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Natixis Advisors, LLC

All holdings · as of Mar 31, 2026

1,684 positions

CompanyClassValueShares% of portfolio
NVIDIA Corp$3.34M19,145,1774.6%
Apple Inc.$2.75M10,842,1813.8%
MICROSOFT CORP$2.14M5,772,3933.0%
Amazon.com Inc$1.88M9,031,2922.6%
Alphabet Inc.$1.73M6,014,3012.4%
Broadcom Inc.$1.22M3,956,7971.7%
Alphabet Inc.$1.14M3,978,2401.6%
Meta Platforms Inc$1.14M1,990,2461.6%
VANGUARD BD$1.14M1,904,9631.6%
ISHARES$996.3K12,706,1691.4%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$787.5K2,330,0991.1%
Visa Inc$750.3K2,482,5131.0%
EXXON MOBIL CORP$746.2K4,398,4161.0%
ELI LILLY & Co$718.1K780,7301.0%
Tesla Inc$660.9K1,777,6830.9%
JPMORGAN CHASE & CO$626.1K2,128,4460.9%
SPDR SERIES TRUST STATE STREET SPD$522.6K6,827,6540.7%
LINDE PLC$512.6K1,033,9490.7%
Netflix Inc$498.3K5,182,1250.7%
Warren E. Buffett$469.6K979,9880.7%
JOHNSON & JOHNSON$426.3K1,744,0760.6%
AMPHENOL CORP /DE$385.3K3,049,1740.5%
DIMENSIONAL ETF$383.3K11,385,4280.5%
The Boeing Company$360.7K1,812,2910.5%
ISHARES$358.1K2,880,6000.5%
Merck & Co., Inc.$357.3K2,970,2900.5%
CHEVRON CORP$350.8K1,695,6030.5%
ANALOG DEVICES INC$344.0K1,081,1790.5%
ROSS STORES, INC.$342.9K1,582,8630.5%
NOVARTIS AG$341.6K2,236,1560.5%
GENERAL ELECTRIC CO$335.9K1,183,8550.5%
Walmart Inc.$331.7K2,669,0210.5%
BANK OF AMERICA CORP /DE$330.9K6,787,7910.5%
Mastercard Inc$330.7K661,8390.5%
Intercontinental Exchange, Inc.$327.9K2,084,9100.5%
MCDONALD'S CORP$325.2K1,046,2670.5%
COCA COLA CO$321.1K4,221,6120.4%
ISHARES$320.2K3,296,3980.4%
ORACLE CORP$315.8K2,146,4930.4%
Eaton Corp plc$308.1K861,2930.4%
MICRON TECHNOLOGY INC$301.8K893,2510.4%
HOME DEPOT, INC.$297.4K904,3550.4%
CISCO SYSTEMS, INC.$296.4K3,820,7000.4%
VANGUARD SCOTTSDALE FDS$292.1K2,916,1720.4%
RTX Corp$291.4K1,510,6220.4%
VANGUARD BD$289.5K4,033,0670.4%
APPLIED MATERIALS INC /DE$288.0K842,7480.4%
PROCTER & GAMBLE Co$287.6K1,990,9950.4%
AbbVie Inc.$285.6K1,313,1680.4%
ISHARES$283.5K2,915,2750.4%
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