13F Filings for Lazard Freres Gestion S.A.S. (CIK: 1426748)
View the most recent portfolio holdings disclosed by Lazard Freres Gestion S.A.S. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
MSFT - MICROSOFT/MS(Class: Microsoft Corp CFD MS) | 1.02M | $505.45K | 10.56% | Increased | 52.16K (5.0%, $143.57K) |
AMZN - AMAZON.COM INC(Class: AMAZON.COM INC) | 1.46M | $320.70K | 6.70% | Increased | 107.65K (7.0%, $63.06K) |
AAPL - APPLE INC/U(Class: Apple Inc) | 1.23M | $252.21K | 5.27% | Increased | 190.30K (18.0%, $21.42K) |
GOOGL - ALPHABET INC A(Class: ALPHABET INC-CL A) | 1.41M | $249.04K | 5.20% | Decreased | 94.82K (6.0%, $15.85K) |
NVDA - NVIDIA CORP(Class: NVIDIA CORP) | 0 | $232.61K | 4.86% | N/A | - |
V - VISA INC(Class: VISA INC-CLASS A SHARES) | 630.84K | $223.98K | 4.68% | Decreased | 20.40K (3.0%, $4.25K) |
ACN - ACCENTURE PLC(Class: ACCENTURE PLC-CL A) | 576.70K | $172.37K | 3.60% | Increased | 33.17K (6.0%, $2.77K) |
RTX - RAYTHEON TECH(Class: RTX CORP) | 1.14M | $166.11K | 3.47% | Increased | 165.16K (16.0%, $37.30K) |
ZTS - ZOETIS INC(Class: ZOETIS INC) | 1.04M | $161.97K | 3.38% | Increased | 76.14K (7.0%, $3.50K) |
MDT - MEDTRONIC PLC(Class: MEDTRONIC PLC) | 1.44M | $125.46K | 2.62% | Increased | 58.14K (4.0%, $1.35K) |
META - FACEBOOK INC/U(Class: Facebook Inc - A - Unmanaged) | 169.13K | $124.83K | 2.61% | Increased | 17.24K (11.0%, $37.29K) |
MSI - MOTOROLA SOL(Class: MOTOROLA SOLUTIONS INC) | 287.67K | $120.95K | 2.53% | Increased | 58.25K (25.0%, $20.51K) |
AMAT - APPLIED MATLS I(Class: APPLIED MATERIALS INC) | 571.62K | $104.64K | 2.19% | Increased | 79.04K (16.0%, $33.16K) |
MRK - MERCK CO/U(Class: Merck Co Inc) | 0 | $92.13K | 1.92% | N/A | - |
APH - AMPHENOL CORP(Class: AMPHENOL CORP-CL A) | 918.65K | $90.72K | 1.89% | Decreased | 67.80K (6.0%, $26.02K) |
OTIS - OTIS WORLDWIDE(Class: OTIS WORLDWIDE CORP) | 913.75K | $90.48K | 1.89% | Increased | 133.47K (17.0%, $9.96K) |
BDX - BECTON DICKIN/U(Class: Becton Dickinson Co) | 514.11K | $88.56K | 1.85% | Decreased | 101.45K (16.0%, $52.45K) |
PH - PARKER HANNIFIN(Class: PARKER HANNIFIN CORP) | 0 | $87.82K | 1.83% | N/A | - |
ECL - ECOLAB INC(Class: ECOLAB INC) | 290.40K | $78.25K | 1.63% | Decreased | 22.91K (7.0%, $1.19K) |
ICE - INTERCONTINEN(Class: INTERCONTINENTAL EXCHANGE IN) | 424.77K | $77.93K | 1.63% | Increased | 10.03K (2.0%, $6.39K) |
COST - COSTCO WHOLE(Class: COSTCO WHOLESALE CORP) | 76.86K | $76.09K | 1.59% | Increased | 25.43K (49.0%, $27.45K) |
EL - ESTEE LAUDER(Class: ESTEE LAUDER COMPANIES-CL A) | 0 | $66.66K | 1.39% | N/A | - |
KLAC - KLA CORP(Class: KLA CORP) | 74.14K | $66.41K | 1.39% | Decreased | 873 (1.0%, $15.42K) |
DIS - WALT DISNEY CO(Class: WALT DISNEY CO/THE) | 505K | $62.62K | 1.31% | Decreased | 87.19K (14.0%, $4.18K) |
CL - COLGATE PALMO/U(Class: Colgate Palmolive Co) | 673.45K | $61.22K | 1.28% | Increased | 212.23K (46.0%, $18K) |