Universe · entity

Lazard Freres Gestion S.A.S.

Institutional manager (13F) · CIK 1426748
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $5M
#IssuerValueShares
1MICROSOFT/MS$393k1,060,361
2ALPHABET INC A$370k1,287,813
3AMAZON.COM INC$334k1,602,828
4APPLE INC/U$319k1,256,009
5NVIDIA CORP$255k1,460,537
6VISA INC$225k745,683
7RAYTHEON TECH$199k1,032,534
8MOTOROLA SOL$187k430,891
9APPLIED MATLS I$152k444,031
10MEDTRONIC PLC$137k1,580,855
11MERCK & CO INC$136k1,132,358
12ACCENTURE PLC$132k667,031
13ZOETIS INC$124k1,049,307
14COSTCO WHOLE$120k120,863
15PARKER HANNIFIN$110k122,356
16FACEBOOK INC/U$106k184,857
17OTIS WORLDWIDE$103k1,340,964
18S&P GLOBAL INC$93k218,402
19AMPHENOL CORP$87k688,090
20ESTEE LAUDER$80k1,109,265
21BROADCOM INC$72k231,531
22LILLY ELI & CO$71k77,376
23COLGATE PALMO/U$65k766,769
24MORGAN STANLEY$65k394,222
25NIKE INC CL B$64k1,219,185
26KLA CORP$59k40,174
27ECOLAB INC$58k219,570
28ROSS STORES INC$57k262,706
29INTERCONTINEN$56k354,884
30HONEYWELL INTL$54k240,815
31MARRIOTT INTL I$54k164,027
32CHEVRON CORP/U$52k253,459
33MOODY'S CORP$51k117,168
34JPMORGAN CHA/U$50k171,596
35MARTIN MARIETTA$48k81,690
36BECTON DICKIN/U$48k303,247
37MONDELEZ INTL/U$48k825,155
38SPDR S&P 500$46k71,053
39T-MOBIL US INC$46k218,171
40WALT DISNEY CO$43k445,261
41WELLS FARGO CO$43k536,101
42IDEXX LABS CORP$38k67,287
43METTLER INTL$38k29,842
44ALPHABET INC C$25k87,473
45SPOTIFY TECHNOL$20k42,220
46BERKSHR HAT B/U$19k39,467
47BOSTON SCIENT/U$14k217,486
48WATERS CORP$11k38,583
49PROCTER & GAM/U$7k50,500
50BERKSHIRE-HAT A$5k7
All filings on EDGAR ↗

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