HoldingsChannel.com
Natixis Advisors L.P. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 1,941,105 -3,323 $269,872
     MSFT1,941,105-3,323$269,872
VISA INC 1,330,116 -50,503 $228,793
     V1,330,116-50,503$228,793
AMAZON COM INC 119,929 -4,977 $208,186
     AMZN119,929-4,977$208,186
FACEBOOK 1,127,102 +58,359 $200,715
     FB1,127,102+58,359$200,715
VANGUARD BD (BND) 2,140,358 +43,493 $180,710
     BND2,140,358+43,493$180,710
ORACLE CORP 2,758,636 -129,830 $151,808
     ORCL2,758,636-129,830$151,808
CISCO SYS INC 2,723,217 +2,394 $134,554
     CSCO2,723,217+2,394$134,554
ALPHABET INC CAP STK 110,026 +5,277 $134,357
     GOOGL110,026+5,277$134,357
PROCTER GAMBLE CO 1,072,467 +2,402 $133,394
     PG1,072,467+2,402$133,394
ALIBABA GROUP HLDG LTD 771,377 -35,477 $128,997
     BABA771,377-35,477$128,997
ALPHABET INC CAP STK 98,074 -196 $119,552
     GOOG98,074-196$119,552
APPLE INC 529,450 +56,880 $118,581
     AAPL529,450+56,880$118,581
JPMORGAN CHASE CO 985,547 +49,410 $115,989
     JPM985,547+49,410$115,989
QUALCOMM INC 1,450,048 +92,720 $110,610
     QCOM1,450,048+92,720$110,610
AUTODESK INC 732,832 -39,984 $108,239
     ADSK732,832-39,984$108,239
STARBUCKS CORP 1,161,712 -140,089 $102,718
     SBUX1,161,712-140,089$102,718
HOME DEPOT INC 427,750 +28,529 $99,247
     HD427,750+28,529$99,247
COMCAST CORP 2,198,528 +146,131 $99,109
     CMCSA2,198,528+146,131$99,109
CITIGROUP INC 1,356,590 +53,907 $93,713
     C1,356,590+53,907$93,713
NOVO NORDISK 1,780,172 -68,329 $92,035
     NVO1,780,172-68,329$92,035
COCA COLA CO 1,665,116 +10,207 $90,649
     KO1,665,116+10,207$90,649
NOVARTIS AG 1,027,176 -38,867 $89,261
     NVS1,027,176-38,867$89,261
MEDTRONIC 798,790 +68,739 $86,765
     MDT798,790+68,739$86,765
ISHARES TR (IJJ) 540,988 +18,782 $86,504
     IJJ540,988+18,782$86,504
MONSTER BEVERAGE 1,430,354 -17,447 $83,046
     MNST1,430,354-17,447$83,046
WALT DISNEY CO 577,602 +92,249 $75,273
     DIS577,602+92,249$75,273
ISHARES TR (SCZ) 1,278,834 +66,276 $73,188
     SCZ1,278,834+66,276$73,188
ACCENTURE PLC IRELAND 376,530 -32,462 $72,426
     ACN376,530-32,462$72,426
DEERE CO 427,696 -15,939 $72,144
     DE427,696-15,939$72,144
UNITEDHEALTH GROUP INC 330,605 -48,658 $71,847
     UNH330,605-48,658$71,847
VANGUARD INTL (VSS) 697,159 +48,914 $71,075
     VSS697,159+48,914$71,075
NVIDIA CORP 406,676 +18,032 $70,790
     NVDA406,676+18,032$70,790
Vanguard Mid Cap Growth Index (VOE) 623,894 -14,324 $70,501
     VOE623,894-14,324$70,501
EXPEDITORS INTL WASH INC 934,362 -31,576 $69,414
     EXPD934,362-31,576$69,414
ISHARES TR (EFA) 1,063,866 +64,350 $69,375
     EFA1,063,866+64,350$69,375
BERKSHIRE HATHAWAY B NEW      $69,258
     BRK.B332,941-2,953$69,258
JOHNSON JOHNSON 528,027 -24,277 $68,316
     JNJ528,027-24,277$68,316
Vanguard Small Cap Growth Index (VBK) 365,483 +17,856 $66,533
     VBK365,483+17,856$66,533
MERCK and CO INC 766,058 +13,006 $64,486
     MRK766,058+13,006$64,486
THERMO FISHER SCIENTIFIC 220,175 +6,101 $64,131
     TMO220,175+6,101$64,131
Vanguard Value Index (VTV) 550,556 -103,974 $61,453
     VTV550,556-103,974$61,453
CHEVRON 514,182 +48,089 $60,982
     CVX514,182+48,089$60,982
AMGEN INC 314,953 +11,156 $60,947
     AMGN314,953+11,156$60,947
ATandT INC 1,577,830 -34,324 $59,706
     T1,577,830-34,324$59,706
WELLS FARGO CO NEW 1,170,703 +191,961 $59,050
     WFC1,170,703+191,961$59,050
REGENERON PHARMACEUTICAL 210,392 +3,523 $58,363
     REGN210,392+3,523$58,363
VERIZON COMMNS INC 961,882 +43,005 $58,059
     VZ961,882+43,005$58,059
BANK AMERICA CORP 1,972,103 +217,261 $57,526
     BAC1,972,103+217,261$57,526
CERNER 841,711 -25,055 $57,379
     CERN841,711-25,055$57,379
SEI INVESTMENTS CO 952,554 -51,391 $56,443
     SEIC952,554-51,391$56,443

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.

Size ($ in 1000's)
At 09/30/2019: $12,598,915
At 06/30/2019: $12,244,326

Combined Holding Report Includes:
NATIXIS ADVISORS L.P.
Harris Associates L.P
Loomis Sayles & Company L.P
Vaughan Neslon Investment Management L.P.
AEW Capital Management L.P.
AEW Capital Management L.P.
Delaware Management L.P.
Euclid Advisors
Great Lakes Advisors Inc
Harding Loevner L.P.
Loomis Sayles & Company L.P.
Tocqueville Asset Management L.P.
Vaughan Nelson Investment Managment L.P.
MFS Investment Management L.P.
Natixis Investment Managers L.P.

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

Natixis Advisors L.P. Top Holdings 13F Filings | www.HoldingsChannel.com

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