $207,246 |
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954,635 | +48,606 | $202,793 |
BA | 954,635 | +48,606 | $202,793 |
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812,525 | -105,377 | $202,677 |
VUG | 812,525 | -105,377 | $202,677 |
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579,793 | +10,211 | $200,307 |
NFLX | 579,793 | +10,211 | $200,307 |
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1,521,535 | +80,126 | $198,271 |
JPM | 1,521,535 | +80,126 | $198,271 |
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1,236,353 | -168,967 | $191,635 |
JNJ | 1,236,353 | -168,967 | $191,635 |
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3,993,675 | +2,509,030 | $180,395 |
VEA | 3,993,675 | +2,509,030 | $180,395 |
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493,756 | -803 | $169,566 |
LLY | 493,756 | -803 | $169,566 |
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1,137,748 | +61,435 | $169,172 |
PG | 1,137,748 | +61,435 | $169,172 |
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903,606 | +48,777 | $164,727 |
PEP | 903,606 | +48,777 | $164,727 |
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1,009,017 | +7,447 | $164,632 |
CVX | 1,009,017 | +7,447 | $164,632 |
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278,444 | +27,213 | $160,487 |
TMO | 278,444 | +27,213 | $160,487 |
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384,697 | +160,210 | $157,491 |
SPY | 384,697 | +160,210 | $157,491 |
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4,035,929 | +48,367 | $153,002 |
CMCSA | 4,035,929 | +48,367 | $153,002 |
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516,547 | -47,130 | $152,443 |
HD | 516,547 | -47,130 | $152,443 |
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$151,373 | ||
BRK.B | 490,244 | +57,674 | $151,373 |
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471,653 | +15,825 | $148,707 |
AON | 471,653 | +15,825 | $148,707 |
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518,003 | -46,293 | $148,050 |
ACN | 518,003 | -46,293 | $148,050 |
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462,988 | -4,344 | $145,874 |
VRTX | 462,988 | -4,344 | $145,874 |
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404,788 | +50,044 | $143,877 |
LIN | 404,788 | +50,044 | $143,877 |
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286,979 | +15,687 | $142,591 |
COST | 286,979 | +15,687 | $142,591 |
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366,955 | +10,943 | $141,413 |
ADBE | 366,955 | +10,943 | $141,413 |
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1,508,401 | +179,523 | $140,311 |
TSM | 1,508,401 | +179,523 | $140,311 |
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381,981 | +41,862 | $138,816 |
MA | 381,981 | +41,862 | $138,816 |
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1,300,672 | +24,185 | $138,378 |
MRK | 1,300,672 | +24,185 | $138,378 |
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546,773 | +53,873 | $137,809 |
DHR | 546,773 | +53,873 | $137,809 |
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2,621,041 | +150,739 | $137,015 |
CSCO | 2,621,041 | +150,739 | $137,015 |
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1,298,886 | +573 | $128,862 |
COP | 1,298,886 | +573 | $128,862 |
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1,007,008 | +74,278 | $125,645 |
PLD | 1,007,008 | +74,278 | $125,645 |
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553,500 | -25,828 | $124,410 |
SHW | 553,500 | -25,828 | $124,410 |
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659,740 | +46,737 | $122,718 |
TXN | 659,740 | +46,737 | $122,718 |
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1,211,877 | +127,918 | $121,345 |
DIS | 1,211,877 | +127,918 | $121,345 |
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271,948 | +18,817 | $121,243 |
INTU | 271,948 | +18,817 | $121,243 |
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1,149,275 | -17,812 | $119,674 |
SBUX | 1,149,275 | -17,812 | $119,674 |
See Full List: All Stocks Held By Natixis Advisors L.P.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Natixis Advisors L.P.
![]() At 03/31/2023: $29,058,307 At 12/31/2022: $26,453,285 Combined Holding Report Includes:
Natixis Advisors L.P. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Natixis Advisors L.P. 13F filings. Link to 13F filings: SEC filings |