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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 (2016Q3)
Original 13F HR (0001207017-16-000159) filed in 2016.11.14
#
Name
Shares
Value ($)
%
Options
Notes
1 ALPHABET INC 1,430,101 1,149,887 2.50%
2 AON PLC 10,128,427 1,139,346 2.48%
3 P T TELEKOMUNIKASI INDONESIA 15,215,553 1,005,443 2.19%
4 BAIDU INC 5,463,816 994,797 2.17%
5 CISCO SYS INC 31,288,149 992,460 2.16%
6 NETEASE INC 3,985,335 959,589 2.09%
7 CHINA MOBILE LIMITED 15,434,296 949,517 2.07%
8 ZOETIS INC 17,485,149 909,402 1.98%
9 PROCTER AND GAMBLE CO 9,666,690 867,585 1.89%
10 PFIZER INC 24,054,519 814,726 1.77%
11 TAIWAN SEMICONDUCTOR MFG LTD 26,161,880 800,291 1.74%
12 MOLSON COORS BREWING CO 6,916,719 759,455 1.65%
13 TEVA PHARMACEUTICAL INDS LTD 15,110,756 695,245 1.51%
14 CSX CORP 22,791,358 695,136 1.51%
15 ALLERGAN PLC 2,988,910 688,375 1.50%
16 MICROSOFT CORP 11,792,335 679,238 1.48%
17 EBAY INC 20,037,328 659,228 1.44%
18 HONEYWELL INTL INC 5,545,103 646,503 1.41%
19 WALGREENS BOOTS ALLIANCE INC 7,432,595 599,215 1.30%
20 NORFOLK SOUTHERN CORP 6,098,862 591,955 1.29%
21 ROCKWELL AUTOMATION INC 4,629,040 566,316 1.23%
22 AMBEV SA 85,763,112 522,297 1.14%
23 SKYWORKS SOLUTIONS INC 6,445,982 490,797 1.07%
24 APPLE INC 4,136,068 467,582 1.02%
25 BANK AMER CORP 29,708,926 464,944 1.01%
26 DELPHI AUTOMOTIVE PLC 6,476,209 461,883 1.01%
27 YPF SOCIEDAD ANONIMA 25,051,440 456,437 0.99%
28 UNION PAC CORP 4,665,518 455,027 0.99%
29 AMERICA MOVIL SAB DE CV 39,075,535 447,024 0.97%
30 MOBILE TELESYSTEMS PJSC 56,825,928 433,581 0.94%
31 VISA INC 5,061,037 418,547 0.91%
32 UNITED TECHNOLOGIES CORP 4,032,186 409,670 0.89%
33 COPART INC 7,570,061 405,452 0.88%
34 NXP SEMICONDUCTORS N V 3,905,549 398,405 0.87%
35 MOTOROLA SOLUTIONS INC 5,129,897 391,308 0.85%
36 MADISON SQUARE GARDEN CO NEW 2,291,802 388,254 0.85%
37 JOHNSON CTLS INTL PLC 8,148,541 379,151 0.83%
38 QUINTILES IMS HOLDINGS INC 4,602,900 373,111 0.81%
39 AT&T INC 8,823,438 358,319 0.78%
40 CROWN HOLDINGS INC 6,247,260 356,656 0.78%
41 ALPHABET INC 452,313 351,578 0.77%
42 ADVANCE AUTO PARTS INC 2,279,996 339,993 0.74%
43 EATON CORP PLC 5,094,649 334,769 0.73%
44 INTERCONTINENTAL EXCHANGE IN 1,233,568 332,273 0.72%
45 APPLIED MATLS INC 10,742,492 323,886 0.71%
46 SCHLUMBERGER LTD 3,981,943 313,140 0.68%
47 PLDT INC 8,778,194 313,118 0.68%
48 SCHWAB CHARLES CORP 9,909,108 312,830 0.68%
49 GENESEE AND WYOMING INC INC CL A 4,299,680 296,462 0.65%
50 STRYKER CORP 2,520,147 293,370 0.64%
Page 1 of 25
Restatement filing (0001207017-19-000045) filed in 2019.08.07
#
Name
Shares
Value ($)
%
Options
Notes
51 ELECTRONICS FOR IMAGING INC 13,815,000 15,317 0.03% PRN
52 ICONIX BRAND GROUP INC 17,500,000 15,181 0.03% PRN
53 SPDR SERIES TRUST 492,395 15,150 0.03% PRN
54 NAVISTAR INTL CORP NEW SR SB CONV NT 19 16,000,000 15,010 0.03% PRN
55 ENCORE CAP GROUP INC 14,800,000 14,726 0.03% PRN
56 BOTTOMLINE TECH DEL INC SR CONV NT1.5 17 14,000,000 14,411 0.03% PRN
57 THERAVANCE INC NOTE 2.125 1/1 16,373,000 13,794 0.03% PRN
58 IRONWOOD PHARMACEUTICALS INC DBCV 2.250 6/1 11,500,000 13,764 0.03% PRN
59 PACIRA PHARMACEUTICALS INC 9,000,000 13,618 0.03% PRN
60 HEALTHWAYS INC 9,269,000 13,492 0.03% PRN
61 FOREST CITY ENTERPRISES INC NOTE 3.625 8/1 11,391,000 12,601 0.03% PRN
62 WABASH NATL CORP SR NT CV3.375 18 9,308,000 12,484 0.02% PRN
63 M/I HOMES INC 11,235,000 12,126 0.02% PRN
64 MERITAGE HOMES CORP 12,034,000 12,041 0.02% PRN
65 BLUCORA INC 12,500,000 11,984 0.02% PRN
66 TTM TECHNOLOGIES INC 9,000,000 11,947 0.02% PRN
67 MOLINA HEALTHCARE INC 9,821,000 11,674 0.02% PRN
68 PDL BIOPHARMA INC 11,894,000 11,611 0.02% PRN
69 CHENIERE ENERGY INC 17,500,000 11,189 0.02% PRN
70 LIBERTY INTERACTIVE LLC 10,000,000 10,612 0.02% PRN
71 ALLSCRIPTS HEALTHCARE SOLUTN 10,000,000 10,287 0.02% PRN
72 EZCORP INC 10,000,000 9,893 0.02% PRN
73 VANECK VECTORS ETF TR 338,579 9,795 0.02% PRN
74 NUANCE COMMUNICATIONS INC SR CV NT 2.75 31 9,500,000 9,577 0.02% PRN
75 ISHARES 20 YEAR TREASURY BOND ETF 67,515 9,283 0.02% PRN
76 INTEL CORP JR SB CONV DB 39 5,000,000 9,153 0.02% PRN
77 PORTFOLIO RECOVERY ASSOCS IN 10,000,000 9,043 0.02% PRN
78 ENCORE CAP GROUP INC 11,448,000 8,772 0.02% PRN
79 AMERICAN RLTY CAP PPTYS INC SR CONV NT 3 18 8,500,000 8,489 0.02% PRN
80 AKAMAI TECHNOLOGIES INC 8,500,000 8,319 0.02% PRN
81 YAHOO INC SR CV ZERO NT 18 8,000,000 8,230 0.02% PRN
82 RTW HLDGS INC 7,869,000 8,006 0.02% PRN
83 QUIDEL CORP 7,500,000 7,556 0.02% PRN
84 WEBMD HEALTH CORP NOTE 1.50012/0 6,500,000 7,531 0.01% PRN
85 AMAG PHARMACEUTICALS INC 6,628,000 7,477 0.01% PRN
86 VANGUARD SCOTTSDALE FDS 82,489 6,644 0.01% PRN
87 INTERACTIVE INTELLIGENCE GRO 5,000,000 5,784 0.01% PRN
88 NETSUITE INC 5,000,000 5,543 0.01% PRN
89 STARWOOD PPTY TR INC 5,000,000 5,506 0.01% PRN
90 EATON VANCE LTD DURATION INC 392,145 5,376 0.01% PRN
91 PRUDENTIAL GLB SHT DUR HG YL 353,180 5,336 0.01% PRN
92 PTC THERAPEUTICS INC 8,500,000 5,100 0.01% PRN
93 FXCM INC 11,715,000 5,037 0.01% PRN
94 ROVI CORP 5,000,000 5,009 0.01% PRN
95 GAIN CAP HLDGS INC 5,000,000 4,775 0.01% PRN
96 ASCENT CAP GROUP INC 6,403,000 4,626 0.01% PRN
97 SPDR SER TR 92,238 4,505 0.01% PRN
98 HORIZON PHARMA INVT LTD 4,500,000 4,373 0.01% PRN
99 GOGO INC 5,000,000 3,837 0.01% PRN
100 AMYRIS INC 6,625,000 3,424 0.01% PRN
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