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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

LAZARD ASSET MANAGEMENT LLC INSTITUTION : LAZARD ASSET MANAGEMENT LLC
LAZARD ASSET MANAGEMENT LLC Portfolio (reported on 2019-11-14)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
MEDTRONIC PLC    (Common Stock ) MDT 3,058,906,000 28,161,563 5.02%
AON PLC    (Common Stock ) AON 1,668,174,000 8,617,944 2.74%
COCA COLA CO    (Common Stock ) KO 1,537,464,000 28,241,477 2.52%
ALPHABET INC A    (Common Stock ) GOOGL 1,477,425,000 1,209,875 2.42%
NORFOLK SOUTHER    (Common Stock ) NSC 1,419,148,000 7,899,088 2.33%
MICROSOFT CORP    (Common Stock ) MSFT 1,284,675,000 9,240,287 2.11%
CISCO SYS INC    (Common Stock ) CSCO 1,225,886,000 24,810,519 2.01%
INTERCONTINEN    (Common Stock ) ICE 1,127,256,000 12,216,945 1.85%
ACCENTURE PLC    (Common Stock ) ACN 1,036,123,000 5,386,661 1.70%
BANK OF AMERICA    (Common Stock ) BAC 975,533,000 33,443,097 1.60%
NETEASE INC    (CommonStock ADR) NTES 957,803,000 3,598,337 1.57%
HONEYWELL INTL    (Common Stock ) HON 908,373,000 5,368,649 1.49%
ANALOG DEVICES    (Common Stock ) ADI 882,126,000 7,895,182 1.44%
APPLE INC    (Common Stock ) AAPL 856,608,000 3,824,663 1.40%
LOWES COS INC    (Common Stock ) LOW 798,793,000 7,264,404 1.31%
JOHN & JOHN COM    (Common Stock ) JNJ 737,041,000 5,696,725 1.21%
PROCTER & GAMBL    (Common Stock ) PG 735,015,000 5,909,444 1.20%
CSX CORP    (Common Stock ) CSX 636,568,000 9,189,676 1.04%
VULCAN MATLS CO    (Common Stock ) VMC 617,881,000 4,085,444 1.01%
VISA INC    (Common Stock ) V 615,297,000 3,577,106 1.01%
MCDONALDS CORP    (Common Stock ) MCD 611,681,000 2,848,874 1.00%
BAXTER INTL INC    (Common Stock ) BAX 604,496,000 6,910,907 0.99%
TELEKM INDO ADR    (CommonStock ADR) TLK 604,184,000 20,065,913 0.99%
AMERICA MOV ADR    (CommonStock ADR) AMX 584,296,000 39,320,097 0.96%
TAIWAN SEMI-ADR    (CommonStock ADR) TSM 568,007,000 12,220,502 0.93%
ALIBABA GRP ADR    (CommonStock ADR) BABA 548,877,000 3,282,174 0.90%
THERMO FISHER    (Common Stock ) TMO 505,638,000 1,735,984 0.83%
KANSAS CITY SOU    (Common Stock ) KSU 496,236,000 3,730,822 0.81%
MOTOROLA SOL    (Common Stock ) MSI 492,985,000 2,892,953 0.81%
SKYWORKS SOLUT    (Common Stock ) SWKS 492,884,000 6,219,374 0.80%
ALPHABET INC C    (Common Stock ) GOOG 480,292,000 394,006 0.78%
RYANAIR HLD-ADR    (CommonStock ADR) RYAAY 471,713,000 7,106,280 0.77%
INFOSYS TECHADR    (CommonStock ADR) INFY 444,219,000 39,069,580 0.73%
CHEVRON CORP    (Common Stock ) CVX 442,448,000 3,730,597 0.72%
CHINA MOBILE    (CommonStock ADR) CHL 428,969,000 10,361,611 0.70%
APTIV PLC    (Common Stock ) 424,377,000 4,854,477 0.69%
DEERE & CO    (Common Stock ) DE 421,685,000 2,499,917 0.69%
UNION PAC CORP    (Common Stock ) UNP 420,614,000 2,596,721 0.69%
S&P GLOBAL INC    (Common Stock ) SPGI 410,302,000 1,674,842 0.67%
EATON CORP PLC    (Common Stock ) ETN 389,656,000 4,686,210 0.64%
DANAHER CORP DE    (Common Stock ) DHR 379,068,000 2,624,597 0.62%
ARMSTRON WORLD    (Common Stock ) AWI 372,415,000 3,851,251 0.61%
ELANCO ANIMAL H    (Common Stock ) 366,855,000 13,796,821 0.60%
ZOETIS INC    (Common Stock ) ZTS 363,498,000 2,917,569 0.59%
MOBILE TELESYS    (CommonStock ADR) MBT 350,658,000 43,291,158 0.57%
ELECTRONIC ARTS    (Common Stock ) ERTS 344,977,000 3,526,673 0.56%
WALT DISNEY CO    (Common Stock ) DIS 335,084,000 2,571,250 0.55%
PROLOGIS INC    (Common Stock ) PLD 320,279,000 3,758,276 0.52%
RAYTHEON    (Common Stock ) RTN 319,411,000 1,628,076 0.52%
CONOCOPHILLIPS    (Common Stock ) COP 318,271,000 5,585,688 0.52%
ROSS STORES INC    (Common Stock ) ROST 298,514,000 2,717,485 0.49%
HDFC BANK LTD    (CommonStock ADR) HDB 297,681,000 5,217,932 0.48%
INTUITIVE SURG    (Common Stock ) ISRG 296,933,000 549,949 0.48%
ICICI BANK ADR    (CommonStock ADR) IBN 283,166,000 23,248,582 0.46%
COMMERCE BANCSH    (Common Stock ) CBSH 280,393,000 4,623,150 0.46%
PFIZER INC    (Common Stock ) PFE 278,796,000 7,759,499 0.45%
BAIDU INC    (CommonStock ADR) BIDU 277,657,000 2,702,000 0.45%
KIMBERLY CLARK    (Common Stock ) KMB 276,194,000 1,944,351 0.45%
IQVIA HOLDINGS    (Common Stock ) 274,362,000 1,836,683 0.45%
DOLLAR GENERAL    (Common Stock ) DG 266,636,000 1,677,596 0.43%
TEXAS INSTR INC    (Common Stock ) TXN 266,006,000 2,058,244 0.43%
CVS HEALTH CORP    (Common Stock ) CVS 255,495,000 4,051,005 0.41%
INTEL CORP    (Common Stock ) INTC 245,135,000 4,757,194 0.40%
FISERV INC    (Common Stock ) FISV 235,334,000 2,271,784 0.38%
PTC INC    (Common Stock ) PMTC 234,977,000 3,446,445 0.38%
EOG RESOURCES    (Common Stock ) EOG 230,582,000 3,106,764 0.37%
ROCKWELL NEW    (Common Stock ) ROK 226,377,000 1,373,659 0.37%
TERNIUM SA ADR    (CommonStock ADR) TX 226,260,000 11,790,626 0.37%
STRYKER CORP    (Common Stock ) SYK 225,917,000 1,044,465 0.37%
APPLIED MATLS I    (Common Stock ) AMAT 220,112,000 4,411,112 0.36%
NOVARTIS AG ADR    (CommonStock ADR) NVS 216,547,000 2,491,912 0.35%
LABORATORY CORP    (Common Stock ) LH 208,907,000 1,243,500 0.34%
YANDEX NV    (Common Stock ) YNDX 207,921,000 5,938,930 0.34%
MONDELEZ INTL    (Common Stock ) MDLZ 206,465,000 3,732,218 0.33%
HUMANA INC COM    (Common Stock ) HUM 205,473,000 803,669 0.33%
PLDT INC    (CommonStock ADR) 204,850,000 9,311,455 0.33%
SAP AG SPON ADR    (CommonStock ADR) SAP 204,638,000 1,736,141 0.33%
IPG PHOTONICS    (Common Stock ) IPGP 200,924,000 1,481,753 0.33%
AMBEV SA ADR    (CommonStock ADR) ABEV 199,964,000 43,282,560 0.32%
SABRE CORP    (Common Stock ) SABR 188,389,000 8,412,156 0.30%
NVIDIA CORP    (Common Stock ) NVDA 186,829,000 1,073,304 0.30%
BOEING CO    (Common Stock ) BA 182,458,000 479,562 0.29%
CATERPILLAR INC    (Common Stock ) CAT 181,141,000 1,434,105 0.29%
UNILEVER ADR    (CommonStock ADR) UL 179,895,000 2,993,273 0.29%
ANHEUSER-BUS    (CommonStock ADR) BUD 176,634,000 1,856,381 0.29%
ROYAL DUTCH ADR    (CommonStock ADR) RDS.A 175,699,000 2,985,550 0.28%
PRUDENTIAL ADR    (CommonStock ADR) PUK 174,722,000 4,801,382 0.28%
RELX PLC-SP ADR    (CommonStock ADR) 172,982,000 7,292,686 0.28%
JPMORGAN CHASE    (Common Stock ) JPM 171,265,000 1,455,241 0.28%
FIDELITY NATION    (Common Stock ) FIS 170,335,000 1,283,043 0.27%
BANCOLOMBIA ADR    (CommonStock ADR) CIB 163,856,000 3,313,588 0.26%
PEPSICO INC    (Common Stock ) PEP 154,704,000 1,128,404 0.25%
ANTHEM INC    (Common Stock ) ANTM 152,993,000 637,209 0.25%
MASTERCARD INC    (Common Stock ) MA 150,846,000 555,467 0.24%
CREDICORP LTD    (Common Stock ) BAP 149,659,000 717,999 0.24%
SANOFI ADR    (CommonStock ADR) SNY 148,694,000 3,209,475 0.24%
ETRADE FIN GRP    (Common Stock ) ETFC 148,627,000 3,401,878 0.24%
NEW ORIENTAL AD    (CommonStock ADR) EDU 137,699,000 1,243,234 0.22%
AMAZON.COM INC    (Common Stock ) AMZN 136,506,000 78,637 0.22%
VERIZON COMM    (Common Stock ) VZ 136,162,000 2,255,852 0.22%
QUALCOMM INC    (Common Stock ) QCOM 136,119,000 1,784,477 0.22%
PALO ALTO NETWO    (Common Stock ) PANW 132,031,000 647,757 0.21%
COMCAST CL A    (Common Stock ) CMCSA 130,600,000 2,897,113 0.21%
iSHR CORE S&P    (MutFund Eq 4 TL) IVV 128,483,000 430,401 0.21%
SUNCOR ENERGY    (Common Stock ) SU 119,461,000 3,782,841 0.19%
INTUIT    (Common Stock ) INTU 116,951,000 439,770 0.19%
MERCK & CO INC    (Common Stock ) MRK 113,563,000 1,349,065 0.18%
ESTEE LAUDER    (Common Stock ) EL 113,459,000 570,296 0.18%
EBAY INC    (Common Stock ) EBAY 112,317,000 2,881,442 0.18%
AUTODESK INC    (Common Stock ) ADSK 111,503,000 754,931 0.18%
STARBUCKS CORP    (Common Stock ) SBUX 111,439,000 1,260,353 0.18%
ACTIVISION BLIZ    (Common Stock ) ATVI 109,045,000 2,060,581 0.17%
ABB LTD ADR    (CommonStock ADR) ABB 105,269,000 5,351,798 0.17%
ORACLE CORP    (Common Stock ) ORCL 103,251,000 1,876,296 0.16%
INT'L GAME TECH    (Common Stock ) IGT 103,049,000 7,251,926 0.16%
SUMITOMO M ADR    (CommonStock ADR) SMFG 101,802,000 14,883,469 0.16%
WASTE MGMT INC    (Common Stock ) WMI 101,476,000 882,404 0.16%
BRUNSWICK CORP    (Common Stock ) BC 100,010,000 1,918,863 0.16%
SIMON PROPERTY    (Common Stock ) SPG 99,670,000 640,354 0.16%
BCO BRADESC-ADR    (CommonStock ADR) BBD 98,655,000 12,119,895 0.16%
TAPESTRY INC    (Common Stock ) 96,563,000 3,706,917 0.15%
TJX COMPANIES    (Common Stock ) TJX 95,435,000 1,712,158 0.15%
AMER EXPRESS CO    (Common Stock ) AXP 94,879,000 802,167 0.15%
CANADIAN NATL    (Common Stock ) CNI 93,926,000 1,045,257 0.15%
LILLY ELI & CO    (Common Stock ) LLY 92,662,000 828,623 0.15%
STERICYCLE INC    (Common Stock ) SRCL 92,244,000 1,811,211 0.15%
NIELSEN HLD PLC    (Common Stock ) NLSN 90,834,000 4,274,551 0.14%
MCHP 1.625-2/27    (Bond 30/360P2 U) 88,697,000 68,768,000 0.14%
CITIGROUP INC    (Common Stock ) C 87,981,000 1,273,640 0.14%
NIKE INC CL B    (Common Stock ) NKE 85,465,000 909,984 0.14%
KB FINANCIAL GP    (CommonStock ADR) KB 83,702,000 2,343,311 0.13%
ILMN 0-08/15/23    (Bond 30/360P1 U) 83,680,000 75,303,000 0.13%
BLOCK H & R INC    (Common Stock ) HRB 79,904,000 3,382,928 0.13%
MS CHINA A SHAR    (Cl-EndFund Eq 1) CAF 79,863,000 3,903,420 0.13%
TSLA 2.375 3/22    (Bond 30/360P2 U) 79,022,000 77,725,000 0.12%
THE HERSHEY CO    (Common Stock ) HSY 78,617,000 507,248 0.12%
FACEBOOK INC    (Common Stock ) FB 78,613,000 441,451 0.12%
BAC 7.25 12/49    (Preferred Stock) BAC/PL 78,336,000 52,252 0.12%
COGNEX CORP COM    (Common Stock ) CGNX 78,219,000 1,592,100 0.12%
BOSTON SCIENTIF    (Common Stock ) BSX 77,178,000 1,896,759 0.12%
BHP LIMITED ADR    (CommonStock ADR) BHP 76,911,000 1,557,543 0.12%
SPLUNK INC    (Common Stock ) SPLK 76,555,000 649,548 0.12%
INTL BUS MACH    (Common Stock ) IBM 76,007,000 522,685 0.12%
MICROCHIP TECHN    (Common Stock ) MCHP 75,907,000 817,000 0.12%
MEDNAX INC    (Common Stock ) MD 73,512,000 3,249,877 0.12%
QIAGEN NV.    (Common Stock ) 71,884,000 2,180,301 0.11%
COLGATE PALMOL    (Common Stock ) CL 70,590,000 960,305 0.11%
OMNICOM GROUP I    (Common Stock ) OMC 68,635,000 876,583 0.11%
CORELOGIC    (Common Stock ) CLGX 68,389,000 1,478,073 0.11%
3M Co    (Common Stock ) MMM 67,936,000 413,241 0.11%
BRIXMOR PROPERT    (Common Stock ) BRX 65,282,000 3,217,503 0.10%
COGNIZANT TECH    (Common Stock ) CTSH 64,747,000 1,074,405 0.10%
CNOOC LTD ADR    (CommonStock ADR) CEO 64,016,000 420,473 0.10%
BRISTOL MYERS    (Common Stock ) BMY 63,531,000 1,252,883 0.10%
PARKER HANNIFIN    (Common Stock ) PH 63,357,000 350,800 0.10%
TEMP DRAGON FD    (Cl-EndFund Eq 2) TDF 63,253,000 3,531,755 0.10%
PANW 0.75-07/23    (Bond 30/360P2 U) 63,176,000 59,796,000 0.10%
SYSCO CORP    (Common Stock ) SYY 61,834,000 778,774 0.10%
ZTO EXPRESS INC    (CommonStock ADR) 61,424,000 2,879,708 0.10%
WB 1.25-11/22    (Bond30E/360P2 U) 60,706,000 64,587,000 0.09%
F5 NETWORKS    (Common Stock ) FFIV 59,932,000 426,815 0.09%
AKAM 0.125-5/25    (Bond 30/360P2 U) 59,781,000 52,001,000 0.09%
UNITEDHEALTH GR    (Common Stock ) UNH 59,254,000 272,662 0.09%
58.COM INC ADR    (CommonStock ADR) WUBA 58,979,000 1,196,103 0.09%
AUTOZONE INC    (Common Stock ) AZO 58,941,000 54,343 0.09%
SHINHAN FIN ADR    (CommonStock ADR) SHG 58,361,000 1,667,982 0.09%
UNITED TECHNOLO    (Common Stock ) UTX 58,199,000 426,318 0.09%
CBRE GROUP INC    (Common Stock ) CBG 56,046,000 1,057,304 0.09%
AMGEN    (Common Stock ) AMGN 55,964,000 289,211 0.09%
WDAY 0.25-10/22    (Bond 30/360P2 U) 55,842,000 42,437,000 0.09%
TWTR 0.25-06/24    (Bond 30/360P2 U) 55,662,000 52,469,000 0.09%
ADAMS DIVERSIFI    (Cl-EndFund Eq 4) ADX 55,434,000 3,499,654 0.09%
NOW 0-6/1/22    (Bond 30/360P1 U) 54,423,000 28,398,000 0.08%
MCKESSON CORP    (Common Stock ) MCK 53,583,000 392,098 0.08%
PCLN 0.9 9/21    (Bond 30/360P2 U) 53,402,000 45,957,000 0.08%
HENRY SCHEIN    (Common Stock ) HSIC 53,307,000 839,504 0.08%
NXP SEMICONDUC    (Common Stock ) NXPI 52,843,000 484,268 0.08%
LYV 2.5-03/23    (Bond 30/360P2 U) 52,283,000 44,500,000 0.08%
REGIONS FINL CO    (Common Stock ) RF 52,050,000 3,290,188 0.08%
SILICON MOTION    (CommonStock ADR) SIMO 51,986,000 1,470,648 0.08%
MDB 0.75-06/24    (Bond 30/360P2 U) 51,731,000 27,500,000 0.08%
INDIA FUND INC    (Cl-EndFund Eq 1) IFN 51,230,000 2,495,406 0.08%
PS BUSINESS PAR    (Common Stock ) PSB 50,505,000 277,580 0.08%
EQUINOR ASA ADR    (CommonStock ADR) 50,156,000 2,646,775 0.08%
TRIMBLE NAVIGAT    (Common Stock ) TRMB 49,265,000 1,269,400 0.08%
EDISON INTL    (Common Stock ) EIX 48,911,000 648,525 0.08%
UNILEVER NV NY    (CommonStock ADR) UN 47,122,000 785,000 0.07%
LULULEMON ATH    (Common Stock ) LULU 47,081,000 244,544 0.07%
FACTSET RESEARC    (Common Stock ) FDS 47,033,000 193,579 0.07%
COCA-COLA EUROP    (Common Stock ) 46,497,000 838,573 0.07%
J2 GLOBAL INC    (Common Stock ) JCOM 46,097,000 507,567 0.07%
PACWEST BANCORP    (Common Stock ) PACW 45,807,000 1,260,512 0.07%
AT&T INC    (Common Stock ) T 45,481,000 1,201,991 0.07%
ISH CORE US AGG    (MutFund Fi12 TL) AGG 45,388,000 401,062 0.07%
MARCUS CORP COM    (Common Stock ) MCS 45,150,000 1,219,960 0.07%
MELI 2-8/15/28    (Bond 30/360P2 U) 44,877,000 30,467,000 0.07%
iSHR CORE SP SC    (MutFund Eq 4 TL) IJR 44,527,000 572,043 0.07%
CARTER HOLDINGS    (Common Stock ) CRI 44,220,000 484,826 0.07%
DARDEN RESTAURA    (Common Stock ) DRI 43,524,000 368,176 0.07%
iSHR NATL AMT    (MutFund Fi 4 TL) MUB 43,281,000 379,333 0.07%
1 2 3 4 5 6 7 8 Next >Full Portfolio View
Total Value As 2019-09-30: 60,851,205,000 SEC FILING
* Portfolios do not reflect changes after reporting
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