Universe · entity

NATIXIS ADVISORS, LLC

Institutional manager (13F) · CIK 1018331
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $34M
#IssuerValueShares
1NVIDIA CORP$3M19,145,177
2APPLE INC$3M10,842,181
3MICROSOFT CORP$2M5,772,393
4AMAZON$2M9,031,292
5ALPHABET$2M6,014,301
6BROADCOM INC$1M3,956,797
7ALPHABET$1M3,978,240
8META PLATFORMS INC$1M1,990,246
9VANGUARD BD$1M1,904,963
10ISHARES$996k12,706,169
11TAIWAN SEMICONDUCTOR MFG LTD$787k2,330,099
12VISA INC$750k2,482,513
13EXXON MOBIL CORP$746k4,398,416
14LILLY ELI and CO$718k780,730
15TESLA INC$661k1,777,683
16JPMORGAN CHASE and CO$626k2,128,446
17SPDR SERIES TRUST STATE STREET SPD$523k6,827,654
18LINDE PLC SHS$513k1,033,949
19NETFLIX.COM INC$498k5,182,125
20BERKSHIRE HATHAWAY INC DEL$470k979,988
21JOHNSON and JOHNSON$426k1,744,076
22AMPHENOL CORP$385k3,049,174
23DIMENSIONAL ETF$383k11,385,428
24BOEING CO$361k1,812,291
25ISHARES$358k2,880,600
26MERCK and CO INC$357k2,970,290
27CHEVRON CORP$351k1,695,603
28ANALOG DEVICES INC$344k1,081,179
29ROSS STORES INC$343k1,582,863
30NOVARTIS AG$342k2,236,156
31GE AEROSPACE$336k1,183,855
32WALMART INC$332k2,669,021
33BANK AMERICA CORP$331k6,787,791
34MASTERCARD INCORPORATED$331k661,839
35INTERCONTINENTAL EXCHANGE INC$328k2,084,910
36MCDONALDS CORP$325k1,046,267
37COCA COLA CO$321k4,221,612
38ISHARES$320k3,296,398
39ORACLE CORP$316k2,146,493
40EATON CORP PLC SHS$308k861,293
41MICRON TECHNOLOGY INC$302k893,251
42HOME DEPOT INC$297k904,355
43CISCO SYS INC$296k3,820,700
44VANGUARD SCOTTSDALE FDS$292k2,916,172
45RTX CORPORATION$291k1,510,622
46VANGUARD BD$290k4,033,067
47APPLIED MATLS INC$288k842,748
48PROCTER and GAMBLE CO$288k1,990,995
49ABBVIE INC$286k1,313,168
50ISHARES$283k2,915,275
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.