SUSRX Holdings — Lazard US Sustainable Equity Portfolio

All 50 reported holdings of Lazard US Sustainable Equity Portfolio (SUSRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp8.98%$830.18K
Apple Inc6.22%$574.27K
Visa Inc5.10%$470.80K
Fixed Income Clearing Corp4.00%$370.00K
Analog Devices Inc3.81%$352.03K
Intercontinental Exchange Inc3.78%$349.69K
Charles Schwab Corp/The3.57%$329.47K
Broadcom Inc3.48%$321.41K
Boston Scientific Corp3.37%$310.95K
Home Depot Inc/The3.14%$290.38K
Procter & Gamble Co/The2.66%$245.35K
S&P Global Inc2.55%$235.70K
Waste Management Inc2.53%$233.63K
Accenture PLC2.26%$209.22K
Danaher Corp2.25%$208.01K
Trane Technologies PLC2.24%$207.33K
Deere & Co2.11%$194.75K
Commerce Bancshares Inc/MO1.92%$177.25K
Eli Lilly & Co1.84%$169.94K
Zoetis Inc1.80%$166.24K
Amphenol Corp1.78%$164.91K
Linde PLC1.69%$155.77K
Cadence Design Systems Inc1.66%$153.77K
Chubb Ltd1.51%$139.65K
American Express Co1.51%$139.08K
Nordson Corp1.45%$133.55K
Merck & Co Inc1.36%$125.86K
CBRE Group Inc1.35%$124.85K
Applied Materials Inc1.26%$116.07K
Marvell Technology Inc1.23%$113.47K
QUALCOMM Inc1.21%$111.96K
CyberArk Software Ltd1.21%$111.89K
Thermo Fisher Scientific Inc1.18%$109.47K
Salesforce Inc1.16%$106.89K
Medtronic PLC1.15%$106.26K
Watts Water Technologies Inc1.14%$105.00K
Sherwin-Williams Co/The1.13%$104.72K
Xylem Inc/NY1.11%$102.45K
Old Dominion Freight Line Inc1.10%$102.09K
Carlisle Cos Inc1.06%$97.83K
UnitedHealth Group Inc1.03%$95.46K
Starbucks Corp0.98%$90.99K
Avery Dennison Corp0.95%$87.91K
Rockwell Automation Inc0.87%$80.39K
MSA Safety Inc0.66%$61.32K
United Rentals Inc0.64%$58.77K
Vertex Pharmaceuticals Inc0.53%$48.97K
NVIDIA Corp0.33%$30.49K
State Street Global Advisors0.24%$22.08K
Adobe Inc0.21%$19.34K

SUSRX overview: performance, fees, allocation and SEC filings