LISIX
Lazard International Strategic Equity Portfolio
LAZARD FUNDS INC

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
60
Top-10 weight
27.21%
Effective holdings ?
52
Crowding ?
365.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ASML Holding NV 43,168 $57.14M 4.12%
2 BANK LEUMI LE-IS 1,848,468 $41.19M 2.97%
3 PIRAEUS BANK SA 4,851,580 $39.99M 2.88%
4 SOC GENERALE SA 544,224 $39.74M 2.86%
5 BANCO SANTANDER SA 3,147,620 $35.62M 2.57%
6 RESONA HOLDINGS 3,180,600 $35.39M 2.55%
7 PHOENIX HOLD/THE 603,568 $32.06M 2.31%
8 LOTTOMATICA GROU 1,061,931 $30.65M 2.21%
9 ABB Ltd. (Registered) ABLZF 374,705 $30.48M 2.20%
10 NATIONAL GRID PL 1,795,867 $30.28M 2.18%
11 DEUTSCHE TELEKOM 779,568 $28.75M 2.07%
12 CIE FINANCI-REG 160,078 $28.52M 2.06%
13 AIA Group Ltd 2,526,200 $28.38M 2.05%
14 ANGLO AMER PLC 655,971 $27.87M 2.01%
15 ENGIE 854,999 $27.57M 1.99%
16 SCHNEIDER ELECTR 100,203 $27.52M 1.98%
17 ARGENX SE 38,292 $27.48M 1.98%
18 LAZARD GOVT MNY MMKT INS 27,368,895 $27.37M 1.97%
19 TOKYO ELECTRON 109,100 $26.68M 1.92%
20 JAPAN POST BANK 1,602,000 $26.36M 1.90%
21 DEUTSCHE BOERSE 88,157 $25.63M 1.85%
22 UNILEVER PLC 448,292 $25.13M 1.81%
23 KEYENCE CORP 70,600 $25.00M 1.80%
24 Compass Group PLC 880,643 $24.47M 1.76%
25 ELEMENT FLEET MA 1,118,094 $24.25M 1.75%
26 SHELL PLC 513,967 $24.03M 1.73%
27 CRH PLC 220,585 $23.19M 1.67%
28 RESONAC HOLDINGS 352,000 $23.00M 1.66%
29 ARCA CONTINENTAL 1,967,100 $22.69M 1.64%
30 SSE PLC 655,963 $22.65M 1.63%
31 TSMC 391,000 $22.04M 1.59%
32 INFORMA PLC 2,186,710 $21.80M 1.57%
33 JAPAN EXCHANGE G 1,779,900 $20.67M 1.49%
34 NIPPON SANSO HOL 562,900 $20.10M 1.45%
35 PAN PACIFIC INTERNATIONAL HOLDINGS LTD 3,206,200 $19.67M 1.42%
36 Bird Construction Income Fund BIRDF 682,027 $19.53M 1.41%
37 RELX PLC 582,630 $19.21M 1.38%
38 COCA-COLA EUROPA 208,590 $19.15M 1.38%
39 BHARTI AIRTEL LIMITED 1,002,594 $19.06M 1.37%
40 HOYA CORP 110,000 $18.97M 1.37%
41 Sartorius Aktiengesellschaft SRT3 77,130 $18.82M 1.36%
42 MTU AERO ENGINES 51,059 $18.28M 1.32%
43 LOTES 275,000 $18.22M 1.31%
44 ORGANO CORP 198,400 $17.86M 1.29%
45 ARCELORMITTAL 339,219 $17.67M 1.27%
46 DAIMLER TRUCK HO 361,645 $17.24M 1.24%
47 BANCA MONTE DEI 1,965,399 $17.12M 1.23%
48 MEITAV INVESTMEN 474,872 $16.67M 1.20%
49 INFICON-REG 127,986 $16.09M 1.16%
50 ICICI PRUDENTIAL ASSET MANAGEMENT CO LTD/INDIA ICICIAM 517,373 $15.48M 1.12%
1 / 2 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.