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Institutional Investment Manager
LAZARD ASSET MANAGEMENT LLC
LAZARD ASSET MANAGEMENT LLC (CIK: 0001207017) incorporated in Delaware, located at 30 Rockefeller Plz, New York, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q2)
Original 13F HR (0001207017-16-000154) filed in 2016.08.15
#
Name
Shares
Value ($)
%
Options
Notes
1 ISHARES TR 435,136 48,983 0.11% PRN
2 CEMEX SAB DE CV NOTE 3.750 3/1 40,820,000 42,095 0.10% PRN
3 ISHARES TR 355,060 40,455 0.09% PRN
4 INTEGRA LIFESCIENCES HLDGS C 24,999,000 38,045 0.09% PRN
5 ISHARES TR 269,537 33,080 0.08% PRN
6 LIGAND PHARMACEUTICALS INC 18,500,000 30,941 0.07% PRN
7 NETSUITE INC 26,500,000 26,085 0.06% PRN
8 AK STL CORP 22,217,000 25,757 0.06% PRN
9 GREEN PLAINS INC 21,711,000 24,329 0.06% PRN
10 ICONIX BRAND GROUP INC 29,750,000 24,209 0.06% PRN
11 MEDICINES CO SR GLBL CV NT 22 20,000,000 23,662 0.05% PRN
12 MERCADOLIBRE INC 18,048,000 22,887 0.05% PRN
13 DEPOMED INC 18,000,000 21,791 0.05% PRN
14 CARRIAGE SERVICES INC 17,924,000 21,139 0.05% PRN
15 GREENBRIER COS INC 18,750,000 20,015 0.05% PRN
16 ALTRA INDL MOTION CORP 17,500,000 19,862 0.05% PRN
17 LGIH 12,750,000 19,826 0.05% PRN
18 STANDARD PAC CORP NEW 18,026,000 19,468 0.04% PRN
19 STARWOOD WAYPOINT RESIDENTL 17,544,000 19,429 0.04% PRN
20 WEATERFORD BERMUDA 17,500,000 19,064 0.04% PRN
21 SHUTTERFLY INC 18,935,000 18,852 0.04% PRN
22 HOLOGIC INC 15,389,000 18,716 0.04% PRN
23 STARWOOD WAYPOINT 4.5 15OCT17 16,500,000 18,232 0.04% PRN
24 AKAMAI TECHNOLOGIES INC 18,156,000 17,940 0.04% PRN
25 MERRIMACK PHARMACEUTICALS IN 15,969,000 17,865 0.04% PRN
26 STARWOOD PPTY TR INC 17,000,000 17,796 0.04% PRN
27 CEMEX SAB DE CV 18,815,000 17,627 0.04% PRN
28 MOLINA HEALTHCARE INC 16,125,000 17,586 0.04% PRN
29 WEBMD HEALTH CORP 13,420,000 17,102 0.04% PRN
30 BOTTOMLINE TECH DEL INC SR CONV NT1.5 17 16,896,000 17,054 0.04% PRN
31 LEXICON PHARMACEUTICALS INC 9,000,000 16,965 0.04% PRN
32 LINKEDIN CORP 17,000,000 16,861 0.04% PRN
33 WORKDAY INC 15,000,000 16,725 0.04% PRN
34 EMERGENT BIOSOLUTIONS 2.875000 01/15/202 14,500,000 16,484 0.04% PRN
35 RYLAND GROUP INC SR NT CV 0.25 19 17,539,000 16,322 0.04% PRN
36 STARWOOD PPTY TR INC SR CV NT 3.75 17 15,983,000 16,192 0.04% PRN
37 AEGEAN MARINE PETE NETWORK I 20,400,000 16,116 0.04% PRN
38 POWERSHARES ETF TR II 852,030 15,677 0.04% PRN
39 TERRAVIA HLDGS INC 29,287,000 15,064 0.03% PRN
40 ALLSCRIPTS HEALTHCARE SOLUTN 14,000,000 14,052 0.03% PRN
41 WRIGHT MED GROUP INC SR CONV NT 2 20 15,038,000 13,816 0.03% PRN
42 THERAVANCE INC 17,373,000 13,811 0.03% PRN
43 PROOFPOINT INC 8,000,000 13,405 0.03% PRN
44 AMTRUST FINL SVCS INC 17,000,000 13,175 0.03% PRN
45 ENCORE CAP GROUP INC 13,000,000 12,796 0.03% PRN
46 TESARO INC 5,000,000 12,534 0.03% PRN
47 TOLL BROS FIN CORP 12,596,000 12,391 0.03% PRN
48 LIBERTY MEDIA CORP DELAWARE 12,000,000 11,977 0.03% PRN
49 WABASH NATL CORP SR NT CV3.375 18 9,529,000 11,929 0.03% PRN
50 PACIRA PHARMACEUTICALS INC 8,000,000 11,895 0.03% PRN
Page 1 of 27
Restatement filing (0001207017-19-000043) filed in 2019.07.29
#
Name
Shares
Value ($)
%
Options
Notes
851 VANGUARD BD INDEX FDS 9,135 770 0.00% PRN
852 REPUBLIC SVCS INC 14,586 748 0.00%
853 COLGATE PALMOLIVE CO 10,181 745 0.00%
854 ITAU UNIBANCO HLDG SA 78,351 739 0.00%
855 TATA MTRS LTD 21,156 733 0.00%
856 JOHNSON & JOHNSON 5,975 724 0.00%
857 WAL-MART STORES INC 9,775 713 0.00%
858 CISCO SYS INC 24,780 710 0.00%
859 TERNIUM SA 37,100 707 0.00%
860 HCA HEALTHCARE INC 9,035 695 0.00%
861 PROCTER AND GAMBLE CO 8,135 688 0.00%
862 EATON VANCE NEW YORK MUN BD 47,500 688 0.00% PRN
863 EATON VANCE N Y MUN BD FD II 48,600 688 0.00% PRN
864 COSTCO WHSL CORP NEW 4,387 688 0.00%
865 CONAGRA BRANDS INC 14,400 688 0.00%
866 BLACKROCK NY MUNI INC QLTY T 45,600 687 0.00% PRN
867 HONEYWELL INTL INC 5,874 683 0.00%
868 BLACKROCK NY MUNICIPAL BOND 42,600 682 0.00% PRN
869 VANGUARD BD INDEX FDS 8,100 682 0.00% PRN
870 PINNACLE WEST 8,408 681 0.00%
871 GILEAD SCIENCES INC 8,163 680 0.00%
872 ROSS STORES INC 12,005 680 0.00%
873 COPART INC 13,820 677 0.00%
874 PFIZER INC 19,206 676 0.00%
875 CISCO SYS INC 23,500 674 0.00%
876 ADEPTUS HEALTH INC CL A 13,000 671 0.00%
877 UNITED TECHNOLOGIES CORP 6,550 671 0.00%
878 MICROSOFT CORP 13,115 671 0.00%
879 MICRON TECHNOLOGY INC 48,400 665 0.00%
880 CISCO SYS INC 22,833 655 0.00%
881 MICROSOFT CORP 12,750 652 0.00%
882 NEXTERA ENERGY INC 4,973 648 0.00%
883 TURKISH INVT FD INC 75,580 646 0.00%
884 MASTERCARD INCORPORATED 7,305 643 0.00%
885 BHP BILLITON PLC 25,265 641 0.00%
886 PFIZER INC 18,225 641 0.00%
887 MEAD JOHNSON NUTRITION CO 6,990 634 0.00%
888 EPR PPTYS 7,749 625 0.00%
889 ASCENA RETAIL GROUP INC COM 89,400 624 0.00%
890 LIGHT & WONDER INC COM 67,900 624 0.00%
891 BRISTOL MYERS SQUIBB CO 8,397 617 0.00%
892 APPLE INC 6,424 614 0.00%
893 INTERNATIONAL GAME TECHNOLOG 32,763 613 0.00%
894 CARRIZO OIL & GAS INC 17,100 613 0.00%
895 MONSANTO CO NEW 5,896 609 0.00%
896 PITNEY BOWES INC 33,868 602 0.00%
897 PRIMERICA INC 10,223 585 0.00%
898 ADVANCE AUTO PARTS INC 3,620 585 0.00%
899 PROCTER AND GAMBLE CO 6,903 584 0.00%
900 ALPHABET INC 830 583 0.00%
Page 18 of 30