Was steckt im Fonds Lazard Equity Franchise Portfolio?

Welche Aktien und Anleihen hält dieser ETF/Fonds? Alle gemeldeten Bestände der Gesellschaft LAZARD FUNDS INC zum Stichtag 2026-03-31, jeweils mit Wert und Anteil am Portfolio. Datenquelle ist SEC Form N-PORT — der Bericht, mit dem US-Fonds ihre Portfolios gegenüber der US-Börsenaufsicht offenlegen. Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
EmittentGattungTypCUSIP/ISINRichtungBestand ($)% NAVStück / Nennwert
34.786.567 $93,991.989.644
Edenred SEEdenred SEECFR0010908533Long2.444.314 $6,60122.765
Nexi SpANexi SpAECIT0005366767Long2.393.105 $6,47642.787
FDJ UNITEDFDJ UNITEDECFR0013451333Long2.341.655 $6,3380.282
H&R Block IncH&R Block IncEC093671105Long2.310.958 $6,2472.809
Brightstar Lottery PLCBrightstar Lottery PLCECGB00BVG7F061Long2.244.584 $6,06176.184
Omnicom Group IncOmnicom Group IncEC681919106Long2.177.739 $5,8828.917
Fiserv IncFiserv IncEC337738108Long2.166.044 $5,8538.818
Bunzl PLCBunzl PLCECGB00B0744B38Long1.679.425 $4,5456.056
DENTSPLY SIRONA IncDENTSPLY SIRONA IncEC24906P109Long1.480.021 $4,00127.588
Nice LtdNice LtdEC653656108Long1.384.094 $3,7412.553
Adobe IncAdobe IncEC00724F101Long1.139.073 $3,084.686
SES SASES SAECLU0088087324Long1.120.152 $3,03157.083
Cognizant Technology Solutions CorpCognizant Technology Solutions CorpEC192446102Long1.109.208 $3,0018.080
CSL LtdCSL LtdECAU000000CSL8Long1.087.107 $2,9411.066
Autotrader Group PLCAutotrader Group PLCECGB00BVYVFW23Long1.063.296 $2,87169.983
Carl Zeiss Meditec AGCarl Zeiss Meditec AGECDE0005313704Long1.051.850 $2,8437.826
Severn Trent PLCSevern Trent PLCECGB00B1FH8J72Long991.586 $2,6824.149
United Utilities Group PLCUnited Utilities Group PLCECGB00B39J2M42Long990.534 $2,6856.659
Henkel AG & Co KGaAHenkel AG & Co KGaAEPDE0006048432Long944.504 $2,5512.293
Campbell's Company/TheCampbell's Company/TheEC134429109Long892.248 $2,4140.065
Secom Co LtdSecom Co LtdECJP3421800008Long801.161 $2,1620.865
Paychex IncPaychex IncEC704326107Long796.838 $2,158.650
Diageo PLCDiageo PLCECGB0002374006Long743.472 $2,0140.014
Kerry Group PLCKerry Group PLCECIE0004906560Long729.633 $1,979.213
Experian PLCExperian PLCECGB00B19NLV48Long703.966 $1,9020.253
34.786.567 $93,991.989.644
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