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USD 21449.46000000 0.045694640630 Long EC CORP US N 1 N N N STAG Industrial Inc 549300QWYX2W6FASVQ07 STAG Industrial Inc 85254J102 2051.00000000 NS USD 74082.12000000 0.157820096660 Long EC US N 1 N N N Glaukos Corp 5299004JA1LHE21M6T14 Glaukos Corp 377322102 1200.00000000 NS USD 118104.00000000 0.251601664423 Long EC CORP US N 1 N N N Enova International Inc 549300O8XOCQSB49UO63 Enova International Inc 29357K103 2052.00000000 NS USD 198141.12000000 0.422107935233 Long EC CORP US N 1 N N N Brady Corp 549300G2LEQOFQC8GY34 Brady Corp 104674106 4812.00000000 NS USD 339919.68000000 0.724144459615 Long EC CORP US N 1 N N N Commvault Systems Inc 65T5VRP62VXG39YFML83 Commvault Systems Inc 204166102 1641.00000000 NS USD 258884.16000000 0.551511257442 Long EC CORP US N 1 N N N Sabine Royalty Trust N/A Sabine Royalty Trust 785688102 879.00000000 NS USD 59499.51000000 0.126754180623 Long EC CORP US N 1 N N N Visteon Corp 549300MOVLYHRW4GGW78 Visteon Corp 92839U206 2048.00000000 NS USD 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118784.40000000 0.253051147696 Long EC CORP US N 1 N N N Rexford Industrial Realty Inc 549300MSLO0DF0EMX355 Rexford Industrial Realty Inc 76169C100 2416.00000000 NS USD 94586.40000000 0.201501182617 Long EC US N 1 N N N Wolverine World Wide Inc 549300OVC7PK14LQ8D87 Wolverine World Wide Inc 978097103 3598.00000000 NS USD 50048.18000000 0.106619635146 Long EC CORP US N 1 N N N FirstService Corp 5493000XUDIV75BCF118 FirstService Corp 33767E202 541.00000000 NS USD 89778.95000000 0.191259680029 Long EC CORP CA N 1 N N N Alkermes PLC N/A Alkermes PLC 000000000 6354.00000000 NS USD 209809.08000000 0.446964656059 Long EC CORP IE N 1 N N N CION Investment Corp 549300XN70JLF94XKX80 CION Investment Corp 17259U204 8381.00000000 NS USD 86743.35000000 0.184792820206 Long EC CORP US N 1 N N N Sapiens International Corp NV 2549009P4ZS02GC5QV68 Sapiens International Corp NV 000000000 3180.00000000 NS USD 86146.20000000 0.183520687731 Long EC CORP KY N 1 N N N Lifeway Foods Inc N/A Lifeway Foods Inc 531914109 8360.00000000 NS USD 204402.00000000 0.435445737752 Long EC CORP US N 1 N N N McGrath RentCorp 254900EUH6IPWFQ83445 McGrath RentCorp 580589109 2539.00000000 NS USD 282844.60000000 0.602555138973 Long EC CORP US N 1 N N N Steven Madden Ltd 549300Z9GZ7GYJWSGF43 Steven Madden Ltd 556269108 4206.00000000 NS USD 112047.84000000 0.238699985090 Long EC CORP US N 1 N N N CONTRA RESOLUTE FOREST N/A CONTRA RESOLUTE FOREST 761CVR042 10077.00000000 NS USD 0.00000000 0.000000 N/A DE US N 3 N/A N/A Resolute Forest Products, Inc. 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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT

INVESTMENT COMPANIES

 

Investment Company Act file number 811-06312

 

The Lazard Funds, Inc.
(Exact name of Registrant as specified in charter)

 

30 Rockefeller Plaza
New York, New York 10112
(Address of principal executive offices) (Zip code)

 

Mark R. Anderson, Esq.
Lazard Asset Management LLC
30 Rockefeller Plaza
New York, New York 10112
(Name and address of agent for service)

 

Registrant’s telephone number, including area code: (212) 632-6000

 

Date of fiscal year end: 12/31

 

Date of reporting period: 3/31/2025

 

Item 1. Schedule of Investments. 

 
 

 

Description  Shares   Fair
Value
 
Lazard Developing Markets Equity Portfolio  
Common Stocks  |  98.0%          
Brazil  |  8.2%          
Automob Participacoes SA (*)   477,071   $20,901 
Dexco SA   534,208    503,647 
MercadoLibre, Inc. (*)   923    1,800,653 
Pagseguro Digital Ltd., Class A (*)   82,129    626,644 
PRIO SA (*)   167,700    1,169,634 
Rumo SA   222,244    631,706 
TOTVS SA   337,000    1,970,698 
Vamos Locacao de Caminhoes Maquinas e Equipamentos SA   414,452    318,840 
         7,042,723 
China  |  26.5%          
Airtac International Group   33,765    855,419 
Alibaba Group Holding Ltd.   203,000    3,365,870 
Baidu, Inc., Class A (*)   42,800    493,951 
BYD Co. Ltd., Class H   25,000    1,263,672 
Contemporary Amperex Technology Co. Ltd., Class A   18,600    651,893 
Foxconn Industrial Internet Co. Ltd., Class A   411,600    1,142,466 
Fuyao Glass Industry Group Co. Ltd., Class H (#)   98,800    706,790 
Lenovo Group Ltd.   1,122,000    1,523,016 
Ping An Insurance Group Co. of China Ltd., Class H   204,500    1,220,111 
Shenzhen Inovance Technology Co. Ltd., Class A   115,290    1,086,711 
Sungrow Power Supply Co. Ltd., Class A   67,488    647,558 
Tencent Holdings Ltd.   84,800    5,404,518 
Trip.com Group Ltd.   15,200    970,182 
Xiaomi Corp., Class B (#), (*)   183,200    1,163,455 
Yadea Group Holdings Ltd. (#)   662,000    1,288,259 
ZTO Express Cayman, Inc.   46,700    929,415 
         22,713,286 
Hong Kong  |  1.5%          
Techtronic Industries Co. Ltd.   108,502    1,306,785 
Hungary  |  1.4%          
Richter Gedeon Nyrt.   43,872    1,208,975 
India  |  11.0%          
Bajaj Finance Ltd.   12,139    1,266,282 
HDFC Bank Ltd. ADR   38,234    2,540,267 
Description  Shares   Fair
Value
 
ICICI Bank Ltd. ADR   61,762   $1,946,738 
MakeMyTrip Ltd. (*)   9,900    970,101 
Mphasis Ltd.   33,709    977,302 
Reliance Industries Ltd.   62,067    923,152 
UPL Ltd.   106,436    788,788 
         9,412,630 
Indonesia  |  3.2%          
Bank Central Asia Tbk. PT   2,240,600    1,141,112 
Bank Rakyat Indonesia Persero Tbk. PT   6,756,049    1,634,091 
         2,775,203 
Macau  |  0.8%          
Sands China Ltd.   355,600    716,130 
Mexico  |  2.7%          
Arca Continental SAB de CV   76,600    800,942 
Grupo Financiero Banorte SAB de CV, Class O   219,557    1,522,721 
         2,323,663 
Peru  |  1.0%          
Credicorp Ltd.   4,813    895,988 
Philippines  |  3.5%          
BDO Unibank, Inc.   834,182    2,233,878 
International Container Terminal Services, Inc.   130,319    809,002 
         3,042,880 
Poland  |  1.7%          
InPost SA (*)   96,475    1,419,819 
South Africa  |  5.6%          
Capitec Bank Holdings Ltd.   10,938    1,858,274 
Foschini Group Ltd.   89,743    609,416 
Shoprite Holdings Ltd.   43,985    654,573 
Standard Bank Group Ltd.   128,823    1,685,594 
         4,807,857 
South Korea  |  8.1%          
CJ Logistics Corp.   10,240    603,612 
Samsung Electronics Co. Ltd.   88,685    3,512,080 


 
 

 

Description  Shares   Fair
Value
 
Lazard Developing Markets Equity Portfolio (concluded) 
SK Hynix, Inc.   21,503   $2,851,560 
         6,967,252 
Taiwan  |  19.3%          
ASE Technology Holding Co. Ltd.   333,289    1,460,477 
Bizlink Holding, Inc.   56,078    861,114 
Chroma ATE, Inc.   59,000    516,427 
Hiwin Technologies Corp.   93,714    688,762 
King Yuan Electronics Co. Ltd.   186,000    499,318 
Lotes Co. Ltd.   18,687    788,049 
MediaTek, Inc.   40,000    1,686,678 
RichWave Technology Corp. (*)   104,000    496,848 
Sercomm Corp.   246,000    871,904 
Taiwan Semiconductor Manufacturing Co. Ltd.   311,000    8,669,998 
         16,539,575 
Turkey  |  0.7%          
BIM Birlesik Magazalar AS   52,796    636,838 
United States  |  2.8%          
EPAM Systems, Inc. (*)   3,801    641,761 
SharkNinja, Inc. (*)   12,198    1,017,435 
Tenaris SA ADR   18,393    719,350 
         2,378,546 
Total Common Stocks
(Cost $59,668,160)
        84,188,150 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  2.1%          
Fixed Income Clearing Corp., 4.37%, 04/01/25 (Dated 03/31/25, collateralized by $1,843,000 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $1,795,357) Proceeds of $1,760,214
(Cost $1,760,000)
  $1,760   $1,760,000 
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $93,983)
   93,983   $93,983 
Total Investments  |  100.2%
(Cost $61,522,143)
       $86,042,133 
Liabilities in Excess of Cash and Other Assets  |  (0.2)%        (163,692) 
Net Assets  |  100.0%       $85,878,441 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Core Equity Portfolio  
Common Stocks  |  99.7%          
Brazil  |  3.4%          
Banco BTG Pactual SA   217,396   $1,283,853 
Itau Unibanco Holding SA ADR   296,157    1,628,864 
MercadoLibre, Inc. (*)   587    1,145,161 
         4,057,878 
China  |  27.0%          
Alibaba Group Holding Ltd. ADR   43,586    5,763,377 
China Merchants Bank Co. Ltd., Class H   830,000    4,883,865 
Contemporary Amperex Technology Co. Ltd., Class A   47,600    1,668,285 
Full Truck Alliance Co. Ltd. ADR   71,683    915,392 
Innovent Biologics, Inc. (#), (*)   232,500    1,403,156 
Lenovo Group Ltd.   986,000    1,338,408 
NetEase, Inc. ADR   14,887    1,532,170 
PDD Holdings, Inc. ADR (*)   9,108    1,077,932 
Shenzhen Inovance Technology Co. Ltd., Class A   170,399    1,606,162 
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A   32,700    1,060,277 
Tencent Holdings Ltd.   98,992    6,309,010 
Trip.com Group Ltd. ADR   28,815    1,832,058 
Weichai Power Co. Ltd., Class H   686,000    1,445,009 
Yum China Holdings, Inc.   30,707    1,598,606 
         32,433,707 
Ghana  |  0.7%          
Kosmos Energy Ltd. (*)   343,810    783,887 
Greece  |  2.5%          
GEK Terna SA   44,962    936,412 
National Bank of Greece SA   205,004    2,112,310 
         3,048,722 
Hong Kong  |  1.4%          
AIA Group Ltd.   221,200    1,672,098 
India  |  17.3%          
Bharti Airtel Ltd.   123,691    2,502,404 
HDFC Bank Ltd. ADR   46,735    3,105,073 
Hindalco Industries Ltd.   148,723    1,185,386 
Description  Shares   Fair
Value
 
ICICI Bank Ltd. ADR   83,240   $2,623,725 
InterGlobe Aviation Ltd. (#), (*)   28,412    1,697,062 
ITC Hotels Ltd. (*)   29,290    67,941 
ITC Ltd.   182,152    872,415 
Larsen & Toubro Ltd.   25,710    1,044,977 
Macrotech Developers Ltd. (#)   117,921    1,645,200 
MakeMyTrip Ltd. (*)   11,974    1,173,332 
Reliance Industries Ltd.   149,923    2,229,877 
Supreme Industries Ltd.   31,395    1,247,171 
Tata Consultancy Services Ltd.   32,407    1,361,898 
         20,756,461 
Indonesia  |  1.8%          
Bank Central Asia Tbk. PT   2,449,200    1,247,350 
Bank Mandiri Persero Tbk. PT   2,957,500    925,871 
         2,173,221 
Mexico  |  3.6%          
Arca Continental SAB de CV   94,845    991,714 
Corp. Inmobiliaria Vesta SAB de CV ADR   34,707    791,667 
Grupo Financiero Banorte SAB de CV, Class O   208,177    1,443,796 
Kimberly-Clark de Mexico SAB de CV, Class A   684,974    1,122,963 
         4,350,140 
Peru  |  0.9%          
Credicorp Ltd.   5,970    1,111,375 
Philippines  |  2.1%          
BDO Unibank, Inc.   392,899    1,052,155 
International Container Terminal Services, Inc.   234,530    1,455,928 
         2,508,083 
Russia  |  0.0%          
Mobile TeleSystems PJSC ADR (*), (¢)   45,259    0 
Sberbank of Russia PJSC (¢)   213,889    0 
         0 
Saudi Arabia  |  3.1%          
Saudi Arabian Oil Co. (#)   310,436    2,210,165 
Saudi National Bank   160,954    1,537,051 
         3,747,216 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Core Equity Portfolio (concluded) 
South Africa  |  4.1%          
Anglo American PLC   47,660   $1,337,927 
Bidvest Group Ltd.   73,906    952,721 
Capitec Bank Holdings Ltd.   7,792    1,323,795 
Shoprite Holdings Ltd.   86,594    1,288,670 
         4,903,113 
South Korea  |  9.3%          
Coway Co. Ltd.   21,926    1,209,539 
Kia Corp.   33,003    2,084,061 
Samsung Electronics Co. Ltd.   90,033    3,565,463 
Shinhan Financial Group Co. Ltd.   60,139    1,920,261 
SK Hynix, Inc.   18,130    2,404,259 
         11,183,583 
Taiwan  |  13.7%          
ASE Technology Holding Co. Ltd.   296,000    1,297,076 
Chailease Holding Co. Ltd.   255,464    897,651 
MediaTek, Inc.   58,000    2,445,683 
Taiwan Semiconductor Manufacturing Co. Ltd.   224,000    6,244,629 
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   33,233    5,516,678 
         16,401,717 
Thailand  |  0.8%          
CP ALL PCL (‡)   670,400    978,181 
Turkey  |  0.8%          
Akbank TAS   656,141    902,394 
United Arab Emirates  |  4.1%          
Abu Dhabi Ports Co. PJSC (*)   638,551    754,912 
ADNOC Drilling Co. PJSC   573,328    801,894 
Adnoc Gas PLC   2,277,563    1,985,865 
Emaar Properties PJSC   393,265    1,432,713 
         4,975,384 
United Kingdom  |  1.6%          
Unilever PLC ADR   32,528    1,937,042 
Description  Shares   Fair
Value
 
United States  |  1.5%          
Freeport-McMoRan, Inc.   48,655   $1,842,078 
Total Common Stocks
(Cost $94,522,677)
        119,766,280 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  0.4%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $459,800 United States Treasury Bonds, 4.375% to 4.750%, 08/15/43 to 11/15/43, with a fair value of $459,101) Proceeds of $450,055
(Cost $450,000)
  $450   $450,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.0%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $30,067)
   30,067   $30,067 
Total Investments  |  100.1%
(Cost $95,002,744)
       $120,246,347 
Liabilities in Excess of Cash and Other Assets  |  (0.1)%        (97,119) 
Net Assets  |  100.0%       $120,149,228 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Advantage Portfolio 
Common Stocks  |  97.3%          
Argentina  |  0.3%          
Vista Energy SAB de CV ADR (*)   18,623   $867,087 
Brazil  |  2.2%          
Banco do Brasil SA   208,700    1,030,983 
BB Seguridade Participacoes SA   350,200    2,473,177 
BRF SA   78,300    270,035 
Cia de Saneamento Basico do Estado de Sao Paulo SABESP   9,800    175,170 
Cia De Sanena Do Parana   129,000    609,910 
Energisa SA   26,300    184,353 
Klabin SA   51,810    169,418 
PRIO SA (*)   49,700    346,636 
Telefonica Brasil SA   25,100    219,179 
         5,478,861 
Chile  |  0.1%          
Enel Chile SA ADR   90,887    297,200 
China  |  31.8%          
Alibaba Group Holding Ltd.   496,700    8,235,605 
Aluminum Corp. of China Ltd., Class H   354,000    222,520 
Anker Innovations Technology Co. Ltd., Class A   20,880    297,548 
Atour Lifestyle Holdings Ltd. ADR   11,647    330,192 
Bank of Changsha Co. Ltd., Class A   199,000    252,166 
Bank of China Ltd., Class H   1,658,000    1,003,299 
Bank of Hangzhou Co. Ltd., Class A   374,300    746,218 
BeiGene Ltd. ADR (*)   940    255,840 
Beijing New Building Materials PLC, Class A   74,800    300,576 
Bilibili, Inc., Class Z (*)   18,040    346,128 
Bluestar Adisseo Co., Class A   169,600    248,013 
BOC Aviation Ltd. (#)   25,100    196,439 
BYD Co. Ltd., Class H   54,500    2,754,804 
BYD Electronic International Co. Ltd.   38,500    201,345 
China Construction Bank Corp., Class H   4,817,000    4,273,761 
China Hongqiao Group Ltd.   287,000    593,067 
China Life Insurance Co. Ltd., Class H   161,000    312,006 
China Merchants Bank Co. Ltd., Class H   219,500    1,291,576 
China Nonferrous Mining Corp. Ltd.   259,000    187,699 
China Pacific Insurance Group Co. Ltd., Class H   204,800    646,505 
China Resources Land Ltd.   52,000    173,722 
Description  Shares   Fair
Value
 
China Resources Mixc Lifestyle Services Ltd. (#)   69,200   $306,417 
China Tower Corp. Ltd., Class H (#)   359,700    484,514 
Contemporary Amperex Technology Co. Ltd., Class A   17,180    602,125 
DingDong Cayman Ltd. ADR (*)   54,084    146,027 
East Money Information Co. Ltd., Class A   150,500    471,517 
ENN Natural Gas Co. Ltd., Class A   243,400    657,547 
Espressif Systems Shanghai Co. Ltd., Class A   12,354    393,401 
Geely Automobile Holdings Ltd.   229,000    494,410 
Great Wall Motor Co. Ltd., Class H   140,000    245,385 
Guangdong TCL Smart Home Appliances Co. Ltd. (*)   141,200    225,987 
Guotai Junan Securities Co. Ltd., Class H (#)   231,200    335,055 
H World Group Ltd. ADR   8,224    304,370 
Haidilao International Holding Ltd. (#)   72,000    163,395 
Haier Smart Home Co. Ltd., Class H   74,000    239,522 
Hisense Home Appliances Group Co. Ltd., Class H   73,000    245,128 
Huaneng Power International, Inc., Class H   442,000    256,194 
HUTCHMED China Ltd. (*)   52,000    160,348 
Industrial & Commercial Bank of China Ltd., Class H   793,000    566,586 
Innovent Biologics, Inc. (#), (*)   39,500    238,386 
JD Logistics, Inc. (#), (*)   522,100    850,179 
JD.com, Inc., Class A   120,204    2,480,591 
Jiangsu Changshu Rural Commercial Bank Co. Ltd., Class A   253,000    243,270 
Jinan Acetate Chemical Co. Ltd.   9,000    234,587 
Kanzhun Ltd. ADR (*)   20,350    390,109 
KE Holdings, Inc. ADR   36,989    743,109 
Kingdee International Software Group Co. Ltd. (*)   157,000    268,277 
Kingsoft Corp. Ltd.   107,400    521,008 
Kuaishou Technology (#), (*)   181,500    1,282,448 
Kunlun Energy Co. Ltd.   590,000    575,644 
Lenovo Group Ltd.   840,000    1,140,226 
LexinFintech Holdings Ltd. ADR   37,764    381,039 
Li Auto, Inc. ADR (*)   16,240    409,248 
Meitu, Inc. (#)   308,500    217,968 
Meituan, Class B (#), (*)   202,070    4,085,575 
Midea Group Co. Ltd., Class A   145,000    1,572,167 
NetEase, Inc.   98,900    2,038,295 
Ningbo Boway Alloy Material Co. Ltd., Class A   84,400    234,922 
PDD Holdings, Inc. ADR (*)   22,056    2,610,328 
People’s Insurance Co. Group of China Ltd., Class H   851,000    440,339 
PetroChina Co. Ltd., Class H   1,032,000    836,283 
Ping An Insurance Group Co. of China Ltd., Class H   328,500    1,959,935 
Pop Mart International Group Ltd. (#)   77,600    1,567,374 
Qifu Technology, Inc. ADR   21,097    947,466 
Shanghai Zijiang Enterprise Group Co. Ltd., Class A   262,500    254,178 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Advantage Portfolio (continued) 
Shenyang Jinbei Automotive Co. Ltd., Class A (*)   255,200   $215,351 
Sichuan Kelun Pharmaceutical Co. Ltd., Class A   65,800    292,508 
Sieyuan Electric Co. Ltd., Class A   23,300    244,576 
Sunny Optical Technology Group Co. Ltd.   73,600    680,315 
Tencent Holdings Ltd.   193,800    12,351,363 
Trip.com Group Ltd. ADR   12,695    807,148 
Uni-President China Holdings Ltd.   252,000    290,158 
Vipshop Holdings Ltd. ADR   47,375    742,840 
Xiaomi Corp., Class B (#), (*)   673,800    4,279,128 
XPeng, Inc., A Shares (*)   23,200    240,959 
Yankershop Food Co. Ltd., Class A   96,860    846,436 
Yutong Bus Co. Ltd., Class A   221,500    810,914 
Zhejiang JIULI Hi-tech Metals Co. Ltd., Class A   120,500    417,129 
Zhejiang NHU Co. Ltd., Class A   229,000    707,659 
         78,616,392 
Colombia  |  0.1%          
Bancolombia SA ADR   5,524    222,065 
Egypt  |  0.3%          
Commercial International Bank - Egypt (CIB) GDR   489,851    739,675 
Greece  |  0.8%          
Alpha Services & Holdings SA   274,502    660,095 
Danaos Corp.   3,192    249,072 
National Bank of Greece SA   72,043    742,313 
Piraeus Financial Holdings SA   58,234    320,638 
         1,972,118 
Hungary  |  1.1%          
OTP Bank Nyrt   41,071    2,767,284 
India  |  16.9%          
ABB India Ltd.   3,640    234,877 
Adani Ports & Special Economic Zone Ltd.   35,673    490,498 
Ajanta Pharma Ltd.   13,466    411,751 
Alkem Laboratories Ltd.   5,383    306,537 
Axis Bank Ltd. GDR   11,063    699,354 
Bajaj Finance Ltd.   8,411    877,395 
Bank of Baroda   454,627    1,210,257 
Bank of India   775,944    965,997 
Bharat Electronics Ltd.   127,431    445,332 
Description  Shares   Fair
Value
 
Bharti Airtel Ltd.   13,285   $268,770 
Britannia Industries Ltd.   15,825    912,975 
BSE Ltd.   22,034    1,405,192 
Canara Bank   374,769    387,519 
Cipla Ltd.   78,615    1,323,382 
Godawari Power & Ispat Ltd.   232,550    488,297 
HBL Engineering Ltd.   30,518    166,817 
HCL Technologies Ltd.   76,555    1,418,929 
HDFC Bank Ltd. ADR   6,311    419,303 
Hero MotoCorp Ltd.   14,740    641,158 
Hindalco Industries Ltd.   92,926    740,660 
Hindustan Aeronautics Ltd.   23,724    1,154,582 
Hindustan Unilever Ltd.   20,664    545,818 
ICICI Bank Ltd. ADR   34,270    1,080,190 
IndiaMart InterMesh Ltd. (#)   6,185    149,643 
Indus Towers Ltd. (*)   323,307    1,256,877 
Infosys Ltd.   121,052    2,214,049 
Jindal Saw Ltd.   64,766    203,635 
Jio Financial Services Ltd. (*)   30,626    81,088 
Karur Vysya Bank Ltd.   145,322    353,233 
Larsen & Toubro Ltd. GDR (*)   452    18,170 
LIC Housing Finance Ltd.   138,442    910,465 
Life Insurance Corp. of India   24,012    223,885 
Lupin Ltd.   56,823    1,348,549 
Manappuram Finance Ltd.   196,717    533,835 
Motilal Oswal Financial Services Ltd.   22,771    163,435 
National Aluminium Co. Ltd.   96,514    196,536 
Nava Ltd.   40,190    242,920 
Oberoi Realty Ltd.   34,427    656,871 
Oil & Natural Gas Corp. Ltd.   102,794    294,706 
Oracle Financial Services Software Ltd.   1,569    143,369 
Page Industries Ltd.   2,644    1,318,695 
Rail Vikas Nigam Ltd.   64,546    264,501 
REC Ltd.   86,041    430,131 
Reliance Industries Ltd. GDR (#)   28,964    1,699,688 
State Bank of India GDR   27,888    2,476,890 
Sun Pharmaceutical Industries Ltd.   97,433    1,975,078 
Tata Consultancy Services Ltd.   42,645    1,792,149 
Tata Motors Ltd.   114,631    902,335 
Torrent Pharmaceuticals Ltd.   40,361    1,517,095 
Trent Ltd.   5,117    317,514 
Union Bank of India Ltd.   370,335    542,977 
Vedanta Ltd.   365,047    1,966,253 
Wipro Ltd.   319,350    973,186 
         41,763,348 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Advantage Portfolio (continued) 
Indonesia  |  1.4%          
Astra International Tbk. PT   839,700   $248,741 
Bank Mandiri Persero Tbk. PT   5,061,900    1,584,673 
Bank Rakyat Indonesia Persero Tbk. PT   2,732,400    660,888 
Indofood Sukses Makmur Tbk. PT   980,400    418,475 
Sumber Alfaria Trijaya Tbk. PT   3,057,600    377,298 
Telkom Indonesia Persero Tbk. PT ADR   8,595    126,948 
         3,417,023 
Malaysia  |  1.2%          
CIMB Group Holdings Bhd.   890,700    1,401,778 
IJM Corp. Bhd.   256,200    120,398 
My EG Services Bhd.   1,362,700    277,480 
Scientex Bhd.   90,200    72,080 
SP Setia Bhd. Group   617,500    163,634 
Tenaga Nasional Bhd.   217,500    655,950 
YTL Corp. Bhd.   583,800    260,457 
         2,951,777 
Mexico  |  1.7%          
Arca Continental SAB de CV   79,400    830,219 
Coca-Cola Femsa SAB de CV ADR   22,595    2,062,698 
Gentera SAB de CV   392,400    604,577 
Grupo Financiero Inbursa SAB de CV, Class O (*)   124,700    280,239 
Grupo Mexico SAB de CV Series B   38,700    193,495 
Southern Copper Corp.   1,608    150,284 
         4,121,512 
Peru  |  0.6%          
Cia de Minas Buenaventura SAA ADR   20,822    325,448 
Credicorp Ltd.   5,690    1,059,250 
         1,384,698 
Philippines  |  0.9%          
International Container Terminal Services, Inc.   258,870    1,607,028 
Metropolitan Bank & Trust Co.   276,510    352,984 
SM Investments Corp.   17,030    234,479 
         2,194,491 
Poland  |  1.6%          
Budimex SA   1,341    197,379 
KGHM Polska Miedz SA   57,249    1,879,203 
Description  Shares   Fair
Value
 
LPP SA   129   $589,519 
Orange Polska SA   162,368    368,639 
ORLEN SA   25,653    453,858 
Powszechna Kasa Oszczednosci Bank Polski SA   11,709    228,840 
Powszechny Zaklad Ubezpieczen SA   25,780    374,805 
         4,092,243 
Russia  |  0.0%          
PhosAgro PJSC (*), (¢)   42    0 
Severstal PAO GDR (*), (¢)   9,589    0 
         0 
Saudi Arabia  |  2.4%          
ACWA Power Co.   2,982    271,410 
Alinma Bank   33,867    276,520 
Almarai Co. JSC   43,785    647,556 
Arab National Bank   40,633    250,118 
Astra Industrial Group Co.   8,755    363,290 
Banque Saudi Fransi   118,671    586,268 
Electrical Industries Co.   484,977    780,196 
Etihad Etisalat Co.   63,523    1,032,259 
National Agriculture Development Co. (*)   48,460    323,182 
Saudi Arabian Mining Co. (*)   12,109    149,008 
Saudi Arabian Oil Co. (#)   69,329    493,591 
Saudi Awwal Bank   38,284    380,897 
Saudi Basic Industries Corp.   8,465    143,370 
Yanbu National Petrochemical Co.   34,941    322,761 
         6,020,426 
South Africa  |  2.2%          
AVI Ltd.   72,995    352,459 
Capitec Bank Holdings Ltd.   1,450    246,343 
FirstRand Ltd.   91,146    357,827 
Gold Fields Ltd. ADR   29,283    646,862 
Harmony Gold Mining Co. Ltd. ADR   108,439    1,601,644 
Investec Ltd.   57,260    356,304 
Naspers Ltd., N Shares   1,923    477,690 
Nedbank Group Ltd.   15,106    212,465 
Old Mutual Ltd.   358,003    232,543 
Sappi Ltd.   219,476    433,256 
Standard Bank Group Ltd.   23,174    303,222 
Tiger Brands Ltd.   15,589    236,577 
         5,457,192 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Advantage Portfolio (continued) 
South Korea  |  10.1%          
BNK Financial Group, Inc.   37,667   $263,471 
Chong Kun Dang Pharmaceutical Corp.   4,616    244,822 
CJ CheilJedang Corp.   968    162,813 
Hana Financial Group, Inc.   67,509    2,747,396 
Hanmi Pharm Co. Ltd.   848    130,520 
Hanwha Aerospace Co. Ltd.   894    380,641 
HD Hyundai Co. Ltd.   3,414    168,771 
HD Hyundai Electric Co. Ltd.   1,552    312,969 
HD Hyundai Heavy Industries Co. Ltd.   1,142    218,488 
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.   4,930    676,688 
Hyundai Marine & Fire Insurance Co. Ltd. (*)   10,606    158,178 
Hyundai Mobis Co. Ltd.   4,749    844,723 
Hyundai Rotem Co. Ltd.   10,311    741,883 
JB Financial Group Co. Ltd.   19,701    234,283 
KB Financial Group, Inc.   26,111    1,403,522 
KCC Corp.   729    126,076 
Kia Corp.   23,598    1,490,157 
KIWOOM Securities Co. Ltd.   1,962    170,427 
Korea Electric Power Corp.   81,733    1,211,044 
Krafton, Inc. (*)   835    190,481 
LIG Nex1 Co. Ltd.   1,549    262,283 
LS Electric Co. Ltd.   1,453    177,057 
Meritz Financial Group, Inc.   9,569    797,521 
Mirae Asset Securities Co. Ltd.   76,567    479,680 
NAVER Corp.   1,704    222,306 
Samsung Electronics Co. Ltd. GDR   5,854    5,713,371 
Samsung Life Insurance Co. Ltd.   3,831    217,077 
SK Hynix, Inc.   15,447    2,048,461 
SK Telecom Co. Ltd.   41,286    1,557,007 
Woori Financial Group, Inc.   140,867    1,577,297 
         24,929,413 
Taiwan  |  16.8%          
Accton Technology Corp.   34,000    600,885 
Advancetek Enterprise Co. Ltd.   105,000    258,738 
Asia Cement Corp.   659,000    929,937 
Asia Optical Co., Inc.   49,000    205,831 
Asia Vital Components Co. Ltd.   31,000    431,880 
ASMedia Technology, Inc.   4,000    213,753 
Bizlink Holding, Inc.   27,000    414,602 
Chicony Power Technology Co. Ltd.   41,000    141,032 
China Airlines Ltd.   305,000    207,365 
Description  Shares   Fair
Value
 
CyberPower Systems, Inc.   22,000   $186,147 
Delta Electronics, Inc.   281,000    3,097,393 
Eva Airways Corp.   862,000    1,057,950 
Far Eastern New Century Corp.   183,000    181,681 
Genius Electronic Optical Co. Ltd.   24,000    285,519 
Global Unichip Corp.   4,000    129,170 
Hon Hai Precision Industry Co. Ltd.   125,000    558,555 
Hwang Chang General Contractor Co. Ltd.   103,930    260,054 
International Games System Co. Ltd., Class C   52,000    1,216,139 
KGI Financial Holding Co. Ltd.   1,156,000    600,841 
Lotes Co. Ltd.   16,000    674,736 
MediaTek, Inc.   98,000    4,132,362 
Nan Pao Resins Chemical Co. Ltd.   20,000    218,677 
Novatek Microelectronics Corp.   33,000    544,615 
PharmaEssentia Corp. (*)   15,000    236,409 
President Chain Store Corp.   232,000    1,756,199 
Realtek Semiconductor Corp.   92,000    1,459,432 
Silicon Motion Technology Corp. ADR   4,878    246,632 
Sunonwealth Electric Machine Industry Co. Ltd.   55,000    146,933 
Taiwan Semiconductor Manufacturing Co. Ltd.   731,000    20,378,677 
Tong Yang Industry Co. Ltd.   51,000    198,186 
Voltronic Power Technology Corp.   9,000    416,587 
Wistron Corp.   75,000    218,744 
         41,605,661 
Thailand  |  1.8%          
Bangkok Bank PCL (‡)   191,200    831,304 
Bangkok Dusit Medical Services PCL NVDR   1,120,800    722,865 
Krung Thai Bank PCL NVDR   2,129,700    1,517,561 
PTT Exploration & Production PCL (‡)   406,400    1,395,596 
         4,467,326 
Turkey  |  0.9%          
Akbank TAS   658,884    906,166 
Turk Hava Yollari AO (*)   28,127    230,305 
Turkcell Iletisim Hizmetleri AS   142,437    359,228 
Turkiye Garanti Bankasi AS   168,083    522,073 
Turkiye Is Bankasi AS, C Shares   571,622    184,474 
         2,202,246 
United Arab Emirates  |  1.8%          
Abu Dhabi Islamic Bank PJSC   147,862    646,175 
ADNOC Drilling Co. PJSC   700,321    979,514 
ADNOC Logistics & Services   260,016    349,140 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Advantage Portfolio (concluded) 
Aldar Properties PJSC   168,929   $387,507 
Emaar Development PJSC   164,649    549,664 
Emaar Properties PJSC   408,338    1,487,626 
         4,399,626 
United Kingdom  |  0.1%          
Anglogold Ashanti PLC   8,809    326,990 
United States  |  0.2%          
Titan Cement International SA   11,344    521,454 
Total Common Stocks
(Cost $221,551,473)
        240,816,108 
Preferred Stocks  |  0.8%          
Brazil  |  0.8%          
Petroleo Brasileiro SA CDI
(Cost $1,868,722)
   297,739   $1,938,856 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  1.4%          
Fixed Income Clearing Corp., 4.37%, 04/01/25 (Dated 03/31/25, collateralized by $3,696,400 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $3,600,776) Proceeds of $3,530,429
(Cost $3,530,000)
  $3,530   $3,530,000 
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $190,155)
   190,155   $190,155 
Total Investments  |  99.6%
(Cost $227,140,350)
       $246,475,119 
Cash and Other Assets in Excess of Liabilities  |  0.4%        1,014,216 
Net Assets  |  100.0%       $247,489,335 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio
Common Stocks  |  96.2%          
Brazil  |  11.3%          
Banco do Brasil SA   12,699,252   $62,734,610 
BB Seguridade Participacoes SA   10,876,017    76,808,433 
CCR SA   14,426,817    29,427,779 
Engie Brasil Energia SA   4,013,500    27,148,420 
Petroleo Brasileiro SA ADR   4,331,353    62,111,602 
PRIO SA (*)   4,886,100    34,078,417 
Rede D’Or Sao Luiz SA (#)   3,469,300    17,144,505 
Vale SA ADR   4,545,159    45,360,687 
Vibra Energia SA   10,776,300    33,576,499 
         388,390,952 
Chile  |  0.6%          
Sociedad Quimica y Minera de Chile SA ADR   482,612    19,174,175 
China  |  27.3%          
Alibaba Group Holding Ltd. ADR   513,885    67,951,014 
Anhui Conch Cement Co. Ltd., Class H   14,314,951    40,472,117 
China Construction Bank Corp., Class H   117,809,224    104,523,244 
China Medical System Holdings Ltd.   33,378,000    31,963,169 
China Merchants Bank Co. Ltd., Class H   10,018,494    58,950,564 
DaShenLin Pharmaceutical Group Co. Ltd., Class A   14,127,417    32,021,515 
ENN Natural Gas Co. Ltd., Class A   12,054,615    32,565,643 
Gree Electric Appliances, Inc. of Zhuhai, Class A   3,985,576    24,996,920 
Hengan International Group Co. Ltd.   11,156,500    31,282,033 
Huayu Automotive Systems Co. Ltd., Class A   11,699,548    29,176,887 
JD.com, Inc. ADR   886,986    36,472,864 
Lenovo Group Ltd.   23,118,000    31,380,652 
Midea Group Co. Ltd., Class A   4,218,099    45,734,866 
NetEase, Inc. ADR   701,709    72,219,890 
Ping An Insurance Group Co. of China Ltd., Class H   8,315,500    49,612,895 
Sinopharm Group Co. Ltd., Class H   22,986,814    53,524,261 
Tencent Holdings Ltd.   532,500    33,937,569 
Tingyi Cayman Islands Holding Corp.   40,690,000    68,309,492 
Want Want China Holdings Ltd.   50,652,000    31,985,197 
Weichai Power Co. Ltd., Class H   27,270,288    57,442,870 
         934,523,662 
Egypt  |  0.7%          
Commercial International Bank - Egypt (CIB) GDR   17,038,841    25,737,284 
Description  Shares   Fair
Value
 
Greece  |  3.1%          
Metlen Energy & Metals SA   706,268   $31,189,818 
National Bank of Greece SA   4,626,863    47,674,025 
OPAP SA   1,453,754    28,917,227 
         107,781,070 
Hong Kong  |  0.7%          
ASMPT Ltd.   3,519,900    24,716,136 
Hungary  |  3.1%          
MOL Hungarian Oil & Gas PLC   4,622,622    36,409,644 
OTP Bank Nyrt   1,011,166    68,130,391 
         104,540,035 
India  |  4.8%          
Axis Bank Ltd.   2,097,803    27,011,563 
Indus Towers Ltd. (*)   17,056,443    66,308,016 
Tata Consultancy Services Ltd.   641,418    26,955,480 
UPL Ltd.   5,947,865    44,079,083 
         164,354,142 
Indonesia  |  4.1%          
Astra International Tbk. PT   118,930,300    35,230,305 
Bank Mandiri Persero Tbk. PT   140,370,084    43,944,096 
Telkom Indonesia Persero Tbk. PT ADR   2,641,991    39,022,207 
United Tractors Tbk. PT   15,752,600    22,321,059 
         140,517,667 
Mexico  |  7.3%          
America Movil SAB de CV ADR   2,777,952    39,502,477 
Cemex SAB de CV ADR   6,738,565    37,803,350 
Grupo Aeroportuario del Pacifico SAB de CV ADR   225,082    41,754,962 
Grupo Financiero Banorte SAB de CV, Class O   7,455,537    51,707,316 
Grupo Mexico SAB de CV Series B   4,690,385    23,451,352 
Kimberly-Clark de Mexico SAB de CV, Class A   17,888,995    29,327,654 
Ternium SA ADR   879,458    27,403,911 
         250,951,022 
Peru  |  0.7%          
Credicorp Ltd.   135,488    25,222,446 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio (continued)
Philippines  |  0.0%          
International Container Terminal Services, Inc.   30   $186 
Russia  |  0.0%          
Mobile TeleSystems PJSC ADR (*), (¢)   4,695,624    5 
Sberbank of Russia PJSC (¢)   13,596,421    13 
         18 
South Africa  |  7.5%          
Bidvest Group Ltd.   2,956,093    38,106,961 
Life Healthcare Group Holdings Ltd.   30,248,912    22,810,032 
Nedbank Group Ltd.   3,799,236    53,435,994 
Sanlam Ltd.   9,689,474    43,603,880 
Standard Bank Group Ltd.   4,027,721    52,700,995 
Vodacom Group Ltd.   6,652,681    45,480,017 
         256,137,879 
South Korea  |  9.4%          
Coway Co. Ltd.   582,736    32,146,400 
Hyundai Mobis Co. Ltd.   164,404    29,243,168 
KB Financial Group, Inc.   1,007,628    54,162,158 
Kia Corp.   458,643    28,962,212 
KT Corp.   1,037,717    34,909,132 
KT&G Corp.   317,284    21,886,947 
Shinhan Financial Group Co. Ltd.   1,462,157    46,687,232 
SK Hynix, Inc.   547,640    72,623,744 
         320,620,993 
Taiwan  |  11.2%          
ASE Technology Holding Co. Ltd.   13,802,000    60,480,539 
Globalwafers Co. Ltd.   2,600,000    25,180,287 
MediaTek, Inc.   1,504,000    63,419,100 
Novatek Microelectronics Corp.   2,678,000    44,196,306 
Taiwan Semiconductor Manufacturing Co. Ltd.   4,431,913    123,552,013 
Wiwynn Corp.   594,000    29,797,697 
Yageo Corp.   2,469,769    36,147,368 
         382,773,310 
Thailand  |  1.7%          
Kasikornbank PCL   6,943,354    33,117,803 
Description  Shares   Fair
Value
 
PTT Exploration & Production PCL (‡)   6,841,000   $23,492,307 
         56,610,110 
Turkey  |  0.6%          
BIM Birlesik Magazalar AS   1,837,255    22,161,404 
United Kingdom  |  1.3%          
Unilever PLC   736,090    43,845,613 
United States  |  0.8%          
Schlumberger NV   619,011    25,874,660 
Total Common Stocks
(Cost $2,899,959,878)
        3,293,932,764 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  3.4%
Fixed Income Clearing Corp., 4.37%, 04/01/25 (Dated 03/31/25, collateralized by $122,679,800 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $119,503,240) Proceeds of $117,174,222
(Cost $117,160,000)
  $117,160   $117,160,000 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio (concluded)
Short-Term Investments  |  0.2%
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $6,172,545)
   6,172,545   $6,172,545 
Total Investments  |  99.8%
(Cost $3,023,292,423)
       $3,417,265,309 
Cash and Other Assets in Excess of Liabilities  |  0.2%        5,286,572 
Net Assets  |  100.0%       $3,422,551,881 


 
 

 

Description  Shares   Fair
Value
 
Lazard Equity Franchise Portfolio          
Common Stocks  |  95.2%          
France  |  3.9%          
Edenred SE   140,828   $4,595,235 
FDJ UNITED (#)   39,453    1,240,224 
         5,835,459 
Germany  |  2.9%          
Fresenius Medical Care AG   89,246    4,407,591 
Israel  |  1.4%          
Nice Ltd. ADR (*)   13,195    2,034,273 
Italy  |  13.1%          
Nexi SpA (#), (*)   1,680,082    8,946,327 
Snam SpA   1,427,323    7,404,751 
Terna - Rete Elettrica Nazionale   341,412    3,090,271 
         19,441,349 
Japan  |  3.9%          
Secom Co. Ltd.   170,210    5,795,172 
Luxembourg  |  3.1%          
SES SA   776,959    4,590,296 
Switzerland  |  1.0%          
SGS SA   14,841    1,473,172 
United Kingdom  |  20.1%          
National Grid PLC   554,439    7,223,377 
Rentokil Initial PLC   1,960,330    8,858,881 
Severn Trent PLC   211,997    6,940,334 
United Utilities Group PLC   529,451    6,904,714 
         29,927,306 
United States  |  45.8%          
Baxter International, Inc.   171,157    5,858,704 
Cognizant Technology Solutions Corp., Class A   50,282    3,846,573 
Dentsply Sirona, Inc.   447,143    6,680,316 
Description  Shares   Fair
Value
 
Ferrovial SE   139,121   $6,227,279 
Fiserv, Inc. (*)   20,021    4,421,238 
H&R Block, Inc.   168,814    9,269,577 
Henry Schein, Inc. (*)   83,192    5,697,820 
International Game Technology PLC   534,720    8,694,547 
Omnicom Group, Inc.   109,326    9,064,219 
Scotts Miracle-Gro Co.   48,656    2,670,728 
Visa, Inc., A Shares   16,366    5,735,628 
         68,166,629 
Total Common Stocks
(Cost $145,620,627)
        141,671,247 
         
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  5.7%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $9,427,800 United States Treasury Bond, 3.875%, 05/15/43, with a fair value of $8,690,401) Proceeds of $8,521,034
(Cost $8,520,000)
  $8,520   $8,520,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.3%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $456,523)
   456,523   $456,523 
Total Investments  |  101.2%
(Cost $154,597,150)
       $150,647,770 
Liabilities in Excess of Cash and
Other Assets  |  (1.2)%
        (1,853,868) 
Net Assets  |  100.0%       $148,793,902 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Equity Select Portfolio          
Common Stocks  |  98.5%          
Australia  |  1.2%          
Computershare Ltd.   40,890   $1,005,914 
Canada  |  3.0%          
Dollarama, Inc.   14,757    1,577,990 
Toromont Industries Ltd.   12,374    968,475 
         2,546,465 
China  |  2.5%          
NXP Semiconductors NV   5,374    1,021,382 
Tencent Holdings Ltd.   17,723    1,129,532 
         2,150,914 
Denmark  |  1.3%          
Carlsberg AS, Class B   4,630    589,733 
Zealand Pharma AS (*)   6,492    488,610 
         1,078,343 
Finland  |  0.9%          
Kone OYJ, Class B   14,061    778,008 
France  |  3.2%          
EssilorLuxottica SA   2,934    844,067 
Legrand SA   6,635    702,542 
LVMH Moet Hennessy Louis Vuitton SE   1,363    850,952 
Pernod Ricard SA   3,988    396,132 
         2,793,693 
Hong Kong  |  1.6%          
AIA Group Ltd.   81,783    618,215 
Techtronic Industries Co. Ltd.   66,500    800,918 
         1,419,133 
India  |  1.2%          
HDFC Bank Ltd. ADR   15,714    1,044,038 
Description  Shares   Fair
Value
 
Ireland  |  2.6%          
Accenture PLC, Class A   7,059   $2,202,690 
Japan  |  5.4%          
FANUC Corp.   27,100    739,596 
Mizuho Financial Group, Inc.   54,000    1,470,716 
Nintendo Co. Ltd.   6,300    429,719 
Sanrio Co. Ltd.   42,400    1,963,680 
         4,603,711 
Netherlands  |  3.7%          
Argenx SE ADR (*)   1,201    710,830 
ASM International NV   1,701    779,361 
Wolters Kluwer NV   10,808    1,678,761 
         3,168,952 
Spain  |  1.2%          
Industria de Diseno Textil SA   21,017    1,048,374 
Sweden  |  1.7%          
Assa Abloy AB, Class B   19,630    589,855 
Hexagon AB, B Shares   83,226    891,798 
         1,481,653 
Switzerland  |  3.2%          
ABB Ltd.   32,287    1,670,891 
Partners Group Holding AG   778    1,103,997 
         2,774,888 
Taiwan  |  2.6%          
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   13,282    2,204,812 
United Kingdom  |  8.5%          
AstraZeneca PLC   9,350    1,366,452 
Coca-Cola Europacific Partners PLC   15,491    1,348,182 
Diageo PLC   38,744    1,010,706 
RELX PLC   39,065    1,956,879 
Unilever PLC   26,955    1,605,809 
         7,288,028 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Equity Select Portfolio (concluded) 
United States  |  54.7%          
Adobe, Inc. (*)   2,681   $1,028,244 
Alphabet, Inc., Class A   5,727    885,623 
Amazon.com, Inc. (*)   13,147    2,501,348 
Amphenol Corp., Class A   21,995    1,442,652 
Aon PLC, Class A   5,042    2,012,212 
Apple, Inc.   16,923    3,759,106 
Avery Dennison Corp.   3,371    599,937 
Bank of America Corp.   26,073    1,088,026 
Booz Allen Hamilton Holding Corp.   11,274    1,179,035 
Charles Schwab Corp.   24,735    1,936,256 
Coca-Cola Co.   21,774    1,559,454 
Corpay, Inc. (*)   1,908    665,358 
Danaher Corp.   6,342    1,300,110 
Equifax, Inc.   4,107    1,000,301 
HealthEquity, Inc. (*)   8,220    726,401 
Intercontinental Exchange, Inc.   11,022    1,901,295 
IQVIA Holdings, Inc. (*)   7,099    1,251,554 
Marvell Technology, Inc.   8,218    505,982 
McDonald's Corp.   3,761    1,174,824 
Meta Platforms, Inc., Class A   1,266    729,672 
Microsoft Corp.   7,641    2,868,355 
Motorola Solutions, Inc.   3,091    1,353,271 
NIKE, Inc., Class B   7,611    483,146 
Procter & Gamble Co.   8,113    1,382,617 
PTC, Inc. (*)   6,997    1,084,185 
Rockwell Automation, Inc.   3,307    854,463 
S&P Global, Inc.   3,283    1,668,092 
Salesforce, Inc.   6,849    1,837,998 
Sysco Corp.   7,901    592,891 
Texas Instruments, Inc.   7,009    1,259,517 
Thermo Fisher Scientific, Inc.   3,181    1,582,866 
UnitedHealth Group, Inc.   2,099    1,099,351 
Visa, Inc., A Shares   6,602    2,313,737 
Warner Music Group Corp., Class A   12,950    405,982 
Zoetis, Inc.   5,964    981,973 
         47,015,834 
Total Common Stocks
(Cost $57,213,736)
        84,605,450 
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  1.3%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $1,204,200 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $1,173,039) Proceeds of $1,150,140
(Cost $1,150,000)
  $1,150   $1,150,000 
           
Description   Shares    Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $64,448)
   64,448   $64,448 
Total Investments  |  99.9%
(Cost $58,428,184)
       $85,819,898 
Cash and Other Assets in Excess of Liabilities  |  0.1%        116,450 
Net Assets  |  100.0%       $85,936,348 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Listed Infrastructure Portfolio 
Common Stocks  |  95.7%          
Australia  |  6.7%          
Atlas Arteria Ltd. (^)   83,962,746   $255,612,036 
Transurban Group   42,045,599    353,316,689 
         608,928,725 
Canada  |  2.4%          
Algonquin Power & Utilities Corp. (^)   41,860,578    214,967,980 
France  |  5.2%          
Eutelsat Communications SACA (*)   11,305,144    53,895,209 
Vinci SA   3,348,948    423,200,139 
         477,095,348 
Germany  |  1.2%          
Fraport AG Frankfurt Airport Services Worldwide (*)   1,763,240    110,511,908 
Hong Kong  |  5.9%          
CK Infrastructure Holdings Ltd.   36,772,472    220,224,692 
Power Assets Holdings Ltd.   52,800,430    316,189,327 
         536,414,019 
Italy  |  18.4%          
Hera SpA   71,933,603    311,250,023 
Italgas SpA (^)   42,354,790    304,023,428 
Snam SpA   121,226,042    628,903,686 
Terna - Rete Elettrica Nazionale   49,046,199    443,938,813 
         1,688,115,950 
Luxembourg  |  1.4%          
SES SA (^)   21,121,589    124,786,960 
New Zealand  |  1.3%          
Auckland International Airport Ltd.   26,019,782    120,794,677 
Portugal  |  0.9%          
REN - Redes Energeticas Nacionais SGPS SA   29,065,003    86,341,142 
Description  Shares   Fair
Value
 
Spain  |  4.5%          
Aena SME SA (#)   1,766,245   $414,027,961 
Switzerland  |  1.6%          
Flughafen Zurich AG   623,027    148,004,891 
United Kingdom  |  19.3%          
National Grid PLC   57,873,262    753,988,106 
Pennon Group PLC (^)   26,547,011    153,381,633 
Severn Trent PLC   13,654,271    447,011,985 
United Utilities Group PLC   32,037,200    417,805,778 
         1,772,187,502 
United States  |  26.9%          
American Electric Power Co., Inc.   4,020,998    439,374,451 
CSX Corp.   14,320,869    421,463,175 
Exelon Corp.   9,649,469    444,647,532 
Ferrovial SE   16,282,454    728,828,736 
Norfolk Southern Corp.   1,831,384    433,763,300 
         2,468,077,194 
Total Common Stocks
(Cost $7,728,319,929)
        8,770,254,257 
         
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  3.6%      
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $357,241,300 United States Treasury Bonds, 3.875% to 4.375%, 05/15/43 to 08/15/43, with a fair value of $336,640,883) Proceeds of $330,080,063
(Cost $330,040,000)
  $330,040   $330,040,000 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Listed Infrastructure Portfolio (continued) 
Short-Term Investments  |  0.2%
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $17,370,541)
   17,370,541   $17,370,541 
Total Investments  |  99.5%
(Cost $8,075,730,470) (»)
       $9,117,664,798 
Cash and Other Assets in Excess of Liabilities  |  0.5%        48,057,279 
Net Assets  |  100.0%       $9,165,722,077 
 
 

 

Lazard Global Listed Infrastructure Portfolio (concluded)

 

Forward Currency Contracts open at March 31, 2025:

Currency
Purchased
  Quantity   Currency
Sold
  Quantity   Counterparty   Settlement
Date
  Unrealized
Appreciation
    Unrealized
Depreciation
 
HKD   689,732,298   USD   88,836,709   SCB   06/26/25   $     $ 30,014  
USD   59,461,424   AUD   93,788,696   BNP   06/26/25   816,137      
USD   106,656,058   AUD   168,234,120   CIT   06/26/25   1,460,671      
USD   147,731,987   AUD   233,019,427   HSB   06/26/25   2,026,890      
USD   163,090,415   AUD   257,241,133   MSC   06/26/25   2,239,688      
USD   115,730,925   AUD   182,563,928   SSB   06/26/25   1,575,229      
USD   5,565,048   CAD   7,936,858   BNP   06/26/25   26,430      
USD   59,924,361   CAD   85,457,915   CIT   06/26/25   288,832      
USD   55,569,749   CAD   79,251,297   HSB   06/26/25   265,416      
USD   54,880,650   CAD   78,269,669   MSC   06/26/25   261,332      
USD   19,013,291   CAD   27,105,509   SCB   06/26/25   98,117      
USD   21,247,433   CAD   30,304,755   SCB   06/26/25   99,713      
USD   38,645,589   CHF   33,628,905   BNP   06/26/25   250,538      
USD   58,483,266   CHF   50,891,360   SCB   06/26/25   379,191      
USD   63,080,860   CHF   54,890,662   SSB   06/26/25   410,672      
USD   338,453,119   EUR   311,045,214   BNP   06/26/25   508,856      
USD   547,791,730   EUR   503,570,209   BNY   06/26/25   672,999      
USD   438,272,966   EUR   402,598,695   CAN   06/26/25   857,718      
USD   572,226,233   EUR   525,606,995   CIT   06/26/25   1,164,984      
USD   164,992,219   EUR   152,341,056   HSB   06/26/25       523,222  
USD   380,184,720   EUR   349,403,399   HSB   06/26/25   565,074      
USD   596,277,550   EUR   547,731,051   RBC   06/26/25   1,178,966      
USD   576,969,260   EUR   530,083,385   SSB   06/26/25   1,044,505      
USD   265,361,108   GBP   204,788,073   CAN   06/26/25   846,156      
USD   503,997,590   GBP   388,831,225   HSB   06/26/25   1,762,907      
USD   351,538,195   GBP   271,126,642   MSC   06/26/25   1,336,888      
USD   106,908,246   GBP   82,678,424   RBC   06/26/25   116,483      
USD   307,661,568   GBP   237,462,812   RBC   06/26/25   942,220      
USD   191,442,043   GBP   147,764,943   SSB   06/26/25   581,139      
USD   90,104,220   HKD   699,287,435   BNP   06/26/25   67,250      
USD   80,123,587   HKD   621,831,145   HSB   06/26/25   59,525      
USD   102,146,706   HKD   792,781,015   MSC   06/26/25   71,941      
USD   218,394,195   HKD   1,694,848,150   SCB   06/26/25   173,497      
USD   135,318,896   HKD   1,050,223,487   SSB   06/26/25   97,046      
USD   20,131,449   NZD   35,148,675   HSB   06/26/25   133,763      
USD   93,519,612   NZD   161,507,142   HSB   06/26/25   1,630,822      
USD   7,888,792   NZD   13,621,657   RBC   06/26/25   138,809      
Total gross unrealized appreciation/depreciation on Forward Currency Contracts       $ 24,150,404     $ 553,236  
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Advantage Portfolio
Common Stocks  |  97.9%          
Argentina  |  0.2%          
Vista Energy SAB de CV ADR (*)   1,689   $78,640 
Australia  |  3.9%          
AGL Energy Ltd.   14,110    92,591 
Aristocrat Leisure Ltd.   2,155    87,029 
Brambles Ltd.   23,765    298,953 
Evolution Mining Ltd.   27,623    123,551 
Inghams Group Ltd.   14,559    28,599 
Northern Star Resources Ltd.   9,793    113,076 
Perseus Mining Ltd.   33,456    70,411 
Qantas Airways Ltd.   47,397    270,291 
Ramelius Resources Ltd.   31,882    47,436 
REA Group Ltd.   1,627    225,313 
Westgold Resources Ltd.   30,741    56,028 
         1,413,278 
Belgium  |  0.2%          
Anheuser-Busch InBev SA   608    37,438 
Colruyt Group NV   504    20,733 
         58,171 
Brazil  |  0.7%          
BB Seguridade Participacoes SA   27,500    194,210 
Vale SA   5,700    56,636 
         250,846 
Burkina Faso  |  0.1%          
IAMGOLD Corp. (*)   7,149    44,611 
Canada  |  7.6%          
Brookfield Corp.   1,237    64,736 
Canadian Natural Resources Ltd.   8,769    269,825 
Centerra Gold, Inc.   10,833    68,730 
CGI, Inc.   1,637    163,421 
Dollarama, Inc.   2,545    272,141 
Empire Co. Ltd., Class A   3,672    123,119 
Fairfax Financial Holdings Ltd.   282    407,571 
Finning International, Inc.   3,489    98,169 
Description  Shares   Fair
Value
 
Hudbay Minerals, Inc.   7,438   $56,390 
iA Financial Corp., Inc.   1,085    103,037 
Kinross Gold Corp.   8,175    102,993 
Loblaw Cos. Ltd.   981    137,472 
Manulife Financial Corp.   7,358    229,271 
Metro, Inc.   1,364    94,851 
Parex Resources, Inc.   7,205    67,191 
Shopify, Inc., Class A (*)   947    90,090 
Suncor Energy, Inc.   8,097    313,516 
Thomson Reuters Corp.   182    31,407 
Torex Gold Resources, Inc. (*)   3,895    107,860 
         2,801,790 
China  |  10.3%          
361 Degrees International Ltd.   66,000    37,659 
Alibaba Group Holding Ltd. ADR   873    115,437 
Alibaba Group Holding Ltd.   27,500    455,968 
Bank of China Ltd., Class H   249,000    150,676 
BOC Hong Kong Holdings Ltd.   39,000    157,885 
BYD Co. Ltd., Class H   1,000    50,547 
BYD Electronic International Co. Ltd.   6,500    33,993 
China Construction Bank Corp., Class H   137,000    121,550 
China Life Insurance Co. Ltd., Class H   17,000    32,945 
China Merchants Bank Co. Ltd., Class H   6,500    38,247 
China Tower Corp. Ltd., Class H (#)   27,000    36,369 
Haidilao International Holding Ltd. (#)   35,000    79,428 
JD.com, Inc., Class A   12,800    264,147 
Kanzhun Ltd. ADR (*)   1,887    36,174 
KE Holdings, Inc. ADR   2,738    55,006 
Kuaishou Technology (#), (*)   18,100    127,891 
Kunlun Energy Co. Ltd.   48,000    46,832 
Meituan, Class B (#), (*)   12,000    242,623 
Midea Group Co. Ltd.   26,500    269,701 
NetEase, Inc.   10,900    224,645 
PDD Holdings, Inc. ADR (*)   670    79,294 
PetroChina Co. Ltd., Class H   68,000    55,104 
Ping An Insurance Group Co. of China Ltd., Class H   32,500    193,905 
Qifu Technology, Inc. ADR   759    34,087 
Sunny Optical Technology Group Co. Ltd.   2,900    26,806 
Tencent Holdings Ltd.   8,600    548,100 
Xiaomi Corp., Class B (#), (*)   18,400    116,854 
Yangzijiang Shipbuilding Holdings Ltd.   87,000    151,899 
         3,783,772 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Advantage Portfolio (continued)
Denmark  |  1.1%          
Novo Nordisk AS, Class B   5,887   $408,042 
France  |  5.1%          
BNP Paribas SA   5,331    443,980 
Cie de Saint-Gobain SA   875    86,977 
L'Oreal SA   682    253,233 
Societe Generale SA   3,485    157,340 
TotalEnergies SE   6,831    441,493 
Unibail-Rodamco-Westfield REIT   395    33,302 
Valeo SE   2,972    28,048 
Vinci SA   3,388    428,135 
         1,872,508 
Germany  |  4.4%          
BASF SE   3,080    153,078 
Commerzbank AG   4,085    92,734 
CTS Eventim AG & Co. KGaA   904    90,316 
Deutsche Bank AG   16,357    386,289 
Deutsche Boerse AG   825    243,156 
Infineon Technologies AG   1,404    46,367 
IONOS Group SE (*)   1,401    38,697 
Knorr-Bremse AG   1,337    121,125 
Mercedes-Benz Group AG   588    34,482 
Rheinmetall AG   108    154,894 
SAP SE   67    17,788 
Siemens Energy AG (*)   1,643    95,935 
Traton SE   800    26,942 
TUI AG (*)   17,435    118,831 
         1,620,634 
Greece  |  0.5%          
Alpha Services & Holdings SA   36,050    86,689 
National Bank of Greece SA   8,394    86,490 
         173,179 
Hong Kong  |  1.6%          
AIA Group Ltd.   5,600    42,331 
Techtronic Industries Co. Ltd.   3,000    36,132 
WH Group Ltd. (#)   566,500    520,902 
         599,365 
Description  Shares   Fair
Value
 
India  |  3.2%          
GAIL India Ltd. GDR   3,605   $44,359 
Infosys Ltd. ADR   15,324    279,663 
Larsen & Toubro Ltd. GDR   968    38,914 
Mahindra & Mahindra Ltd. GDR   1,591    49,321 
Reliance Industries Ltd. GDR (#)   900    52,830 
State Bank of India GDR   5,208    462,470 
Wipro Ltd. ADR   81,007    247,881 
         1,175,438 
Indonesia  |  0.2%          
Indofood Sukses Makmur Tbk. PT   142,400    60,782 
Ireland  |  0.3%          
AerCap Holdings NV   687    70,191 
AIB Group PLC   5,713    37,085 
         107,276 
Israel  |  0.4%          
Nova Ltd. (*)   142    26,175 
Wix.com Ltd. (*)   811    132,501 
         158,676 
Italy  |  2.7%          
Buzzi SpA   1,050    50,704 
Ferrari NV   1,198    510,973 
Leonardo SpA   2,359    115,134 
Telecom Italia SpA (*)   169,293    57,240 
UniCredit SpA   4,318    242,358 
         976,409 
Japan  |  14.1%          
Advantest Corp.   800    35,584 
Bandai Namco Holdings, Inc.   1,300    43,572 
Canon, Inc.   6,700    208,910 
Central Japan Railway Co.   1,400    26,664 
Chugai Pharmaceutical Co. Ltd.   2,400    109,617 
Credit Saison Co. Ltd.   1,400    33,144 
Dai-ichi Life Holdings, Inc.   7,200    54,812 
Daiichi Sankyo Co. Ltd.   10,500    246,392 
Daito Trust Construction Co. Ltd.   600    61,366 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Advantage Portfolio (continued)
Daiwa Securities Group, Inc.   21,600   $144,115 
Denso Corp.   35,800    444,169 
East Japan Railway Co.   1,400    27,600 
FANUC Corp.   1,300    35,479 
Glory Ltd.   3,800    66,773 
Hachijuni Bank Ltd.   4,100    29,052 
Hyakugo Bank Ltd.   7,000    34,560 
Japan Post Holdings Co. Ltd.   62,100    620,336 
Kaneka Corp.   2,400    61,167 
KDDI Corp.   13,200    208,311 
Kyoto Financial Group, Inc.   16,100    245,402 
Kyushu Electric Power Co., Inc.   6,700    58,482 
Lasertec Corp.   600    51,470 
Mitsubishi Electric Corp.   35,800    653,652 
Mitsubishi Heavy Industries Ltd.   2,500    42,723 
Mitsui Mining & Smelting Co. Ltd.   2,100    61,252 
MS&AD Insurance Group Holdings, Inc.   12,400    268,610 
NGK Insulators Ltd.   3,600    44,280 
Nippon Telegraph & Telephone Corp.   84,000    81,135 
Nissan Chemical Corp.   6,700    199,196 
ORIX Corp.   2,700    55,861 
SoftBank Corp.   55,800    77,762 
Sony Group Corp.   10,800    275,092 
Sumitomo Electric Industries Ltd.   2,200    36,715 
Sumitomo Mitsui Financial Group, Inc.   4,700    119,924 
Suzuki Motor Corp.   5,700    69,498 
Tokyo Electron Ltd.   2,200    299,993 
Tokyu Fudosan Holdings Corp.   6,700    44,652 
         5,177,322 
Malaysia  |  0.3%          
Sime Darby Property Bhd.   177,400    53,111 
Tenaga Nasional Bhd.   14,100    42,523 
         95,634 
Mexico  |  0.4%          
Coca-Cola Femsa SAB de CV ADR   1,688    154,098 
Netherlands  |  3.7%          
ASML Holding NV   634    419,516 
EXOR NV   3,487    317,294 
Koninklijke Ahold Delhaize NV   6,217    232,427 
Description  Shares   Fair
Value
 
Wolters Kluwer NV   2,538   $394,217 
         1,363,454 
Norway  |  1.0%          
Kongsberg Gruppen ASA   2,457    360,236 
Philippines  |  0.4%          
International Container Terminal Services, Inc.   21,460    133,221 
Poland  |  0.6%          
KGHM Polska Miedz SA   3,479    114,198 
LPP SA   12    54,839 
ORLEN SA   3,088    54,634 
         223,671 
Saudi Arabia  |  0.6%          
Almarai Co. JSC   1,832    27,094 
Electrical Industries Co.   51,986    83,631 
Etihad Etisalat Co.   4,656    75,661 
Riyadh Cables Group Co.   1,083    36,674 
         223,060 
Singapore  |  0.9%          
Oversea-Chinese Banking Corp. Ltd.   2,600    33,226 
Sea Ltd. ADR (*)   311    40,583 
United Overseas Bank Ltd.   8,900    250,661 
         324,470 
South Africa  |  0.9%          
Harmony Gold Mining Co. Ltd. ADR   16,185    239,052 
Old Mutual Ltd.   51,287    33,314 
Vodacom Group Ltd.   6,388    43,671 
         316,037 
South Korea  |  3.5%          
Hana Financial Group, Inc.   6,649    270,593 
Hanmi Pharm Co. Ltd.   335    51,562 
KB Financial Group, Inc.   775    41,658 
Kia Corp.   2,038    128,695 
Korea Electric Power Corp.   1,890    28,004 
LG Electronics, Inc.   384    20,321 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Advantage Portfolio (continued)
LG H&H Co. Ltd.   90   $19,152 
Meritz Financial Group, Inc.   1,387    115,598 
Samsung Electronics Co. Ltd.   9,528    377,325 
Samsung Life Insurance Co. Ltd.   368    20,852 
SK Hynix, Inc.   1,683    223,186 
         1,296,946 
Spain  |  3.8%          
Banco Bilbao Vizcaya Argentaria SA   13,020    177,479 
Banco Santander SA   61,090    411,469 
Iberdrola SA   48,935    791,103 
         1,380,051 
Sweden  |  1.5%          
Betsson AB, Class B   3,800    59,031 
Boliden AB   5,420    177,462 
Essity AB, Class B   7,304    207,597 
SKF AB, B Shares   2,514    51,049 
Thule Group AB (#)   1,086    31,320 
Volvo AB, B Shares   752    22,116 
Volvo Car AB, Class B (*)   9,504    18,348 
         566,923 
Switzerland  |  2.0%          
ABB Ltd.   5,095    263,672 
Givaudan SA   50    214,862 
Logitech International SA   1,693    143,984 
UBS Group AG   3,117    95,510 
         718,028 
Taiwan  |  4.8%          
Accton Technology Corp.   3,000    53,019 
CyberPower Systems, Inc.   4,000    33,845 
Da-Li Development Co. Ltd.   24,000    34,775 
Delta Electronics, Inc.   22,000    242,500 
Eva Airways Corp.   28,000    34,365 
Hon Hai Precision Industry Co. Ltd.   10,000    44,684 
International Games System Co. Ltd., Class C   1,000    23,387 
Lotes Co. Ltd.   1,000    42,171 
MediaTek, Inc.   10,000    421,670 
Realtek Semiconductor Corp.   2,000    31,727 
Taiwan Semiconductor Manufacturing Co. Ltd.   28,000    780,579 
         1,742,722 
Description  Shares   Fair
Value
 
Thailand  |  0.4%          
Bangkok Dusit Medical Services PCL NVDR   63,200   $40,761 
PTT Exploration & Production PCL (‡)   33,600    115,384 
         156,145 
Turkey  |  0.3%          
Akbank TAS   37,911    52,139 
Turkiye Garanti Bankasi AS   12,964    40,267 
         92,406 
United Arab Emirates  |  0.6%          
ADNOC Drilling Co. PJSC   26,491    37,052 
Emaar Properties PJSC   52,938    192,860 
         229,912 
United Kingdom  |  8.4%          
Anglogold Ashanti PLC   1,310    48,627 
AstraZeneca PLC ADR   5,383    395,651 
Barclays PLC   77,103    289,529 
Drax Group PLC   3,482    26,345 
Global Ship Lease, Inc., Class A   1,346    30,756 
Harbour Energy PLC   9,670    26,236 
HSBC Holdings PLC   9,154    103,794 
Imperial Brands PLC   8,076    298,658 
International Consolidated Airlines Group SA   55,555    187,974 
J Sainsbury PLC   7,287    22,162 
Johnson Service Group PLC   33,937    58,567 
Marks & Spencer Group PLC   32,171    148,047 
NatWest Group PLC   102,068    598,000 
RELX PLC   3,724    187,061 
Rolls-Royce Holdings PLC (*)   19,412    187,686 
Standard Chartered PLC   26,542    393,379 
Unilever PLC   953    56,774 
Vodafone Group PLC   35,627    33,340 
         3,092,586 
United States  |  7.2%          
GSK PLC   38,586    736,950 
Novartis AG   6,460    718,595 
Roche Holding AG   1,824    599,736 
Sanofi SA   336    37,232 
Schneider Electric SE   1,309    303,011 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Advantage Portfolio (concluded)
Spotify Technology SA (*)   368   $202,411 
Titan Cement International SA   825    37,923 
         2,635,858 
Total Common Stocks
(Cost $33,119,834)
        35,866,197 
Preferred Stocks  |  0.8%          
Brazil  |  0.7%          
Petroleo Brasileiro SA CDI   42,100    274,152 
Germany  |  0.1%          
Volkswagen AG CDI   451    45,677 
Total Preferred Stocks
(Cost $340,955)
        319,829 
Warrants  |  0.0%          
Canada  |  0.0%          
Constellation Software, Inc.,
Expires 03/31/40i (*), (¢)
(Cost $0)
   26    0 
           
Description   Principal
Amount
(000)
    Fair
Value
 
Repurchase Agreements  |  1.8%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25 (Dated 03/31/25, collateralized by $719,300 United States Treasury Bond, 3.875%, 05/15/43, with a fair value of $663,079) Proceeds of $650,079
(Cost $650,000)
  $650   $650,000 
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $37,480)
   37,480   $37,480 
Total Investments  |  100.6%
(Cost $34,148,269)
       $36,873,506 
Liabilities in Excess of Cash and Other Assets  |  (0.6)%        (232,548) 
Net Assets  |  100.0%       $36,640,958 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Portfolio
Common Stocks  |  94.4%          
Australia  |  1.2%          
Rio Tinto PLC   200,779   $12,003,058 
Belgium  |  1.2%          
KBC Group NV   131,410    12,018,661 
Brazil  |  0.8%          
TOTVS SA   1,344,500    7,862,325 
Canada  |  2.4%          
Gildan Activewear, Inc.   333,266    14,733,597 
Suncor Energy, Inc.   249,121    9,645,962 
         24,379,559 
China  |  2.5%          
Contemporary Amperex Technology Co. Ltd., Class A   190,900    6,690,665 
Li Ning Co. Ltd.   4,530,500    9,303,316 
Tencent Holdings Ltd.   154,600    9,853,048 
         25,847,029 
Denmark  |  0.7%          
Novo Nordisk AS, Class B   98,334    6,815,762 
Finland  |  1.1%          
Fortum OYJ   674,730    11,061,538 
France  |  12.9%          
Air Liquide SA   88,078    16,761,390 
Bureau Veritas SA   535,274    16,183,517 
Capgemini SE   87,884    13,141,756 
Cie de Saint-Gobain SA   67,982    6,757,559 
Engie SA   905,408    17,642,594 
Orange SA   1,338,275    17,352,334 
Pernod Ricard SA   69,032    6,857,017 
Societe Generale SA   248,477    11,218,192 
Thales SA   90,492    24,296,224 
         130,210,583 

 

Description  Shares   Fair
Value
 
Germany  |  9.5%          
Brenntag SE   154,266   $9,967,045 
Continental AG   162,193    11,337,033 
Merck KGaA   94,463    12,933,323 
MTU Aero Engines AG   40,340    13,971,814 
Puma SE   303,095    7,339,598 
Rheinmetall AG   11,452    16,424,538 
Siemens AG   65,324    14,987,201 
Siemens Healthineers AG (#)   165,723    8,891,845 
         95,852,397 
Greece  |  1.7%          
National Bank of Greece SA   1,658,045    17,084,076 
Hong Kong  |  2.6%          
AIA Group Ltd.   1,790,400    13,534,012 
Techtronic Industries Co. Ltd.   1,094,000    13,176,006 
         26,710,018 
Israel  |  0.9%          
Wix.com Ltd. (*)   56,509    9,232,440 
Italy  |  2.6%          
Ryanair Holdings PLC ADR   254,430    10,780,199 
UniCredit SpA   278,521    15,632,661 
         26,412,860 
Japan  |  18.0%          
Bandai Namco Holdings, Inc.   358,600    12,019,301 
FANUC Corp.   456,000    12,444,869 
Hitachi Ltd.   381,600    8,834,451 
Kokusai Electric Corp.   526,500    8,657,703 
MatsukiyoCocokara & Co.   931,500    14,578,732 
Mitsui Fudosan Co. Ltd.   992,300    8,858,869 
Mizuho Financial Group, Inc.   611,700    16,659,939 
NEC Corp.   891,500    18,919,776 
Nippon Sanso Holdings Corp.   402,000    12,147,712 
Nitori Holdings Co. Ltd.   91,900    9,099,146 
Otsuka Holdings Co. Ltd.   132,500    6,877,706 
Renesas Electronics Corp.   562,703    7,643,458 
Resona Holdings, Inc.   1,271,800    11,007,745 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Portfolio (continued) 
Shimadzu Corp.   433,200   $10,834,827 
Suzuki Motor Corp.   1,192,400    14,538,412 
Toyo Suisan Kaisha Ltd.   142,800    8,406,949 
         181,529,595 
Mexico  |  1.0%          
Arca Continental SAB de CV   944,412    9,874,919 
Netherlands  |  3.3%          
ASML Holding NV   26,606    17,605,113 
ING Groep NV Series N   792,516    15,514,777 
         33,119,890 
Singapore  |  2.4%          
DBS Group Holdings Ltd.   430,212    14,764,641 
Singapore Telecommunications Ltd.   3,835,700    9,725,001 
         24,489,642 
South Korea  |  0.7%          
SK Hynix, Inc.   52,183    6,920,102 
Spain  |  2.4%          
Bankinter SA   1,324,231    14,733,517 
Industria de Diseno Textil SA   190,669    9,510,988 
         24,244,505 
Sweden  |  2.2%          
Hexagon AB, B Shares   1,203,890    12,900,135 
Sandvik AB   446,991    9,429,553 
         22,329,688 
Switzerland  |  2.8%          
ABB Ltd.   315,864    16,346,346 
Cie Financiere Richemont SA, Class A   71,122    12,419,722 
         28,766,068 
Taiwan  |  1.1%          
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   65,396    10,855,736 
Description  Shares   Fair
Value
 
United Kingdom  |  13.3%          
3i Group PLC   392,581   $18,390,410 
AstraZeneca PLC   72,168    10,546,969 
Coca-Cola Europacific Partners PLC   123,780    10,805,015 
Compass Group PLC   445,061    14,693,865 
Croda International PLC   308,645    11,696,652 
JD Sports Fashion PLC   4,193,131    3,687,579 
RELX PLC   745,470    37,445,868 
Unilever PLC   457,715    27,267,777 
         134,534,135 
United States  |  7.1%          
Aon PLC, Class A   41,669    16,629,681 
Chubb Ltd.   32,027    9,671,834 
CRH PLC   98,349    8,651,762 
Experian PLC   332,277    15,400,189 
ICON PLC (*)   24,471    4,282,180 
Roche Holding AG   53,889    17,718,839 
         72,354,485 
Total Common Stocks
(Cost $746,147,483)
        954,509,071 
Preferred Stocks  |  1.0%          
Brazil  |  1.0%          
Itau Unibanco Holding SA
(Cost $7,792,319)
   1,755,050    9,660,318 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard International Equity Portfolio (concluded) 
Repurchase Agreements  |  3.4% 
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $36,177,800 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $35,241,078) Proceeds of $34,554,194
(Cost $34,550,000)
  $34,550   $34,550,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.2% 
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $1,819,641)
   1,819,641   $1,819,641 
Total Investments  |  99.0%
(Cost $790,309,443)
       $1,000,539,030 
Cash and Other Assets in Excess of Liabilities  |  1.0%        10,282,097 
Net Assets  |  100.0%       $1,010,821,127 

 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Select Portfolio 
Common Stocks  |  93.4%          
Belgium  |  1.6%          
KBC Group NV   9,568   $875,082 
Brazil  |  0.8%          
TOTVS SA   71,800    419,870 
Canada  |  2.3%          
Gildan Activewear, Inc.   14,884    658,017 
Suncor Energy, Inc.   14,001    542,119 
         1,200,136 
China  |  5.2%          
Contemporary Amperex Technology Co. Ltd., Class A   13,700    480,158 
Li Ning Co. Ltd.   245,500    504,131 
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A   13,465    436,594 
Tencent Holdings Ltd.   21,000    1,338,383 
         2,759,266 
Denmark  |  1.6%          
Novo Nordisk AS, Class B   11,985    830,709 
Finland  |  1.3%          
Sampo OYJ, A Shares   70,615    676,309 
France  |  9.6%          
Air Liquide SA   4,472    851,029 
Bureau Veritas SA   31,040    938,466 
Capgemini SE   4,604    688,460 
Engie SA   46,923    914,332 
Pernod Ricard SA   3,580    355,605 
Thales SA   5,045    1,354,534 
         5,102,426 
Germany  |  8.0%          
adidas AG   2,938    687,991 
Continental AG   865    60,462 
Merck KGaA   3,496    478,652 
Description  Shares   Fair
Value
 
MTU Aero Engines AG   2,626   $909,519 
Puma SE   5,942    143,888 
SAP SE   2,757    731,959 
Siemens AG   3,477    797,724 
Siemens Healthineers AG (#)   8,463    454,081 
         4,264,276 
Greece  |  2.1%          
Piraeus Financial Holdings SA   198,173    1,091,147 
Hong Kong  |  2.6%          
AIA Group Ltd.   98,600    745,338 
Techtronic Industries Co. Ltd.   50,500    608,216 
         1,353,554 
India  |  2.9%          
Bharti Airtel Ltd.   28,692    580,470 
ICICI Bank Ltd. ADR   30,479    960,698 
         1,541,168 
Indonesia  |  1.0%          
Bank Mandiri Persero Tbk. PT   1,776,000    555,992 
Italy  |  1.3%          
Ryanair Holdings PLC ADR   16,068    680,801 
Japan  |  14.2%          
FANUC Corp.   26,100    712,305 
Hoya Corp.   5,700    642,985 
Keyence Corp.   1,200    471,009 
Kokusai Electric Corp.   24,200    397,942 
Mitsubishi Electric Corp.   34,300    626,264 
Mitsui Fudosan Co. Ltd.   56,000    499,946 
Mizuho Financial Group, Inc.   30,600    833,405 
Nitori Holdings Co. Ltd.   3,500    346,540 
Nomura Research Institute Ltd.   19,300    626,319 
Recruit Holdings Co. Ltd.   8,300    431,188 
Renesas Electronics Corp.   31,300    425,162 
Resona Holdings, Inc.   76,900    665,589 
Shin-Etsu Chemical Co. Ltd.   13,700    390,322 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Select Portfolio (continued) 
Suzuki Motor Corp.   38,200   $465,756 
         7,534,732 
Mexico  |  1.3%          
Grupo Financiero Banorte SAB de CV, Class O   100,300    695,623 
Netherlands  |  6.0%          
ASM International NV   635    290,943 
ASML Holding NV   1,479    978,650 
IMCD NV   4,458    593,377 
ING Groep NV Series N   29,926    585,850 
Universal Music Group NV   26,583    732,672 
         3,181,492 
Singapore  |  1.4%          
DBS Group Holdings Ltd.   22,040    756,401 
South Korea  |  0.9%          
SK Hynix, Inc.   3,419    453,401 
Spain  |  1.6%          
Bankinter SA   74,293    826,591 
Sweden  |  1.3%          
Hexagon AB, B Shares   63,269    677,951 
Switzerland  |  2.9%          
ABB Ltd.   17,544    907,924 
Cie Financiere Richemont SA, Class A   3,632    634,240 
         1,542,164 
Taiwan  |  3.6%          
Taiwan Semiconductor Manufacturing Co. Ltd.   69,000    1,923,569 
United Kingdom  |  11.6%          
3i Group PLC   9,025    422,775 
Compass Group PLC   34,105    1,125,990 
Croda International PLC   13,241    501,791 
Diploma PLC   6,624    330,877 
Description  Shares   Fair
Value
 
InterContinental Hotels Group PLC   2,188   $235,482 
London Stock Exchange Group PLC   2,772    411,065 
RELX PLC   31,224    1,568,420 
Unilever PLC   26,622    1,585,971 
         6,182,371 
United States  |  8.3%          
Aon PLC, Class A   3,294    1,314,602 
Chubb Ltd.   1,808    545,998 
CRH PLC   4,050    356,279 
Experian PLC   17,620    816,642 
ICON PLC (*)   1,357    237,461 
James Hardie Industries PLC CDI (*)   15,067    357,432 
Roche Holding AG   2,415    794,058 
         4,422,472 
Total Common Stocks
(Cost $41,131,803)
        49,547,503 
Preferred Stocks  |  1.5%          
Brazil  |  1.5%          
Itau Unibanco Holding SA
(Cost $693,177)
   146,850    808,306 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  2.1%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $1,183,300 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $1,152,721) Proceeds of $1,130,137
(Cost $1,130,000)
  $1,130   $1,130,000 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Select Portfolio (concluded)
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $61,378)
   61,378   $61,378 
Total Investments  |  97.1%
(Cost $43,016,358)
       $51,547,187 
Cash and Other Assets in Excess of Liabilities  |  2.9%        1,534,752 
Net Assets  |  100.0%       $53,081,939 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Quality Growth Portfolio 
Common Stocks  |  97.2%          
Australia  |  2.2%          
Computershare Ltd.   321,588   $7,911,220 
Brazil  |  1.6%          
TOTVS SA   994,708    5,816,822 
Canada  |  4.6%          
Dollarama, Inc.   97,831    10,461,231 
Toromont Industries Ltd.   80,332    6,287,337 
         16,748,568 
China  |  2.9%          
Tencent Holdings Ltd.   163,700    10,433,014 
Denmark  |  1.6%          
Coloplast AS, Class B   53,342    5,608,901 
France  |  7.3%          
EssilorLuxottica SA   46,720    13,440,639 
LVMH Moet Hennessy Louis Vuitton SE   14,151    8,834,787 
Pernod Ricard SA   41,832    4,155,214 
         26,430,640 
Germany  |  5.4%          
SAP SE   46,374    12,311,884 
Scout24 SE (#)   69,686    7,263,589 
         19,575,473 
Hong Kong  |  3.8%          
AIA Group Ltd.   599,600    4,532,503 
Hong Kong Exchanges & Clearing Ltd.   209,500    9,319,627 
         13,852,130 
India  |  2.9%          
HDFC Bank Ltd. ADR   157,656    10,474,665 
Description  Shares   Fair
Value
 
Ireland  |  2.7%          
Accenture PLC, Class A   31,343   $9,780,270 
Israel  |  2.8%          
Check Point Software Technologies Ltd. (*)   44,703    10,188,708 
Japan  |  9.0%          
Hoya Corp.   56,300    6,350,885 
Keyence Corp.   15,600    6,123,114 
M3, Inc.   514,700    5,893,603 
Recruit Holdings Co. Ltd.   127,500    6,623,668 
SMS Co. Ltd.   365,300    2,757,693 
Toei Animation Co. Ltd.   233,500    4,845,017 
         32,593,980 
Netherlands  |  8.2%          
ASML Holding NV   15,284    10,113,378 
IMCD NV   41,344    5,503,047 
Universal Music Group NV   253,746    6,993,667 
Wolters Kluwer NV   44,738    6,948,966 
         29,559,058 
Norway  |  1.6%          
Gjensidige Forsikring ASA   249,648    5,743,647 
South Africa  |  2.1%          
Clicks Group Ltd.   417,406    7,730,384 
Spain  |  2.3%          
Industria de Diseno Textil SA   165,103    8,235,700 
Sweden  |  4.2%          
Assa Abloy AB, Class B   299,554    9,001,186 
Hexagon AB, B Shares   572,565    6,135,250 
         15,136,436 
Switzerland  |  4.7%          
Partners Group Holding AG   8,546    12,126,936 


 
 

 

         
Description  Shares   Fair
Value
 
Lazard International Quality Growth Portfolio (concluded) 
VAT Group AG (#)   13,954   $5,042,382 
         17,169,318 
Taiwan  |  4.2%          
Lotes Co. Ltd.   79,000    3,331,507 
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   70,346    11,677,436 
         15,008,943 
United Kingdom  |  17.3%          
Diageo PLC   249,448    6,507,293 
Diploma PLC   104,155    5,202,677 
Halma PLC   292,774    9,791,789 
InterContinental Hotels Group PLC   57,354    6,172,692 
London Stock Exchange Group PLC   89,064    13,207,457 
RELX PLC   238,095    11,926,867 
Unilever PLC   163,534    9,740,994 
         62,549,769 
United States  |  5.8%          
Aon PLC, Class A   30,894    12,329,486 
Experian PLC   183,158    8,488,905 
         20,818,391 
Total Common Stocks
(Cost $324,955,011)
        351,366,037 
Preferred Stocks  |  1.3%          
Germany  |  1.3%          
Sartorius AG NVDR
(Cost $6,650,942)
   19,102   $4,418,302 
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  1.3%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $5,089,000 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $4,957,258) Proceeds of $4,860,590
(Cost $4,860,000)
  $4,860   $4,860,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $264,340)
   264,340   $264,340 
Total Investments  |  99.9%
(Cost $336,730,293)
       $360,908,679 
Cash and Other Assets in Excess of Liabilities  |  0.1%        535,894 
Net Assets  |  100.0%       $361,444,573 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Small Cap Equity Portfolio 
Common Stocks  |  96.6%          
Australia  |  3.4%          
ALS Ltd.   10,212   $99,009 
Amotiv Ltd.   16,106    89,860 
AUB Group Ltd.   5,867    113,653 
         302,522 
Austria  |  1.8%          
BAWAG Group AG (#)   1,556    160,795 
Canada  |  1.5%          
Descartes Systems Group, Inc. (*)   572    57,583 
Toromont Industries Ltd.   940    73,571 
         131,154 
Denmark  |  1.8%          
Ascendis Pharma AS ADR (*)   484    75,436 
Zealand Pharma AS (*)   1,162    87,456 
         162,892 
Finland  |  1.1%          
Kemira OYJ   4,722    102,943 
France  |  7.0%          
Exosens SAS   4,541    166,560 
Gaztransport Et Technigaz SA   1,007    152,595 
Planisware SA   3,802    96,147 
Robertet SA   137    121,019 
Virbac SACA   288    91,792 
         628,113 
Germany  |  5.2%          
CTS Eventim AG & Co. KGaA   930    92,913 
Hensoldt AG   1,992    133,480 
IONOS Group SE (*)   5,148    142,194 
Sirius Real Estate Ltd. REIT   95,870    104,655 
         473,242 
Greece  |  3.0%          
Jumbo SA   4,637    126,799 
Description  Shares   Fair
Value
 
National Bank of Greece SA   14,217   $146,488 
         273,287 
Ireland  |  2.5%          
Glenveagh Properties PLC (#), (*)   73,198    120,136 
Greencore Group PLC   45,957    101,089 
         221,225 
Israel  |  2.4%          
Phoenix Financial Ltd.   11,730    218,197 
Italy  |  7.0%          
BFF Bank SpA (#)   11,927    98,450 
Lottomatica Group SpA   8,476    170,697 
Maire SpA   11,980    115,142 
RAI Way SpA (#)   16,715    105,002 
Sanlorenzo SpA   456    14,226 
SOL SpA   3,263    131,787 
         635,304 
Japan  |  27.7%          
Asics Corp.   6,500    138,048 
BayCurrent, Inc.   2,900    125,868 
Hulic Co. Ltd.   16,100    154,498 
Jeol Ltd.   3,200    99,063 
Kokusai Electric Corp.   6,200    101,952 
Kotobuki Spirits Co. Ltd.   8,400    136,852 
Minebea Mitsumi, Inc.   6,300    91,989 
Nakanishi, Inc.   7,000    100,252 
Nihon Kohden Corp.   6,000    80,444 
Nippon Gas Co. Ltd.   7,300    108,965 
Nippon Sanso Holdings Corp.   4,800    145,047 
Open Up Group, Inc.   9,300    117,398 
Organo Corp.   3,900    167,528 
Sanwa Holdings Corp.   4,600    147,161 
SBI Sumishin Net Bank Ltd.   7,300    199,263 
Sega Sammy Holdings, Inc.   5,000    96,528 
Sumitomo Forestry Co. Ltd.   3,300    99,910 
Tokyo Century Corp.   9,900    96,877 
Toyo Suisan Kaisha Ltd.   2,600    153,068 
USS Co. Ltd.   15,100    140,512 
         2,501,223 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Small Cap Equity Portfolio (continued) 
Jersey  |  1.8%          
JTC PLC (#)   13,520   $159,454 
Mexico  |  1.5%          
Arca Continental SAB de CV   13,100    136,976 
Netherlands  |  4.0%          
Arcadis NV   1,790    91,442 
CTP NV (#)   10,524    188,620 
IMCD NV   641    85,320 
         365,382 
Spain  |  1.3%          
Merlin Properties Socimi SA REIT   11,156    119,784 
Sweden  |  4.1%          
Asker Healthcare Group AB   18,265    146,276 
Catena AB   3,086    133,571 
Swedish Orphan Biovitrum AB (*)   3,173    90,867 
         370,714 
Switzerland  |  3.9%          
Burckhardt Compression Holding AG   132    89,179 
R&S Group Holding AG   5,548    116,365 
Swissquote Group Holding SA   350    151,010 
         356,554 
Taiwan  |  1.0%          
Gold Circuit Electronics Ltd.   15,000    92,220 
Turkey  |  0.7%          
BIM Birlesik Magazalar AS   4,874    58,791 
United Kingdom  |  11.8%          
Ashtead Technology Holdings PLC   15,482    106,437 
Beazley PLC   16,024    192,793 
ConvaTec Group PLC (#)   31,526    105,184 
Diploma PLC   1,734    86,616 
Description  Shares   Fair
Value
 
DiscoverIE Group PLC   13,215   $92,825 
Ferrari Group PLC   10,448    89,250 
Genuit Group PLC   13,661    63,657 
IMI PLC   4,393    108,042 
Volution Group PLC   15,550    108,273 
Weir Group PLC   3,579    108,066 
         1,061,143 
United States  |  2.1%          
Reliance Worldwide Corp. Ltd.   26,511    74,426 
Titan Cement International SA   2,539    116,711 
         191,137 
Total Common Stocks
(Cost $7,894,166)
        8,723,052 
Preferred Stocks  |  1.1%          
Italy  |  1.1%          
Danieli & C Officine Meccaniche SpA
(Cost $112,617)
   4,002   $103,153 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  1.4%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $132,800 United States Treasury Bond, 3.875%, 05/15/43, with a fair value of $122,426) Proceeds of $120,015
(Cost $120,000)
  $120   $120,000 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Small Cap Equity Portfolio (concluded) 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $11,350)
   11,350   $11,350 
Total Investments  |  99.2%
(Cost $8,138,133)
       $8,957,555 
Cash and Other Assets in Excess of Liabilities  |  0.8%        69,310 
Net Assets  |  100.0%       $9,026,865 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Strategic Equity Portfolio 
Common Stocks  |  100.1%          
Canada  |  3.7%          
Canadian Pacific Kansas City Ltd.   483,446   $33,927,390 
Element Fleet Management Corp.   1,683,707    33,474,068 
Suncor Energy, Inc.   430,616    16,673,447 
         84,074,905 
China  |  1.0%          
Alibaba Group Holding Ltd. ADR   163,747    21,652,266 
Denmark  |  4.8%          
Carlsberg AS, Class B   377,795    48,120,535 
Novo Nordisk AS, Class B   859,065    59,543,823 
         107,664,358 
Finland  |  2.1%          
Sampo OYJ, A Shares   4,842,777    46,381,244 
France  |  4.6%          
Cie de Saint-Gobain SA   283,466    28,177,137 
Engie SA   1,619,367    31,554,652 
Societe Generale SA   947,556    42,780,077 
         102,511,866 
Germany  |  6.6%          
Deutsche Boerse AG   73,177    21,567,806 
Douglas AG (*)   355,133    4,113,345 
Merck KGaA   271,214    37,133,039 
MTU Aero Engines AG   132,215    45,792,846 
Rheinmetall AG   27,157    38,948,758 
         147,555,794 
Greece  |  2.6%          
Piraeus Financial Holdings SA   10,529,171    57,973,987 
Hong Kong  |  2.4%          
AIA Group Ltd.   3,575,200    27,025,692 
Techtronic Industries Co. Ltd.   2,327,500    28,032,134 
         55,057,826 
Description  Shares   Fair
Value
 
India  |  1.1%          
HDFC Bank Ltd.   1,178,942   $25,111,380 
Israel  |  6.2%          
Bank Leumi Le-Israel BM   5,192,747    69,800,668 
Phoenix Financial Ltd.   2,304,696    42,871,139 
Wix.com Ltd. (*)   158,515    25,898,180 
         138,569,987 
Italy  |  6.3%          
BFF Bank SpA (#)   2,260,348    18,657,840 
Davide Campari-Milano NV   3,483,441    20,451,805 
Lottomatica Group SpA   1,409,716    28,390,079 
Ryanair Holdings PLC ADR   616,534    26,122,546 
UniCredit SpA   855,556    48,020,138 
         141,642,408 
Japan  |  18.5%          
BayCurrent, Inc.   834,800    36,232,578 
Hoya Corp.   348,200    39,278,478 
Keyence Corp.   79,600    31,243,579 
Kobe Bussan Co. Ltd.   1,058,400    24,869,066 
Mizuho Financial Group, Inc.   1,854,100    50,497,291 
NEC Corp.   1,783,500    37,850,163 
Nippon Sanso Holdings Corp.   653,900    19,759,674 
OBIC Business Consultants Co. Ltd.   587,700    28,587,388 
Renesas Electronics Corp.   2,480,000    33,686,999 
Sanrio Co. Ltd.   1,119,800    51,861,530 
Shimadzu Corp.   887,800    22,204,893 
Suzuki Motor Corp.   1,962,088    23,922,881 
Ulvac, Inc.   446,000    15,295,926 
         415,290,446 
Mexico  |  1.7%          
Arca Continental SAB de CV   3,601,300    37,655,754 
Netherlands  |  4.0%          
Argenx SE (*)   42,587    24,898,033 
ASML Holding NV   98,437    65,135,476 
         90,033,509 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Strategic Equity Portfolio (concluded) 
Portugal  |  1.1%          
Banco Comercial Portugues SA, Class R   41,251,112   $24,921,334 
South Korea  |  0.9%          
Samsung Electronics Co. Ltd.   526,111    20,834,908 
Sweden  |  2.3%          
Hexagon AB, B Shares   2,498,580    26,773,226 
Saab AB, Class B   635,744    24,977,015 
         51,750,241 
Switzerland  |  2.9%          
ABB Ltd.   853,625    44,176,131 
Partners Group Holding AG   15,337    21,763,493 
         65,939,624 
Taiwan  |  0.9%          
Taiwan Semiconductor Manufacturing Co. Ltd.   739,000    20,601,699 
United Kingdom  |  18.5%          
Allfunds Group PLC   2,515,435    14,392,245 
Coca-Cola Europacific Partners PLC   574,667    50,163,884 
Compass Group PLC   1,526,701    50,404,637 
Informa PLC   4,141,618    41,429,806 
London Stock Exchange Group PLC   341,104    50,582,912 
National Grid PLC   2,805,234    36,547,328 
RELX PLC   1,541,459    77,429,367 
Unilever PLC   955,193    56,904,383 
Weir Group PLC   1,213,945    36,654,556 
         414,509,118 
United States  |  7.9%          
Aon PLC, Class A   166,220    66,336,740 
CRH PLC   403,714    35,514,721 
Experian PLC   699,675    32,428,146 
ICON PLC (*)   192,968    33,767,470 
Description  Shares   Fair
Value
 
James Hardie Industries PLC CDI (*)   379,101   $8,993,339 
         177,040,416 
Total Common Stocks
(Cost $1,746,057,821)
        2,246,773,070 
Short-Term Investments  |  0.5%
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $11,458,728)
   11,458,728    11,458,728 
Total Investments  |  100.6%
(Cost $1,757,516,549)
       $2,258,231,798 
Liabilities in Excess of Cash and Other Assets  |  (0.6)%        (12,908,201) 
Net Assets  |  100.0%       $2,245,323,597 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Equity Concentrated Portfolio    
Common Stocks  |  98.6%          
Aerospace & Defense  |  5.3%          
Boeing Co. (*)   14,783   $2,521,241 
Automobiles  |  4.8%          
Thor Industries, Inc.   30,188    2,288,552 
Biotechnology  |  2.6%          
Vaxcyte, Inc. (*)   32,491    1,226,860 
Broadline Retail  |  9.7%          
Amazon.com, Inc. (*)   24,101    4,585,456 
Capital Markets  |  14.9%          
Charles Schwab Corp.   52,074    4,076,353 
Intercontinental Exchange, Inc.   17,181    2,963,722 
         7,040,075 
Electrical Equipment  |  3.6%          
Rockwell Automation, Inc.   6,573    1,698,332 
Electronic Equipment, Instruments & Components  |  6.5% 
Coherent Corp. (*)   47,234    3,067,376 
Financial Services  |  5.1%          
Corpay, Inc. (*)   6,869    2,395,358 
Hotels, Restaurants & Leisure  |  4.3%    
First Watch Restaurant Group, Inc. (*)   121,952    2,030,501 
Insurance  |  6.0%          
First American Financial Corp.   43,009    2,822,681 
IT Services  |  4.4%          
DigitalOcean Holdings, Inc. (*)   61,883    2,066,273 
Description  Shares   Fair
Value
 
Life Sciences Tools & Services  |  2.8%    
Avantor, Inc. (*)   82,421   $1,336,044 
Media  |  2.3%          
Trade Desk, Inc., Class A (*)   20,256    1,108,408 
Pharmaceuticals  |  4.4%          
Zoetis, Inc.   12,613    2,076,730 
Semiconductors & Semiconductor Equipment  |  13.5% 
Marvell Technology, Inc.   67,630    4,163,979 
Onto Innovation, Inc. (*)   18,488    2,243,334 
         6,407,313 
Software  |  4.7%          
Microsoft Corp.   5,925    2,224,186 
Specialized REITs  |  3.7%          
CubeSmart   41,470    1,771,184 
Total Common Stocks
(Cost $50,113,384)
        46,666,570 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  0.7%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $356,100 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $346,959) Proceeds of $340,041
(Cost $340,000)
  $340   $340,000 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Equity Concentrated Portfolio (concluded) 
Short-Term Investments  |  0.1%           
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $28,367)
   28,367   $28,367 
Total Investments  |  99.4%
(Cost $50,481,751)
       $47,034,937 
Cash and Other Assets in Excess of Liabilites  |  0.6%        275,229 
Net Assets  |  100.0%          $47,310,166 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Equity Focus Portfolio          
Common Stocks  |  99.6%          
Banks  |  3.3%          
Bank of America Corp.   64,087   $2,674,351 
Biotechnology  |  0.8%          
Vertex Pharmaceuticals, Inc. (*)   1,387    672,445 
Broadline Retail  |  6.6%          
Amazon.com, Inc. (*)   28,156    5,356,961 
Capital Markets  |  11.5%          
Blackstone, Inc.   12,278    1,716,219 
Goldman Sachs Group, Inc.   6,241    3,409,396 
Intercontinental Exchange, Inc.   24,306    4,192,785 
         9,318,400 
Commercial Services & Supplies  |  3.7%      
Waste Management, Inc.   12,899    2,986,248 
Electrical Equipment  |  1.6%          
Rockwell Automation, Inc.   4,854    1,254,177 
Financial Services  |  4.8%          
Visa, Inc., A Shares   11,030    3,865,574 
Ground Transportation  |  2.0%          
Old Dominion Freight Line, Inc.   9,954    1,646,889 
Health Care Equipment & Supplies  |  2.2%    
Medtronic PLC   19,279    1,732,411 
Health Care Providers & Services  |  3.1%    
UnitedHealth Group, Inc.   4,715    2,469,481 
Description  Shares    Fair
Value
 
Hotels, Restaurants & Leisure  |  3.7%    
McDonald's Corp.   9,570   $2,989,381 
Insurance  |  4.5%          
Marsh & McLennan Cos., Inc.   14,978    3,655,081 
Interactive Media & Services  |  4.4%    
Alphabet, Inc., Class A   23,024    3,560,431 
IT Services  |  2.0%          
Accenture PLC, Class A   5,026    1,568,313 
Life Sciences Tools & Services  |  4.4%          
Danaher Corp.   17,338    3,554,290 
Machinery  |  2.4%          
Nordson Corp.   9,709    1,958,499 
Oil, Gas & Consumable Fuels  |  3.0%    
ConocoPhillips   23,023    2,417,875 
Pharmaceuticals  |  2.1%          
Eli Lilly & Co.   2,016    1,665,035 
Professional Services  |  4.6%          
Equifax, Inc.   7,629    1,858,119 
Jacobs Solutions, Inc.   15,529    1,877,301 
         3,735,420 
Real Estate Management & Development  |  2.6%  
CBRE Group, Inc., Class A (*)   16,091    2,104,381 
Semiconductors & Semiconductor Equipment  |  9.3% 
Advanced Micro Devices, Inc. (*)   11,375    1,168,667 
Analog Devices, Inc.   13,177    2,657,406 
Applied Materials, Inc.   12,066    1,751,018 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Equity Focus Portfolio (concluded)     
Broadcom, Inc.   11,687   $1,956,754 
         7,533,845 
Software  |  9.4%          
Microsoft Corp.   20,220    7,590,386 
Technology Hardware, Storage & Peripherals  |  7.6% 
Apple, Inc.   27,740    6,161,886 
Total Common Stocks
(Cost $54,155,187)
        80,471,760 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  0.8%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $741,400 United States Treasury Bond, 3.875%, 05/15/43, with a fair value of $683,422) Proceeds of $670,081
(Cost $670,000)
  $670   $670,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $44,522)
   44,522   $44,522 
Total Investments  |  100.5%
(Cost $54,869,709)
       $81,186,282 
Liabilities in Excess of Cash and Other Assets  |  (0.5)%        (400,788) 
Net Assets  |  100.0%       $80,785,494 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Small Cap Equity Select Portfolio    
Common Stocks  |  97.9%          
Aerospace & Defense  |  0.8%          
Standardaero, Inc.   10,364   $276,097 
Automobile Components  |  1.0%          
Gentherm, Inc. (*)   12,158    325,105 
Automobiles  |  1.3%          
Thor Industries, Inc.   5,849    443,413 
Banks  |  7.9%          
BankUnited, Inc.   23,677    815,436 
Commerce Bancshares, Inc.   8,055    501,263 
Home BancShares, Inc.   21,495    607,663 
Wintrust Financial Corp.   6,261    704,112 
         2,628,474 
Biotechnology  |  5.4%          
Arcutis Biotherapeutics, Inc. (*)   30,463    476,441 
Aurinia Pharmaceuticals, Inc. (*)   63,562    511,038 
Janux Therapeutics, Inc. (*)   6,104    164,808 
Rhythm Pharmaceuticals, Inc. (*)   8,376    443,677 
Vaxcyte, Inc. (*)   5,980    225,805 
         1,821,769 
Building Products  |  2.0%          
Hayward Holdings, Inc. (*)   22,658    315,399 
Janus International Group, Inc. (*)   50,547    363,939 
         679,338 
Capital Markets  |  6.0%          
DigitalBridge Group, Inc.   47,188    416,198 
Evercore, Inc., Class A   1,476    294,787 
StepStone Group, Inc., Class A   13,695    715,290 
Stifel Financial Corp.   6,072    572,347 
         1,998,622 
Commercial Services & Supplies  |  3.8%    
ABM Industries, Inc.   6,764    320,343 
Casella Waste Systems, Inc., Class A (*)   5,376    599,478 
Description  Shares   Fair
Value
 
Driven Brands Holdings, Inc. (*)   20,247   $347,033 
         1,266,854 
Construction Materials  |  1.2%          
Eagle Materials, Inc.   1,744    387,046 
Consumer Staples Distribution & Retail  |  4.8%    
BJ's Wholesale Club Holdings, Inc. (*)   6,186    705,823 
Chefs' Warehouse, Inc. (*)   8,783    478,322 
Guardian Pharmacy Services, Inc., Class A   19,180    407,767 
         1,591,912 
Containers & Packaging  |  1.5%          
Graphic Packaging Holding Co.   19,289    500,742 
Electrical Equipment  |  2.2%          
EnerSys   4,477    410,003 
Generac Holdings, Inc. (*)   2,655    336,256 
         746,259 
Electronic Equipment, Instruments & Components  |  3.6% 
Cognex Corp.   12,260    365,716 
Coherent Corp. (*)   8,739    567,511 
Mirion Technologies, Inc. (*)   17,992    260,884 
         1,194,111 
Energy Equipment & Services  |  3.1%    
Atlas Energy Solutions, Inc.   23,685    422,540 
Cactus, Inc., Class A   4,623    211,872 
Liberty Energy, Inc.   24,789    392,410 
         1,026,822 
Entertainment  |  1.4%          
Roku, Inc. (*)   6,451    454,408 
Ground Transportation  |  1.3%          
Landstar System, Inc.   2,912    437,382 
Health Care Equipment & Supplies  |  5.7%    
Enovis Corp. (*)   12,517    478,275 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Small Cap Equity Select Portfolio (continued) 
Inspire Medical Systems, Inc. (*)   2,566   $408,712 
Lantheus Holdings, Inc. (*)   5,388    525,869 
RxSight, Inc. (*)   19,378    489,294 
         1,902,150 
Health Care Technology  |  2.4%          
Evolent Health, Inc., Class A (*)   40,136    380,088 
Schrodinger, Inc. (*)   21,696    428,279 
         808,367 
Hotels, Restaurants & Leisure  |  4.0%    
First Watch Restaurant Group, Inc. (*)   28,832    480,053 
Kura Sushi USA, Inc., Class A (*)   6,870    351,744 
Wyndham Hotels & Resorts, Inc.   5,449    493,189 
         1,324,986 
Insurance  |  6.3%          
Abacus Global Management, Inc. (*)   47,170    353,303 
First American Financial Corp.   12,073    792,351 
Hanover Insurance Group, Inc.   1,752    304,761 
Reinsurance Group of America, Inc.   3,337    657,055 
         2,107,470 
Interactive Media & Services  |  1.3%    
Cars.com, Inc. (*)   40,093    451,848 
IT Services  |  1.9%          
DigitalOcean Holdings, Inc. (*)   18,946    632,607 
           
Life Sciences Tools & Services  |  0.6%    
Maravai LifeSciences Holdings, Inc., Class A (*)   93,593    206,841 
Machinery  |  7.4%          
Gates Industrial Corp. PLC (*)   27,571    507,582 
Middleby Corp. (*)   3,927    596,825 
Nordson Corp.   1,787    360,474 
REV Group, Inc.   13,173    416,267 
Toro Co.   7,953    578,581 
         2,459,729 
Description  Shares   Fair
Value
 
Oil, Gas & Consumable Fuels  |  2.6%    
Antero Resources Corp. (*)   11,873   $480,144 
Magnolia Oil & Gas Corp., Class A   15,062    380,466 
         860,610 
Pharmaceuticals  |  1.0%          
Axsome Therapeutics, Inc. (*)   2,937    342,542 
Professional Services  |  1.3%          
Verra Mobility Corp. (*)   19,370    436,019 
Retail REITs  |  1.5%          
Brixmor Property Group, Inc.   19,388    514,751 
Semiconductors & Semiconductor Equipment  |  5.0% 
Allegro MicroSystems, Inc. (*)   17,815    447,691 
Credo Technology Group Holding Ltd. (*)   5,918    237,667 
MKS Instruments, Inc.   5,581    447,317 
Onto Innovation, Inc. (*)   4,346    527,344 
         1,660,019 
Software  |  2.7%          
SPS Commerce, Inc. (*)   2,664    353,593 
Zeta Global Holdings Corp., Class A (*)   41,046    556,584 
         910,177 
Specialized REITs  |  2.2%          
CubeSmart   17,017    726,796 
Specialty Retail  |  1.8%          
RH (*)   1,451    340,129 
Warby Parker, Inc., Class A (*)   14,070    256,496 
         596,625 
Textiles, Apparel & Luxury Goods  |  1.9%    
Crocs, Inc. (*)   5,949    631,784 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Small Cap Equity Select Portfolio (concluded) 
Trading Companies & Distributors  |  1.0%    
Beacon Roofing Supply, Inc. (*)   2,853   $352,916 
Total Common Stocks
(Cost $31,031,430)
        32,704,591 
Total Investments  |  97.9%
(Cost $31,031,430)
       $32,704,591 
Cash and Other Assets in Excess of Liabilites  |  2.1%        684,615 
Net Assets  |  100.0%       $33,389,206 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Sustainable Equity Portfolio      
Common Stocks  |  98.2%          
Banks  |  2.0%          
Commerce Bancshares, Inc.   2,901   $180,529 
Biotechnology  |  0.6%          
Vertex Pharmaceuticals, Inc. (*)   112    54,300 
Building Products  |  2.8%          
Carlisle Cos., Inc.   266    90,573 
Trane Technologies PLC   482    162,395 
         252,968 
Capital Markets  |  9.5%          
Charles Schwab Corp.   3,671    287,366 
Intercontinental Exchange, Inc.   1,937    334,133 
S&P Global, Inc.   454    230,677 
         852,176 
Chemicals  |  3.0%          
Linde PLC   338    157,386 
Sherwin-Williams Co.   311    108,598 
         265,984 
Commercial Services & Supplies  |  3.3%          
MSA Safety, Inc.   372    54,569 
Waste Management, Inc.   1,038    240,307 
         294,876 
Consumer Finance  |  1.3%          
American Express Co.   443    119,189 
Containers & Packaging  |  1.0%          
Avery Dennison Corp.   509    90,587 
Electrical Equipment  |  1.1%          
Rockwell Automation, Inc.   377    97,409 
Description  Shares   Fair
Value
 
Electronic Equipment, Instruments & Components  |  1.6% 
Amphenol Corp., Class A   2,167   $142,134 
Financial Services  |  5.2%          
Visa, Inc. A Shares   1,349    472,771 
Ground Transportation  |  1.0%          
Old Dominion Freight Line, Inc.   560    92,652 
Health Care Equipment & Supplies  |  4.5%          
Boston Scientific Corp. (*)   2,943    296,890 
Medtronic PLC   1,239    111,336 
         408,226 
Health Care Providers & Services  |  3.0%          
UnitedHealth Group, Inc.   509    266,589 
Hotels, Restaurants & Leisure  |  1.1%          
Starbucks Corp.   1,010    99,071 
Household Products  |  3.0%          
Procter & Gamble Co.   1,566    266,878 
Industrial REITs  |  1.1%          
Prologis, Inc.   918    102,623 
Insurance  |  1.6%          
Chubb Ltd.   466    140,727 
IT Services  |  2.5%          
Accenture PLC, Class A   711    221,860 
Life Sciences Tools & Services  |  5.9%          
Danaher Corp.   1,070    219,350 
IQVIA Holdings, Inc. (*)   503    88,679 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Sustainable Equity Portfolio (concluded) 
Thermo Fisher Scientific, Inc.   449   $223,422 
         531,451 
Machinery  |  5.5%          
Deere & Co.   389    182,577 
Nordson Corp.   633    127,689 
Watts Water Technologies, Inc., Class A   434    88,501 
Xylem, Inc.   805    96,166 
         494,933 
Pharmaceuticals  |  4.8%          
Eli Lilly & Co.   169    139,579 
Merck & Co., Inc.   1,261    113,187 
Zoetis, Inc.   1,084    178,481 
         431,247 
Real Estate Management & Development  |  1.1% 
CBRE Group, Inc., Class A (*)   741    96,908 
Semiconductors & Semiconductor Equipment  |  8.6% 
Analog Devices, Inc.   1,503    303,110 
Applied Materials, Inc.   644    93,457 
Broadcom, Inc.   1,186    198,572 
Marvell Technology, Inc.   1,492    91,863 
QUALCOMM, Inc.   582    89,401 
         776,403 
Software  |  13.0%          
Adobe, Inc. (*)   311    119,278 
Cadence Design Systems, Inc. (*)   507    128,945 
CyberArk Software Ltd. (*)   279    94,302 
Microsoft Corp.   1,928    723,752 
Salesforce, Inc.   399    107,076 
         1,173,353 
Specialty Retail  |  3.3%          
Home Depot, Inc.   805    295,024 
Description  Shares   Fair
Value
 
Technology Hardware, Storage & Peripherals  |  6.8% 
Apple, Inc.   2,769   $615,078 
Total Common Stocks
(Cost $6,233,154)
        8,835,946 
           
Description   Principal
Amount
(000)
    Fair
Value
 
Repurchase Agreements  |  1.8%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25 (Dated 03/31/25, collateralized by $167,600 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $163,321) Proceeds of $160,019
(Cost $160,000)
  $160   $160,000 
           
Description   Shares    Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $13,430)
   13,430   $13,430 
Total Investments  |  100.1%
(Cost $6,406,584)
       $9,009,376 
Liabilities in Excess of Cash and Other Assets  |  (0.1)%    (7,466) 
Net Assets  |  100.0%       $9,001,910 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio
Closed-End Management Investment Companies  |  0.4%
ASA Gold & Precious Metals Ltd.   1,719   $51,810 
Kayne Anderson Energy Infrastructure Fund   11,513    147,712 
Total Closed-End Management Investment Companies
(Cost $148,977)
    199,522 
Common Stocks  |  100.1%          
Automobile Components  |  1.5%          
Autoliv, Inc.   1,005    88,892 
BorgWarner, Inc.   2,582    73,974 
Cooper-Standard Holdings, Inc. (*)   3,818    58,492 
Dorman Products, Inc. (*)   467    56,292 
Fox Factory Holding Corp. (*)   1,734    40,472 
LCI Industries   1,347    117,768 
Lear Corp.   1,069    94,307 
Motorcar Parts of America, Inc. (*)   1,943    18,459 
Visteon Corp. (*)   2,048    158,966 
         707,622 
Banks  |  3.4%          
ACNB Corp.   754    31,035 
Amalgamated Financial Corp.   5,552    159,620 
Bank of NT Butterfield & Son Ltd.   4,891    190,358 
Cadence Bank   3,096    93,994 
Capital City Bank Group, Inc.   577    20,749 
Comerica, Inc.   1,417    83,688 
Community Financial System, Inc.   1,436    81,651 
Financial Institutions, Inc.   3,352    83,666 
First BanCorp   4,548    87,185 
First Busey Corp.   3,745    80,892 
First Business Financial Services, Inc.   214    10,090 
First United Corp.   767    23,025 
Metrocity Bankshares, Inc.   778    21,449 
Northeast Community Bancorp, Inc.   975    22,854 
Northrim BanCorp, Inc.   436    31,924 
OFG Bancorp   2,210    88,444 
Popular, Inc.   917    84,703 
Republic Bancorp, Inc., Class A   465    29,676 
Sierra Bancorp   637    17,760 
Southside Bancshares, Inc.   1,810    52,418 
Trustmark Corp.   2,443    84,259 
Description   Shares    Fair
Value
 
UMB Financial Corp.   1,116   $112,828 
Zions Bancorp NA   2,159    107,648 
         1,599,916 
Beverages  |  0.0%          
Coca-Cola Consolidated, Inc.   8    10,800 
Biotechnology  |  5.1%          
ADMA Biologics, Inc. (*)   25,934    514,531 
Alkermes PLC (*)   6,354    209,809 
BioCryst Pharmaceuticals, Inc. (*)   16,319    122,393 
Catalyst Pharmaceuticals, Inc. (*)   2,460    59,655 
Emergent BioSolutions, Inc. (*)   5,240    25,466 
Entrada Therapeutics, Inc. (*)   4,087    36,946 
Exelixis, Inc. (*)   3,436    126,857 
Halozyme Therapeutics, Inc. (*)   4,102    261,749 
MiMedx Group, Inc. (*)   4,183    31,791 
Neurocrine Biosciences, Inc. (*)   576    63,706 
Organogenesis Holdings, Inc. (*)   35,841    154,833 
Protagonist Therapeutics, Inc. (*)   2,564    123,995 
Rigel Pharmaceuticals, Inc. (*)   9,959    179,162 
Ultragenyx Pharmaceutical, Inc. (*)   2,309    83,609 
United Therapeutics Corp. (*)   646    199,142 
Veracyte, Inc. (*)   6,111    181,191 
         2,374,835 
Building Products  |  1.7%          
AZEK Co., Inc. (*)   4,176    204,165 
Builders FirstSource, Inc. (*)   2,168    270,870 
Hayward Holdings, Inc. (*)   12,389    172,455 
Resideo Technologies, Inc. (*)   7,346    130,024 
         777,514 
Capital Markets  |  1.8%          
Affiliated Managers Group, Inc.   529    88,888 
Bain Capital Specialty Finance, Inc.   5,616    93,226 
Barings BDC, Inc.   9,732    92,843 
CION Investment Corp.   8,381    86,743 
Donnelley Financial Solutions, Inc. (*)   322    14,075 
Golub Capital BDC, Inc.   5,892    89,205 
Houlihan Lokey, Inc.   669    108,043 
MarketAxess Holdings, Inc.   431    93,247 
SEI Investments Co.   1,257    97,581 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
XP, Inc., Class A   5,831   $80,176 
         844,027 
Chemicals  |  2.1%          
AdvanSix, Inc.   6,176    139,886 
Avient Corp.   2,993    111,220 
Balchem Corp.   318    52,788 
Cabot Corp.   2,192    182,243 
ICL Group Ltd.   24,957    142,005 
Methanex Corp.   4,627    162,362 
Minerals Technologies, Inc.   2,346    149,135 
Orion SA   3,521    45,527 
         985,166 
Commercial Services & Supplies  |  4.4%
Brady Corp., Class A   4,812    339,920 
BrightView Holdings, Inc. (*)   17,267    221,708 
Civeo Corp.   5,588    128,524 
Deluxe Corp.   2,379    37,612 
Ennis, Inc.   1,022    20,532 
Healthcare Services Group, Inc. (*)   8,673    87,424 
HNI Corp.   2,628    116,552 
Interface, Inc.   6,219    123,385 
Liquidity Services, Inc. (*)   7,147    221,628 
OPENLANE, Inc. (*)   12,995    250,543 
Pursuit Attractions & Hospitality, Inc. (*)   1,589    56,235 
Steelcase, Inc., Class A   15,059    165,047 
Tetra Tech, Inc.   5,845    170,966 
UniFirst Corp.   597    103,878 
         2,043,954 
Communications Equipment  |  2.4%
Aviat Networks, Inc. (*)   4,624    88,642 
Ceragon Networks Ltd. (*)   58,127    136,598 
Gilat Satellite Networks Ltd. (*)   14,511    92,145 
Harmonic, Inc. (*)   7,547    72,376 
Ituran Location & Control Ltd.   3,897    140,916 
NETGEAR, Inc. (*)   9,435    230,780 
NetScout Systems, Inc. (*)   11,545    242,560 
Ribbon Communications, Inc. (*)   24,439    95,801 
         1,099,818 
Construction & Engineering  |  0.5%          
Argan, Inc.   740    97,066 
Description   Shares    Fair
Value
 
Northwest Pipe Co. (*)   2,292   $94,659 
WillScot Holdings Corp.   1,401    38,948 
         230,673 
Construction Materials  |  0.1%          
Smith-Midland Corp. (*)   1,553    48,252 
Consumer Finance  |  0.6%          
Enova International, Inc. (*)   2,052    198,141 
FirstCash Holdings, Inc.   711    85,548 
         283,689 
Consumer Staples Distribution & Retail  |  0.3%
PriceSmart, Inc.   1,452    127,558 
Containers & Packaging  |  0.5%          
Ardagh Metal Packaging SA   23,675    71,498 
Graphic Packaging Holding Co.   1,835    47,637 
Greif, Inc., Class A   1,696    93,263 
         212,398 
Distributors  |  0.2%          
Weyco Group, Inc.   2,585    78,791 
Diversified Consumer Services  |  3.1%
Adtalem Global Education, Inc. (*)   3,036    305,543 
Afya Ltd., Class A   5,476    98,185 
American Public Education, Inc. (*)   9,206    205,478 
Graham Holdings Co., Class B   317    304,593 
Grand Canyon Education, Inc. (*)   526    91,008 
Laureate Education, Inc. (*)   9,631    196,954 
Lincoln Educational Services Corp. (*)   4,165    66,098 
Perdoceo Education Corp.   222    5,590 
Strategic Education, Inc.   1,811    152,052 
         1,425,501 
Diversified REITs  |  0.2%          
Broadstone Net Lease, Inc.   5,473    93,260 
Diversified Telecommunication Services  |  0.6%
Bandwidth, Inc., Class A (*)   6,385    83,643 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
Iridium Communications, Inc.   4,080   $111,466 
Liberty Global Ltd., Class A (*)   6,606    76,035 
         271,144 
Electrical Equipment  |  1.6%          
Acuity, Inc.   871    229,378 
Allient, Inc.   1,076    23,651 
EnerSys   1,554    142,315 
Generac Holdings, Inc. (*)   1,842    233,289 
Preformed Line Products Co.   371    51,973 
Thermon Group Holdings, Inc. (*)   2,080    57,928 
         738,534 
Electronic Equipment, Instruments & Components  |  5.0%
Advanced Energy Industries, Inc.   224    21,350 
Arrow Electronics, Inc. (*)   830    86,179 
Avnet, Inc.   2,082    100,123 
Bel Fuse, Inc., Class B   1,222    91,479 
Belden, Inc.   635    63,659 
Benchmark Electronics, Inc.   3,272    124,434 
Celestica, Inc. (*)   40    3,152 
Climb Global Solutions, Inc.   1,540    170,570 
Coherent Corp. (*)   1,466    95,202 
CTS Corp.   2,230    92,657 
Daktronics, Inc. (*)   2,493    30,365 
ePlus, Inc. (*)   2,123    129,567 
Fabrinet (*)   481    95,002 
IPG Photonics Corp. (*)   1,680    106,075 
Itron, Inc. (*)   1,978    207,215 
Kimball Electronics, Inc. (*)   6,652    109,426 
OSI Systems, Inc. (*)   359    69,768 
PC Connection, Inc.   3,670    229,081 
Plexus Corp. (*)   1,777    227,687 
ScanSource, Inc. (*)   2,713    92,269 
TD SYNNEX Corp.   1,026    106,663 
TTM Technologies, Inc. (*)   4,112    84,337 
         2,336,260 
Energy Equipment & Services  |  0.1%
Enerflex Ltd.   6,171    47,702 
North American Construction Group Ltd.   854    13,484 
         61,186 
Description   Shares    Fair
Value
 
Entertainment  |  0.1%        
Atlanta Braves Holdings, Inc., Class C (*)   1,277   $51,093 
Financial Services  |  1.6%          
Enact Holdings, Inc.   2,810    97,647 
Euronet Worldwide, Inc. (*)   1,775    189,659 
EVERTEC, Inc.   2,362    86,851 
MGIC Investment Corp.   4,256    105,464 
NMI Holdings, Inc., Class A (*)   5,222    188,253 
Voya Financial, Inc.   1,280    86,733 
         754,607 
Food Products  |  1.8%          
Dole PLC   18,595    268,698 
Lifeway Foods, Inc. (*)   8,234    201,321 
Mission Produce, Inc. (*)   4,375    45,850 
Nomad Foods Ltd.   12,935    254,173 
Seneca Foods Corp., Class A (*)   896    79,780 
         849,822 
Ground Transportation  |  0.1%          
Covenant Logistics Group, Inc.   1,605    35,631 
           
Health Care Equipment & Supplies  |  3.4%
Bausch & Lomb Corp. (*)   6,324    91,698 
Cerus Corp. (*)   58,454    81,251 
ClearPoint Neuro, Inc. (*)   1,957    23,269 
Electromed, Inc. (*)   8,256    196,988 
Glaukos Corp. (*)   1,200    118,104 
iRadimed Corp.   4,082    214,223 
Lantheus Holdings, Inc. (*)   364    35,526 
LeMaitre Vascular, Inc.   1,158    97,156 
LivaNova PLC (*)   3,033    119,136 
Omnicell, Inc. (*)   5,316    185,847 
Penumbra, Inc. (*)   643    171,945 
QuidelOrtho Corp. (*)   1,129    39,481 
RxSight, Inc. (*)   3,027    76,432 
Surmodics, Inc. (*)   130    3,969 
Tactile Systems Technology, Inc. (*)   4,267    56,410 
Varex Imaging Corp. (*)   7,373    85,527 
         1,596,962 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
Health Care Providers & Services  |  1.7%
Chemed Corp.   152   $93,529 
Encompass Health Corp.   1,519    153,844 
Option Care Health, Inc. (*)   7,802    272,680 
Progyny, Inc. (*)   10,503    234,637 
Viemed Healthcare, Inc. (*)   3,850    28,028 
         782,718 
Health Care REITs  |  0.6%          
LTC Properties, Inc.   2,236    79,266 
Omega Healthcare Investors, Inc.   2,793    106,358 
Sabra Health Care REIT, Inc.   6,188    108,104 
         293,728 
Health Care Technology  |  1.0%          
Doximity, Inc., Class A (*)   3,598    208,792 
HealthStream, Inc.   2,724    87,658 
TruBridge, Inc. (*)   6,617    182,100 
         478,550 
Hotel & Resort REITs  |  0.2%          
DiamondRock Hospitality Co.   10,743    82,936 
Hotels, Restaurants & Leisure  |  1.2%
Accel Entertainment, Inc. (*)   17,947    178,034 
Despegar.com Corp. (*)   9,809    184,311 
Nathan’s Famous, Inc.   344    33,153 
Sportradar Group AG, Class A (*)   7,800    168,636 
         564,134 
Household Durables  |  3.9%          
Cavco Industries, Inc. (*)   207    107,563 
Cricut, Inc., Class A   26,706    137,536 
Flexsteel Industries, Inc.   2,293    83,717 
Green Brick Partners, Inc. (*)   3,143    183,268 
Hamilton Beach Brands Holding Co., Class A   4,272    83,005 
KB Home   4,468    259,680 
La-Z-Boy, Inc.   6,272    245,173 
M/I Homes, Inc. (*)   770    87,919 
Meritage Homes Corp.   572    40,543 
Taylor Morrison Home Corp. (*)   4,632    278,105 
TopBuild Corp. (*)   326    99,414 
Description   Shares    Fair
Value
 
Tri Pointe Homes, Inc. (*)   6,939   $221,493 
         1,827,416 
Household Products  |  1.2%          
Central Garden & Pet Co., Class A (*)   7,473    244,591 
Oil-Dri Corp. of America   2,459    112,917 
Spectrum Brands Holdings, Inc.   2,448    175,155 
         532,663 
Independent Power & Renewable Electricity Producers  |  0.2%
TransAlta Corp.   9,353    87,451 
Industrial REITs  |  0.7%          
First Industrial Realty Trust, Inc.   1,361    73,440 
LXP Industrial Trust   10,919    94,449 
Rexford Industrial Realty, Inc.   2,416    94,586 
STAG Industrial, Inc.   2,051    74,082 
         336,557 
Insurance  |  2.3%          
Assurant, Inc.   439    92,080 
Axis Capital Holdings Ltd.   1,267    127,004 
CNO Financial Group, Inc.   2,241    93,338 
Enstar Group Ltd. (*)   313    104,035 
Globe Life, Inc.   987    130,008 
Hanover Insurance Group, Inc.   691    120,199 
Mercury General Corp.   2,713    151,657 
Primerica, Inc.   403    114,665 
Unum Group   1,672    136,201 
         1,069,187 
Interactive Media & Services  |  1.1%
Cargurus, Inc. (*)   5,728    166,857 
Match Group, Inc.   3,865    120,588 
VTEX, Class A (*)   9,131    46,294 
Yelp, Inc. (*)   3,352    124,124 
Ziff Davis, Inc. (*)   969    36,415 
         494,278 
IT Services  |  1.6%          
ASGN, Inc. (*)   1,438    90,623 
Backblaze, Inc., Class A (*)   7,100    34,293 
DXC Technology Co. (*)   5,367    91,507 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
Hackett Group, Inc.   6,482   $189,404 
Kyndryl Holdings, Inc. (*)   3,724    116,934 
Okta, Inc. (*)   1,194    125,633 
Unisys Corp. (*)   17,946    82,372 
         730,766 
Leisure Products  |  0.4%          
BRP, Inc.   1,120    37,867 
JAKKS Pacific, Inc.   3,172    78,254 
Smith & Wesson Brands, Inc.   8,538    79,574 
         195,695 
Life Sciences Tools & Services  |  1.5%
Bruker Corp.   1,990    83,063 
Charles River Laboratories International, Inc. (*)   310    46,661 
CryoPort, Inc. (*)   6,029    36,656 
Medpace Holdings, Inc. (*)   962    293,112 
Mesa Laboratories, Inc.   870    103,234 
Niagen Bioscience, Inc. (*)   5,625    38,813 
Qiagen NV   2,575    103,386 
         704,925 
Machinery  |  1.6%          
Greenbrier Cos., Inc.   964    49,376 
Hyster-Yale, Inc.   1,020    42,371 
Kennametal, Inc.   3,873    82,495 
Luxfer Holdings PLC   8,906    105,625 
Mueller Industries, Inc.   4,751    361,741 
Trinity Industries, Inc.   1,513    42,455 
Worthington Enterprises, Inc.   1,417    70,977 
         755,040 
Marine Transportation  |  0.9%          
Euroseas Ltd.   4,978    152,576 
Global Ship Lease, Inc., Class A   2,903    66,333 
Matson, Inc.   1,387    177,772 
Safe Bulkers, Inc.   1,287    4,749 
         401,430 
Media  |  2.6%          
EW Scripps Co., Class A (*)   26,088    77,220 
Gambling.com Group Ltd. (*)   5,930    74,837 
Gannett Co., Inc. (*)   32,057    92,645 
Gray Media, Inc.   47,855    206,734 
Description   Shares    Fair
Value
 
John Wiley & Sons, Inc., Class A   504   $22,458 
Liberty Broadband Corp., Class C (*)   1,737    147,732 
Paramount Global, Class B   8,946    106,994 
Sinclair, Inc.   11,920    189,886 
TEGNA, Inc.   16,475    300,174 
         1,218,680 
Mortgage Real Estate Investment  |  0.2%
Two Harbors Investment Corp.   7,535    100,668 
Mortgage Real Estate Investment Trusts (REITs)  |  0.0%
Angel Oak Mortgage REIT, Inc.   1,533    14,610 
Office REITs  |  0.2%          
COPT Defense Properties   2,619    71,420 
Oil, Gas & Consumable Fuels  |  1.0%
Bw Lpg Ltd. (#)   12,037    130,963 
Hafnia Ltd.   23,382    97,269 
Permian Basin Royalty Trust   5,514    54,644 
Sabine Royalty Trust   879    59,499 
Sitio Royalties Corp., Class A   5,244    104,198 
         446,573 
Paper & Forest Products  |  0.3%          
Sylvamo Corp.   2,101    140,914 
Passenger Airlines  |  0.2%          
Alaska Air Group, Inc. (*)   720    35,439 
SkyWest, Inc. (*)   617    53,907 
         89,346 
Personal Care Products  |  0.3%          
Herbalife Ltd. (*)   13,148    113,467 
USANA Health Sciences, Inc. (*)   1,490    40,186 
         153,653 
Professional Services  |  7.8%          
Barrett Business Services, Inc.   7,033    289,408 
CACI International, Inc., Class A (*)   742    272,255 
CSG Systems International, Inc.   4,042    244,420 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
ExlService Holdings, Inc. (*)   5,344   $252,290 
Franklin Covey Co. (*)   5,941    164,090 
Genpact Ltd.   6,002    302,381 
Heidrick & Struggles International, Inc.   5,489    235,094 
Huron Consulting Group, Inc. (*)   2,148    308,131 
IBEX Holdings Ltd. (*)   4,472    108,893 
KBR, Inc.   2,038    101,513 
Kelly Services, Inc., Class A   11,662    153,588 
Kforce, Inc.   2,025    99,002 
Korn Ferry   2,356    159,807 
ManpowerGroup, Inc.   3,982    230,478 
Mistras Group, Inc. (*)   4,469    47,282 
Skillsoft Corp. (*)   1,028    19,779 
TELUS International CDA, Inc. (*)   18,181    48,907 
Upwork, Inc. (*)   15,546    202,875 
Willdan Group, Inc. (*)   4,074    165,893 
WNS Holdings Ltd. (*)   3,442    211,649 
         3,617,735 
Real Estate Management & Development  |  0.5%
FirstService Corp.   541    89,779 
FRP Holdings, Inc. (*)   1,513    43,226 
Marcus & Millichap, Inc.   1,819    62,665 
RMR Group, Inc., Class A   1,905    31,718 
         227,388 
Residential REITs  |  0.3%          
Elme Communities   6,448    112,195 
Retail REITs  |  1.8%          
Brixmor Property Group, Inc.   3,761    99,855 
Federal Realty Investment Trust   649    63,485 
Getty Realty Corp.   3,137    97,812 
InvenTrust Properties Corp.   3,665    107,641 
Kite Realty Group Trust   3,285    73,485 
NNN REIT, Inc.   2,133    90,972 
Phillips Edison & Co., Inc.   2,125    77,541 
Tanger, Inc.   3,243    109,581 
Whitestone REIT   6,759    98,479 
         818,851 
Semiconductors & Semiconductor Equipment  |  1.7%
Cirrus Logic, Inc. (*)   1,823    181,671 
Description   Shares    Fair
Value
 
FormFactor, Inc. (*)   6,348   $179,585 
MKS Instruments, Inc.   1,124    90,089 
Rambus, Inc. (*)   5,640    292,011 
Semtech Corp. (*)   1,290    44,376 
Ultra Clean Holdings, Inc. (*)   356    7,622 
         795,354 
Software  |  12.6%          
A10 Networks, Inc.   9,694    158,400 
ACI Worldwide, Inc. (*)   3,057    167,248 
Adeia, Inc.   14,425    190,699 
Agilysys, Inc. (*)   1,744    126,510 
Alkami Technology, Inc. (*)   5,422    142,328 
Appfolio, Inc., Class A (*)   897    197,250 
Box, Inc., Class A (*)   3,300    101,838 
Braze, Inc., Class A (*)   2,593    93,555 
Clear Secure, Inc., Class A   2,420    62,702 
Commvault Systems, Inc. (*)   1,641    258,884 
Confluent, Inc., Class A (*)   3,912    91,697 
Consensus Cloud Solutions, Inc. (*)   7,985    184,294 
Docebo, Inc. (*)   4,631    132,956 
Dolby Laboratories, Inc., Class A   4,045    324,854 
DoubleVerify Holdings, Inc. (*)   7,949    106,278 
Elastic NV (*)   1,617    144,075 
Enfusion, Inc., Class A (*)   18,184    202,752 
Freshworks, Inc., Class A (*)   14,026    197,907 
Intapp, Inc. (*)   2,409    140,637 
InterDigital, Inc.   1,396    288,623 
JFrog Ltd. (*)   3,774    120,768 
Karooooo Ltd.   1,133    48,198 
Magic Software Enterprises Ltd.   1,776    23,070 
Monday.com Ltd. (*)   704    171,185 
N-Able, Inc. (*)   18,909    134,065 
OneSpan, Inc.   11,441    174,475 
Open Text Corp.   4,158    105,031 
Pagaya Technologies Ltd., Class A (*)   8,978    94,089 
Pegasystems, Inc.   2,675    185,966 
Procore Technologies, Inc. (*)   1,269    83,779 
Q2 Holdings, Inc. (*)   1,041    83,290 
Radware Ltd. (*)   7,239    156,507 
Red Violet, Inc.   3,160    118,784 
Rimini Street, Inc. (*)   7,622    26,525 
Sapiens International Corp. NV   3,180    86,146 
SEMrush Holdings, Inc., Class A (*)   16,592    154,803 
SentinelOne, Inc., Class A (*)   5,183    94,227 


 
 

 

Description   Shares    Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (continued)
SimilarWeb Ltd. (*)   4,136   $34,205 
SPS Commerce, Inc. (*)   253    33,581 
Tenable Holdings, Inc. (*)   2,265    79,230 
Teradata Corp. (*)   8,841    198,746 
Verint Systems, Inc. (*)   8,005    142,889 
Weave Communications, Inc. (*)   7,728    85,704 
Workiva, Inc. (*)   1,332    101,112 
         5,849,862 
Specialized REITs  |  0.8%          
EPR Properties   1,642    86,386 
Four Corners Property Trust, Inc.   3,734    107,166 
PotlatchDeltic Corp.   2,020    91,142 
Rayonier, Inc.   3,687    102,793 
         387,487 
Specialty Retail  |  2.4%          
Abercrombie & Fitch Co., Class A (*)   2,370    180,997 
Asbury Automotive Group, Inc. (*)   659    145,534 
AutoNation, Inc. (*)   1,147    185,722 
Betterware de Mexico SAPI de CV   443    5,037 
National Vision Holdings, Inc. (*)   4,721    60,334 
Sonic Automotive, Inc., Class A   1,890    107,654 
Urban Outfitters, Inc. (*)   5,174    271,118 
Valvoline, Inc. (*)   4,865    169,351 
         1,125,747 
Technology Hardware, Storage & Peripherals  |  0.5%
Diebold Nixdorf, Inc. (*)   2,211    96,665 
Turtle Beach Corp. (*)   9,281    132,440 
         229,105 
Textiles, Apparel & Luxury Goods  |  1.9%
Levi Strauss & Co., Class A   5,937    92,558 
PVH Corp.   1,880    121,523 
Skechers USA, Inc., Class A (*)   4,305    244,438 
Steven Madden Ltd.   4,206    112,048 
Superior Group of Cos., Inc.   6,328    69,228 
Tapestry, Inc.   2,837    199,753 
Wolverine World Wide, Inc.   3,598    50,048 
         889,596 
Trading Companies & Distributors  |  2.2%          
BlueLinx Holdings, Inc. (*)   594    44,538 
Description   Shares    Fair
Value
 
Boise Cascade Co.   1,656   $162,437 
Distribution Solutions Group, Inc. (*)   1,492    41,776 
DNOW, Inc. (*)   15,760    269,181 
GATX Corp.   393    61,021 
Herc Holdings, Inc.   353    47,397 
Karat Packaging, Inc.   4,795    127,451 
McGrath RentCorp   2,539    282,845 
         1,036,646 
Wireless Telecommunication Services  |  0.5%
Millicom International Cellular SA   7,247    219,367 
Total Common Stocks
(Cost $43,926,703)
        46,521,684 
Rights  |  0.0%          
Biotechnology  |  0.0%          
Epizyme, Inc. CVR,
Expires 2499 (*), (¢)
   41,136    823 
Radius Health, Inc. CVR,
Expires 2499 (*), (¢)
   7,231    578 
         1,401 
Paper & Forest Products  |  0.0%          
Resolute Forest Products, Inc. CVR,
Expires 2499 (*), (¢)
   10,077    0 
Pharmaceuticals  |  0.0%          
Adamas Pharmaceuticals, Inc. CVR,
Expires 2499 (*), (¢)
   1,139    0 
Total Rights
(Cost $15,200)
        1,401 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Systematic Small Cap Equity Portfolio (concluded)
Repurchase Agreements  |  0.4%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $188,500 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $183,638) Proceeds of $180,022
(Cost $180,000)
  $180   $180,000 
           
Description   Shares    Fair
Value
 
Short-Term Investments  |  0.0%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $15,252)
   15,252   $15,252 
Total Investments  |  100.9%
(Cost $44,286,132)
       $46,917,859 
Liabilities in Excess of Cash and Other Assets  |  (0.9)%        (419,242) 
Net Assets  |  100.0%       $46,498,617 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio          
Convertible Corporate Bonds  |  85.7%          
Aerospace & Defense  |  0.5%          
Rocket Lab USA, Inc.,
4.250%, 02/01/29 (#)
  $19   $68,744 
Automobiles  |  3.2%          
Ford Motor Co.,
0.000%, 03/15/26
   238    233,597 
Lucid Group, Inc.,
1.250%, 12/15/26 (#)
   85    67,628 
Rivian Automotive, Inc.,
4.625%, 03/15/29
   164    160,413 
         461,638 
Biotechnology  |  5.8%          
Alnylam Pharmaceuticals, Inc.,
1.000%, 09/15/27
   80    92,320 
Bridgebio Pharma, Inc.,
2.500%, 03/15/27
   76    87,078 
Cytokinetics, Inc.,
3.500%, 07/01/27
   27    30,983 
Guardant Health, Inc.,
1.250%, 02/15/31
   72    74,612 
Halozyme Therapeutics, Inc.,
0.250%, 03/01/27
   209    222,193 
Insmed, Inc.,
0.750%, 06/01/28
   26    61,698 
Ionis Pharmaceuticals, Inc.,
0.000%, 04/01/26
   202    198,818 
Sarepta Therapeutics, Inc.,
1.250%, 09/15/27
   73    67,963 
         835,665 
Capital Markets  |  1.3%          
Core Scientific, Inc.,
0.000%, 06/15/31 (#)
   97    81,783 
MARA Holdings, Inc.,
0.000%, 03/01/30 (#)
   148    105,265 
         187,048 
Description  Principal
Amount
(000)
   Fair
Value
 
Commercial Services & Supplies  |  2.6%          
Affirm Holdings, Inc.,
0.750%, 12/15/29 (#)
  $52   $46,072 
Global Payments, Inc.,
1.500%, 03/01/31
   197    186,559 
Shift4 Payments, Inc.,
0.000%, 12/15/25
   85    97,665 
Stride, Inc.,
1.125%, 09/01/27
   18    43,929 
         374,225 
Construction & Engineering  |  2.3%          
Fluor Corp.,
1.125%, 08/15/29
   135    143,606 
Granite Construction, Inc.,
3.250%, 06/15/30 (#)
   74    88,471 
Meritage Homes Corp.,
1.750%, 05/15/28 (#)
   111    108,724 
         340,801 
Diversified REITs  |  2.6%          
Digital Realty Trust LP,
1.875%, 11/15/29 (#)
   100    99,280 
Welltower OP LLC,
2.750%, 05/15/28 (#)
   166    270,995 
         370,275 
Diversified Telecommunication Services  |  0.7%          
Applied Digital Corp.,
2.750%, 06/01/30 (#)
   24    20,940 
AST SpaceMobile, Inc.,
4.250%, 03/01/32 (#)
   25    29,394 
InterDigital, Inc.,
3.500%, 06/01/27
   21    56,448 
         106,782 
Electric Utilities  |  11.4%          
Alliant Energy Corp.,
3.875%, 03/15/26
   84    90,006 
CMS Energy Corp.,
3.375%, 05/01/28
   224    248,304 

 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio (continued)          
Evergy, Inc.,
4.500%, 12/15/27
  $62   $73,018 
NextEra Energy Capital Holdings, Inc.,
3.000%, 03/01/27
   359    415,184 
PG&E Corp.,
4.250%, 12/01/27
   351    371,709 
Southern Co.,
3.875%, 12/15/25
   329    366,588 
WEC Energy Group, Inc.,
4.375%, 06/01/29 (#)
   78    93,532 
         1,658,341 
Electronic Equipment, Instruments & Components  |  0.7%          
Itron, Inc.,
1.375%, 07/15/30 (#)
   94    98,406 
Energy Equipment & Services  |  0.3%          
Sunrun, Inc.,
4.000%, 03/01/30
   69    49,439 
Entertainment  |  2.3%          
Cinemark Holdings, Inc.,
4.500%, 08/15/25
   21    36,692 
Live Nation Entertainment, Inc.,
2.875%, 01/15/30 (#)
   283    293,613 
         330,305 
Financial Services  |  1.3%          
Coinbase Global, Inc.,
0.250%, 04/01/30 (#)
   93    86,444 
SoFi Technologies, Inc.,
1.250%, 03/15/29 (#)
   43    61,726 
Upstart Holdings, Inc.,
2.000%, 10/01/29 (#)
   33    43,127 
         191,297 
Health Care Equipment & Supplies  |  4.7%          
Exact Sciences Corp.,
0.375%, 03/01/28
   310    272,800 
Insulet Corp.,
0.375%, 09/01/26
   85    107,958 
Integer Holdings Corp.,
1.875%, 03/15/30 (#)
   84    85,092 
Description  Principal
Amount
(000)
   Fair
Value
 
iRhythm Technologies, Inc.,
1.500%, 09/01/29
  $96   $100,176 
Lantheus Holdings, Inc.,
2.625%, 12/15/27
   43    60,791 
Merit Medical Systems, Inc.,
3.000%, 02/01/29 (#)
   44    59,950 
         686,767 
Health Care Providers & Services  |  1.2%          
Teladoc Health, Inc.,
1.250%, 06/01/27
   188    173,148 
Interactive Media & Services  |  10.1%          
Airbnb, Inc.,
0.000%, 03/15/26
   305    291,885 
Booking Holdings, Inc.,
0.750%, 05/01/25
   37    91,085 
Etsy, Inc.,
0.125%, 10/01/26
   143    137,816 
Match Group Financeco 3, Inc.,
2.000%, 01/15/30 (#)
   250    216,425 
Palo Alto Networks, Inc.,
0.375%, 06/01/25
   25    85,787 
Snap, Inc.,
0.125%, 03/01/28
   257    218,065 
Uber Technologies, Inc.,
0.000%, 12/15/25
   274    291,125 
Wayfair, Inc.,
3.250%, 09/15/27
   96    94,080 
Zillow Group, Inc.,
2.750%, 05/15/25
   46    47,978 
         1,474,246 
Iron & Steel  |  0.4%          
U.S. Steel Corp.,
5.000%, 11/01/26
   16    50,672 
IT Services  |  5.9%          
Lumentum Holdings, Inc.,
0.500%, 06/15/28
   260    240,890 
Parsons Corp.,
2.625%, 03/01/29
   114    114,171 

 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio (continued)         
Seagate HDD Cayman,
3.500%, 06/01/28
  $90   $107,386 
Super Micro Computer, Inc.,
3.500%, 03/01/29
   129    125,130 
Western Digital Corp.,
3.000%, 11/15/28
   125    161,062 
Zscaler, Inc.,
0.125%, 07/01/25
   80    106,240 
         854,879 
Leisure Products  |  1.9%          
Carnival Corp.,
5.750%, 12/01/27
   63    105,273 
NCL Corp. Ltd.,
5.375%, 08/01/25
   59    67,289 
Peloton Interactive, Inc.,
5.500%, 12/01/29 (#)
   27    45,711 
Royal Caribbean Cruises Ltd.,
6.000%, 08/15/25
   15    62,059 
         280,332 
Machinery  |  1.8%          
Axon Enterprise, Inc.,
0.500%, 12/15/27
   33    77,459 
Bloom Energy Corp.,
3.000%, 06/01/28
   85    111,265 
Middleby Corp.,
1.000%, 09/01/25
   66    79,708 
         268,432 
Media  |  2.1%          
Liberty Broadband Corp.,
3.125%, 03/31/53 (#)
   225    225,787 
Liberty Media Corp.-Liberty Formula One,
2.250%, 08/15/27
   67    81,573 
         307,360 
Metals & Mining  |  0.5%          
MP Materials Corp.,
3.000%, 03/01/30 (#)
   50    69,127 
Description  Principal
Amount
(000)
   Fair
Value
 
Oil, Gas & Consumable Fuels  |  1.3%          
CNX Resources Corp.,
2.250%, 05/01/26
  $36   $88,686 
Northern Oil & Gas, Inc.,
3.625%, 04/15/29
   90    95,179 
         183,865 
Passenger Airlines  |  1.0%          
American Airlines Group, Inc.,
6.500%, 07/01/25
   120    120,225 
JetBlue Airways Corp.,
2.500%, 09/01/29 (#)
   25    25,737 
         145,962 
Pharmaceuticals  |  1.4%          
Jazz Investments I Ltd.,
2.000%, 06/15/26
   200    207,750 
Semiconductors & Semiconductor Equipment  |  3.8%          
Microchip Technology, Inc.,
0.750%, 06/01/30 (#)
   136    127,602 
MKS Instruments, Inc.,
1.250%, 06/01/30 (#)
   157    141,614 
ON Semiconductor Corp.,
0.500%, 03/01/29
   331    286,332 
         555,548 
Software  |  14.6%          
Akamai Technologies, Inc.,
0.375%, 09/01/27
   283    276,562 
Bill Holdings, Inc.,
0.000%, 04/01/30 (#)
   188    153,596 
Cloudflare, Inc.,
0.000%, 08/15/26
   126    126,724 
Datadog, Inc.,
0.000%, 12/01/29 (#)
   236    206,146 
Dropbox, Inc.,
0.000%, 03/01/28
   127    125,603 
Five9, Inc.,
1.000%, 03/15/29
   156    133,614 
Guidewire Software, Inc.,
1.250%, 11/01/29 (#)
   57    59,508 

 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio (concluded)          
HubSpot, Inc.,
0.375%, 06/01/25
  $23   $46,345 
MicroStrategy, Inc.,          
0.000%, 12/01/29 (#)   311    252,221 
0.625%, 03/15/30   177    360,018 
Nutanix, Inc.,
0.250%, 10/01/27
   88    117,524 
Snowflake, Inc.,
0.000%, 10/01/27 (#)
   167    193,720 
Tyler Technologies, Inc.,
0.250%, 03/15/26
   55    67,290 
         2,118,871 

Total Convertible Corporate Bonds

(Cost $12,531,753)

        12,449,925 

Description  Shares   Fair
Value
 
Preferred Stocks  |  10.4%          
Aerospace & Defense  |  2.6%          

Boeing Co.

   6,368   $380,997 
Banks  |  4.4%          
Bank of America Corp., Series L   380    469,137 
Wells Fargo & Co., Class A, Series L   145    174,116 
         643,253 
Capital Markets  |  1.2%          
Ares Management Corp., Series B   1,346    64,891 
KKR & Co., Inc., Series D   2,300    113,620 
         178,511 
Chemicals  |  0.6%          
Albemarle Corp.   2,636    93,973 
Financial Services  |  0.8%          
Apollo Global Management, Inc.   1,652    120,745 
         
Description  Shares   Fair
Value
 
Machinery  |  0.3%          
Chart Industries, Inc., Series B   656   $35,929 
Technology Hardware, Storage & Peripherals  |  0.5%          
Hewlett Packard Enterprise Co.   1,367    65,260 

Total Preferred Stocks

(Cost $1,543,231)

        1,518,668 
           
Description  Principal
Amount
(000)
   Fair
Value
 
Repurchase Agreements  |  3.5%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $523,600 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $510,085) Proceeds of $500,061
(Cost $500,000)
  $500   $500,000 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.2%          
State Street Institutional Treasury Plus Money Market
Fund, Premier Class, 4.28% (7 day yield)
(Cost $33,435)
   33,435   $33,435 

Total Investments  |  99.8%

(Cost $14,608,419)

       $14,502,028 
Cash and Other Assets in Excess of Liabilites  |  0.2%        29,359 
Net Assets  |  100.0%       $14,531,387 

 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio          
Corporate Bonds  |  97.4%          
Aerospace & Defense  |  3.1%          
Bombardier, Inc.,
8.750%, 11/15/30 (#)
  $2,250   $2,372,175 
TransDigm, Inc.,          
4.625%, 01/15/29   500    474,736 
6.750%, 08/15/28 (#)   1,000    1,014,604 
         3,861,515 
Automobile Components  |  3.8%          
American Axle & Manufacturing, Inc.,
5.000%, 10/01/29
   1,500    1,291,130 
Goodyear Tire & Rubber Co.,          
5.000%, 05/31/26   250    247,989 
5.250%, 07/15/31   2,000    1,809,395 
Tenneco, Inc.,
8.000%, 11/17/28 (#)
   1,500    1,430,616 
         4,779,130 
Automobiles  |  1.4%          
Allison Transmission, Inc.,
4.750%, 10/01/27 (#)
   1,795    1,750,652 
Building Products  |  2.8%          
Griffon Corp.,
5.750%, 03/01/28
   1,750    1,712,905 
Standard Industries, Inc.,
3.375%, 01/15/31 (#)
   2,000    1,738,933 
         3,451,838 
Chemicals  |  3.5%          
Methanex Corp.,
5.125%, 10/15/27
   1,750    1,715,782 
NOVA Chemicals Corp.,
4.250%, 05/15/29 (#)
   1,750    1,672,399 
WR Grace Holdings LLC,
4.875%, 06/15/27 (#)
   1,000    965,810 
         4,353,991 
Description  Principal
Amount
(000)
   Fair
Value
 
Commercial Services & Supplies  |  3.9%      
ADT Security Corp.,
4.125%, 08/01/29 (#)
  $250   $234,718 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.,
5.750%, 07/15/27 (#)
   2,000    1,929,332 
Prime Security Services Borrower LLC/Prime Finance, Inc.,
3.375%, 08/31/27 (#)
   1,500    1,421,437 
Valvoline, Inc.,
3.625%, 06/15/31 (#)
   1,500    1,303,868 
         4,889,355 
Containers & Packaging  |  0.8%          
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC,
4.000%, 09/01/29 (#)
   1,200    1,021,830 
Diversified REITs  |  1.3%          
Iron Mountain, Inc.,          
4.500%, 02/15/31 (#)   1,250    1,145,859 
4.875%, 09/15/29 (#)   500    477,258 
         1,623,117 
Diversified Telecommunication Services  |  4.6%    
Connect Finco SARL/Connect U.S. Finco LLC,
9.000%, 09/15/29 (#)
   2,000    1,817,500 
Frontier Communications Holdings LLC,
6.750%, 05/01/29 (#)
   500    502,514 
Level 3 Financing, Inc.,
4.500%, 04/01/30 (#)
   2,000    1,600,000 
Zayo Group Holdings, Inc.,
4.000%, 03/01/27 (#)
   2,000    1,821,677 
         5,741,691 
Electric Utilities  |  2.4%          
NRG Energy, Inc.,
3.625%, 02/15/31 (#)
   1,500    1,328,486 
XPLR Infrastructure Operating Partners LP,
4.500%, 09/15/27 (#)
   1,750    1,630,600 
         2,959,086 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio (continued)    
Electrical Equipment  |  1.3%          
Energizer Holdings, Inc.,
4.750%, 06/15/28 (#)
  $1,700   $1,627,553 
Entertainment  |  2.4%          
Cinemark USA, Inc.,
5.250%, 07/15/28 (#)
   1,500    1,455,769 
Six Flags Entertainment Corp./Canada’s Wonderland Co./Magnum Management Corp.,
5.375%, 04/15/27
   1,550    1,530,359 
         2,986,128 
Food Products  |  6.7%          
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC,
3.500%, 03/15/29 (#)
   2,000    1,840,615 
Performance Food Group, Inc.,
4.250%, 08/01/29 (#)
   1,800    1,683,248 
Post Holdings, Inc.,
4.500%, 09/15/31 (#)
   2,000    1,811,381 
TreeHouse Foods, Inc.,
4.000%, 09/01/28
   1,750    1,575,355 
U.S. Foods, Inc.,
4.625%, 06/01/30 (#)
   1,500    1,424,482 
         8,335,081 
Gas Utilities  |  1.2%          
AmeriGas Partners LP/AmeriGas Finance Corp.,
9.375%, 06/01/28 (#)
   1,500    1,484,100 
Health Care Equipment & Supplies  |  1.7%    
Bausch & Lomb Corp.,
8.375%, 10/01/28 (#)
   2,000    2,075,000 
Health Care Providers & Services  |  3.9%    
Encompass Health Corp.,
4.625%, 04/01/31
   1,849    1,732,905 
LifePoint Health, Inc.,
5.375%, 01/15/29 (#)
   2,000    1,755,252 
Tenet Healthcare Corp.,
4.375%, 01/15/30
   1,500    1,406,141 
         4,894,298 
Description  Principal
Amount
(000)
   Fair
Value
 
Hotel & Resort REITs  |  2.4%          
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer,
4.875%, 05/15/29 (#)
  $1,500   $1,399,986 
RHP Hotel Properties LP/RHP Finance Corp.,
4.500%, 02/15/29 (#)
   1,750    1,655,566 
         3,055,552 
Hotels, Restaurants & Leisure  |  3.9%    
Boyd Gaming Corp.,
4.750%, 06/15/31 (#)
   2,000    1,844,562 
Station Casinos LLC,
4.625%, 12/01/31 (#)
   1,750    1,572,412 
Travel & Leisure Co.,
4.500%, 12/01/29 (#)
   1,500    1,397,759 
         4,814,733 
Household Durables  |  1.3%          
Somnigroup International, Inc.,
4.000%, 04/15/29 (#)
   1,750    1,625,254 
Interactive Media & Services  |  1.1%          
Ziff Davis, Inc.,
4.625%, 10/15/30 (#)
   1,500    1,358,845 
IT Services  |  2.6%          
NCR Atleos Corp.,
9.500%, 04/01/29 (#)
   1,500    1,626,457 
NCR Voyix Corp.,
5.125%, 04/15/29 (#)
   1,750    1,666,724 
         3,293,181 
Leisure Products  |  1.2%          
Sabre GLBL, Inc.,          
8.625%, 06/01/27 (#)   1,038    1,027,187 
10.750%, 11/15/29 (#)   468    471,406 
         1,498,593 
Machinery  |  1.5%          
Terex Corp.,
5.000%, 05/15/29 (#)
   2,000    1,908,631 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio (continued)    
Media  |  15.8%          
CCO Holdings LLC/CCO Holdings Capital Corp.,          
4.750%, 03/01/30 (#)  $1,500   $1,391,163 
5.125%, 05/01/27 (#)   500    492,469 
Clear Channel Outdoor Holdings, Inc.,
7.750%, 04/15/28 (#)
   1,500    1,289,311 
DISH Network Corp.,
11.750%, 11/15/27 (#)
   2,000    2,106,153 
Gray Media, Inc.,
7.000%, 05/15/27 (#)
   1,500    1,470,039 
Lamar Media Corp.,
3.625%, 01/15/31
   1,500    1,340,647 
Nexstar Media, Inc.,
5.625%, 07/15/27 (#)
   1,500    1,477,690 
Scripps Escrow II, Inc.,
3.875%, 01/15/29 (#)
   1,000    785,187 
Sinclair Television Group, Inc.,
5.125%, 02/15/27 (#)
   1,750    1,649,375 
Sirius XM Radio LLC,          
3.875%, 09/01/31 (#)   1,000    857,077 
5.000%, 08/01/27 (#)   1,750    1,709,818 
TEGNA, Inc.,
5.000%, 09/15/29
   1,750    1,624,365 
Univision Communications, Inc.,
6.625%, 06/01/27 (#)
   1,750    1,735,525 
Virgin Media Secured Finance PLC,
4.500%, 08/15/30 (#)
   2,000    1,759,239 
         19,688,058 
Oil, Gas & Consumable Fuels  |  15.2%    
Borr IHC Ltd./Borr Finance LLC,
10.375%, 11/15/30 (#)
   1,665    1,546,414 
Buckeye Partners LP,
4.500%, 03/01/28 (#)
   1,500    1,439,273 
Civitas Resources, Inc.,
8.750%, 07/01/31 (#)
   2,000    2,053,889 
Comstock Resources, Inc.,
6.750%, 03/01/29 (#)
   1,500    1,467,061 
CVR Energy, Inc.,
8.500%, 01/15/29 (#)
   1,500    1,440,152 
Genesis Energy LP/Genesis Energy Finance Corp.,
8.000%, 01/15/27
   1,500    1,530,138 
Description  Principal
Amount
(000)
   Fair
Value
 
Kodiak Gas Services LLC,
7.250%, 02/15/29 (#)
  $1,750   $1,783,866 
Nabors Industries, Inc.,
9.125%, 01/31/30 (#)
   1,500    1,500,501 
Range Resources Corp.,
4.750%, 02/15/30 (#)
   1,750    1,664,829 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.,
5.500%, 01/15/28 (#)
   1,250    1,216,604 
Transocean, Inc.,
8.750%, 02/15/30 (#)
   1,840    1,911,013 
Vital Energy, Inc.,
7.875%, 04/15/32 (#)
   1,500    1,396,378 
         18,950,118 
Software  |  1.6%          
Cloud Software Group, Inc.,          
6.500%, 03/31/29 (#)   1,000    972,065 
9.000%, 09/30/29 (#)   1,000    997,390 
         1,969,455 
Specialty Retail  |  6.0%          
Asbury Automotive Group, Inc.,          
4.500%, 03/01/28   987    950,258 
5.000%, 02/15/32 (#)   750    680,160 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.,          
4.625%, 01/15/29 (#)   500    460,503 
6.750%, 01/15/30 (#)   1,500    1,296,896 
Group 1 Automotive, Inc.,
4.000%, 08/15/28 (#)
   1,000    941,008 
Penske Automotive Group, Inc.,
3.750%, 06/15/29
   1,750    1,601,984 
Suburban Propane Partners LP/Suburban Energy Finance Corp.,
5.000%, 06/01/31 (#)
   1,750    1,579,940 
         7,510,749 
Total Corporate Bonds
(Cost $127,306,730)
        121,507,534 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio (concluded)    
Repurchase Agreements  |  1.3%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $1,665,000 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $1,621,975) Proceeds of $1,590,193
(Cost $1,590,000)
  $1,590   $1,590,000 
           
Description   Shares    Fair
Value
 
Short-Term Investments  |  0.0%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $90,931)
   90,931   $90,931 
Total Investments  |  98.7%
(Cost $128,987,661)
       $123,188,465 
Cash and Other Assets in Excess of Liabilites  |  1.3%        1,660,509 
Net Assets  |  100.0%       $124,848,974 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Short Duration Fixed Income Portfolio    
Asset-Backed Securities  |  10.5%          
Financial Services  |  6.7%          
AMSR Trust, Series 2020-SFR4, Class A,
1.355%, 11/17/37 (#)
  $601   $589,465 
Business Jet Securities LLC, Series 2022-1A, Class A,
4.455%, 06/15/37 (#)
   565    551,217 
CF Hippolyta Issuer LLC, Series 2021-1A, Class A1,
1.530%, 03/15/61 (#)
   471    450,401 
New Economy Assets - Phase 1 Sponsor LLC, Series 2021-1, Class A1,
1.910%, 10/20/61 (#)
   500    466,594 
         2,057,677 
Ground Transportation  |  1.5%          
TRP LLC, Series 2021-1, Class A,
2.070%, 06/19/51 (#)
   503    473,943 
Real Estate Management & Development  |  2.3%    
Tricon Residential Trust, Series 2021-SFR1, Class A,
1.943%, 07/17/38 (#)
   747    721,372 
Total Asset-Backed Securities
(Cost $3,097,951)
        3,252,992 
Corporate Bonds  |  31.9%          
Aerospace & Defense  |  2.3%          
Boeing Co.,
2.196%, 02/04/26
   725    709,341 
Automobiles  |  7.0%          
American Honda Finance Corp.,
5.250%, 07/07/26
   800    807,237 
Ford Motor Credit Co. LLC,
4.125%, 08/17/27
   675    652,079 
General Motors Financial Co., Inc.,
5.000%, 04/09/27
   700    700,773 
         2,160,089 
Description  Principal
Amount
(000)
   Fair
Value
 
Banks  |  11.8%          
Bank of America Corp.,
2.551% (SOFR+1.050%), 02/04/28 (§)
  $1,050   $1,012,969 
Citigroup, Inc.,
3.887% (SOFR+1.825%), 01/10/28 (§)
   1,025    1,012,357 
JPMorgan Chase & Co.,
1.045% (SOFR+0.800%), 11/19/26 (§)
   1,050    1,027,098 
Morgan Stanley,
1.593% (SOFR+0.879%), 05/04/27 (§)
   625    605,277 
         3,657,701 
Diversified Telecommunication Services  |  2.3% 
T-Mobile USA, Inc.,
2.625%, 04/15/26
   725    710,639 
Health Care Providers & Services  |  2.2% 
HCA, Inc.,
4.500%, 02/15/27
   675    672,675 
Oil, Gas & Consumable Fuels  |  2.1%    
Energy Transfer LP,
5.500%, 06/01/27
   650    659,888 
Semiconductors & Semiconductor Equipment  |  1.9% 
Intel Corp.,
3.750%, 08/05/27
   600    587,547 
Software  |  2.3%          
Oracle Corp.,
2.500%, 04/01/25
   700    700,000 
Total Corporate Bonds
(Cost $9,832,530)
        9,857,880 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Short Duration Fixed Income Portfolio (concluded) 
Mortgage-Backed Securities  |  4.5% 
COMM Mortgage Trust,
Series 2016-787S, Class A3.545%, 02/10/36 (#)
  $700   $686,261 
Manhattan West Mortgage Trust,
Series 2020-1MW, Class A2.130%, 09/10/39 (#)
   750    699,065 
Total Mortgage-Backed Securities
(Cost $1,367,909)
        1,385,326 
U.S. Government Securities  |  3.3%          
Federal Farm Credit Banks Funding Corp.,
4.360%, 10/28/27
(Cost $1,003,695)
   1,005    1,004,664 
U.S. Treasury Securities  |  48.6%          
U.S. Treasury Notes,          
4.500%, 11/15/25   1,900    1,903,785 
4.000%, 12/15/27   1,315    1,318,853 
4.250%, 01/15/28   11,685    11,794,547 
Total U.S. Treasury Securities
(Cost $14,891,356)
        15,017,185 
Repurchase Agreements  |  0.2%          
Fixed Income Clearing Corp.,
4.37%, 04/01/25
(Dated 03/31/25, collateralized by $73,300 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $71,404) Proceeds of $70,009
(Cost $70,000)
   70    70,000 
         
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.1%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $12,966)
   12,966   $12,966 
Total Investments  |  99.1%
(Cost $30,276,407)
       $30,601,013 
Cash and Other Assets in Excess of Liabilites  |  0.9%        265,949 
Net Assets  |  100.0%       $30,866,962 


 
 

 

Description   Shares    

 

Fair
Value

 
Lazard Enhanced Opportunities Portfolio
Common Stocks  |  0.8%          
Canada  |  0.0%          
Rogers Sugar, Inc. (±)   321   $1,198 
Shopify, Inc., Class A (*), (±)   80    7,631 
SSR Mining, Inc. (*)   59    592 
         9,421 
China  |  0.0%          
PDD Holdings, Inc. ADR (*)   45    5,326 
United States  |  0.8%          
Akamai Technologies, Inc. (*), (±)   27    2,173 
Applied Optoelectronics, Inc. (*), (±)   51    783 
Bentley Systems, Inc., Class B (±)   59    2,321 
BigBear.ai Holdings, Inc. (*), (±)   11,374    32,530 
Bitdeer Technologies Group, Class A (*), (±)   5,356    47,293 
Bloom Energy Corp., Class A (*), (±)   316    6,212 
Cloudflare, Inc., Class A (*), (±)   155    17,467 
Datadog, Inc., Class A (*), (±)   225    22,322 
DraftKings, Inc., Class A (*), (±)   6    199 
Dynavax Technologies Corp. (*)   207    2,685 
Exact Sciences Corp. (*), (±)   133    5,758 
Expedia Group, Inc. (±)   75    12,607 
Freshpet, Inc. (*)   95    7,901 
Guardant Health, Inc. (*), (±)   235    10,011 
Guidewire Software, Inc. (*)   2    375 
Insulet Corp. (*), (±)   164    43,068 
Integer Holdings Corp. (*), (±)   658    77,651 
Ionis Pharmaceuticals, Inc. (*)   10    302 
JetBlue Airways Corp. (*), (±)   297    1,431 
MicroStrategy, Inc., Class A (*)   19    5,477 
Mitek Systems, Inc. (*), (±)   133    1,097 
ON Semiconductor Corp. (*), (±)   152    6,185 
PagerDuty, Inc. (*), (±)   26    475 
Penn Entertainment, Inc. (*), (±)   122    1,990 
PROS Holdings, Inc. (*), (±)   142    2,702 
PTC Therapeutics, Inc. (*)   85    4,332 
Q2 Holdings, Inc. (*)   85    6,801 
Repligen Corp. (*), (±)   9    1,145 
Snowflake, Inc., Class A (*), (±)   43    6,285 
SoFi Technologies, Inc. (*), (±)   1,036    12,049 
Travere Therapeutics, Inc. (*), (±)   180    3,226 
Description      Shares    

 

Fair
Value

 
Xometry, Inc., Class A (*)      201   $5,009 
Zscaler, Inc. (*)      43    8,532 
            358,394 
Total Common Stocks
(Cost $405,101)
           373,141 
              
Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Convertible Corporate Bonds  |  51.9%
Australia  |  1.3%             
Flight Centre Travel Group Ltd.:             
2.500%, 11/17/27 (**), (±)  AUD   200   $126,263 
1.625%, 11/01/28 (**), (±)  AUD   800    489,408 
            615,671 
Austria  |  0.2%             
ams-OSRAM AG,
2.125%, 11/03/27 (**), (±)
  EUR   100    93,648 
Brazil  |  0.1%             
GOL Equity Finance SA,
0.000%, 07/15/24 (#), («)
  USD   616    28,385 
Canada  |  0.7%             
Rogers Sugar, Inc.,
6.000%, 06/30/30
  CAD   178    126,352 
StorageVault Canada, Inc.,
5.000%, 03/31/28 (#), (±)
  CAD   342    230,599 
            356,951 
China  |  1.2%             
PDD Holdings, Inc.,
0.000%, 12/01/25 (±)
  USD   68    67,150 
Ping An Insurance Group Co. of China Ltd.,
0.875%, 07/22/29 (**), (±)
  USD   200    241,000 


 
 

 

Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued)
Qifu Technology, Inc.,
0.500%, 04/01/30 (#), (±)
  USD   238   $242,444 
            550,594 
Netherlands  |  0.7%             
Pharming Group NV,
4.500%, 04/25/29 (**), (±)
  EUR   300    318,126 
Singapore  |  0.4%             
Sea Ltd.,
0.250%, 09/15/26 (±)
  USD   222    207,459 
United Kingdom  |  0.9%             
Immunocore Holdings PLC,
2.500%, 02/01/30 (±)
  USD   119    100,494 
Just Eat Takeaway.com NV,
1.250%, 04/30/26 (**), (±)
  EUR   300    318,677 
            419,171 
United States  |  46.4%             
A10 Networks, Inc.,
2.750%, 04/01/30 (#), (±)
  USD   271    265,887 
Affirm Holdings, Inc.:
0.000%, 11/15/26 (±)
  USD   283    261,616 
0.750%, 12/15/29 (#), (±)  USD   3    2,658 
Airbnb, Inc.,
0.000%, 03/15/26 (±)
  USD   198    189,486 
Akamai Technologies, Inc.:              
0.125%, 05/01/25 (±)  USD   474    473,052 
0.375%, 09/01/27 (±)  USD   39    38,113 
Alarm.com Holdings, Inc.,
0.000%, 01/15/26 (±)
  USD   108    103,734 
Alkami Technology, Inc.,
1.500%, 03/15/30 (#), (±)
  USD   48    51,672 
Alphatec Holdings, Inc.:             
0.750%, 08/01/26 (±)  USD   242    240,976 
0.750%, 03/15/30 (#), (±)  USD   555    528,792 
American Airlines Group, Inc.,
6.500%, 07/01/25 (±)
  USD   193    193,362 
Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Amyris, Inc.,
0.000%, 11/15/26 (¢), («)
  USD   938   $0 
Bandwidth, Inc.,
0.500%, 04/01/28 (±)
  USD   22    17,792 
BigBear.ai Holdings, Inc.,
6.000%, 12/15/29 (#), (±)
  USD   42    45,628 
BioMarin Pharmaceutical, Inc.,
1.250%, 05/15/27 (±)
  USD   116    109,533 
BlackLine, Inc.,
0.000%, 03/15/26 (±)
  USD   57    54,793 
Block, Inc.,
0.250%, 11/01/27 (±)
  USD   111    98,096 
Cheesecake Factory, Inc.:             
0.375%, 06/15/26 (±)  USD   116    114,840 
2.000%, 03/15/30 (#), (±)  USD   390    373,912 
Cinemark Holdings, Inc.,
4.500%, 08/15/25 (±)
  USD   233    407,109 
Cleanspark, Inc.,
0.000%, 06/15/30 (#), (±)
  USD   95    68,929 
Cloudflare, Inc.,
0.000%, 08/15/26 (±)
  USD   16    16,092 
Coherus Biosciences, Inc.,
1.500%, 04/15/26 (±)
  USD   367    361,494 
Coinbase Global, Inc.,
0.500%, 06/01/26 (±)
  USD   111    108,724 
Confluent, Inc.,
0.000%, 01/15/27 (±)
  USD   150    138,750 
CONMED Corp.,
2.250%, 06/15/27 (±)
  USD   89    83,793 
Core Scientific, Inc.,
3.000%, 09/01/29 (#), (±)
  USD   55    57,819 
Cracker Barrel Old Country Store, Inc.,
0.625%, 06/15/26 (±)
  USD   611    594,197 
CSG Systems International, Inc.,
3.875%, 09/15/28 (±)
  USD   3    3,249 
Danimer Scientific, Inc.,
0.000%, 12/15/26 (#), (±), («)
  USD   300    3,000 
Dexcom, Inc.,
0.250%, 11/15/25 (±)
  USD   1,401    1,366,325 
DigitalOcean Holdings, Inc.,
0.000%, 12/01/26 (±)
  USD   306    285,513 
Dropbox, Inc.,
0.000%, 03/01/26 (±)
  USD   511    504,868 


 
 

 

Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued)
Dynavax Technologies Corp.,
2.000%, 03/15/30 (#), (±)
  USD   134   $133,450 
Enphase Energy, Inc.,
0.000%, 03/01/26 (±)
  USD   52    49,465 
Envista Holdings Corp.,
1.750%, 08/15/28 (±)
  USD   40    36,125 
Etsy, Inc.:             
0.125%, 09/01/27 (±)  USD   102    89,887 
0.250%, 06/15/28 (±)  USD   191    162,780 
Evergy, Inc.,
4.500%, 12/15/27 (±)
  USD   8    9,422 
Evolent Health, Inc.,
1.500%, 10/15/25 (±)
  USD   457    448,916 
Exact Sciences Corp.:             
0.375%, 03/15/27 (±)  USD   1    920 
0.375%, 03/01/28 (±)  USD   15    13,200 
Expedia Group, Inc.,
0.000%, 02/15/26 (±)
  USD   13    12,837 
Fisker, Inc.,
0.000%, 09/15/26 (#), (±), («)
  USD   772    6,871 
Five9, Inc.,
0.500%, 06/01/25 (±)
  USD   84    83,278 
fuboTV, Inc.,
3.250%, 02/15/26 (±)
  USD   110    106,700 
GameStop Corp.,
0.000%, 04/01/30 (#)
  USD   342    357,903 
Guardant Health, Inc.,
0.000%, 11/15/27 (±)
  USD   51    45,310 
Guess?, Inc.,
3.750%, 04/15/28 (±)
  USD   51    46,945 
Health Catalyst, Inc.,
2.500%, 04/15/25 (±)
  USD   88    87,449 
Hercules Capital, Inc.,
4.750%, 09/01/28 (#), (±)
  USD   16    15,760 
Inotiv, Inc.,
3.250%, 10/15/27 (±)
  USD   421    140,783 
Insulet Corp.,
0.375%, 09/01/26 (±)
  USD   754    957,645 
Integer Holdings Corp.,
1.875%, 03/15/30 (#), (±)
  USD   90    91,170 
Integra LifeSciences Holdings Corp.,
0.500%, 08/15/25 (±)
  USD   1,029    1,011,250 
Jamf Holding Corp.,
0.125%, 09/01/26 (±)
  USD   22    20,763 
Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Jazz Investments I Ltd.,
2.000%, 06/15/26 (±)
  USD   30   $31,162 
JBT Marel Corp.,
0.250%, 05/15/26 (±)
  USD   179    179,430 
Lantheus Holdings, Inc.,
2.625%, 12/15/27 (±)
  USD   21    29,689 
LCI Industries:             
1.125%, 05/15/26 (±)  USD   134    131,555 
3.000%, 03/01/30 (#), (±)  USD   611    601,453 
Liberty Interactive LLC:             
4.000%, 11/15/29 (±)  USD   743    204,325 
3.750%, 02/15/30 (±)  USD   1,079    280,435 
Liberty Media Corp.-Liberty Formula One,
2.250%, 08/15/27 (±)
  USD   1    1,217 
Lumentum Holdings, Inc.,
0.500%, 12/15/26 (±)
  USD   136    141,576 
Lyft, Inc.,
1.500%, 05/15/25 (±)
  USD   220    220,044 
MARA Holdings, Inc.:             
0.000%, 03/01/30 (#), (±)  USD   18    12,803 
2.125%, 09/01/31 (#), (±)  USD   22    17,573 
Marriott Vacations Worldwide Corp.,
3.250%, 12/15/27 (±)
  USD   57    52,868 
Match Group Financeco 2, Inc.,
0.875%, 06/15/26 (#), (±)
  USD   77    73,975 
Mesa Laboratories, Inc.,
1.375%, 08/15/25 (±)
  USD   304    296,781 
MGP Ingredients, Inc.,
1.875%, 11/15/41 (±)
  USD   563    533,875 
Microchip Technology, Inc.,
0.750%, 06/01/30 (#), (±)
  USD   73    68,492 
MicroStrategy, Inc.:             
0.000%, 03/01/30 (#), (±)  USD   22    21,022 
0.625%, 03/15/30 (±)  USD   6    12,204 
2.250%, 06/15/32 (#), (±)  USD   223    357,469 
Nutanix, Inc.:             
0.250%, 10/01/27 (±)  USD   1    1,336 
0.500%, 12/15/29 (#), (±)  USD   44    46,597 
Okta, Inc.,
0.125%, 09/01/25 (±)
  USD   903    888,101 
ON Semiconductor Corp.:             
0.000%, 05/01/27 (±)  USD   100    106,000 
0.500%, 03/01/29 (±)  USD   25    21,626 


 
 

 

Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued)
OPKO Health, Inc.,
3.750%, 01/15/29 (±)
  USD   167   $268,974 
Pacira BioSciences, Inc.,
2.125%, 05/15/29 (#), (±)
  USD   77    75,280 
PAR Technology Corp.,
1.000%, 01/15/30 (#), (±)
  USD   44    41,602 
Pebblebrook Hotel Trust,
1.750%, 12/15/26 (±)
  USD   162    151,794 
Penguin Solutions, Inc.,
2.000%, 08/15/30 (#), (±)
  USD   3    2,761 
Porch Group, Inc.,
0.750%, 09/15/26 (#), (±)
  USD   412    368,246 
Q2 Holdings, Inc.,
0.750%, 06/01/26 (±)
  USD   19    20,835 
RealReal, Inc.,
1.000%, 03/01/28 (±)
  USD   116    89,659 
Redfin Corp.,
0.500%, 04/01/27 (±)
  USD   471    413,805 
Repay Holdings Corp.,
0.000%, 02/01/26 (#), (±)
  USD   873    835,899 
Rexford Industrial Realty LP,
4.375%, 03/15/27 (#), (±)
  USD   11    10,995 
Semtech Corp.,
1.625%, 11/01/27 (±)
  USD   162    200,070 
Shift Technologies, Inc.,
0.000%, 05/15/26 (#), (±), («)
  USD   850    2,321 
Shift4 Payments, Inc.,
0.000%, 12/15/25 (±)
  USD   313    359,637 
Snap, Inc.:             
0.000%, 05/01/27 (±)  USD   190    169,803 
0.125%, 03/01/28 (±)  USD   126    106,911 
Summit Hotel Properties, Inc.,
1.500%, 02/15/26 (±)
  USD   457    438,192 
Super Micro Computer, Inc.,
3.500%, 03/01/29 (±)
  USD   56    54,320 
Teladoc Health, Inc.,
1.250%, 06/01/27 (±)
  USD   89    81,969 
Terawulf, Inc.,
2.750%, 02/01/30 (#), (±)
  USD   22    15,202 
Travere Therapeutics, Inc.,
2.500%, 09/15/25 (±)
  USD   275    269,938 
Unity Software, Inc.:             
0.000%, 11/15/26 (±)  USD   372    345,960 
0.000%, 03/15/30 (#), (±)  USD   44    39,864 
Description  Security
Currency
   Principal
Amount
(000)
    Fair
Value
 
Upstart Holdings, Inc.,
0.250%, 08/15/26 (±)
  USD   550   $514,938 
Varex Imaging Corp.,
4.000%, 06/01/25 (±)
  USD   720    720,000 
Verint Systems, Inc.,
0.250%, 04/15/26 (±)
  USD   424    403,224 
Vertex, Inc.,
0.750%, 05/01/29 (#), (±)
  USD   73    87,098 
Viavi Solutions, Inc.,
1.625%, 03/15/26 (±)
  USD   22    23,677 
Vishay Intertechnology, Inc.,
2.250%, 06/15/25 (±)
  USD   172    168,783 
Western Digital Corp.,
3.000%, 11/15/28 (±)
  USD   61    78,598 
Xometry, Inc.,
1.000%, 02/01/27 (±)
  USD   44    42,746 
Ziff Davis, Inc.,
1.750%, 11/01/26 (±)
  USD   103    97,013 
            21,924,355 
Total Convertible Corporate Bonds
(Cost $26,923,187)
           24,514,360 
Corporate Bonds  |  0.1%             
Colombia  |  0.1%             
ABRA Global Finance,
14.000%, 10/22/29 (#), (±)
(Cost $62,722)
  USD   65    61,748 
              
Description      Shares    Fair
Value
 
Preferred Stocks  |  0.0%             
United States  |  0.0%             
Microchip Technology, Inc. (±)
(Cost $19,900)
      398   $20,031 


 
 

 

Description  Counterparty  Number of
Contracts
   Exercise
Price
    Notinoal
Amount <
    Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued)
Purchased Options  |  0.0%
Call                     
Bitdeer Technologies Group,
Expires 04/04/25
  MSC  11  $11   $9,713   $110 
Core Scientific, Inc.,
Expires 04/04/25
  MSC  11   9    7,964    33 
Semtech Corp.,
Expires 04/17/25
  MSC  16   50    55,040    80 
Xometry, Inc.,
Expires 04/17/25
  MSC  11   30    27,412    55 
Put                     
Inotiv, Inc.,
Expires 04/17/25
  MSC  11   3    2,431    440 
Total Purchased Options
(Cost $3,314)
             718 
                      
Description         Security
Currency
    Principal
Amount
(000)
    Fair
Value
 
U.S. Treasury Securities  |  41.7%
U.S. Treasury Bills:                  
0.000%, 04/03/25 (±)      USD    390   $389,908 
0.000%, 04/10/25 (±)      USD    480    479,490 
0.000%, 04/15/25 (±)      USD    4,105    4,098,227 
0.000%, 05/06/25 (±)      USD    1,795    1,787,606 
0.000%, 05/20/25 (±)      USD    4,515    4,489,005 
0.000%, 06/05/25 (±)      USD    3,275    3,250,194 
0.000%, 06/12/25 (±)      USD    3,300    3,272,346 
0.000%, 06/26/25 (±)      USD    110    108,898 
0.000%, 08/14/25 (±)      USD    710    698,964 
U.S. Treasury Notes,
4.000%, 10/31/29 (±)
      USD    1,118    1,120,489 
Total U.S. Treasury Securities
(Cost $19,683,209)
             19,695,127 
Description   Shares    Fair
Value
 
Warrants  |  0.0%          
Singapore  |  0.0%          
Maxeon Solar Technologies Ltd.,
Expires 01/15/28 (*), (¢)
   26,550   $0 
United States  |  0.0%          
Danimer Scientific, Inc.,
Expires 07/15/25 (*), (±)
   19,663    6 
Total Warrants
(Cost $2,353)
        6 
Short-Term Investments  |  3.9%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $1,826,999)
   1,826,999    1,826,999 
Total Investments excluding Securities Sold Short  |  98.4%
(Cost $48,926,785)
  $46,492,130 
Securities Sold Short  |  (2.6)%          
Common Stocks  |  (2.4)%          
Australia  |  (0.1)%          
Flight Centre Travel Group Ltd.   (7,328)    (63,618) 
Canada  |  0.0%          
StorageVault Canada, Inc.   (3,932)    (10,683) 
China  |  (0.4)%          
Ping An Insurance Group Co. of China Ltd., Class H   (28,600)    (170,637) 
Netherlands  |  (0.2)%          
Pharming Group NV   (102,086)    (86,019) 


 

 
 

 

Description   Shares    

 

Fair
Value

 
Lazard Enhanced Opportunities Portfolio (continued)
United States  |  (1.7)%          
A10 Networks, Inc.   (5,452)   $(89,086) 
Cinemark Holdings, Inc.   (16,072)    (400,032) 
Cleanspark, Inc.   (4,543)    (30,529) 
Core Scientific, Inc.   (3,750)    (27,150) 
Evergy, Inc.   (86)    (5,930) 
Ford Motor Co.   (1,983)    (19,889) 
Hercules Capital, Inc.   (274)    (5,264) 
Lantheus Holdings, Inc.   (130)    (12,688) 
Liberty Media Corp.-Liberty Formula One, Class C   (8)    (720) 
MARA Holdings, Inc.   (60)    (690) 
Microchip Technology, Inc. (±)   (94)    (4,551) 
Nutanix, Inc., Class A (±)   (319)    (22,269) 
Pacira BioSciences, Inc.   (1,168)    (29,025) 
Shift4 Payments, Inc., Class A   (1,126)    (92,005) 
Summit Hotel Properties, Inc. (±)   (3,140)    (16,987) 
Unity Software, Inc.   (806)    (15,790) 
Western Digital Corp. (±)   (557)    (22,519) 
         (795,124) 
Total Common Stocks
(Proceeds $1,204,618)
        (1,126,081) 
Description  Security
Currency
   Principal
Amount
(000)
    

 

Fair
Value

 
Convertible Corporate Bonds  |  (0.2)%
United States  |  (0.2)%             

JetBlue Airways Corp.,
0.500%, 04/01/26

(Proceeds $99,330)

  USD   (116)   $(109,678) 
Total Securities Sold Short
(Proceeds $1,303,948)
    (1,235,759) 
Total Investments  |  95.8%
(Cost and short proceeds $47,622,837) (»)
   $45,256,371 
Cash and Other Assets in Excess of Liabilities  |  4.2%    1,964,247 
Net Assets  |  100.0%          $47,220,618 


 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Forward Currency Contracts open at March 31, 2025:

Currency
Purchased
  Quantity  Currency
Sold
  Quantity  Counterparty  Settlement
Date
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  502,396  AUD  800,000  SSB  06/26/25  $2,163   $ 
USD  313,746  CAD  448,000  SSB  06/26/25   1,116     
USD  630,868  EUR  580,000  SSB  06/26/25   710     
Total gross unrealized appreciation/depreciation on Forward Currency Contracts     $3,989   $ 

 

Total Return Swap Agreements open at March 31, 2025:

 

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Long Position Contract            
USD  BNP  $333,785   11/17/25  Affirm Holdings, Inc.,
0.000%, 11/15/26
   4.33%  $   $308 
USD  BNP   2,682   11/17/25  Affirm Holdings, Inc.,
0.750%, 12/15/29
   4.33        30 
USD  NIP   548,815   11/30/27  Akamai Technologies, Inc.,
0.375%, 09/01/27
   4.33        5,021 
USD  NIP   227,055   11/30/27  Akamai Technologies, Inc.,
1.125%, 02/15/29
   4.33        247 
USD  NIP   1,298,768   11/30/27  Alibaba Group Holding Ltd.,
0.500%, 06/01/31
   4.33        61,032 
USD  NIP   122,770   11/30/27  Amphastar Pharmaceuticals, Inc.,
2.000%, 03/15/29
   4.33        12,566 
USD  BNP   770,297   11/17/25  ANI Pharmaceuticals, Inc.,
2.250%, 09/01/29
   4.33    64,289     
USD  NIP   414,936   11/30/27  Applied Digital Corp., 2.750%,
06/01/30
   4.33        126,001 
USD  BNP   241,676   11/17/25  Applied Optoelectronics, Inc.,
2.750%, 01/15/30
   4.33        65,048 

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $328,722   11/17/25  Astronics Corp.,
5.500%, 03/15/30
   4.33%  $63,292   $ 
USD  BNP   60,462   11/17/25  B2Gold Corp.,
2.750%, 02/01/30
   4.33    4,215     
USD  NIP   357,177   11/30/27  Bentley Systems, Inc.,
0.375%, 07/01/27
   4.33        2,421 
USD  BNP   114,782   11/17/25  BigBear.ai Holdings, Inc.,
6.000%, 12/15/29
   4.33        50,092 
USD  NIP   67,931   11/30/27  BigBear.ai Holdings, Inc.,
6.000%, 12/15/29
   4.33    2,420     
USD  NIP   560,252   11/30/27  Bitdeer Technologies Group,
8.500%, 08/15/29
   4.33        277,869 
USD  NIP   333,365   11/30/27  Bitdeer Technologies Group,
5.250%, 12/01/29
   4.33        81,122 
USD  BNP   62,780   11/17/25  BlackLine, Inc.,
1.000%, 06/01/29
   4.33    478     
USD  BNP   9,852   11/17/25  Blackstone Mortgage Trust, Inc.,
5.500%, 03/15/27
   4.33        154 
USD  BNP   450,782   11/17/25  Bloom Energy Corp.,
3.000%, 06/01/29
   4.33        60,945 
USD  BNP   780,796   11/17/25  Bloom Energy Corp.,
3.000%, 06/01/28
   4.33        100,846 
USD  NIP   414,007   11/30/27  Box, Inc.,
1.500%, 09/15/29
   4.33        5,829 
USD  NIP   358,330   11/30/27  Box, Inc.,
0.000%, 01/15/26
   4.33        21,861 
USD  BNP   43,362   11/17/25  Capital Southwest Corp.,
5.125%, 11/15/29
   4.33        621 
USD  NIP   616,735   11/30/27  Carnival Corp.,
5.750%, 12/01/27
   4.33        19,698 
USD  BNP   32,349   11/17/25  Cheesecake Factory, Inc.,
0.375%, 06/15/26
   4.33    235     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $15,388   11/17/25  Chefs’ Warehouse, Inc.,
2.375%, 12/15/28
   4.33%  $   $1,525 
USD  NIP   796,407   11/30/27  Cloudflare, Inc.,
0.000%, 08/15/26
   4.33        45,009 
USD  NIP   325,435   11/30/27  Coinbase Global, Inc.,
0.500%, 06/01/26
   4.33        4,844 
USD  BNP   903,031   11/17/25  Collegium Pharmaceutical, Inc.,
2.875%, 02/15/29
   4.33        80,016 
USD  BNP   485,367   11/17/25  Confluent, Inc.,
0.000%, 01/15/27
   4.33    6,502     
USD  BNP   982,036   11/17/25  CONMED Corp.,
2.250%, 06/15/27
   4.33    1,473     
USD  BNP   203,485   11/17/25  Core Scientific, Inc.,
3.000%, 09/01/29
   4.33        11,705 
USD  BNP   66,732   11/17/25  CSG Systems International, Inc.,
3.875%, 09/15/28
   4.33    2,293     
USD  BNP   72,171   11/17/25  Datadog, Inc.,
0.125%, 06/15/25
   4.33        436 
USD  NIP   1,364,971   11/30/27  Datadog, Inc.,
0.125%, 06/15/25
   4.33        317,084 
USD  BNP   1,257,517   11/17/25  Dayforce, Inc.,
0.250%, 03/15/26
   4.33    6     
USD  BNP   22,524   11/17/25  Dexcom, Inc.,
0.375%, 05/15/28
   4.33        221 
USD  BNP   987,121   11/17/25  DigitalOcean Holdings, Inc.,
0.000%, 12/01/26
   4.33    101,246     
USD  BNP   19,085   11/17/25  DraftKings Holdings, Inc.,
0.000%, 03/15/28
   4.33    94     
USD  BNP   168,692   11/17/25  Dropbox, Inc.,
0.000%, 03/01/28
   4.33    2,103     
USD  BNP   379,068   11/17/25  Duke Energy Corp.,
4.125%, 04/15/26
   4.33        3,352 
USD  BNP   515,301   11/17/25  Encore Capital Group, Inc.,
3.250%, 10/01/25
   4.33        89,527 

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $801,981   11/17/25  Encore Capital Group, Inc.,
4.000%, 03/15/29
   4.33%  $   $89,209 
USD  BNP   30,738   11/17/25  Enovis Corp.,
3.875%, 10/15/28
   4.33        17 
USD  BNP   362,261   11/17/25  Enphase Energy, Inc.,
0.000%, 03/01/26
   4.33    3,368     
USD  BNP   18,209   11/17/25  Enphase Energy, Inc.,
0.000%, 03/01/28
   4.33    402     
USD  BNP   39,106   11/17/25  Envista Holdings Corp.,
1.750%, 08/15/28
   4.33        289 
USD  BNP   116,317   11/17/25  Etsy, Inc.,
0.125%, 09/01/27
   4.33    390     
USD  NIP   195,633   11/30/27  Evergy, Inc.,
4.500%, 12/15/27
   4.33    887     
USD  BNP   187,812   11/17/25  Evolent Health, Inc.,
3.500%, 12/01/29
   4.33        8,695 
USD  NIP   582,007   11/30/27  Exact Sciences Corp.,
0.375%, 03/01/28
   4.33        6,749 
USD  NIP   1,028,022   11/30/27  Exact Sciences Corp.,
0.375%, 03/15/27
   4.33        21,294 
USD  BNP   692,847   11/17/25  Expedia Group, Inc.,
0.000%, 02/15/26
   4.33        12,172 
USD  BNP   490,069   11/17/25  EZCORP, Inc.,
3.750%, 12/15/29
   4.33    62,267     
USD  NIP   248,191   11/30/27  FARO Technologies, Inc.,
5.500%, 02/01/28
   4.33        15,025 
USD  BNP   243,600   11/17/25  FirstEnergy Corp.,
4.000%, 05/01/26
   4.33        2,343 
USD  BNP   19,482   11/17/25  Five9, Inc.   4.33        723 
USD  NIP   721,402   11/30/27  Five9, Inc.,
0.500%, 06/01/25
   4.33    34,225     
USD  BNP   1,054,646   11/17/25  Ford Motor Co.,
0.000%, 03/15/26
   4.33    7,208     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $183,036   11/17/25  Fortuna Mining Corp.,
3.750%, 06/30/29
   4.33%  $17,579   $ 
USD  NIP   505,651   11/30/27  Freshpet, Inc.,
3.000%, 04/01/28
   4.33        19,551 
USD  BNP   945,280   11/17/25  Greenbrier Cos., Inc.,
2.875%, 04/15/28
   4.33        24,579 
USD  NIP   64,290   11/30/27  Groupon, Inc.,
6.250%, 03/15/27
   4.33    4,599     
USD  BNP   1,054,904   11/17/25  Guardant Health, Inc.,
0.000%, 11/15/27
   4.33    10,340     
USD  BNP   102,654   11/17/25  Guess?, Inc.,
3.750%, 04/15/28
   4.33    3,816     
USD  NIP   17,980   11/30/27  Guidewire Software, Inc.,
1.250%, 11/01/29
   4.33        297 
USD  NIP   181,690   11/30/27  H World Group Ltd.,
3.000%, 05/01/26
   4.33        5,783 
USD  BNP   22,178   11/17/25  Halozyme Therapeutics, Inc.,
0.250%, 03/01/27
   4.33    1,116     
USD  BNP   52,338   11/17/25  Halozyme Therapeutics, Inc.,
1.000%, 08/15/28
   4.33    8,941     
USD  NIP   540,689   11/30/27  Health Catalyst, Inc.   4.33    29,613     
USD  NIP   1,838,323   11/30/27  HubSpot, Inc.,
0.375%, 06/01/25
   4.33        5,747 
USD  BNP   743,286   11/17/25  Innoviva, Inc.,
2.125%, 03/15/28
   4.33        14,465 
USD  BNP   639,616   11/17/25  InterDigital, Inc.,
3.500%, 06/01/27
   4.33    24,298     
USD  NIP   21,417   11/30/27  Ionis Pharmaceuticals, Inc.,
1.750%, 06/15/28
   4.33        110 
USD  BNP   807,842   11/17/25  Jazz Investments I Ltd.,
2.000%, 06/15/26
   4.33        15,811 

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $86,455   11/17/25  Jazz Investments I Ltd.,
3.125%, 09/15/30
   4.33%  $1,141   $ 
USD  BNP   427,753   11/17/25  JD.com, Inc.,
0.250%, 06/01/29
   4.33        13,549 
USD  BNP   65,568   11/17/25  JetBlue Airways Corp.,
2.500%, 09/01/29
   4.33        20,551 
USD  BNP   676,998   11/17/25  Lantheus Holdings, Inc.,
2.625%, 12/15/27
   4.33    20,036     
USD  BNP   108,033   11/17/25  Liberty Media Corp.,
2.375%, 09/30/53
   4.33    181     
USD  BNP   157,876   11/17/25  Liberty Media Corp.-Liberty Formula One,
2.250%, 08/15/27
   4.33    3,744     
USD  BNP   89,951   11/17/25  LivaNova PLC   4.33        395 
USD  BNP   152,034   11/17/25  Lumentum Holdings, Inc.,
0.500%, 06/01/28
   4.33    571     
USD  BNP   1,046,708   11/17/25  Lumentum Holdings, Inc.,
0.500%, 12/15/26
   4.33        53,205 
USD  BNP   116,124   11/17/25  Lumentum Holdings, Inc.,
1.500%, 12/15/29
   4.33        11,475 
USD  BNP   24,892   11/17/25  Lyft, Inc.   4.33        1,718 
USD  NIP   117,463   11/30/27  MACOM Technology Solutions Holdings, Inc.,
0.000%, 12/15/29
   4.33        5,827 
USD  NIP   20,698   11/30/27  MACOM Technology Solutions Holdings, Inc.,
0.250%, 03/15/26
   4.33        357 
USD  NIP   39,420   11/30/27  MARA Holdings, Inc.,
0.000%, 03/01/30
   4.33        11,123 
USD  BNP   231,865   11/17/25  Marriott Vacations Worldwide Corp.,
3.250%, 12/01/27
   4.33        4,694 

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $1,293,583   11/17/25  Marriott Vacations Worldwide Corp.,
0.000%, 01/15/26
   4.33%  $1,796   $ 
USD  BNP   1,131,319   11/17/25  Match Group Financeco 2, Inc.,
0.875%, 06/15/26
   4.33    17,647     
USD  BNP   87,675   11/17/25  Match Group Financeco 3, Inc.,
2.000%, 01/15/30
   4.33        510 
USD  BNP   28,516   11/17/25  Merit Medical Systems, Inc.,
3.000%, 02/01/29
   4.33    1,337     
USD  NIP   65,759   11/30/27  Meritage Homes Corp.,
1.750%, 05/15/28
   4.33        3,326 
USD  NIP   409,308   11/30/27  Microchip Technology, Inc.,
0.750%, 06/01/30
   4.33        600 
USD  NIP   25,952   11/30/27  MicroStrategy, Inc.,
2.250%, 06/15/32
   4.33        6,817 
USD  NIP   22,754   11/30/27  MicroStrategy, Inc.,
0.625%, 03/01/30
   4.33    13,770     
USD  NIP   704,257   11/30/27  Middleby Corp.,
1.000%, 09/01/25
   4.33        18,048 
USD  BNP   86,856   11/17/25  Mirum Pharmaceuticals, Inc.,
4.000%, 05/01/29
   4.33    3,870     
USD  BNP   542,559   11/17/25  Mitek Systems, Inc.,
0.750%, 02/01/26
   4.33    10,919     
USD  BNP   22,826   11/17/25  MKS Instruments, Inc.,
1.250%, 06/01/30
   4.33        2,178 
USD  BNP   282,045   11/17/25  NCL Corp. Ltd.,
2.500%, 02/15/27
   4.33        15,961 
USD  BNP   329,241   11/17/25  NCL Corp. Ltd.,
1.125%, 02/15/27
   4.33        10,312 
USD  BNP   538,794   11/17/25  NeoGenomics, Inc.,
1.250%, 05/01/25
   4.33        2,409 
USD  BNP   205,675   11/17/25  Nutanix, Inc.,
0.500%, 12/15/29
   4.33    480     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $180,656   11/17/25  Nutanix, Inc.,
0.250%, 10/01/27
   4.33%  $   $5,999 
USD  BNP   162,015   11/17/25  ON Semiconductor Corp.,
0.500%, 03/01/29
   4.33        2,385 
USD  BNP   681,279   11/17/25  ON Semiconductor Corp.,
0.000%, 05/01/27
   4.33        21,783 
USD  BNP   70,806   11/17/25  Ormat Technologies, Inc.,
2.500%, 07/15/27
   4.33        767 
USD  BNP   235,164   11/17/25  OSI Systems, Inc.,
2.250%, 08/01/29
   4.33    7,962     
USD  BNP   206,836   11/17/25  Pacira BioSciences, Inc.,
2.125%, 05/15/29
   4.33        459 
USD  BNP   484,124   11/17/25  Pacira BioSciences, Inc.,
0.750%, 08/01/25
   4.33    966     
USD  BNP   155,766   11/17/25  Pagaya Technologies Ltd.,
6.125%, 10/01/29
   4.33        16,717 
USD  BNP   57,131   11/17/25  PagerDuty, Inc.,
1.500%, 10/15/28
   4.33    444     
USD  NIP   86,961   11/30/27  PAR Technology Corp.,
1.500%, 10/15/27
   4.33        3,686 
USD  NIP   76,926   11/30/27  PAR Technology Corp.,
2.875%, 04/15/26
   4.33        16,260 
USD  BNP   833,940   11/17/25  Parsons Corp.,
0.250%, 08/15/25
   4.33        319,412 
USD  BNP   198,306   11/17/25  Parsons Corp.,
2.625%, 03/01/29
   4.33        427 
USD  NIP   276,272   11/30/27  PDD Holdings, Inc.,
0.000%, 12/01/25
   4.33        1,527 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $718,040   11/17/25  Pebblebrook Hotel Trust,
1.750%, 12/15/26
   4.33%  $   $8,063 
USD  BNP   613,785   11/17/25  Penguin Solutions, Inc.,
2.000%, 02/01/29
   4.33        47,213 
USD  BNP   579,837   11/17/25  Penguin Solutions, Inc.,
2.000%, 08/15/30
   4.33        46,593 
USD  NIP   168,086   11/30/27  Penn Entertainment, Inc.,
2.750%, 05/15/26
   4.33        12,640 
USD  NIP   125,737   11/30/27  Pinnacle West Capital Corp.,
4.750%, 06/15/27
   4.33    12     
USD  NIP   127,324   11/30/27  PPL Capital Funding, Inc.,
2.875%, 03/15/28
   4.33    2,558     
USD  BNP   141,634   11/17/25  Progress Software Corp.,
1.000%, 04/15/26
   4.33        4,748 
USD  BNP   431,117   11/17/25  Progress Software Corp.,
3.500%, 03/01/30
   4.33        11,175 
USD  BNP   423,633   11/17/25  PROS Holdings, Inc.,
2.250%, 09/15/27
   4.33        16,332 
USD  BNP   141,900   11/17/25  PTC Therapeutics, Inc.,
1.500%, 09/15/26
   4.33        9,760 
USD  BNP   360,245   11/17/25  Q2 Holdings, Inc.,
0.125%, 11/15/25
   4.33    15,323     
USD  BNP   960,191   11/17/25  Q2 Holdings, Inc.,
0.750%, 06/01/26
   4.33        130,780 
USD  BNP   6,964   11/17/25  Redfin Corp.,
0.500%, 04/01/27
   4.33    935     
USD  BNP   64,358   11/17/25  Repay Holdings Corp.,
2.875%, 07/15/29
   4.33        7,907 
USD  NIP   181,120   11/30/27  Repligen Corp.,
1.000%, 12/15/28
   4.33        11,650 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $11,238   11/30/27  Rexford Industrial Realty
LP,
4.375%, 03/15/27
   4.33%  $   $287 
USD  BNP   1,417,756   11/17/25  Sea Ltd.,
2.375%, 12/01/25
   4.33    295,431     
USD  BNP   34,137   11/17/25  Semler Scientific, Inc.,
4.250%, 08/01/30
   4.33        8,244 
USD  NIP   628,000   11/30/27  Semtech Corp., 1.625%, 11/01/27   4.33        23,631 
USD  BNP   236,634   11/17/25  Shift4 Payments, Inc.,
0.500%, 08/01/27
   4.33        4,527 
USD  BNP   1,675,722   11/17/25  Shift4 Payments, Inc.,
0.000%, 12/15/25
   4.33        212,685 
USD  BNP   1,094,128   11/17/25  Shopify, Inc.,
0.125%, 11/01/25
   4.33        41,921 
USD  BNP   130,711   11/17/25  Silvercorp Metals, Inc.,
4.750%, 12/15/29
   4.33    19,775     
USD  NIP   291,191   11/30/27  Sirius XM Holdings, Inc.,
3.750%, 03/15/28
   4.33        15,889 
USD  BNP   1,234,040   11/17/25  Snowflake, Inc.,
0.000%, 10/01/27
   4.33        85,252 
USD  BNP   563,798   11/17/25  Snowflake, Inc.,
0.000%, 10/01/29
   4.33        38,887 
USD  BNP   61,048   11/17/25  SoFi Technologies, Inc.,
0.000%, 10/15/26
   4.33        6,282 
USD  BNP   1,387,402   11/17/25  SoFi Technologies, Inc.,
1.250%, 03/15/29
   4.33        277,790 
USD  BNP   21,312   11/17/25  SSR Mining, Inc.,
2.500%, 04/01/39
   4.33    889     
USD  BNP   43,829   11/17/25  Summit Hotel Properties, Inc.,
1.500%, 02/15/26
   4.33        868 
USD  BNP   127,442   11/17/25  Super Micro Computer, Inc.,
2.250%, 07/15/28
   4.33        12,203 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $138,144   11/17/25  Tandem Diabetes Care, Inc.   4.33%  $   $34,119 
USD  BNP   261,943   11/17/25  TransMedics Group, Inc.,
1.500%, 06/01/28
   4.33        1,323 
USD  BNP   638,062   11/17/25  Transocean, Inc.,
4.625%, 09/30/29
   4.33        90,036 
USD  NIP   6,719   11/30/27  Travere Therapeutics, Inc.,
2.250%, 03/01/29
   4.33    4,244     
USD  BNP   670,936   11/17/25  Trip.com Group Ltd.,
0.750%, 06/15/29
   4.33        25,338 
USD  NIP   114,683   11/30/27  Tyler Technologies, Inc.,
0.250%, 03/15/26
   4.33    2,641     
USD  BNP   284,806   11/17/25  Uber Technologies, Inc.,
0.875%, 12/01/28
   4.33        3,288 
USD  BNP   1,005,460   11/17/25  Uber Technologies, Inc.,
0.000%, 12/15/25
   4.33        21,980 
USD  NIP   298,699   11/30/27  UGI Corp.,
5.000%, 06/01/28
   4.33    297     
USD  BNP   150,850   11/17/25  Upstart Holdings, Inc.,
1.000%, 11/15/30
   4.33        45,017 
USD  BNP   1,578,626   11/17/25  Upstart Holdings, Inc.,
2.000%, 10/01/29
   4.33        496,651 
USD  BNP   30,907   11/17/25  Upstart Holdings, Inc.,
0.250%, 08/01/26
   4.33        143 
USD  NIP   53,800   11/30/27  Varonis Systems, Inc.,
1.000%, 09/15/29
   4.33        428 
USD  NIP   149,120   11/30/27  Varonis Systems, Inc.,
1.250%, 08/15/25
   4.33        63 
USD  BNP   265,429   11/17/25  Veeco Instruments, Inc.,
3.750%, 06/01/27
   4.33        71,762 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $566,814   11/30/27  Veeco Instruments, Inc.,
2.875%, 06/01/29
   4.33%  $   $84,764 
USD  BNP   15,107   11/17/25  Verint Systems, Inc.,
0.250%, 04/15/26
   4.33    44     
USD  NIP   110,213   11/30/27  Vertex, Inc.,
0.750%, 05/01/29
   4.33    1,805     
USD  BNP   603,922   11/17/25  Vishay Intertechnology, Inc.,
2.250%, 09/15/30
   4.33        19,619 
USD  BNP   232,606   11/17/25  Western Digital Corp.,
3.000%, 11/15/28
   4.33        9,897 
USD  NIP   541,652   11/30/27  Western Digital Corp.,
3.000%, 11/15/28
   4.33        27,647 
USD  BNP   20,170   11/17/25  Winnebago Industries,
Inc., 3.250%, 01/01/30
   4.33        908 
USD  BNP   941,981   11/17/25  WisdomTree, Inc.,
3.250%, 08/15/29
   4.33        100,866 
USD  NIP   56,832   11/30/27  Workiva, Inc.,
1.250%, 08/15/28
   4.33        4,819 
USD  NIP   67,729   11/30/27  World Kinect Corp.,
3.250%, 07/01/28
   4.33        3,172 
USD  BNP   614,126   11/17/25  Xometry, Inc.,
1.000%, 02/01/27
   4.33        6,609 
USD  BNP   52,588   11/17/25  Ziff Davis, Inc.,
3.625%, 03/01/28
   4.33        298 
USD  NIP   427,324   11/30/27  Zscaler, Inc.,
0.125%, 07/01/25
   4.33    2,747     
Short Position Contract            
USD  BNP   19,826   11/17/25  A10 Networks, Inc.   4.33    1,343     
USD  BNP   8,357   11/17/25  Affirm Holdings, Inc.   4.33    819     
USD  NIP   253,416   11/30/27  Akamai Technologies, Inc.   4.33    4,794     
USD  NIP   971,585   11/30/27  Alibaba Group Holding Ltd.   4.33    42,186     
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $39,496   11/17/25  Alkami Technology, Inc.   4.33%  $   $3,032 
USD  NIP   336,693   11/30/27  Alphatec Holdings, Inc.   4.33    38,496     
USD  NIP   28,376   11/30/27  Amphastar Pharmaceuticals, Inc.   4.33    5,143     
USD  BNP   435,384   11/17/25  ANI Pharmaceuticals, Inc.   4.33        66,259 
USD  NIP   278,870   11/30/27  Applied Digital Corp.   4.33    120,033     
USD  BNP   106,783   11/17/25  Applied Optoelectronics, Inc.   4.33    51,942     
USD  NIP   3,680   11/30/27  Applied Optoelectronics, Inc.   4.33    1,353     
USD  BNP   191,772   11/17/25  Astronics Corp.   4.33        57,836 
USD  NIP   2,928   11/30/27  Astronics Corp.   4.33        930 
USD  BNP   33,315   11/17/25  B2Gold Corp.   4.33        3,039 
USD  NIP   26,803   11/30/27  Bentley Systems, Inc.   4.33    3,473     
USD  BNP   92,174   11/17/25  BigBear.ai Holdings, Inc.   4.33    13,398     
USD  BOA   23,305   03/10/26  BigBear.ai Holdings, Inc.   4.33    2,103     
USD  NIP   51,978   11/30/27  BigBear.ai Holdings, Inc.   4.33    8,652     
USD  BNP   10,585   11/17/25  BioMarin Pharmaceutical, Inc.   4.33    139     
USD  NIP   741,856   11/30/27  Bitdeer Technologies Group   4.33    380,940     
USD  BNP   26,384   11/17/25  BlackLine, Inc.   4.33        361 
USD  BNP   472   11/17/25  Blackstone Mortgage Trust, Inc.   4.33        18 
USD  BNP   845,633   11/17/25  Bloom Energy Corp.   4.33    166,920     
USD  BNP   12,382   11/17/25  Box, Inc.   4.33    258     
USD  NIP   381,469   11/30/27  Box, Inc.   4.33    26,157     
USD  BNP   21,798   11/17/25  Capital Southwest Corp.   4.33    216     
USD  NIP   453,043   11/30/27  Carnival Corp.   4.33    11,985     
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $198,465   11/17/25  Cheesecake Factory, Inc.   4.33%  $16,246   $ 
USD  NIP   11,965   11/30/27  Cheesecake Factory, Inc.   4.33    1,738     
USD  BNP   11,603   11/17/25  Chefs’ Warehouse, Inc.   4.33    1,457     
USD  NIP   2,085   11/30/27  Cinemark Holdings, Inc.   4.33    48     
USD  NIP   1,690   11/30/27  Cleanspark, Inc.   4.33    394     
USD  BNP   347   11/17/25  Cloudflare, Inc.   4.33    123     
USD  NIP   204,465   11/30/27  Cloudflare, Inc.   4.33    48,872     
USD  NIP   69,471   11/30/27  Coinbase Global, Inc.   4.33    6,733     
USD  BNP   486,373   11/17/25  Collegium Pharmaceutical, Inc.   4.33    53,715     
USD  BNP   24,313   11/17/25  Confluent, Inc.   4.33    6,612     
USD  BNP   79,107   11/17/25  CONMED Corp.   4.33    6,889     
USD  BNP   93,898   11/17/25  Core Scientific, Inc.   4.33    9,454     
USD  BNP   27,545   11/17/25  CSG Systems International, Inc.   4.33        2,262 
USD  BNP   49,439   11/17/25  Datadog, Inc.   4.33        166 
USD  NIP   1,147,393   11/30/27  Datadog, Inc.   4.33    286,243     
USD  BNP   4,077   11/17/25  Dexcom, Inc.   4.33    881     
USD  BNP   3,355   11/17/25  DraftKings, Inc.   4.33    907     
USD  BNP   137,253   11/17/25  Dropbox, Inc.   4.33    5,609     
USD  BNP   197,407   11/17/25  Duke Energy Corp.   4.33        2,737 
USD  NIP   63,225   11/30/27  Dynavax Technologies Corp.   4.33    1,013     
USD  BNP   401,744   11/17/25  Encore Capital Group, Inc.   4.33    100,995     
USD  BNP   10,361   11/17/25  Enovis Corp.   4.33        436 
USD  BNP   942   11/17/25  Enphase Energy, Inc.   4.33    77     
USD  BNP   6,318   11/17/25  Envista Holdings Corp.   4.33    142     
USD  NIP   121,022   11/30/27  Evergy, Inc.   4.33        2,866 
USD  BNP   22,488   11/17/25  Evolent Health, Inc.   4.33    2,144     
USD  NIP   217,302   11/30/27  Exact Sciences Corp.   4.33    31,199     
USD  BNP   97,155   11/17/25  Expedia Group, Inc.   4.33    6,266     
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $10,980   11/30/27  Expedia Group, Inc.   4.33%  $   $98 
USD  BNP   371,447   11/17/25  EZCORP, Inc.   4.33        69,592 
USD  NIP   96,273   11/30/27  FARO Technologies, Inc.   4.33    11,185     
USD  BNP   57,989   11/17/25  FirstEnergy Corp.   4.33        1,770 
USD  BNP   3,951   11/17/25  Five9, Inc.   4.33    1,141     
USD  BNP   308   11/17/25  Fluor Corp.   4.33    66     
USD  BNP   186,144   11/17/25  Ford Motor Co.   4.33        5,404 
USD  BNP   96,720   11/17/25  Fortuna Mining Corp.   4.33        21,348 
USD  NIP   1,884   11/30/27  Fortuna Mining Corp.   4.33        312 
USD  NIP   341,098   11/30/27  Freshpet, Inc.   4.33    15,154     
USD  BNP   331,806   11/17/25  GameStop Corp.   4.33        6,112 
USD  BNP   582,285   11/17/25  Greenbrier Cos., Inc.   4.33    75,478     
USD  NIP   18,266   11/30/27  Groupon, Inc.   4.33        7,731 
USD  BNP   125,305   11/17/25  Guardant Health, Inc.   4.33    4,853     
USD  NIP   8,526   11/30/27  Guidewire Software, Inc.   4.33    116     
USD  NIP   88,027   11/30/27  H World Group Ltd.   4.33    346     
USD  BNP   48,402   11/17/25  Halozyme Therapeutics, Inc.   4.33        3,841 
USD  NIP   1,830,077   11/30/27  HubSpot, Inc.   4.33        9,027 
USD  BNP   13,511   11/17/25  Immunocore Holdings PLC   4.33    90     
USD  BNP   209,856   11/17/25  Innoviva, Inc.   4.33    6,343     
USD  BNP   31,460   11/17/25  Inotiv, Inc.   4.33    12,089     
USD  BNP   11,709   11/17/25  Insulet Corp.   4.33        352 
USD  NIP   469,365   11/30/27  Insulet Corp.   4.33    9,178     
USD  BOA   123,728   04/17/25  Integer Holdings Corp.   4.33    590     
USD  BNP   635,880   11/17/25  InterDigital, Inc.   4.33        23,416 
USD  NIP   5,926   11/30/27  Ionis Pharmaceuticals, Inc.   4.33    424     
USD  HSB   1,058,926   11/03/26  iShares iBoxx $ High Yield Corporate Bond ETF   4.33    5,508     
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $ 329,486   11/17/25  Jazz Pharmaceuticals PLC   4.33%  $32,797   $ 
USD  BNP   46,692   11/17/25  JBT Marel Corp.   4.33        266 
USD  BNP   227,792   11/17/25  JD.com, Inc.   4.33    10,273     
USD  BNP   44,563   11/17/25  JetBlue Airways Corp.   4.33    17,376     
USD  BNP   456,444   11/17/25  Lantheus Holdings, Inc.   4.33        15,175 
USD  NIP   294,052   11/30/27  LCI Industries   4.33    27,970     
USD  BNP   98,894   11/17/25  Liberty Media Corp.-Liberty Formula One   4.33        4,097 
USD  BNP   26,682   11/17/25  LivaNova PLC   4.33        3 
USD  BNP   80,368   11/17/25  Live Nation Entertainment, Inc.   4.33        162 
USD  BNP   435,686   11/17/25  Lumentum Holdings, Inc.   4.33    47,089     
USD  NIP   29,607   11/30/27  Lumentum Holdings, Inc.   4.33    2,473     
USD  BNP   10,318   11/17/25  Lyft, Inc.   4.33    1,892     
USD  BNP   5,425   11/17/25  MACOM Technology Solutions Holdings, Inc.   4.33    1,631     
USD  NIP   58,994   11/30/27  MACOM Technology Solutions Holdings, Inc.   4.33    3,661     
USD  BNP   32,587   11/17/25  MARA Holdings, Inc.   4.33    12,702     
USD  NIP   17,628   11/30/27  MARA Holdings, Inc.   4.33    7,576     
USD  BNP   10,338   11/17/25  Marriott Vacations Worldwide Corp.   4.33    2,081     
USD  BNP   12,373   11/17/25  Match Group, Inc.   4.33    549     
USD  BNP   21,620   11/17/25  Merit Medical Systems, Inc.   4.33        1,348 
USD  NIP   17,307   11/30/27  Meritage Homes Corp.   4.33    2,122     
USD  BNP   6,880   11/17/25  Microchip Technology, Inc.   4.33    495     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $48,215   11/30/27  Microchip Technology, Inc.   4.33%  $8,044   $ 
USD  BNP    411,472   11/17/25  MicroStrategy, Inc.   4.33    72,221     
USD  NIP   20,917   11/30/27  MicroStrategy, Inc.   4.33    3,979     
USD  NIP   621,742   11/30/27  Middleby Corp.   4.33    15,717     
USD  BNP   65,594   11/17/25  Mirum Pharmaceuticals, Inc.   4.33        3,545 
USD  BNP   17,237   11/17/25  Mitek Systems, Inc.   4.33    3,672     
USD  BNP   8,523   11/17/25  MKS Instruments, Inc.   4.33    1,736     
USD  BNP   134,095   11/17/25  Norwegian Cruise Line Holdings Ltd.   4.33    15,234     
USD  BNP   236,293   11/17/25  Nutanix, Inc.   4.33    2,749     
USD  BNP   357,639   11/17/25  ON Semiconductor Corp.   4.33    26,886     
USD  NIP   3,440   11/30/27  ON Semiconductor Corp.   4.33    439     
USD  BNP   209,585   11/17/25  OPKO Health, Inc.   4.33        5,689 
USD  BNP   25,016   11/17/25  Ormat Technologies, Inc.   4.33    227     
USD  BNP   151,460   11/17/25  OSI Systems, Inc.   4.33        3,047 
USD  BNP   88,180   11/17/25  Pacira BioSciences, Inc.   4.33    1,592     
USD  BNP   122,843   11/17/25  Pagaya Technologies Ltd.   4.33    46,159     
USD  BNP   21,525   11/17/25  PagerDuty, Inc.   4.33        5 
USD  BNP   19,606   11/17/25  PAR Technology Corp.   4.33    2,618     
USD  NIP   103,510   11/30/27  PAR Technology Corp.   4.33    13,609     
USD  BNP   833,262   11/17/25  Parsons Corp.   4.33    274,029     
USD  BNP   6,925   11/17/25  PDD Holdings, Inc.   4.33    323     
USD  NIP   33,914   11/30/27  PDD Holdings, Inc.   4.33    1,780     
USD  BNP   642,766   11/17/25  Penguin Solutions, Inc.   4.33    80,715     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $53,206   11/30/27  Penn Entertainment, Inc.   4.33%  $11,700   $ 
USD  BNP   1,236   03/26/26  Ping An Insurance Group Co. of China Ltd.   4.33    47     
USD  NIP   64,943   11/30/27  Pinnacle West Capital Corp.   4.33        1,346 
USD  BNP   36,115   11/17/25  Porch Group, Inc.   4.33        4,638 
USD  NIP   572   11/30/27  Porch Group, Inc.   4.33        374 
USD  NIP   81,463   11/30/27  PPL Corp.   4.33        2,817 
USD  BNP   260,126   11/17/25  Progress Software Corp.   4.33    16,096     
USD  BNP   91,735   11/17/25  PROS Holdings, Inc.   4.33    17,440     
USD  BNP   72,958   11/17/25  PTC Therapeutics, Inc.   4.33    6,960     
USD  BNP   496,566   11/17/25  Q2 Holdings, Inc.   4.33    92,537     
USD  BNP   110,992   11/17/25  Qifu Technology, Inc.   4.33    82     
USD  BNP   14,226   11/17/25  RealReal, Inc.   4.33    4,998     
USD  BNP   18,217   11/17/25  Repay Holdings Corp.   4.33    5,589     
USD  BNP   147   11/17/25  Repligen Corp.   4.33    21     
USD  NIP   79,005   11/30/27  Repligen Corp.   4.33    13,863     
USD  NIP   2,216   11/30/27  Rexford Industrial Realty, Inc.   4.33    85     
CAD  BNP   23,857   03/06/26  Rogers Sugar, Inc.   2.77    79     
USD  BNP   1,422,258   11/17/25  Sea Ltd.   4.33        104,784 
USD  BNP   18,037   11/17/25  Semler Scientific, Inc.   4.33    6,076     
USD  NIP   288   11/30/27  Semler Scientific, Inc.   4.33        1 
USD  NIP   453,553   11/30/27  Semtech Corp.   4.33    37,536     
USD  BNP   1,216,005   11/17/25  Shift4 Payments, Inc.   4.33    231,147     
USD  BNP   161,473   11/17/25  Shopify, Inc.   4.33    8,409     
USD  NIP   57,299   11/30/27  Shopify, Inc.   4.33    10,467     
USD  BNP   68,561   11/17/25  Silvercorp Metals, Inc.   4.33        13,403 
USD  BNP   8,728   11/17/25  Sirius XM Holdings, Inc.   4.33    948     
USD  NIP   97,775   11/30/27  Sirius XM Holdings, Inc.   4.33    10,751     

 

 

 

Lazard Enhanced Opportunities Portfolio (continued)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $ 1,110,368   11/17/25  Snowflake, Inc.   4.33%  $148,145   $ 
USD  NIP   12,047   11/30/27  Snowflake, Inc.   4.33    2,442     
USD  BNP   1,051,193   11/17/25  SoFi Technologies, Inc.   4.33    239,158     
USD  BNP   3,700   11/17/25  SSR Mining, Inc.   4.33        382 
CAD  BNP   1,803   03/06/26  StorageVault Canada, Inc.   2.77    50     
USD  BNP   231   11/17/25  Summit Hotel Properties, Inc.   4.33    15     
USD  NIP   2,311   11/30/27  Summit Hotel Properties, Inc.   4.33    402     
USD  BNP   70,624   11/17/25  Super Micro Computer, Inc.   4.33    16,435     
USD  BNP   62,097   11/17/25  Tandem Diabetes Care, Inc.   4.33    23,624     
USD  NIP   12,879   11/30/27  Terawulf, Inc.   4.33    7,900     
USD  BNP   118,474   11/17/25  TransMedics Group, Inc.   4.33        64 
USD  BNP   421,503   11/17/25  Transocean Ltd.   4.33    83,899     
USD  BNP   3,491   11/17/25  Travere Therapeutics, Inc.   4.33    852     
USD  NIP   3,161   11/30/27  Travere Therapeutics, Inc.   4.33        3,173 
USD  BNP   385,993   11/17/25  Trip.com Group Ltd.   4.33    16,938     
USD  NIP   89,403   11/30/27  Tyler Technologies, Inc.   4.33        2,371 
USD  BNP   431,444   11/17/25  U.S. Treasury Bills,
0.000%, 02/19/26
   4.33    36     
USD  BNP   597,433   11/17/25  Uber Technologies, Inc.   4.33    14,883     
USD  NIP   211,217   11/30/27  UGI Corp.   4.33        1,561 
USD  BNP   479   11/17/25  Unity Software, Inc.   4.33    49     
USD  BNP   3,895,488   11/17/25  Upstart Holdings, Inc.   4.33    470,390     
USD  NIP   158,113   11/30/27  Varonis Systems, Inc.   4.33    429     
USD  BNP   237,359   11/17/25  Veeco Instruments, Inc.   4.33    66,288     
USD  NIP   261,916   11/30/27  Veeco Instruments, Inc.   4.33    66,449     

 

 

 

Lazard Enhanced Opportunities Portfolio (concluded)

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Reference Entity >  Reference
Rate at
3/31/2025
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $ 118,033   11/30/27  Vertex, Inc.   4.33%  $   $2,873 
USD  BNP   9,840   11/17/25  Viavi Solutions, Inc.   4.33    786     
USD  BNP   186,681   11/17/25  Vishay Intertechnology, Inc.   4.33    17,732     
USD  BNP   152,506   11/17/25  Western Digital Corp.   4.33    9,717     
USD  NIP   356,638   11/30/27  Western Digital Corp.   4.33    26,300     
USD  BNP   1,476   11/17/25  Winnebago Industries, Inc.   4.33    274     
USD  NIP   2,314   11/30/27  Winnebago Industries, Inc.   4.33    46     
USD  BNP   472,711   11/17/25  WisdomTree, Inc.   4.33    76,105     
USD  BNP   89   11/17/25  Workiva, Inc.   4.33    14     
USD  NIP   18,713   11/30/27  Workiva, Inc.   4.33    4,202     
USD  NIP   42,321   11/30/27  World Kinect Corp.   4.33    2,890     
USD  BNP   131,439   11/17/25  Xometry, Inc.   4.33    27,472     
USD  NIP   8,209   11/30/27  Xometry, Inc.   4.33    2,480     
USD  BNP   4,301   11/17/25  Ziff Davis, Inc.   4.33    92     
USD  NIP   406,641   11/30/27  Zscaler, Inc.   4.33        5,265 
Total gross unrealized appreciation/depreciation on Total Return Swap Agreements    $5,043,669   $4,810,174 
   
For long position contracts, the Portfolio receives appreciation and dividends/interest and pays depreciation of the referenced entity as well as financing charges at the referenced rate. The financing charge rate for long positions is the Overnight Bank Funding Rate (OBFR) plus a spread of up to 65 basis points. For short position contracts, the Portfolio pays appreciation and dividends/interest and receives depreciation of the referenced entity as well as financing charges at the referenced rate. Generally, the financing charge rate for short positions is the OBFR minus a spread of up to 70 basis points, with one specific position having a rate of OBFR minus a spread of 188 basis points.

 

 

 

Description  Shares   Fair
Value
 
Lazard Opportunistic Strategies Portfolio    
Exchange-Traded Funds  |  86.1%        
Commodity  |  2.5%        
U.S. Copper Index Fund   23,775   $751,290 
Equity Funds  |  66.6%          
Invesco QQQ Trust, Series 1   3,140    1,472,409 
iShares Expanded Tech-Software Sector ETF   9,832    874,950 
iShares MSCI Japan ETF   23,888    1,637,761 
iShares Russell 2000 ETF   8,919    1,779,251 
SPDR EURO STOXX 50 ETF   15,260    830,297 
Vanguard Financials ETF   7,532    899,848 
Vanguard S&P 500 ETF   8,755    4,499,282 
Vanguard S&P 500 Growth ETF   12,886    4,310,109 
Vanguard S&P 500 Value ETF   17,357    3,196,986 
         19,500,893 
Fixed Income  |  17.0%          
iShares iBoxx $ Investment Grade Corporate Bond ETF   9,572    1,040,380 
Vanguard Long-Term Treasury ETF   68,264    3,932,689 
         4,973,069 
Total Exchange-Traded Funds
(Cost $21,072,782)
        25,225,252 
           
Description   Principal
Amount
(000)
    Fair
Value
 
Repurchase Agreements  |  8.4%          
Fixed Income Clearing Corp., 4.37%, 04/01/25 (Dated 03/31/25, collateralized by $2,555,000 United States Treasury Bond, 4.375%, 08/15/43, with a fair value of $2,488,885) Proceeds of $2,440,296
(Cost $2,440,000)
  $2,440   $2,440,000 
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.5%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield)
(Cost $154,481)
   154,481   $154,481 
Total Investments  |  95.0%
(Cost $23,667,263) (»)
       $27,819,733 
Cash and Other Assets in Excess of Liabilites  |  5.0%        1,462,933 
Net Assets  |  100.0%       $29,282,666 


 
 

 

Lazard Opportunistic Strategies Portfolio (continued)

 

Forward Currency Contracts open at March 31, 2025:

Currency
Purchased
  Quantity  Currency
Sold
  Quantity  Counterparty  Settlement
Date
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  1,480,392  CNY  10,837,436  SSB  04/23/25  $   $16,071 

 

Total Return Swap Agreements open at March 31, 2025 :

Currency  Counterparty  Notional
Amount
   Expiration
Date
  Receive  Pay  Rate  Payment
Frequency
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  GSC  $577,735   12/09/25  Net appreciation and dividends paid, on Securities in a custom momentum basket  Net depreciation, and dividend expense (if applicable), on securities in a custom momentum basket as well as financing charges at the referenced rate  SOFR+ 0.92bps  Upon Maturity(a)  $332,613   $ 
USD  GSC   1,888,455   02/26/26  Net appreciation and dividends paid, on Securities in a custom momentum basket   Net depreciation,and dividend expense (if applicable), on securities in a custom momentum basket as well as financing charges at the referenced rate   SOFR+ 0.60bps  Upon Maturity(a)       161,745 
Total gross unrealized appreciation/depreciation on Total Return Swap Agreements       $332,613*  $161,745*

 

(a) For swap agreements, the net settlement will occur on the expiration date.
* Include net accrued dividends and financing charges of $26,170.
 
 

 

Lazard Opportunistic Strategies Portfolio (concluded)

 

The following tables represent the shares of the individual securities and related fair values underlying the custom total return basket swap agreements with GSC, as of 31 March, 2025:

 

Securities within
GSCBLZEU
(SOFR+0.92bps)
  Shares   Fair
Value
 
BAE Systems PLC   10,429   $210,158 
Exosens SAS   175    6,402 
Hensoldt AG   399    26,641 
Kongsberg Gruppen ASA   608    88,709 
Leonardo SpA   1,997    96,804 
Renk Group AG   345    16,537 
Rheinmetall AG   151    215,361 
Saab Ab, Class B   1,844   $72,215 
Thales SA   711    188,818 
Total Fair Value       $921,645 
           
Securities within
GSCBLZGB
(SOFR+0.60bps)
  Shares   Fair
Value
 
Amazon.Com Inc.   404    76,865 
ASE Technology Holding Co. Ltd.   17,609    75,840 
Bank Of America Corp.   2,050    85,546 
Digitalocean Holdings Inc.   2,456    82,006 
Ferrovial SE   2,184    97,249 
Intuitive Surgical Inc.   156    77,262 
Lantheus Holdings Inc.   974    95,062 
London Stock Exchange Group   646    95,630 
Lotes Co Ltd.   1,658    68,662 
Mizuho Financial Group Inc.   3,748    101,228 
National Grid PLC   7,983    104,152 
Onto Innovation Inc.   438    53,147 
Partners Group Holding AG   62    87,320 
QBE Insurance Group Ltd.   7,456    102,030 
RELX PLC   1,931    96,607 
Rio Tinto Ltd.   1,285    92,731 
Schrodinger Inc.   3,897    76,927 
Sumitomo Mitsui Financial Group, Inc.   3,938    99,638 
Taiwan Semiconductor Manufacturing Co. Ltd.   2,746    75,261 
Unilever PLC   1,690    100,639 
Total Fair Value       $1,743,802 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•)          
Common Stocks  |  69.9%          
Australia  |  1.5%          
Aurizon Holdings Ltd.   7,722   $15,010 
Goodman Group REIT   1,671    30,052 
Transurban Group   3,179    26,714 
         71,776 
Brazil  |  0.7%          
Allos SA   2,100    7,040 
Energisa SA   2,100    14,720 
Multiplan Empreendimentos Imobiliarios SA   2,900    11,485 
         33,245 
Canada  |  5.5%          
Agnico Eagle Mines Ltd.   254    27,536 
Atco Ltd., Class I   827    28,803 
Barrick Gold Corp.   854    16,602 
Boardwalk Real Estate Investment Trust REIT   278    12,963 
Cameco Corp.   335    13,791 
Canadian National Railway Co.   191    18,587 
Centerra Gold, Inc.   2,173    13,786 
Enbridge, Inc.   462    20,447 
First Capital Real Estate Investment Trust REIT   1,520    17,418 
Granite Real Estate Investment Trust REIT   507    23,623 
Hydro One Ltd. (#)   1,235    41,528 
Keyera Corp.   356    11,066 
Teck Resources Ltd., Class B   363    13,223 
West Fraser Timber Co. Ltd.   213    16,360 
         275,733 
China  |  1.5%          
C&D International Investment Group Ltd.   2,000    4,200 
China Overseas Land & Investment Ltd.   9,500    17,099 
China Resources Land Ltd.   5,500    18,374 
Hopson Development Holdings Ltd. (*)   11,768    4,676 
Midea Real Estate Holding Ltd. (#)   7,000    3,217 
Seazen Group Ltd. (*)   46,000    11,953 
Yuexiu Property Co. Ltd.   22,000    15,022 
         74,541 
France  |  2.9%          
Aeroports de Paris SA   101    10,330 
Description  Shares   Fair
Value
 
Engie SA   1,734   $33,788 
Klepierre SA REIT   344    11,505 
Unibail-Rodamco-Westfield REIT   210    17,705 
Vinci SA   547    69,123 
         142,451 
Germany  |  0.1%          
TAG Immobilien AG (*)   307    4,190 
Hong Kong  |  1.5%          
Henderson Land Development Co. Ltd.   1,000    2,887 
Kerry Properties Ltd.   5,500    12,963 
Link REIT   5,600    26,307 
Swire Properties Ltd.   4,600    10,109 
Wharf Real Estate Investment Co. Ltd.   10,000    24,354 
         76,620 
Italy  |  1.0%          
Terna - Rete Elettrica Nazionale   5,721    51,783 
Japan  |  3.1%          
Aeon Mall Co. Ltd.   2,500    39,101 
Daiwa House Industry Co. Ltd.   400    13,223 
East Japan Railway Co.   1,100    21,686 
Hankyu Hanshin Holdings, Inc.   600    16,109 
Hoshino Resorts REIT, Inc.   2    2,707 
Hulic Co. Ltd.   900    8,637 
Industrial & Infrastructure Fund Investment Corp. REIT   17    13,176 
Japan Prime Realty Investment Corp. REIT   4    9,074 
Japan Real Estate Investment Corp. REIT   15    10,750 
Katitas Co. Ltd.   300    3,964 
Osaka Gas Co. Ltd.   600    13,587 
         152,014 
Mexico  |  0.5%          
Grupo Aeroportuario del Centro Norte SAB de CV   1,000    9,829 
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   665    12,296 
         22,125 
Singapore  |  1.0%          
Keppel DC REIT   12,400    19,782 
Parkway Life REIT   4,100    12,651 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•) (continued)    
Sembcorp Industries Ltd.   4,000   $18,689 
         51,122 
South Africa  |  0.6%          
Growthpoint Properties Ltd. REIT   19,901    14,090 
Northam Platinum Holdings Ltd.   2,428    17,503 
         31,593 
Spain  |  1.2%          
Aena SME SA (#)   79    18,519 
Iberdrola SA   2,608    42,162 
         60,681 
United Arab Emirates  |  0.3%          
Emaar Development PJSC   5,006    16,712 
United Kingdom  |  3.6%          
Big Yellow Group PLC REIT   799    9,644 
National Grid PLC   4,250    55,370 
Segro PLC REIT   425    3,793 
Severn Trent PLC   484    15,845 
Shaftesbury Capital PLC REIT   20,850    33,766 
SSE PLC   1,647    33,893 
Tritax Big Box REIT PLC   13,921    25,250 
         177,561 
United States  |  44.9%          
Agree Realty Corp.   266    20,533 
Alexandria Real Estate Equities, Inc. REIT   439    40,612 
Ameren Corp.   377    37,851 
American Electric Power Co., Inc.   361    39,446 
American Homes 4 Rent, Class A REIT   1,050    39,700 
American Tower Corp. REIT   435    94,656 
American Water Works Co., Inc.   81    11,949 
Apple Hospitality REIT, Inc.   1,053    13,594 
Atmos Energy Corp.   216    33,389 
AvalonBay Communities, Inc. REIT   266    57,089 
Brixmor Property Group, Inc.   966    25,647 
CareTrust REIT, Inc.   779    22,264 
CenterPoint Energy, Inc.   202    7,318 
Cheniere Energy, Inc.   232    53,685 
CMS Energy Corp.   98    7,361 
Consolidated Edison, Inc.   215    23,777 
Description  Shares   Fair
Value
 
Crown Castle, Inc.   721   $75,150 
CSX Corp.   795    23,397 
CubeSmart   362    15,461 
Digital Realty Trust, Inc. REIT   339    48,575 
Dominion Energy, Inc.   513    28,764 
DTE Energy Co.   64    8,849 
Duke Energy Corp.   206    25,126 
EastGroup Properties, Inc. REIT   185    32,588 
Energy Transfer LP   3,069    57,053 
Entergy Corp.   544    46,507 
Enterprise Products Partners LP   1,772    60,496 
Equinix, Inc. REIT   86    70,120 
Equity LifeStyle Properties, Inc. REIT   180    12,006 
Equity Residential REIT   333    23,836 
Essex Property Trust, Inc. REIT   41    12,569 
Expand Energy Corp.   150    16,698 
Extra Space Storage, Inc. REIT   202    29,995 
Ferrovial SE   1,017    45,523 
First Industrial Realty Trust, Inc.   628    33,887 
Host Hotels & Resorts, Inc. REIT   1,443    20,505 
Independence Realty Trust, Inc. REIT   807    17,133 
Invitation Homes, Inc. REIT   615    21,433 
Iron Mountain, Inc. REIT   216    18,585 
Kilroy Realty Corp.   211    6,912 
Mid-America Apartment Communities, Inc. REIT   315    52,788 
National Storage Affiliates Trust REIT   285    11,229 
NextEra Energy, Inc.   537    38,068 
NiSource, Inc.   766    30,709 
NNN REIT, Inc.   410    17,486 
Norfolk Southern Corp.   77    18,237 
Omega Healthcare Investors, Inc.   672    25,590 
ONEOK, Inc.   187    18,554 
Packaging Corp. of America   75    14,851 
Park Hotels & Resorts, Inc. REIT   461    4,923 
Pinnacle West Capital Corp.   80    7,620 
Prologis, Inc.   1,029    115,032 
Public Storage REIT   134    40,105 
Realty Income Corp. REIT   554    32,138 
Regency Centers Corp. REIT   431    31,791 
Ryman Hospitality Properties, Inc. REIT   101    9,235 
SBA Communications Corp. REIT   442    97,244 
Simon Property Group, Inc. REIT   323    53,644 
SL Green Realty Corp. REIT   431    24,869 
Sunstone Hotel Investors, Inc. REIT   1,354    12,741 
Targa Resources Corp.   318    63,749 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•) (continued)      
Union Pacific Corp.   215   $50,792 
Ventas, Inc. REIT   968    66,560 
WEC Energy Group, Inc.   107    11,661 
Welltower, Inc. REIT   412    63,122 
Xcel Energy, Inc.   664    47,005 
         2,239,782 
Total Common Stocks
(Cost $3,053,197)
        3,481,929 
Exchange-Traded Funds  |  5.8%          
iShares Gold Trust (~)   3,341    196,985 
iShares Silver Trust (~)   2,983    92,443 
Total Exchange-Traded Funds
(Cost $217,619)
        289,428 
Short-Term Investments  |  21.0%          
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 4.28% (7 day yield) (~)
(Cost $1,049,250)
   1,049,250    1,049,250 
Total Investments  |  96.7%
(Cost $4,320,066)
       $4,820,607 
Cash and Other Assets in Excess of Liabilities  |  3.3%        166,815 
Net Assets  |  100.0%       $4,987,422 


 
 

 

Lazard Real Assets Portfolio (•) (continued)

 

Futures Contracts open at March 31, 2025 (~):

 

Type  Number of
Contracts
  Notional
Amount
   Expiration
Date
  Notional
Cost
   Fair Value   Unrealized
Appreciation
   Unrealized
Depreciation
 
Natural Gas  3  $30,000   04/28/25  $100,147   $123,570   $23,423   $ 
Sugar 11  1   112,000   04/30/25   20,253    21,123    870     
Soybean Oil  2   120,000   05/14/25   56,208    53,868        2,340 
Wheat  1   5,000   05/14/25   31,265    27,850        3,415 
Total gross unrealized appreciation/depreciation on Futures Contracts            $24,293   $5,755 

 

Total Return Swap Agreements open at March 31, 2025 (~) :

Currency  Counterparty  Notional Amount  Expiration Date  Receive  Pay  Payable  Payment
Frequency
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  GSC  $832,461  10/20/25  Appreciation, and dividends paid, on commodities in a custom momentum basket  0.00%  Depreciation and dividend expenses (if applicable), on commodities in a custom momentum basket  Upon
Maturity(a)
  $45,188   $ 

 

(a) For swap agreements, the net settlement will occur on the expiration date.

 

 
 

 

Lazard Real Assets Portfolio (•) (concluded)

 

The following table represents the commodity exposure expressed as a percentage of the notional amount of the custom total return basket swap agreements with GSC, as of 31 March, 2025:

Commodity  Commodity Index
Ticker Symbol
  Commodity Exposure Expressed as a
Percentage of Notional Amount
 
Aluminum  BCOMAL   7.64%
Brent Crude  BCOMCO   11.75 
Coffee  BCOMKC   8.69 
Copper  BCOMHG   1.18 
Corn  BCOMCN   0.14 
Cotton  BCOMCT   11.70 
Crude Oil  BCOMCL   8.30 
Gasoline (RBOB)  BCOMRB   6.22 
Gold  BCOMGC   0.02 
Heating Oil  BCOMHO   5.18 
Kansas Wheat  BCOMKW   0.17 
Lean Hogs  BCOMLH   1.35 
Live Cattle  BCOMLC   3.11 
Natural Gas  BCOMNG   2.39 
Nickel  BCOMNI   7.83 
Silver  BCOMSI   1.92 
Soy Meal  BCOMSM   0.01 
Soybeans  BCOMSY   5.17 
Sugar  BCOMSB   3.70 
Wheat  BCOMWH   8.98 
Zinc  BCOMZS   4.55 
Total      100.00%
 

The Lazard Funds, Inc. Notes to Portfolios of Investments

March 31, 2025 (unaudited)

 

(*) Non-income producing security.
(#) Pursuant to Rule 144A under the Securities Act of 1933, as amended these securities may only be traded among “qualified institutional buyers.” March 31, 2025, the percentage of net assets for each Portfolio was as follows:

 

Portfolio  Percentage of
Net Assets
 
Developing Markets Equity Portfolio   3.7%
Emerging Markets Core Equity Portfolio   5.8%
Emerging Markets Equity Advantage Portfolio   8.3%
Emerging Markets Equity Portfolio   0.5%
Enhanced Opportunities Portfolio   11.1%
Equity Franchise Portfolio   6.8%
Global Listed Infrastructure Portfolio   4.5%
International Equity Advantage Portfolio   3.3%
International Equity Portfolio   0.9%
International Equity Select Portfolio   0.9%
International Quality Growth Portfolio   3.4%
International Small Cap Equity Portfolio   10.4%
International Strategic Equity Portfolio   0.8%
Real Assets Portfolio   1.3%
US Convertibles Portfolio   24.3%
US High Yield Portfolio   80.9%
US Short Duration Fixed Income Portfolio   15.0%
US Systematic Small Cap Equity Portfolio   0.3%

 

(¢) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(‡) Security valued using Level 2 inputs, based on reference to a similar security which was trading on an active market, under US Generally Accepted Accounting Principles in the United States of America hierarchy.
(^) The Investment Company Act of 1940 defines “affiliated persons” to include a portfolio company in which a portfolio owns 5% or more of the outstanding voting securities. Investments in “affiliated persons” for the Lazard Global Listed Infrastructure Portfolio for the period ended 31 March, 2025 were as follows:

 

Issue  Value at
December 31,
2024
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2025
   Values at
March 31, 2025
 
Global Listed Infrastructure                                        
Algonquin Power & Utilities Corp.  $185,794,628   $   $   $   $29,173,352   $2,312,797    41,860,578   $214,967,980 
Atlas Arteria Ltd.   246,847,113                8,764,923    10,591,902    83,962,746    255,612,036 
Italgas SpA   237,756,272                66,267,156        42,354,790    304,023,428 
Pennon Group PLC   119,444,612    34,863,144            (926,123)    2,942,543    26,547,011    153,381,633 
SES SA   66,908,278                57,878,682        21,121,589    124,786,960 
Total Securities  $856,750,903   $34,863,144   $   $   $161,157,990   $15,847,242    215,846,714   $1,052,772,037 

 

(») The portfolio, at all times, maintains portfolio securities in sufficient amount to cover its obligations related to investments in forward currency contracts.
(§) Variable and floating rate securities are securities for which interest rate changes are based on changes in a designated base rate. The rates shown are those in effect on March 31, 2025.
(±) Some or all of this security position has been pledged to cover collateral requirements on securities sold short.
(**) Securities exempt from registration under Regulation S of the Securities Act of 1933. These securities are subject to resale restrictions. At March 31, 2025, these securities amounted to 3.4% of net assets of Lazard Enhanced Opportunities Portfolio.
(«) Issue in default.
(<) Represents the number of contracts multiplied by notional contract size multiplied by the underlying price.
(•) Lazard Real Assets Portfolio’s Portfolio of Investments and accompanying notes are presented on a consolidated basis.
(~) The security is owned by Lazard Real Assets Portfolio Ltd., a wholly-owned subsidiary of the Portfolio.
 
Security Abbreviations:
 
ADR - American Depositary Receipt
CDI - CHESS Depositary Interest
CVR - Contingent Value Rights
ETF - Exchange-Traded Fund
GDR - Global Depositary Receipt
JSC - Joint Stock Company
NVDR - Non-Voting Depository Receipt
PJSC - Public Joint Stock Company
REIT - Real Estate Investment Trust
SOFR - Secured Overnight Financing Rate
   
Currency Abbreviations:
   
AUD - Australian Dollar
CAD - Canadian Dollar
CHF - Swiss Franc
CNY - Chinese Renminbi
EUR - Euro
GBP - British Pound Sterling
HKD - Hong Kong Dollar
NZD - New Zealand Dollar
USD - United States Dollar
   
Counterparty Abbreviations:
 
BNP - BNP Paribas SA
BNY - Bank of New York Mellon
BOA - Bank of America N.A.
CAN - Canadian Imperial Bank of Commerce
CIT - Citibank N.A.
GSC - Goldman Sachs International
HSB - HSBC Bank USA N.A.
MSC - Morgan Stanley & Co.
NIP - Nomura International Plc
RBC - Royal Bank of Canada
SCB - Standard Chartered Bank
SSB - State Street Bank & Trust Co.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†   Lazard Developing
Markets Equity
Portfolio
    Lazard
Emerging
Markets Core
Equity
Portfolio
    Lazard
Emerging
Markets Equity
Advantage
Portfolio
    Lazard
Emerging
Markets Equity
Portfolio
   
Common Stocks and Preferred Stocks                       
Aerospace & Defense   %   %   1.0%   %  
Air Freight & Logistics   3.5        0.4       
Automobile Components   0.8        0.5    1.8   
Automobiles   3.0    1.7    3.0    0.9   
Banks   18.1    21.6    16.6    22.1   
Beverages   0.9    0.8    1.1       
Biotechnology       1.2    0.3       
Broadline Retail   6.0    6.6    5.9    3.1   
Building Products           0.1       
Capital Markets       1.1    1.4       
Chemicals   0.9    1.0    0.8    1.9   
Communications Equipment   1.0        0.3       
Construction & Engineering       1.7    0.3       
Construction Materials           0.6    2.3   
Consumer Finance   1.5        1.4       
Consumer Staples Distribution & Retail   1.4    1.9    1.0    1.5   
Containers & Packaging           0.2       
Diversified Telecommunication Services           0.9    4.0   
Electric Utilities           1.0       
Electrical Equipment   2.5    1.4    1.5       
Electronic Equipment, Instruments & Components   2.8        2.2    1.1   
Energy Equipment & Services   0.8    0.7    0.4    0.8   
Entertainment       1.3    1.6    2.1   
Financial Services   0.7    0.8    1.0       
Food Products           1.8    2.9   
Gas Utilities           0.5    1.0   
Ground Transportation   1.1    0.8           
 
Industry†    Lazard
Developing
Markets Equity
Portfolio
      Lazard
Emerging
Markets Core
Equity
Portfolio
     Lazard
Emerging
Markets Equity
Advantage
Portfolio
     Lazard
Emerging
Markets Equity
Portfolio
   
Health Care Equipment & Supplies   %   0.9%   %   %  
Health Care Providers & Services           0.3    2.8   
Hotels, Restaurants & Leisure   3.0    3.9    2.3    0.8   
Household Durables   1.2    1.0    0.9    2.9   
Household Products       0.9        0.9   
Independent Power & Renewable Electricity Producers           0.2    0.8   
Industrial Conglomerates       0.8    0.5    3.0   
Insurance   1.4    1.4    3.1    4.9   
Interactive Media & Services   6.9    5.2    6.0    1.0   
IT Services   1.9    1.1    2.6    0.8   
Machinery   4.6    2.5    1.1    1.7   
Marine Transportation           0.1       
Metals & Mining       3.6    4.6    2.8   
Multi-Utilities           0.1       
Oil, Gas & Consumable Fuels   2.5    5.9    3.5    5.3   
Paper & Forest Products   0.6        0.2       
Passenger Airlines       1.4    0.6       
Personal Care Products       1.6    0.2    2.2   
Pharmaceuticals   1.4        3.0    0.9   
Professional Services           0.1       
Real Estate Management & Development       3.3    2.0       
Semiconductors & Semiconductor Equipment   18.3    14.9    11.9    12.0   
Software   2.3        0.1       
Specialty Retail   0.7        0.7    1.0   
Technology Hardware, Storage & Peripherals   7.3    4.1    4.9    1.8   
Textiles, Apparel & Luxury Goods           0.7       
Tobacco       0.7        0.6   
Trading Companies & Distributors           0.2       
 
Industry†    Lazard
Developing
Markets Equity
Portfolio
     Lazard
Emerging
Markets Core
Equity
Portfolio
     Lazard
Emerging
Markets Equity
Advantage
Portfolio
     Lazard
Emerging
Markets Equity
Portfolio
   
Transportation Infrastructure   0.9%   1.8%   0.9%   2.1%  
Water Utilities           0.3       
Wireless Telecommunication Services       2.1    1.2    2.4   
Subtotal   98.0    99.7    98.1    96.2   
Repurchase Agreements   2.1    0.4    1.4    3.4   
Short-Term Investments   0.1    0.0    0.1    0.2   
Total Investments   100.2%   100.1%   99.6%   99.8%  
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†    Lazard
Equity Franchise
Portfolio
     Lazard Global
Equity Select
Portfolio
     Lazard Global
Listed Infrastructure
Portfolio
     Lazard
International Equity
Advantage
Portfolio
   
Common Stocks and Preferred Stocks                      
Aerospace & Defense   %   %   %   2.2%  
Automobile Components               1.4   
Automobiles               2.3   
Banks       4.2        14.2   
Beverages       5.7        0.5   
Biotechnology       1.4           
Broadline Retail       4.8        3.2   
Building Products       0.7        0.2   
Capital Markets       7.6        2.7   
Chemicals   1.8            1.7   
Commercial Services & Supplies   9.8            0.9   
Communications Equipment       1.6        0.2   
Construction & Engineering   4.2        12.6    1.3   
Construction Materials               0.2   
Consumer Finance               0.2   
Consumer Staples Distribution & Retail       0.7        2.2   
Containers & Packaging       0.7           
Diversified Consumer Services   6.2               
Diversified Telecommunication Services               0.5   
Electric Utilities   2.1        20.3    2.6   
Electrical Equipment       3.7        4.0   
Electronic Equipment, Instruments & Components       2.7        1.0   
Energy Equipment & Services               0.1   
Entertainment       1.0        1.6   
Financial Services   16.0    3.5        1.3   
Food Products               1.8   
Gas Utilities   5.0        10.2    0.2   
 
Industry†    Lazard
Equity Franchise
Portfolio
     Lazard Global
Equity Select
Portfolio
     Lazard Global
Listed Infrastructure
Portfolio
     Lazard
International 
Equity
Advantage 
Portfolio
   
Ground Transportation   %   %   9.3%   0.2%  
Health Care Equipment & Supplies   8.4    1.0           
Health Care Providers & Services   6.7    2.1        0.1   
Hotels, Restaurants & Leisure   6.6    1.4        1.6   
Household Durables               1.5   
Household Products       1.6        0.6   
Independent Power & Renewable Electricity Producers               0.1   
Insurance       3.0        5.9   
Interactive Media & Services       3.1        2.6   
IT Services   2.6    2.6        2.5   
Leisure Products               0.2   
Life Sciences Tools & Services       4.8           
Machinery       2.7        1.5   
Marine Transportation               0.1   
Media   9.2        2.0       
Metals & Mining               4.1   
Multi-Utilities   4.9        14.9    0.3   
Oil, Gas & Consumable Fuels               4.7   
Passenger Airlines               1.4   
Personal Care Products       1.8        0.9   
Pharmaceuticals       2.7        9.0   
Professional Services   1.0    8.1        1.7   
Real Estate Management & Development               1.3   
Retail REITs               0.1   
Semiconductors & Semiconductor Equipment       6.8        6.3   
Software   1.4    7.9        0.0   
Specialty Retail       3.5           
Technology Hardware, Storage & Peripherals    4.4        2.3   
 
Industry†    Lazard
Equity Franchise
Portfolio
     Lazard Global
Equity Select
Portfolio
     Lazard Global
Listed Infrastructure
Portfolio
     Lazard
International 
Equity
Advantage 
Portfolio
   
Textiles, Apparel & Luxury Goods   %   1.6%   %   0.3%  
Tobacco               0.8   
Trading Companies & Distributors       1.1        0.5   
Transportation Infrastructure           15.3    0.4   
Water Utilities   9.3        11.1       
Wireless Telecommunication Services               1.2   
Subtotal   95.2    98.5    95.7    98.7   
Warrants               0.0   
Repurchase Agreements   5.7    1.3    3.6    1.8   
Short-Term Investments   0.3    0.1    0.2    0.1   
Total Investments   101.2%   99.9%   99.5%   100.6%  
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†  Lazard
International
Equity
Portfolio
   Lazard
International
Equity Select
Portfolio
   Lazard
International
Quality Growth
Portfolio
   Lazard
International
Small Cap
Equity
Portfolio
 
Common Stocks and Preferred Stocks                     
Aerospace & Defense   5.4%   4.2%   %   3.4%
Air Freight & Logistics               1.0 
Automobile Components   1.1    0.1        1.0 
Automobiles   1.4    0.9         
Banks   13.6    16.3    2.9    5.6 
Beverages   2.8    0.7    3.0    1.5 
Biotechnology               2.8 
Broadline Retail           2.9     
Building Products   0.7        2.5    4.3 
Capital Markets   1.8    1.6    9.6    3.4 
Chemicals   4.1    3.2        5.4 
Construction & Engineering               1.3 
Construction Materials   0.9    1.4        1.3 
Consumer Staples Distribution & Retail   1.4        2.1    0.7 
Diversified REITs               1.3 
Diversified Telecommunication Services   2.7            1.2 
Electric Utilities   1.1             
Electrical Equipment   2.2    3.8        2.3 
Electronic Equipment, Instruments & Components   2.4    2.2    7.0    2.1 
Entertainment       1.4    3.3    1.0 
Financial Services               2.2 
Food Products   0.8            4.3 
Gas Utilities               1.2 
Health Care Equipment & Supplies   0.9    2.8    7.1    4.8 
Health Care Technology           1.6     
Hotels, Restaurants & Leisure   1.4    2.5    1.7    1.9 
Household Durables               2.5 
Industrial Conglomerates   2.4    1.5         
 
Industry†  Lazard
International
Equity
Portfolio
   Lazard
International
Equity Select
Portfolio
   Lazard
International
Quality Growth
Portfolio
   Lazard
International
Small Cap
Equity
Portfolio
 
Insurance   3.9%   6.2%   6.2%   5.8%
Interactive Media & Services   1.0    2.5    4.9     
IT Services   4.1    2.5    2.7    1.6 
Leisure Products   1.2            1.2 
Life Sciences Tools & Services   0.4    0.4    1.3     
Machinery   3.4    2.5    1.4    7.4 
Metals & Mining   1.2             
Multi-Utilities   1.7    1.7         
Oil, Gas & Consumable Fuels   0.9    1.0        1.7 
Passenger Airlines   1.1    1.3         
Personal Care Products   2.7    3.0    2.7     
Pharmaceuticals   5.4    4.0        1.0 
Professional Services   6.8    7.1    12.4    4.8 
Real Estate Management & Development   0.9    0.9        6.4 
Semiconductors & Semiconductor Equipment   5.3    8.4    6.1    1.1 
Software   0.8    2.2    7.8    1.8 
Specialty Retail   2.2    0.7    2.3    3.0 
Textiles, Apparel & Luxury Goods   4.3    5.1    2.4    1.5 
Trading Companies & Distributors   1.0    1.7    4.6    3.9 
Wireless Telecommunication Services       1.1         
Subtotal   95.4    94.9    98.5    97.7 
Repurchase Agreements   3.4    2.1    1.3    1.4 
Short-Term Investments   0.2    0.1    0.1    0.1 
Total Investments   99.0%   97.1%   99.9%   99.2%
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†  Lazard 
International
Strategic
Equity
Portfolio
   Lazard US 
Equity
Concentrated
Portfolio
   Lazard US 
Equity
Focus
 Portfolio
   Lazard US 
Small Cap
 Equity Select
Portfolio
 
Common Stocks                    
Aerospace & Defense   4.8%   5.3%   %   0.8%
Automobile Components               1.0 
Automobiles   1.1    4.8        1.3 
Banks   14.1        3.3    7.9 
Beverages   6.9             
Biotechnology   1.1    2.6    0.8    5.4 
Broadline Retail   1.0    9.7    6.6     
Building Products   1.3            2.0 
Capital Markets   4.9    14.9    11.5    6.0 
Chemicals   0.9             
Commercial Services & Supplies   1.5        3.7    3.8 
Construction Materials   2.0            1.2 
Consumer Staples Distribution & Retail   1.1            4.8 
Containers & Packaging               1.5 
Electrical Equipment   1.9    3.6    1.6    2.2 
Electronic Equipment, Instruments & Components   3.6    6.5        3.6 
Energy Equipment & Services               3.1 
Entertainment               1.4 
Financial Services   0.8    5.1    4.8     
Ground Transportation   1.5        2.0    1.3 
Health Care Equipment & Supplies   1.7        2.2    5.7 
Health Care Providers & Services           3.1     
Health Care Technology               2.4 
Hotels, Restaurants & Leisure   3.6    4.3    3.7    4.0 
Insurance   8.2    6.0    4.5    6.3 
Interactive Media & Services           4.4    1.3 
IT Services   2.9    4.4    2.0    1.9 
 
Industry†  Lazard International
Strategic Equity
Portfolio
   Lazard US 
Equity
Concentrated
Portfolio
   Lazard US 
Equity
Focus Portfolio
   Lazard US
 Small Cap 
Equity Select
Portfolio
 
Life Sciences Tools & Services   1.5%   2.8%   4.4%   0.6%
Machinery   2.8        2.4    7.4 
Media   1.9    2.3         
Multi-Utilities   3.0             
Oil, Gas & Consumable Fuels   0.7        3.0    2.6 
Passenger Airlines   1.2             
Personal Care Products   2.5             
Pharmaceuticals   4.4    4.4    2.1    1.0 
Professional Services   6.5        4.6    1.3 
Real Estate Management & Development           2.6     
Retail REITs               1.5 
Semiconductors & Semiconductor Equipment   6.0    13.5    9.3    5.0 
Software   1.3    4.7    9.4    2.7 
Specialized REITs       3.7        2.2 
Specialty Retail   2.5            1.8 
Technology Hardware, Storage & Peripherals   0.9        7.6     
Textiles, Apparel & Luxury Goods               1.9 
Trading Companies & Distributors               1.0 
Subtotal   100.1    98.6    99.6    97.9 
Repurchase Agreements       0.7    0.8     
Short-Term Investments   0.5    0.1    0.1     
Total Investments   100.6%   99.4%   100.5%   97.9%
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†  Lazard US
Sustainable Equity
Portfolio
   Lazard US
Systematic Small
Cap Equity
Portfolio
 
Common Stocks          
Automobile Components   %   1.5%
Banks   2.0    3.4 
Beverages       0.0 
Biotechnology   0.6    5.1 
Building Products   2.8    1.7 
Capital Markets   9.5    1.8 
Chemicals   3.0    2.1 
Commercial Services & Supplies   3.3    4.4 
Communications Equipment       2.4 
Construction & Engineering       0.5 
Construction Materials       0.1 
Consumer Finance   1.3    0.6 
Consumer Staples Distribution & Retail       0.3 
Containers & Packaging   1.0    0.5 
Distributors       0.2 
Diversified Consumer Services       3.1 
Diversified REITs       0.2 
Diversified Telecommunication Services       0.6 
Electrical Equipment   1.1    1.6 
Electronic Equipment, Instruments & Components   1.6    5.0 
Energy Equipment & Services       0.1 
Entertainment       0.1 
Financial Services   5.2    1.6 
Food Products       1.8 
Ground Transportation   1.0    0.1 
Health Care Equipment & Supplies   4.5    3.4 
Health Care Providers & Services   3.0    1.7 
Health Care REITs       0.6 
Health Care Technology       1.0 
Hotel & Resort REITs       0.2 
Hotels, Restaurants & Leisure   1.1    1.2 
Household Durables       3.9 
Household Products   3.0    1.2 
Independent Power & Renewable Electricity Producers       0.2 
Industrial REITs   1.1    0.7 
Insurance   1.6    2.3 
Interactive Media & Services       1.1 
IT Services   2.5    1.6 
Leisure Products       0.4 
Life Sciences Tools & Services   5.9    1.5 
Machinery   5.5    1.6 
Marine Transportation       0.9 
 
Industry†  Lazard US
Sustainable Equity
Portfolio
   Lazard US
Systematic Small
Cap Equity
Portfolio
 
Media   %   2.6%
Mortgage Real Estate Investment       0.2 
Mortgage Real Estate Investment Trusts (REITs)       0.0 
Office REITs       0.2 
Oil, Gas & Consumable Fuels       1.0 
Paper & Forest Products       0.3 
Passenger Airlines       0.2 
Personal Care Products       0.3 
Pharmaceuticals   4.8    0.0 
Professional Services       7.8 
Real Estate Management & Development   1.1    0.5 
Residential REITs       0.3 
Retail REITs       1.8 
Semiconductors & Semiconductor Equipment   8.6    1.7 
Software   13.0    12.6 
Specialized REITs       0.8 
Specialty Retail   3.3    2.4 
Technology Hardware, Storage & Peripherals   6.8    0.5 
Textiles, Apparel & Luxury Goods       1.9 
Trading Companies & Distributors       2.2 
Wireless Telecommunication Services       0.5 
Subtotal   98.2    100.1 
Closed-End Management Investment Companies       0.4 
Repurchase Agreements   1.8    0.4 
Short-Term Investments   0.1    0.0 
Total Investments   100.1%   100.9%
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

   Lazard Enhanced
Opportunities Portfolio
 
Industry†  Long  Short
Common Stocks, Preferred Stocks, Corporate Bonds and Convertible Corporate Bonds          
Automobiles   0.0%   0.0%
Beverages   1.1     
Biotechnology   2.1    -0.2 
Broadline Retail   0.0     
Capital Markets   0.3     
Chemicals   0.0     
Commercial Services & Supplies   3.6     
Communications Equipment   0.0     
Construction & Engineering   1.6     
Consumer Finance   0.0     
Diversified REITs   0.0     
Diversified Telecommunication Services   0.6     
Electric Utilities   0.0     
Electrical Equipment   0.0     
Electronic Equipment, Instruments & Components   1.0     
Energy Equipment & Services   0.1     
Entertainment   1.0    -0.8 
Financial Services   1.8    -0.2 
Food Products   0.2     
Health Care Equipment & Supplies   8.4    0.0 
Health Care Providers & Services   0.8     
Hotel & Resort REITs   1.2    0.0 
Hotels, Restaurants & Leisure   0.1    -0.1 
Insurance   0.5    -0.4 
Interactive Media & Services   4.1     
IT Services   2.8     
Leisure Products   1.3     
Life Sciences Tools & Services   0.0     
Machinery   0.4     
Media   0.0     
Metal Fabricate & Hardware   0.1     
Metals & Mining   0.0     
Passenger Airlines   0.6    -0.2 
Pharmaceuticals   4.0    -0.1 
Private Equity   0.0     
Real Estate Management & Development   1.4    0.0 
Semiconductors & Semiconductor Equipment   1.0    0.0 
Software   8.5    -0.5 
Specialty Retail   4.2     
Technology Hardware, Storage & Peripherals       -0.1 
 
   Lazard Enhanced
Opportunities Portfolio
 
Industry†  Long   Short 
Trading Companies & Distributors   0.0%   %
Subtotal   52.8    -2.6 
Purchased Options   0.0     
U.S. Treasury Securities   41.7     
Warrants   0.0     
Short-Term Investments   3.9     
Total Investments   98.4%   -2.6%
Industry classifications may be different than those used for compliance monitoring purposes.
 

Portfolio holdings by industry (as percentage of net assets), for those Portfolios previously presented by country:

Industry†  Lazard Real Assets
Portfolio
 
Common Stocks     
Construction & Engineering   2.3%
Containers & Packaging   0.3 
Diversified REITs   0.3 
Electric Utilities   7.7 
Gas Utilities   1.0 
Ground Transportation   3.3 
Health Care REITs   4.5 
Hotel & Resort REITs   1.3 
Industrial REITs   5.7 
Metals & Mining   1.7 
Multi-Utilities   5.9 
Office REITs   1.0 
Oil, Gas & Consumable Fuels   6.3 
Paper & Forest Products   0.3 
Real Estate Management & Development   4.7 
Residential REITs   5.0 
Retail REITs   5.7 
Specialized REITs   10.7 
Transportation Infrastructure   1.7 
Water Utilities   0.5 
Subtotal   69.9 
Exchange-Traded Funds   5.8 
Short-Term Investments   21.0 
Total Investments   96.7%
Industry classifications may be different than those used for compliance monitoring purposes.
 

Various inputs are used in determining the fair value of investments and derivative financial instruments. For information about the Fund’s policy regarding valuation of investments and derivative financial instruments, refer to notes to the financial statements.

 

Item 2. Controls and Procedures.

 

(a) The Registrant’s principal executive and principal financial officers have concluded, based on their evaluation of the Registrant’s disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrant’s disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-Q is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-Q is accumulated and communicated to the Registrant’s management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure.

 

(b) There were no changes to the Registrant’s internal control over financial reporting that occurred during the Registrant’s most recent fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

The Lazard Funds, Inc. 

 

By: /s/ Nathan A. Paul
  Nathan A. Paul
  Chief Executive Officer

 

Date: May 22, 2025

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

By: /s/ Nathan A. Paul
  Nathan A. Paul
  Chief Executive Officer

 

Date: May 22, 2025

 

By: /s/ Christina Kennedy
  Christina Kennedy
  Chief Financial Officer

 

Date: May 22, 2025