THE LAZARD FUNDS, INC.
Supplement to Current Statement of Additional Information
The following information supplements the information under "Management—Portfolio Managers—Accounts Managed by the Portfolio Managers":
Portfolio Manager | Registered Investment Companies ($*) | Other Pooled Investment Vehicles ($*) | Other Accounts ($*) |
Jeffrey Clarke** | 1 (329.0 million) | 1 (23.7 million) | 1 (123.5 million) |
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* | As of December 31, 2016 unless otherwise noted. |
** | As of June 30, 2017. |
The following information supplements the information under the second table of "Management—Portfolio Managers—Ownership of Securities":
As of March 31, 2017, the portfolio managers owned the following shares of the Portfolios:
Portfolio/Portfolio Manager | Market Value of Shares* | |
Corporate Income Portfolio | ||
Jeffrey Clarke** | $1 - $10,000 |
* | A portion of Portfolio shares shown as owned by a portfolio manager may consist of shares allocated to the Portfolio under deferred compensations arrangement described above. | |
** | As of June 30, 2017. |
Dated: September 11, 2017