LAZARD ASSET MANAGEMENT LLC

CIK
1207017
City
NEW YORK
State / Country
NY

Top Portfolio Positions

1,544 positions · $53,015,579,764 total · as of Mar 31, 2026
Ticker Company Shares Value (USD) % of Portfolio
NVDA
Nvidia Corp
Technology
10,321,287 $1,800,032,452 3.40%
AMZN
Amazon Com Inc
Consumer Cyclical
7,712,017 $1,606,181,779 3.03%
EXC
Exelon Corp
Utilities
24,620,304 $1,206,887,302 2.28%
CCI
Crown Castle Inc.
Real Estate
13,463,182 $1,094,691,328 2.06%
GOOGL
Alphabet Inc.
Communication Services
3,509,020 $1,009,053,790 1.90%
TSM
Taiwan Semiconductor Manufacturing Co Ltd
Technology
2,949,128 $996,657,807 1.88%
CNI
Canadian National Railway Co
Industrials
9,077,518 $932,896,524 1.76%
FER
Ferrovial N.V.
Industrials
12,965,547 $843,408,832 1.59%
AVGO
Broadcom Inc.
Technology
2,721,809 $842,427,102 1.59%
ED
Consolidated Edison Inc
Utilities
7,075,838 $800,843,344 1.51%

Portfolio Trend

41 quarters · across all stocks

Holdings in SCSC

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Shares Held

Position Value (USD)

24 of 24 shown
Report Date Value (USD) Shares
2026-03-31 $1,851,118 50,995
2025-09-30 $2,196,420 49,930
2025-06-30 $1,798,497 43,016
2025-03-31 $1,443,689 42,449
2024-12-31 $1,394,081 29,380
2024-09-30 $647,636 13,484
2024-06-30 $443,144 10,001
2024-03-31 $160,173 3,637
2023-12-31 $151,904 3,835
2023-09-30 $31,734 1,047
2023-06-30 $162,757 5,506
2023-03-31 $167,602 5,506
2022-12-31 $152,674 5,225
2022-09-30 $122,172 4,626
2022-06-30 $144,053 4,626
2022-03-31 $102,143 2,936
2021-12-31 $102,994 2,936
2021-09-30 $93,654 2,692
2021-06-30 $73,784 2,623
2021-03-31 $71,161 2,376
2020-12-31 $62,678 2,376
2020-09-30 $28,594 1,442
2020-06-30 $39,917 1,657
2020-03-31 $52,598 2,459