StockScan > Holders > Lazard Asset Management

Lazard Asset Management's Portfolio and 13F Filing

Value: $72.9B
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
141 W.W. Grainger, Inc. GWW $958.94 N/A 85,766 $82,244,448 0.11%
142 F5 Networks, Inc. FFIV $171.41 N/A 478,989 $82,101,110 0.11%
143 Progressive Corporation (The) PGR $215.58 N/A 379,580 $81,827,959 0.11%
144 Costco Wholesale Corporation COST $784.08 N/A 103,216 $80,929,085 0.11%
145 Cognex Corporation CGNX $46.40 N/A 1,674,337 $77,692,920 0.11%
146 Marathon Petroleum Corporation MPC $178.76 N/A 432,619 $77,334,972 0.11%
147 Lockheed Martin Corporation LMT $468.81 N/A 162,922 $76,379,463 0.10%
148 Morningstar, Inc. MORN $298.97 N/A 254,364 $76,047,205 0.10%
149 NetEase, Inc. - American Deposi NTES $98.29 N/A 742,952 $73,024,752 0.10%
150 Cognizant Technology Solutions CTSH $66.96 N/A 1,071,760 $71,766,121 0.10%
151 Amgen Inc. AMGN $310.70 N/A 230,555 $71,633,439 0.10%
152 Adams Diversified Equity Fund I ADX $19.69 N/A 3,582,454 $70,538,519 0.10%
153 ICON plc - Ordinary Shares ICLR $317.24 N/A 220,608 $69,985,682 0.10%
154 TJX Companies, Inc. (The) TJX $98.73 N/A 692,686 $68,388,889 0.09%
155 Parsons Corporation PSN $77.76 N/A 876,445 $68,152,363 0.09%
156 Trip Com Group Limited TCOM $53.34 N/A 1,275,072 $68,005,965 0.09%
157 HCA Healthcare, Inc. HCA $325.61 N/A 201,012 $65,450,512 0.09%
158 General American Investors, Inc GAM $47.65 N/A 1,296,011 $61,754,924 0.08%
159 Micron Technology, Inc. MU $121.02 N/A 500,216 $60,534,790 0.08%
160 Innospec Inc. IOSP $131.21 N/A 453,399 $59,488,216 0.08%