HoldingsChannel.com
Natixis Advisors L.P. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 2,163,993 -1,127 $440,395
     MSFT2,163,993-1,127$440,395
AMAZON COM INC 151,909 +9,727 $419,090
     AMZN151,909+9,727$419,090
FACEBOOK INC 1,329,137 +79,125 $301,806
     FB1,329,137+79,125$301,806
VISA INC 1,430,150 +108,866 $276,262
     V1,430,150+108,866$276,262
APPLE INC 673,552 +40,608 $245,711
     AAPL673,552+40,608$245,711
VANGUARD BD (BND) 2,112,854 +290,979 $186,650
     BND2,112,854+290,979$186,650
AUTODESK INC 750,229 +26,985 $179,447
     ADSK750,229+26,985$179,447
ALPHABET INC CAP 123,129 +9,076 $174,603
     GOOGL123,129+9,076$174,603
iShares (EFV) 4,227,056 +3,998,145 $168,955
     EFV4,227,056+3,998,145$168,955
ALIBABA GROUP HLDG LTD 747,759 +12,191 $161,292
     BABA747,759+12,191$161,292
NVIDIA CORPORATION 403,008 +6,803 $153,107
     NVDA403,008+6,803$153,107
ORACLE CORP 2,766,090 -29,416 $152,881
     ORCL2,766,090-29,416$152,881
ALPHABET INC CAP 106,653 +4,351 $150,765
     GOOG106,653+4,351$150,765
UNITEDHEALTH GROUP INC 474,963 +92,394 $140,090
     UNH474,963+92,394$140,090
SALESFORCE COM INC 746,163 +234,480 $139,779
     CRM746,163+234,480$139,779
CISCO SYS INC 2,692,444 +121,452 $125,576
     CSCO2,692,444+121,452$125,576
REGENERON PHARMACEUTICALS 194,508 -14,786 $121,305
     REGN194,508-14,786$121,305
HOME DEPOT INC 428,650 +16,586 $107,381
     HD428,650+16,586$107,381
COMCAST CORP 2,732,702 +201,445 $106,520
     CMCSA2,732,702+201,445$106,520
BOEING CO 574,648 +424,429 $105,333
     BA574,648+424,429$105,333
ACCENTURE PLC IRELAND SHS 479,366 +72,532 $102,929
     ACN479,366+72,532$102,929
JOHNSON and JOHNSON 730,698 -139,185 $102,758
     JNJ730,698-139,185$102,758
QUALCOMM INC 1,115,910 +10,982 $101,782
     QCOM1,115,910+10,982$101,782
NOVARTIS AG 1,162,754 -51,554 $101,554
     NVS1,162,754-51,554$101,554
JPMORGAN CHASE and CO 1,033,191 -60,968 $97,182
     JPM1,033,191-60,968$97,182
MONSTER BEVERAGE CORP 1,381,284 +11,235 $95,751
     MNST1,381,284+11,235$95,751
THERMO FISHER SCIENTIFIC INC 261,113 +29,478 $94,612
     TMO261,113+29,478$94,612
DEERE and CO 551,288 +134,355 $86,635
     DE551,288+134,355$86,635
VANGUARD BD (VSS) 861,360 +118,962 $83,225
     VSS861,360+118,962$83,225
VANGUARD BD (VOE) 857,146 -565,634 $82,028
     VOE857,146-565,634$82,028
VERIZON COMMUNICATIONS INC 1,474,182 +181,502 $81,271
     VZ1,474,182+181,502$81,271
DISNEY WALT CO COM DISNEY 702,175 +154,632 $78,299
     DIS702,175+154,632$78,299
UNION PAC CORP 456,825 +78,685 $77,235
     UNP456,825+78,685$77,235
TAIWAN SEMICONDUCTOR MFG LTD 1,318,830 +191,630 $74,870
     TSM1,318,830+191,630$74,870
MASTERCARD INCORPORATED 251,924 +35,182 $74,494
     MA251,924+35,182$74,494
MEDTRONIC 788,030 +17,931 $72,262
     MDT788,030+17,931$72,262
TEXAS INSTRS INC 556,134 +97,057 $70,612
     TXN556,134+97,057$70,612
NOVO NORDISK 1,073,997 -439,625 $70,325
     NVO1,073,997-439,625$70,325
EXPEDITORS INTL WASH INC 907,831 +13,266 $69,031
     EXPD907,831+13,266$69,031
CITIGROUP INC 1,343,012 +63,165 $68,629
     C1,343,012+63,165$68,629
ADOBE INC 156,086 +11,482 $67,946
     ADBE156,086+11,482$67,946
STARBUCKS CORP 891,713 +27,868 $65,621
     SBUX891,713+27,868$65,621
PROCTER and GAMBLE CO 531,957 -250,631 $63,606
     PG531,957-250,631$63,606
iShares (SCZ) 1,177,595 -437,656 $63,143
     SCZ1,177,595-437,656$63,143
INTEL CORP 1,053,314 +160,840 $63,019
     INTC1,053,314+160,840$63,019
ROPER TECHNOLOGIES INC 160,235 +43,194 $62,213
     ROP160,235+43,194$62,213
ABBOTT LAB 677,777 +125,952 $61,969
     ABT677,777+125,952$61,969
VANGUARD BD (VBK) 307,758 -111,475 $61,428
     VBK307,758-111,475$61,428
PAYPAL HLDGS INC 350,407 +21,596 $61,051
     PYPL350,407+21,596$61,051
ABBVIE INC 618,208 +54,980 $60,696
     ABBV618,208+54,980$60,696

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 06/30/2020: $15,067,824
At 03/31/2020: $12,270,695

Combined Holding Report Includes:
Natixis Advisors L.P.
Harris Associates L.P.
Loomis Sayles & Company L.P.
Vaughan Nelson Investment 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 Investment 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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