Universe · entity

LAZARD ASSET MANAGEMENT LLC

Institutional manager (13F) · CIK 1207017
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $32.7B
#IssuerValueShares
1APPLE INC$2.1B8,235,113
2MICROSOFT CORP$2.0B5,298,695
3NVIDIA CORPORATION$1.8B10,321,287
4AMAZON COM INC$1.6B7,712,017
5AMERICAN TOWER CORP$1.3B7,325,943
6EXELON CORP$1.2B24,620,304
7CROWN CASTLE INC$1.1B13,463,182
8ALPHABET INC$1.0B3,509,020
9TAIWAN SEMICONDUCTOR MANUFAC$997M2,949,128
10ALPHABET INC$987M3,441,182
11CANADIAN NATL RY CO$934M9,077,518
12BROADCOM INC$842M2,721,809
13FERROVIAL SE$830M12,965,547
14CONSOLIDATED EDISON INC$801M7,075,838
15CSX CORP$753M18,333,511
16VISA INC$730M2,414,787
17ELI LILLY & CO$660M718,105
18THERMO FISHER SCIENTIFIC INC$601M1,222,057
19ANALOG DEVICES INC$544M1,708,858
20BANK AMERICA CORP$541M11,090,814
21AMERICA MOVIL SAB DE CV$530M20,807,915
22PETROLEO BRASILEIRO S A$524M25,251,430
23PROCTER & GAMBLE CO$517M3,576,736
24INTERCONTINENTAL EXCHANGE IN$515M3,271,540
25TELEKOMUNIKASI IND$469M25,129,891
26ASML HLDG NV$449M339,642
27ASTRAZENECA PLC$433M2,216,887
28KLA CORP$431M292,532
29SLB LIMITED$404M7,859,902
30AMPHENOL CORP$402M3,178,900
31AON PLC$393M1,217,243
32MERCK & CO INC$391M3,254,331
33DANAHER CORP DEL$385M2,028,965
34VALE S A$377M23,685,915
35META PLATFORMS INC$364M636,999
36INFOSYS LTD$362M26,776,494
37EXXON MOBIL CORP$356M2,095,426
38AMETEK INC$347M1,618,526
39PALO ALTO NETWORKS INC$332M2,073,481
40QUALCOMM INC$327M2,542,547
41LINDE PLC$325M654,947
42WASTE MGMT INC DEL$319M1,386,375
43JOHNSON & JOHNSON$318M1,302,952
44IQVIA HLDGS INC$317M1,858,834
45CHUBB LTD SWITZ$317M971,744
46COCA COLA CO$313M4,112,600
47BOSTON SCIENTIFIC CORP$306M4,880,504
48INTUITIVE SURGICAL INC$299M648,649
49AUTODESK INC$299M1,248,808
50ASE TECHNOLOGY HLDG CO LTD$293M13,530,133
All filings on EDGAR ↗

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