C000145068 Holdings — Lazard Global Strategic Equity Portfolio

All 56 reported holdings of Lazard Global Strategic Equity Portfolio (C000145068) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp5.33%$615.09K
NVIDIA Corp4.47%$515.93K
Alphabet Inc4.32%$498.67K
Novo Nordisk A/S4.28%$493.55K
Taiwan Semiconductor Manufacturing Co Ltd3.13%$361.41K
IQVIA Holdings Inc3.00%$345.95K
S&P Global Inc2.93%$338.23K
Thermo Fisher Scientific Inc2.82%$325.48K
Marsh & McLennan Cos Inc2.67%$308.15K
State Street Global Advisors2.43%$280.41K
Applied Materials Inc2.42%$278.82K
Relx PLC2.31%$266.67K
Amphenol Corp2.14%$246.50K
Tel Aviv Stock Exchange Ltd2.06%$238.01K
ASML Holding NV2.06%$237.14K
Intercontinental Exchange Inc2.03%$233.77K
Wix.com Ltd1.99%$229.87K
Gerresheimer AG1.87%$216.23K
Broadcom Inc1.83%$210.74K
Accenture PLC1.80%$207.62K
Zoetis Inc1.74%$200.51K
Renesas Electronics Corp1.69%$195.09K
Visa Inc1.69%$194.52K
Synopsys Inc1.67%$193.17K
Nippon Sanso Holdings Corp1.66%$191.50K
BFF Bank SpA1.62%$187.01K
MTU Aero Engines AG1.56%$179.65K
Chubb Ltd1.53%$176.47K
Onto Innovation Inc1.49%$171.84K
FANUC Corp1.48%$170.61K
Toromont Industries Ltd1.45%$167.73K
Trisura Group Ltd1.45%$167.64K
Pernod Ricard SA1.41%$163.14K
Canadian Pacific Kansas City Ltd1.38%$159.59K
Analog Devices Inc1.36%$157.05K
Datadog Inc1.30%$150.30K
Arca Continental SAB de CV1.29%$148.43K
Kadokawa Corp1.25%$143.88K
JD Sports Fashion PLC1.22%$140.25K
Watsco Inc1.06%$122.68K
Ryanair Holdings PLC1.04%$119.67K
Verra Mobility Corp1.04%$119.51K
VAT Group AG1.03%$118.44K
Borregaard ASA1.01%$116.22K
Mitsubishi Electric Corp1.00%$115.65K
Titan Cement International SA1.00%$114.94K
National Bank of Greece SA0.99%$114.44K
UnitedHealth Group Inc0.98%$113.29K
Munters Group AB0.96%$111.05K
BayCurrent Consulting Inc0.93%$107.85K
Take-Two Interactive Software Inc0.92%$105.72K
Zuken Inc0.92%$105.64K
Steadfast Group Ltd0.89%$102.91K
Hensoldt AG0.86%$98.65K
Continental AG0.74%$85.03K
Schott Pharma AG & Co KGaA0.50%$58.23K

C000145068 overview: performance, fees, allocation and SEC filings