StockScan > Holders > Lazard Asset Management

Lazard Asset Management's Portfolio and 13F Filing

Value: $65.8B
Website:
CIK: 0001207017
Phone: 212-632-1890
Address: 30 Rockefeller Plz, New York, NY (10112)
Latest 13F Filing: 2020-10-01
Lazard Asset Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Microsoft Corporation MSFT $255.02 N/A 12,478,258 $3,182,205,355 4.84%
2 Medtronic plc. Ordinary Shares MDT $79.62 N/A 24,414,951 $1,943,918,399 2.95%
3 Norfolk Southern Corporation NSC $254.07 N/A 7,529,427 $1,913,001,518 2.91%
4 Johnson & Johnson JNJ $178.88 N/A 9,941,564 $1,778,346,968 2.70%
5 Lowe's Companies, Inc. LOW $214.84 N/A 7,909,526 $1,699,282,566 2.58%
6 Intercontinental Exchange Inc. ICE $109.25 N/A 15,475,628 $1,690,712,359 2.57%
7 McDonald's Corporation MCD $273.40 N/A 5,950,457 $1,626,854,944 2.47%
8 Analog Devices, Inc. ADI $168.63 N/A 9,296,463 $1,567,662,556 2.38%
9 Honeywell International Inc. HON $219.08 N/A 6,127,251 $1,342,358,149 2.04%
10 ConocoPhillips COP $122.18 N/A 10,962,706 $1,339,423,419 2.04%
11 The Procter Gamble Company PG $150.61 N/A 8,403,168 $1,265,601,132 1.92%
12 Accenture plc Class A Ordinary ACN $300.13 N/A 4,194,163 $1,258,794,141 1.91%
13 Thermo Fisher Scientific Inc TMO $563.00 N/A 2,084,014 $1,173,299,882 1.78%
14 Bank of America Corporation BAC $36.08 N/A 29,897,704 $1,078,709,160 1.64%
15 Visa Inc. V $217.66 N/A 4,869,130 $1,059,814,836 1.61%
16 Coca-Cola Company (The) KO $64.35 N/A 16,012,389 $1,030,397,232 1.57%
17 Infosys Limited American Deposi INFY $20.19 N/A 46,354,610 $935,899,576 1.42%
18 Pfizer, Inc. PFE $50.91 N/A 16,719,151 $851,171,977 1.29%
19 Danaher Corporation DHR $274.23 N/A 3,070,270 $841,960,142 1.28%
20 Taiwan Semiconductor Manufactur TSM $81.50 N/A 9,524,527 $776,248,951 1.18%