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: 3/31/2026

 

Item 1. Schedule of Investments.

 
 

 

Description  Shares  Fair
Value
Lazard Developing Markets Equity Portfolio
Common Stocks  |  99.1%          
Brazil  |  6.8%          
Orizon Valorizacao de Residuos SA (*)   71,100   $979,644 
Pagseguro Digital Ltd., Class A   117,462    1,176,969 
PRIO SA (*)   188,900    2,414,562 
Rede D’Or Sao Luiz SA (#)   196,300    1,476,840 
TOTVS SA   136,700    922,092 
         6,970,107 
Canada  |  0.6%          
Capstone Copper Corp. (*)   84,871    639,995 
China  |  23.6%          
Alibaba Group Holding Ltd.   221,300    3,483,820 
BYD Co. Ltd., Class H   98,300    1,347,736 
Contemporary Amperex Technology Co. Ltd., Class A   28,100    1,647,037 
Foxconn Industrial Internet Co. Ltd., Class A   105,800    801,601 
Fuyao Glass Industry Group Co. Ltd., Class H (#)   120,800    907,269 
Lenovo Group Ltd.   1,276,000    1,516,340 
Minth Group Ltd.   343,900    1,446,052 
OmniVision Integrated Circuits Group, Inc.   64,100    892,467 
Ping An Insurance Group Co. of China Ltd., Class H   208,000    1,622,063 
Shenzhen Inovance Technology Co. Ltd., Class A   103,190    1,010,564 
Shenzhen Sunlord Electronics Co. Ltd., Class A   149,000    744,470 
Sungrow Power Supply Co. Ltd., Class A   38,188    839,635 
Tencent Holdings Ltd.   76,000    4,798,025 
Xiaomi Corp., Class B (#), (*)   284,000    1,168,353 
Yadea Group Holdings Ltd. (#)   806,000    1,367,502 
Zijin Mining Group Co. Ltd., Class H   158,000    717,850 
         24,310,784 
Czech Republic  |  0.8%          
CSG NV   31,133    837,731 
Greece  |  1.0%          
Public Power Corp. SA   50,467    1,059,116 
India  |  6.6%          
Amber Enterprises India Ltd. (*)   10,038    701,070 
Description  Shares  Fair
Value
Bajaj Finance Ltd.   90,351   $794,945 
Bharti Airtel Ltd.   49,716    945,246 
HDFC Bank Ltd. ADR   52,559    1,307,668 
ICICI Bank Ltd. ADR   51,168    1,325,251 
Mphasis Ltd.   30,114    667,319 
Reliance Industries Ltd.   71,567    1,037,041 
         6,778,540 
Indonesia  |  1.7%          
Bank Central Asia Tbk. PT   1,899,800    726,838 
Bank Rakyat Indonesia Persero Tbk. PT   5,019,749    989,250 
         1,716,088 
Mexico  |  3.4%          
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   34,210    843,941 
Grupo Financiero Banorte SAB de CV, Class O   237,957    2,639,128 
         3,483,069 
Peru  |  1.9%          
Credicorp Ltd.   5,809    1,970,297 
Philippines  |  1.9%          
BDO Unibank, Inc.   456,146    852,761 
International Container Terminal Services, Inc.   92,619    1,062,155 
         1,914,916 
Poland  |  1.7%          
Allegro.eu SA (#), (*)   110,269    791,787 
Benefit Systems SA (*)   1,053    1,007,025 
         1,798,812 
Portugal  |  0.8%          
Jeronimo Martins SGPS SA   34,863    836,328 
South Africa  |  4.0%          
Capitec Bank Holdings Ltd.   8,132    1,996,495 
Standard Bank Group Ltd.   115,084    2,086,045 
         4,082,540 


 
 

 

Description  Shares  Fair
Value
Lazard Developing Markets Equity Portfolio (concluded)
South Korea  |  16.5%          
D’Alba Global Co. Ltd.   7,716   $724,695 
Hanwha Aerospace Co. Ltd.   1,555    1,267,064 
HD Hyundai Marine Solution Co. Ltd.   6,903    824,915 
Kia Corp.   7,591    730,653 
PharmaResearch Co. Ltd.   2,503    496,772 
Samsung Electronics Co. Ltd.   69,849    7,846,141 
Silicon2 Co. Ltd.   37,676    958,343 
SK Hynix, Inc.   7,493    4,075,388 
         16,923,971 
Taiwan  |  23.6%          
ASE Technology Holding Co. Ltd.   210,289    2,306,846 
Bizlink Holding, Inc.   19,622    1,099,449 
King Yuan Electronics Co. Ltd.   128,000    1,105,923 
Lotes Co. Ltd.   29,687    1,967,133 
MediaTek, Inc.   35,000    1,694,738 
Sercomm Corp.   218,000    518,597 
Taiwan Semiconductor Manufacturing Co. Ltd.   277,000    15,615,996 
         24,308,682 
Turkey  |  2.4%          
Aselsan Elektronik Sanayi Ve Ticaret AS   108,134    780,227 
Astor Transformator Enerji Turizm Insaat Ve Petrol Sanayi Ticaret AS   203,869    910,701 
TAB Gida Sanayi Ve Ticaret AS   141,474    777,524 
         2,468,452 
United States  |  1.8%          
EPAM Systems, Inc. (*)   5,011    678,490 
SharkNinja, Inc. (*)   11,056    1,170,830 
         1,849,320 
Total Common Stocks
(Cost $58,590,354)
        101,948,748 
Description  Shares  Fair
Value
Short-Term Investments  |  0.9%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $875,500)
   875,500   $875,500 
Total Investments  |  100.0%
(Cost $59,465,854)
       $102,824,248 
Cash and Other Assets in Excess of Liabilities  |  0.0%    32,506 
Net Assets  |  100.0%       $102,856,754 

 

(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 5.6% of net assets of the Portfolio.
(a) Affiliated investment.
   


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $561,282   $14,870,645   $(14,556,427)  $    $   $10,571    875,500   $875,500 
 
 

 

Description  Shares  Fair
Value
Lazard Emerging Markets Equity Advantage Portfolio
Common Stocks  |  96.5%        
Australia  |  0.7%        
Anglogold Ashanti PLC   51,887   $5,051,718 
Brazil  |  0.9%          
Cia De Sanena Do Parana   493,000    4,238,210 
Cogna Educacao SA   2,913,670    1,777,503 
Pagseguro Digital Ltd., Class A   90,819    910,006 
         6,925,719 
Chile  |  0.1%          
Latam Airlines Group SA ADR   20,589    1,017,920 
China  |  25.1%          
3SBio, Inc. (#)   568,000    1,670,209 
Alibaba Group Holding Ltd.   1,145,200    18,028,334 
Atour Lifestyle Holdings Ltd. ADR   26,791    986,177 
Bank of Beijing Co. Ltd., Class A   6,437,100    5,142,160 
Bank of China Ltd., Class H   2,134,000    1,373,594 
Bilibili, Inc., Class Z (*)   39,800    897,423 
BOC Aviation Ltd. (#)   284,200    2,822,773 
BYD Co. Ltd., Class H   200,500    2,748,942 
Chery Automobile Co. Ltd., Class H   40,100    137,056 
China Construction Bank Corp., Class H   1,626,000    1,765,994 
China Everbright Bank Co. Ltd., Class H   11,538,000    4,478,753 
China Gold International Resources Corp. Ltd.   44,900    893,573 
China Hongqiao Group Ltd.   645,000    2,938,470 
China Life Insurance Co. Ltd., Class H   1,385,000    4,425,415 
China Nonferrous Mining Corp. Ltd.   657,000    981,144 
China Overseas Land & Investment Ltd.   927,000    1,377,504 
Chongqing Rural Commercial Bank Co. Ltd., Class H   5,224,000    4,585,964 
CITIC Securities Co. Ltd., Class H   244,000    745,110 
Contemporary Amperex Technology Co. Ltd., Class A   85,980    5,039,581 
Eastroc Beverage Group Co. Ltd., Class H   55,900    1,438,634 
FinVolution Group ADR   164,211    786,571 
Fuyao Glass Industry Group Co. Ltd., Class H (#)   112,400    844,180 
G-bits Network Technology Xiamen Co. Ltd., Class A   15,400    814,756 
Giant Network Group Co. Ltd., Class A   193,100    881,615 
Great Wall Motor Co. Ltd., Class H   566,500    903,207 
H World Group Ltd. ADR   51,996    2,614,879 
Haier Smart Home Co. Ltd., Class H   557,200    1,486,663 
Description  Shares  Fair
Value
Henan Yuneng Holdings Co. Ltd., Class A (*)   394,600   $792,776 
Hithink RoyalFlush Information Network Co. Ltd., Class A   20,900    912,848 
Huaneng Power International, Inc., Class H   890,000    670,370 
Huaxia Bank Co. Ltd., Class A   4,431,500    4,698,504 
Industrial & Commercial Bank of China Ltd., Class H   1,823,000    1,617,732 
Innovent Biologics, Inc. (#), (*)   224,000    2,457,467 
JD Logistics, Inc. (#), (*)   1,154,300    2,032,791 
JD.com, Inc., Class A   266,004    3,923,651 
JF SmartInvest Holdings Ltd.   217,700    808,652 
Jointo Energy Investment Co. Ltd. Hebei, Class A   749,300    1,002,175 
Kanzhun Ltd. ADR   80,172    1,073,503 
Kingsoft Corp. Ltd.   235,000    682,678 
Kuaishou Technology (#)   244,600    1,440,541 
Loncin Motor Co. Ltd., Class A   688,100    1,354,550 
Meitu, Inc. (#)   1,269,000    712,070 
Midea Group Co. Ltd., Class A   87,400    970,925 
Mixue Group, Class H (*)   31,900    1,198,606 
MMG Ltd. (*)   1,548,000    1,458,326 
Muyuan Foods Co. Ltd., Class H   267,700    1,291,182 
NetEase, Inc.   192,800    4,289,707 
New China Life Insurance Co. Ltd., Class H   387,700    2,318,009 
New Oriental Education & Technology Group, Inc. ADR   31,658    1,792,793 
PDD Holdings, Inc. ADR (*)   58,627    5,990,507 
People’s Insurance Co. Group of China Ltd., Class H   3,511,000    2,442,729 
PetroChina Co. Ltd., Class H   4,010,000    5,447,563 
Ping An Insurance Group Co. of China Ltd., Class H   1,440,000    11,229,668 
Pop Mart International Group Ltd. (#)   123,800    2,323,901 
Tencent Holdings Ltd.   400,100    25,259,074 
Tingyi Cayman Islands Holding Corp.   1,186,000    1,963,399 
Trip.com Group Ltd. ADR   54,288    2,703,000 
Uni-President China Holdings Ltd.   2,425,000    2,435,313 
Vipshop Holdings Ltd. ADR   65,356    1,027,396 
Wuxi Biologics Cayman, Inc. (#), (*)   212,500    905,956 
XD, Inc.   94,400    744,472 
Xiaomi Corp., Class B (#), (*)   188,800    776,708 
Yantai Jereh Oilfield Services Group Co. Ltd., Class A   90,100    1,254,066 
Yutong Bus Co. Ltd., Class A   489,700    2,557,404 
Zhejiang Century Huatong Group Co. Ltd., Class A (*)   706,100    1,652,120 
Zhejiang China Commodities City Group Co. Ltd., Class A   768,600    1,453,280 
Zhejiang NHU Co. Ltd., Class A   400,600    2,007,439 
Zhejiang Sanhua Intelligent Controls Co. Ltd., Class H   213,300    776,766 
Zhongji Innolight Co. Ltd., Class A   11,300    949,706 
Zijin Mining Group Co. Ltd., Class H   1,138,000    5,170,336 
         187,379,340 


 
 

 

Description  Shares  Fair
Value
Lazard Emerging Markets Equity Advantage Portfolio (continued)
Egypt  |  0.4%        
Commercial International Bank - Egypt (CIB) GDR   1,191,440   $2,633,082 
Greece  |  0.2%          
Alpha Bank SA   415,000    1,541,770 
Hong Kong  |  0.2%          
Orient Overseas International Ltd.   57,000    1,021,375 
Zijin Gold International Co. Ltd.   34,400    783,840 
         1,805,215 
Hungary  |  0.9%          
Magyar Telekom Telecommunications PLC   241,597    1,507,260 
OTP Bank Nyrt   47,146    5,083,659 
         6,590,919 
India  |  12.2%          
Acutaas Chemicals Ltd.   48,718    1,361,162 
Adani Ports & Special Economic Zone Ltd.   116,034    1,622,532 
Ajanta Pharma Ltd.   30,985    937,420 
Bank of Baroda   1,005,242    2,728,041 
Bank of India   3,018,198    4,411,867 
Bank of Maharashtra   1,391,231    939,235 
Britannia Industries Ltd.   34,993    2,040,122 
Canara Bank   2,898,575    3,915,939 
Cipla Ltd.   162,256    2,132,450 
Force Motors Ltd.   7,450    1,610,196 
HCL Technologies Ltd.   168,373    2,427,871 
HDFC Bank Ltd.   386,197    3,070,795 
HDFC Bank Ltd. ADR   15,471    384,918 
Hero MotoCorp Ltd.   33,167    1,835,969 
Hindalco Industries Ltd.   205,474    1,950,341 
Hindustan Aeronautics Ltd.   24,337    898,319 
Hyundai Motor India Ltd.   33,805    638,176 
Indian Bank   350,734    3,154,319 
Indus Towers Ltd. (*)   852,051    3,778,592 
Infosys Ltd.   356,522    4,753,473 
JK Cement Ltd.   21,308    1,175,596 
LIC Housing Finance Ltd.   698,207    3,668,613 
Life Insurance Corp. of India   162,733    1,288,538 
Lupin Ltd.   63,678    1,580,090 
Description  Shares  Fair
Value
Marico Ltd.   141,790   $1,122,390 
Multi Commodity Exchange of India Ltd.   149,192    3,895,471 
National Aluminium Co. Ltd.   503,441    2,103,552 
Nava Ltd.   179,146    1,043,134 
Power Finance Corp. Ltd.   320,242    1,326,779 
Reliance Industries Ltd. GDR (#)   36,856    2,144,975 
Reliance Industries Ltd.   106,137    1,537,977 
South Indian Bank Ltd.   7,119,905    2,608,005 
State Bank of India GDR   7,530    806,735 
State Bank of India   275,565    2,936,791 
Sun Pharmaceutical Industries Ltd.   215,056    4,049,553 
Tata Consultancy Services Ltd.   25,582    647,636 
Tata Motors Ltd./new (*)   157,266    662,108 
Tata Motors Passenger Vehicles Ltd.   743,355    2,409,166 
Torrent Pharmaceuticals Ltd.   88,805    3,945,683 
Union Bank of India Ltd.   1,544,851    2,779,783 
Vedanta Ltd.   638,621    4,536,583 
         90,860,895 
Indonesia  |  1.5%          
Adaro Andalan Indonesia PT   1,721,600    1,148,680 
Bank Central Asia Tbk. PT   3,195,500    1,222,555 
Bank Mandiri Persero Tbk. PT   5,747,300    1,611,601 
Bank Rakyat Indonesia Persero Tbk. PT   12,583,300    2,479,812 
Japfa Comfeed Indonesia Tbk. PT   10,552,400    1,471,987 
Telkom Indonesia Persero Tbk. PT ADR   51,235    957,070 
Trimegah Bangun Persada Tbk. PT   24,265,100    1,569,546 
United Tractors Tbk. PT   595,100    1,091,303 
         11,552,554 
Kuwait  |  0.1%          
Kuwait Real Estate Co. KSC (*)   838,401    920,767 
Malaysia  |  1.7%          
99 Speed Mart Retail Holdings Bhd.   4,448,800    3,762,332 
CIMB Group Holdings Bhd.   1,270,900    2,382,548 
KPJ Healthcare Bhd.   1,945,300    1,645,494 
Public Bank Bhd.   1,346,000    1,565,179 
Sime Darby Bhd.   3,117,000    1,752,949 
Sunway Construction Group Bhd.   939,800    1,485,087 
Westports Holdings Bhd.   166,100    243,723 
         12,837,312 


 
 

 

Description  Shares  Fair
Value
Lazard Emerging Markets Equity Advantage Portfolio (continued)
Mexico  |  1.4%          
Cemex SAB de CV ADR   426,397   $4,877,982 
Gentera SAB de CV   1,155,096    3,265,565 
Industrias Penoles SAB de CV (*)   21,550    957,816 
Sigma Foods SAB de CV   1,256,300    1,254,688 
         10,356,051 
Peru  |  0.3%          
Cia de Minas Buenaventura SAA ADR   28,236    1,017,625 
Credicorp Ltd.   3,470    1,176,955 
         2,194,580 
Philippines  |  1.1%          
International Container Terminal Services, Inc.   570,760    6,545,477 
Metropolitan Bank & Trust Co.   1,280,270    1,344,955 
         7,890,432 
Poland  |  1.6%          
Asseco Poland SA   32,396    1,483,180 
KGHM Polska Miedz SA (*)   17,528    1,283,372 
ORLEN SA   55,252    1,991,259 
PGE Polska Grupa Energetyczna SA (*)   1,196,466    3,472,262 
Tauron Polska Energia SA (*)   652,340    1,817,138 
Zabka Group SA (*)   308,935    1,855,942 
         11,903,153 
Qatar  |  0.1%          
Gulf International Services QSC   1,417,796    778,773 
Russia  |  0.0%          
PhosAgro PJSC (*), (¢)   42    0 
Severstal PAO GDR (*), (¢)   9,589    0 
         0 
Saudi Arabia  |  2.2%          
Al Babtain Power & Telecommunication Co.   92,806    1,645,754 
Banque Saudi Fransi   332,171    1,763,300 
Co. for Cooperative Insurance   23,991    818,505 
Electrical Industries Co.   1,411,685    6,288,869 
Etihad Etisalat Co.   257,269    4,476,158 
Description  Shares  Fair
Value
Saudi Energy Co.   144,020   $649,752 
Saudi National Bank   88,779    988,220 
         16,630,558 
South Africa  |  2.0%          
FirstRand Ltd.   334,638    1,710,467 
Gold Fields Ltd. ADR   139,849    6,349,145 
Harmony Gold Mining Co. Ltd. ADR   222,753    3,423,714 
Naspers Ltd., N Shares   20,755    1,074,878 
Telkom SA SOC Ltd.   434,422    1,513,111 
Tiger Brands Ltd.   69,552    1,240,483 
         15,311,798 
South Korea  |  16.2%          
CJ CheilJedang Corp.   8,621    1,236,808 
Han Kuk Carbon Co. Ltd.   50,239    1,287,319 
Hana Financial Group, Inc.   48,459    3,433,138 
Hanwha Aerospace Co. Ltd.   2,034    1,657,369 
HD Hyundai Co. Ltd.   27,808    4,377,578 
HD Hyundai Electric Co. Ltd.   4,707    2,625,838 
HD Hyundai Heavy Industries Co. Ltd.   4,514    1,392,645 
HD Korea Shipbuilding & Offshore Engineering Co. Ltd.13,708    3,128,970 
Hyundai Department Store Co. Ltd.   16,534    873,018 
Hyundai Mobis Co. Ltd.   13,569    3,489,551 
Hyundai Rotem Co. Ltd.   8,001    890,247 
KB Financial Group, Inc.   25,496    2,385,282 
Kia Corp.   49,795    4,792,895 
Korea Electric Power Corp.   180,723    4,964,106 
LG Chem Ltd.   4,031    802,074 
LG Electronics, Inc.   47,397    3,399,040 
Meritz Financial Group, Inc. (*)   18,053    1,337,041 
NAVER Corp.   9,186    1,224,821 
Samsung Electro-Mechanics Co. Ltd.   4,782    1,307,293 
Samsung Electronics Co. Ltd. GDR   17,200    48,908,394 
SK Hynix, Inc.   42,471    23,099,665 
Woori Financial Group, Inc.   221,021    4,663,015 
         121,276,107 
Taiwan  |  22.9%          
Accton Technology Corp.   96,000    4,674,314 
Arcadyan Technology Corp.   235,000    1,139,039 
Asia Vital Components Co. Ltd.   68,000    4,393,337 
ASPEED Technology, Inc.   3,000    1,004,066 
Bizlink Holding, Inc.   22,296    1,249,277 


 
 
 

 

Description  Shares  Fair
Value
Lazard Emerging Markets Equity Advantage Portfolio (continued)
Charoen Pokphand Enterprise   385,000   $1,639,027 
China Airlines Ltd.   2,718,000    1,549,231 
Chroma ATE, Inc.   60,000    2,868,677 
Chunghwa Precision Test Tech Co. Ltd.   18,000    1,797,215 
Compeq Manufacturing Co. Ltd.   233,000    1,913,393 
Daxin Materials Corp.   89,000    955,472 
Delta Electronics, Inc.   336,000    14,954,586 
E.Sun Financial Holding Co. Ltd.   1,821,000    1,813,079 
Elite Material Co. Ltd.   11,000    894,589 
Eva Airways Corp.   3,027,000    3,235,298 
Genius Electronic Optical Co. Ltd.   107,000    1,482,823 
International Games System Co. Ltd.   113,000    2,693,470 
Jentech Precision Industrial Co. Ltd.   11,000    1,362,116 
Lite-On Technology Corp.   175,000    787,014 
Lotes Co. Ltd.   18,000    1,192,724 
MediaTek, Inc.   227,000    10,991,586 
Realtek Semiconductor Corp.   144,000    2,187,508 
Silicon Motion Technology Corp. ADR   11,045    1,240,243 
Taiwan Semiconductor Manufacturing Co. Ltd.   1,784,000    100,573,779 
United Microelectronics Corp.   561,000    1,002,861 
Wiselink Co. Ltd.   527,164    1,346,177 
Yankey Engineering Co. Ltd.   8,900    157,891 
Yuanta Financial Holding Co. Ltd.   1,253,000    1,783,748 
         170,882,540 
Thailand  |  1.9%          
Advanced Info Service PCL (‡)   202,000    2,284,597 
Bangkok Bank PCL (‡)   818,200    4,130,694 
Charoen Pokphand Foods PCL NVDR   1,568,300    1,008,825 
Delta Electronics Thailand PCL NVDR   186,900    1,517,689 
Thaifoods Group PCL   1,096,800    162,292 
TMBThanachart Bank PCL (‡)   72,881,800    5,082,721 
         14,186,818 
Turkey  |  0.6%          
Ford Otomotiv Sanayi AS   514,944    1,188,043 
Turk Telekomunikasyon AS (*)   1,309,826    1,732,411 
Turkiye Vakiflar Bankasi TAO, Class D (*)   2,203,929    1,509,095 
         4,429,549 
United Arab Emirates  |  1.7%          
Abu Dhabi Commercial Bank PJSC   512,505    1,743,845 
ADNOC Drilling Co. PJSC   1,804,543    2,531,308 
Aldar Properties PJSC   404,310    865,670 
Description  Shares  Fair
Value
Emaar Development PJSC   706,126   $2,630,263 
Emaar Properties PJSC   898,648    2,901,542 
First Abu Dhabi Bank PJSC   356,322    1,658,788 
         12,331,416 
United States  |  0.5%          
BeOne Medicines Ltd. ADR (*)   7,966    2,365,663 
Titan SA   26,124    1,370,734 
         3,736,397 
Total Common Stocks
(Cost $638,894,727)
        721,025,383 
Preferred Stocks  |  2.1%          
Brazil  |  2.1%          
Banco Bradesco SA   1,215,100    4,496,938 
Petroleo Brasileiro SA - Petrobras   1,195,739    11,235,194 
         15,732,132 
Total Preferred Stocks
(Cost $11,884,785)
        15,732,132 
Short-Term Investments  |  0.6%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $4,505,428)
   4,505,428    4,505,428 

Total Investments  |  99.2%

(Cost $655,284,940)

       $741,262,943 
Cash and Other Assets in Excess of Liabilities  |  0.8%    5,773,188 
Net Assets  |  100.0%       $747,036,131 

 

(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 2.4% of net assets of the Portfolio.
(*) Non-income producing security.
(¢) 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.
(a) Affiliated investment.


 
 
 

 

Lazard Emerging Markets Equity Advantage Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $8,101,245   $92,646,860   $(96,242,677)  $    $   $112,202    4,505,428   $4,505,428 
 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio 
Common Stocks  |  96.1%          
Argentina  |  0.6%          
Vista Energy SAB de CV ADR (*)   640,831   $48,363,515 
Brazil  |  12.9%          
Arcos Dorados Holdings, Inc., Class A   5,346,399    44,107,792 
Banco do Brasil SA   26,246,152    116,540,343 
BB Seguridade Participacoes SA   18,212,617    122,393,737 
Engie Brasil Energia SA   9,063,100    57,442,121 
Motiva Infraestrutura de Mobilidade SA   23,267,017    71,015,867 
Petroleo Brasileiro SA - Petrobras ADR   5,860,532    121,606,039 
PRIO SA (*)   9,154,800    117,018,699 
Rede D’Or Sao Luiz SA (#)   7,772,100    58,472,492 
Suzano SA   6,027,200    60,390,104 
Vale SA ADR   7,330,936    116,635,192 
Vibra Energia SA   22,367,184    136,538,772 
         1,022,161,158 
China  |  20.2%          
Alibaba Group Holding Ltd.   3,123,300    49,168,612 
Anhui Conch Cement Co. Ltd., Class H   9,462,431    25,707,400 
ANTA Sports Products Ltd.   5,841,600    56,944,378 
Bosideng International Holdings Ltd.   140,424,000    72,493,684 
China Construction Bank Corp., Class H   163,920,224    178,033,247 
China Medical System Holdings Ltd.   30,609,000    52,326,791 
China Merchants Bank Co. Ltd., Class H   20,140,994    127,875,323 
DaShenLin Pharmaceutical Group Co. Ltd., Class A   22,783,997    59,005,707 
ENN Natural Gas Co. Ltd., Class A   26,633,365    84,224,021 
Hengan International Group Co. Ltd.   9,441,500    33,135,418 
Huayu Automotive Systems Co. Ltd., Class A   18,869,100    52,742,737 
Lenovo Group Ltd.   104,318,000    123,966,721 
Midea Group Co. Ltd., Class A   11,003,799    122,240,972 
NetEase, Inc.   4,617,700    102,741,605 
Ping An Insurance Group Co. of China Ltd., Class H   13,416,500    104,626,977 
Sinopharm Group Co. Ltd., Class H   45,225,614    116,631,888 
Tencent Holdings Ltd.   577,600    36,464,987 
Tingyi Cayman Islands Holding Corp.   48,202,000    79,797,430 
Want Want China Holdings Ltd.   101,963,000    60,665,878 
Weichai Power Co. Ltd., Class H   15,323,288    54,622,984 
         1,593,416,760 
Description  Shares   Fair
Value
 
Egypt  |  0.9%          
Commercial International Bank - Egypt (CIB) GDR   31,085,906   $68,799,802 
France  |  1.1%          
Gaztransport Et Technigaz SA   375,263    87,455,020 
Greece  |  2.0%          
Allwyn AG   3,594,799    54,676,496 
National Bank of Greece SA   6,699,285    103,833,002 
         158,509,498 
Hong Kong  |  0.1%          
ASMPT Ltd.   659,300    8,599,189 
Hungary  |  2.9%          
MOL Hungarian Oil & Gas PLC   9,488,943    112,858,193 
OTP Bank Nyrt   1,087,104    117,220,264 
         230,078,457 
India  |  6.0%          
Axis Bank Ltd.   5,553,539    70,518,058 
Indus Towers Ltd. (*)   26,811,131    118,899,355 
Infosys Ltd. ADR   6,121,772    82,705,140 
State Bank of India   4,384,578    46,727,958 
Tata Consultancy Services Ltd.   3,742,704    94,750,643 
UPL Ltd.   9,596,452    57,956,209 
         471,557,363 
Indonesia  |  4.8%          
Alamtri Resources Indonesia Tbk. PT   56,486,500    8,577,018 
Astra International Tbk. PT   267,506,500    99,732,726 
Bank Mandiri Persero Tbk. PT   371,794,784    104,255,025 
Telkom Indonesia Persero Tbk. PT ADR   5,966,575    111,455,621 
United Tractors Tbk. PT   31,353,500    57,496,503 
         381,516,893 
Mexico  |  6.2%          
America Movil SAB de CV ADR   4,985,796    127,038,082 
Grupo Aeroportuario del Pacifico SAB de CV ADR   422,118    104,208,271 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio (continued)
Grupo Financiero Banorte SAB de CV, Class O   11,639,237   $129,088,184 
Kimberly-Clark de Mexico SAB de CV, Class A   28,851,595    68,301,801 
Ternium SA ADR   1,417,124    56,897,529 
         485,533,867 
Peru  |  0.8%          
Credicorp Ltd.   180,306    61,156,189 
Philippines  |  1.0%          
International Container Terminal Services, Inc.   6,996,490    80,235,768 
Poland  |  0.7%          
InPost SA (*)   3,151,673    55,328,567 
Russia  |  0.0%          
Mobile TeleSystems PJSC ADR (*), (¢)   4,695,624    5 
Sberbank of Russia PJSC (*), (¢)   13,596,421    13 
         18 
South Africa  |  7.2%          
Bidvest Group Ltd.   8,169,868    110,252,953 
Kumba Iron Ore Ltd.   1,926,762    36,828,765 
Life Healthcare Group Holdings Ltd.   63,104,898    43,161,483 
Nedbank Group Ltd.   6,969,099    110,244,891 
Sanlam Ltd.   15,628,254    82,340,652 
Standard Bank Group Ltd.   5,221,710    94,650,194 
Vodacom Group Ltd.   10,730,194    91,750,343 
         569,229,281 
South Korea  |  11.2%          
Coway Co. Ltd. (*)   323,331    15,414,700 
Hyundai Mobis Co. Ltd.   265,178    68,196,038 
KB Financial Group, Inc.   1,384,863    129,561,062 
Kia Corp.   1,041,879    100,283,491 
KT Corp.   2,081,770    83,754,107 
KT&G Corp.   1,003,325    104,943,214 
Shinhan Financial Group Co. Ltd.   2,358,340    135,991,763 
SK Hynix, Inc.   448,142    243,741,143 
         881,885,518 
Description  Shares   Fair
Value
 
Taiwan  |  13.4%          
ASE Technology Holding Co. Ltd.   10,475,000   $114,909,556 
Globalwafers Co. Ltd.   5,144,000    69,347,028 
MediaTek, Inc.   2,695,000    130,494,824 
Novatek Microelectronics Corp.   6,869,000    82,611,128 
Quanta Computer, Inc.   13,492,000    119,223,928 
Realtek Semiconductor Corp.   2,057,000    31,247,939 
Taiwan Semiconductor Manufacturing Co. Ltd.   6,812,913    384,080,948 
Wiwynn Corp.   1,197,000    126,277,790 
         1,058,193,141 
Thailand  |  1.3%          
Kasikornbank PCL   11,198,854    64,856,917 
PTT Exploration & Production PCL   7,739,600    38,017,441 
         102,874,358 
Turkey  |  1.0%          
BIM Birlesik Magazalar AS   5,095,005    79,351,447 
United Kingdom  |  0.7%          
Unilever PLC   930,249    52,425,555 
United States  |  1.1%          
SLB Ltd.   1,618,102    83,154,262 
Total Common Stocks
(Cost $5,950,517,650)
        7,579,825,626 


 
 

 

Description  Shares   Fair
Value
 
Lazard Emerging Markets Equity Portfolio (concluded)
Short-Term Investments  |  3.5%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $279,749,942)
   279,749,942   $279,749,942 
Total Investments  |  99.6%
(Cost $6,230,267,592)
       $7,859,575,568 
Cash and Other Assets in Excess of Liabilities  |  0.4%    34,015,137 
Net Assets  |  100.0%       $7,893,590,705 
   
(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 0.7% of net assets of the Portfolio.
(¢) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $251,512,670   $556,648,233   $ (528,410,961)  $   $   $3,358,246    279,749,942   $279,749,942 
 
 

 

Description  Shares   Fair
Value
 
Lazard Equity Franchise Portfolio        
Common Stocks  |  93.6%          
Australia  |  2.9%          
CSL Ltd.   11,066   $1,087,107 
France  |  12.9%          
Edenred SE   122,765    2,444,314 
FDJ UNITED   80,282    2,341,655 
         4,785,969 
Germany  |  2.9%          
Carl Zeiss Meditec AG   37,826    1,051,850 
Ireland  |  2.0%          
Kerry Group PLC, Class A   9,213    729,633 
Israel  |  3.7%          
Nice Ltd. ADR (*)   12,553    1,384,094 
Italy  |  6.5%          
Nexi SpA (#)   642,787    2,393,105 
Japan  |  2.2%          
Secom Co. Ltd.   20,865    801,161 
Luxembourg  |  3.0%          
SES SA   157,083    1,120,152 
United Kingdom  |  14.8%          
Autotrader Group PLC (#)   169,983    1,063,296 
Bunzl PLC   56,056    1,679,425 
Diageo PLC   40,014    743,473 
Severn Trent PLC   24,149    991,586 
United Utilities Group PLC   56,659    990,534 
         5,468,314 
Description  Shares   Fair
Value
 
United States  |  42.7%          
Adobe, Inc. (*)   4,686   $1,139,073 
Brightstar Lottery PLC   176,184    2,244,584 
Campbell’s Co.   51,958    1,157,104 
Cognizant Technology Solutions Corp., Class A   18,080    1,109,208 
Dentsply Sirona, Inc.   127,588    1,480,021 
Experian PLC   20,253    703,966 
Fiserv, Inc. (*)   38,818    2,166,044 
H&R Block, Inc.   72,809    2,310,958 
Omnicom Group, Inc.   28,917    2,177,739 
Paychex, Inc.   8,650    796,838 
Visa, Inc., A Shares   1,732    523,480 
         15,809,015 
Total Common Stocks
(Cost $40,990,152)
        34,630,400 
Preferred Stocks  |  2.5%          
Germany  |  2.5%          
Henkel AG & Co. KGaA
(Cost $982,746)
   12,293    944,504 
Short-Term Investments  |  3.7%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $1,368,483)
   1,368,483    1,368,483 
Total Investments  |  99.8%
(Cost $43,341,381)
       $36,943,387 
Cash and Other Assets in Excess of Liabilities  |  0.2%    57,660 
Net Assets  |  100.0%       $37,001,047 
   
(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 9.3% of net assets of the Portfolio.
(a) Affiliated investment.


 
 

 

Lazard Equity Franchise Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $821,443   $8,984,158   $(8,437,118)  $   $   $12,293    1,368,483   $1,368,483 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Listed Infrastructure Portfolio
Common Stocks  |  94.4%          
Australia  |  2.8%          
Atlas Arteria Ltd.   67,727,750   $200,687,746 
Transurban Group   14,575,847    141,657,707 
         342,345,453 
Canada  |  4.4%          
Canadian National Railway Co.   5,212,974    536,549,218 
France  |  9.1%          
Eiffage SA   787,359    120,885,816 
Vinci SA   6,552,318    981,324,155 
         1,102,209,971 
Germany  |  1.6%          
Fraport AG Frankfurt Airport Services Worldwide (*)   2,182,497    189,347,777 
Hong Kong  |  6.0%          
CK Infrastructure Holdings Ltd.   35,485,972    283,227,558 
Power Assets Holdings Ltd.   55,850,430    435,148,035 
         718,375,593 
Italy  |  20.7%          
Hera SpA   71,275,367    330,423,844 
Infrastrutture Wireless Italiane SpA (#)   39,489,423    316,065,050 
Italgas SpA   30,714,008    357,745,395 
Snam SpA   119,649,595    909,994,192 
Terna - Rete Elettrica Nazionale   50,916,622    583,089,438 
         2,497,317,919 
Luxembourg  |  1.2%          
SES SA (^)   20,899,917    149,036,403 
New Zealand  |  0.4%          
Auckland International Airport Ltd.   11,540,101    52,933,213 
Description  Shares   Fair
Value
 
Portugal  |  0.8%          
REN - Redes Energeticas Nacionais SGPS SA   21,929,178   $95,204,677 
Spain  |  2.0%          
Cellnex Telecom SA (#)   7,264,378    235,855,965 
Switzerland  |  1.5%          
Flughafen Zurich AG   589,677    183,906,180 
United Kingdom  |  18.6%          
National Grid PLC   58,219,090    981,512,372 
Pennon Group PLC (^)   26,171,258    184,469,100 
Severn Trent PLC   13,885,708    570,163,475 
United Utilities Group PLC   28,998,407    506,961,196 
         2,243,106,143 
United States  |  25.3%          
American Tower Corp. REIT   3,156,470    544,743,593 
Consolidated Edison, Inc.   4,335,930    490,740,557 
Crown Castle, Inc.   6,462,793    525,489,699 
CSX Corp.   11,182,061    459,023,604 
Exelon Corp.   11,396,586    558,660,646 
Ferrovial SE   7,201,802    468,249,626 
         3,046,907,725 
Total Common Stocks
(Cost $8,883,856,148)
        11,393,096,237 


 
 

 

Description  Shares   Fair
Value
 
Lazard Global Listed Infrastructure Portfolio (continued)
Short-Term Investments  |  5.7%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $684,409,071)
   684,409,071   $684,409,071 
Total Investments  |  100.1%
(Cost $9,568,265,219) (»)
       $12,077,505,308 
Liabilities in Excess of Cash and Other Assets  |  (0.1)%    (11,170,178)
Net Assets  |  100.0%       $12,066,335,130 
   
(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 4.6% of net assets of the Portfolio.
(^) 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. Refer to table below all the footnotes of this Portfolio for investments in “affiliated persons”.
(a) Affiliated investments.
(») The Portfolio, at all times, maintains portfolio securities in sufficient amount to cover its obligations related to investments in forward currency contracts.


 

Holding of 5% Voting Securities of Portfolio Companies for the period ended March 31, 2026 were as follows:

 

Issuer  Values at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Values at
March 31, 2026
 
Pennon Group PLC  $188,298,785   $   $(2,993,436)  $ (1,923,825)  $1,087,576   $3,392,145    26,171,258   $184,469,100 
SES SA   136,697,465        (1,702,653)   (4,898,028)   18,939,619        20,899,917    149,036,403 
Total Securities  $324,996,250   $   $(4,696,089)  $(6,821,853)  $20,027,195   $3,392,145    47,071,175   $333,505,503 
 
 

 

Lazard Global Listed Infrastructure Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $376,051,336   $575,303,804   $(266,946,069)  $   $   $4,899,388    684,409,071   $684,409,071 

 

Forward Currency Contracts open at March 31, 2026:

Currency
Purchased
  Quantity   Currency
Sold
  Quantity   Counterparty   Settlement
Date
  Unrealized
Appreciation
    Unrealized
Depreciation
 
CAD  48,330,082  USD  35,169,677  SCB  06/25/26  $   $299,930 
EUR  369,462,406  USD  430,144,389  CIT  06/25/26       1,470,973 
GBP  180,459,532  USD  241,741,784  RBC  06/25/26       2,950,504 
NZD  8,442,353  USD  4,922,804  RBC  06/25/26       57,161 
USD  40,043,714  AUD  56,495,703  BNP  06/25/26   1,113,435     
USD  119,207,164  AUD  168,234,120  CIT  06/25/26   3,279,744     
USD  20,729,663  AUD  29,258,361  HSB  06/25/26   568,198     
USD  100,486,469  AUD  141,831,900  MSC  06/25/26   2,752,392     
USD  49,464,891  AUD  69,831,638  SSB  06/25/26   1,345,035     
USD  101,749,054  CAD  138,902,039  BNP  06/25/26   1,532,404     
USD  62,583,153  CAD  85,457,915  CIT  06/25/26   925,988     
USD  62,294,595  CAD  85,070,408  HSB  06/25/26   917,013     
USD  224,754,929  CAD  306,978,081  MSC  06/25/26   3,272,832     
USD  112,475,875  CAD  153,603,241  SCB  06/25/26   1,652,432     
USD  43,089,111  CHF  33,628,905  BNP  06/25/26   644,630     
USD  49,290,421  CHF  38,455,647  SCB  06/25/26   753,902     
USD  86,712,034  CHF  67,652,729  SSB  06/25/26   1,324,628     
USD  615,199,120  EUR  531,687,267  BNP  06/25/26       1,697,738 
USD  582,323,554  EUR  503,570,209  BNY  06/25/26       1,950,133 
USD  791,821,733  EUR  684,718,124  CAN  06/25/26       2,631,107 
USD  959,872,623  EUR  830,231,910  CIT  06/25/26       3,414,423 
USD  579,774,247  EUR  501,744,455  HSB  06/25/26       2,381,085 
USD  849,614,874  EUR  734,592,396  RBC  06/25/26       2,705,220 
USD  605,457,294  EUR  524,057,987  SSB  06/25/26       2,587,596 
USD  390,568,123  GBP  292,386,274  CAN  06/25/26   3,670,895     
USD  264,505,802  GBP  197,950,818  CIT  06/25/26   2,569,352     
USD  519,247,161  GBP  388,831,225  HSB  06/25/26   4,730,112     
USD  475,579,996  GBP  355,791,161  MSC  06/25/26   4,782,883     
USD  556,661,801  GBP  416,595,983  RBC  06/25/26   5,405,312     
USD  197,354,119  GBP  147,764,943  SSB  06/25/26   1,825,629     
USD  89,654,274  HKD  699,287,435  BNP  06/25/26   88,031     
USD  155,140,274  HKD  1,210,187,219  HSB  06/25/26   136,883     
USD  101,638,005  HKD  792,781,015  MSC  06/25/26   96,902     
USD  188,144,727  HKD  1,467,528,873  SCB  06/25/26   180,463     
USD  182,569,999  HKD  1,424,100,763  SSB  06/25/26   168,100     
USD  46,748,611  NZD  79,823,653  HSB  06/25/26   743,265     
USD  11,590,590  NZD  19,794,567  RBC  06/25/26   182,243     
Total gross unrealized appreciation/depreciation on Forward Currency Contracts  $44,662,703   $22,145,870 
 
 

 

Description  Shares   Fair
Value
 
Lazard Global Small Cap Equity Portfolio     
Common Stocks  |  98.9%          
Australia  |  2.0%          
ALS Ltd.   9,079   $131,830 
AUB Group Ltd.   7,851    132,845 
         264,675 
Austria  |  1.6%          
BAWAG Group AG (#)   1,429    218,106 
Belgium  |  1.2%          
Cenergy Holdings SA   7,646    169,070 
Canada  |  2.0%          
Aurinia Pharmaceuticals, Inc. (*)   7,222    107,030 
Neo Performance Materials, Inc.   10,293    162,634 
         269,664 
Cayman Islands  |  2.2%          
Bullish   8,174    292,057 
France  |  4.8%          
Exosens SAS   2,918    209,354 
Gaztransport Et Technigaz SA   949    221,164 
Technip Energies NV   5,231    219,863 
         650,381 
Germany  |  3.6%          
Alzchem Group AG   684    134,137 
Jenoptik AG   6,556    215,839 
Vincorion SE   6,991    131,148 
         481,124 
Greece  |  1.3%          
National Bank of Greece SA   11,779    182,564 
Israel  |  1.7%          
Meitav Investment House Ltd.   3,380    118,656 
Description  Shares   Fair
Value
 
Next Vision Stabilized Systems Ltd.   1,172   $113,491 
         232,147 
Italy  |  3.3%          
Lottomatica Group SpA   9,847    284,225 
SOL SpA   2,260    154,776 
         439,001 
Japan  |  11.2%          
Asics Corp.   6,300    167,525 
Ebara Corp.   9,700    273,322 
Maruwa Co. Ltd.   800    280,101 
Nichias Corp.   15,000    278,004 
Organo Corp.   3,000    270,093 
Toyo Suisan Kaisha Ltd.   1,800    125,667 
Yonex Co. Ltd.   5,800    108,979 
         1,503,691 
Jersey  |  1.1%          
Rosebank Industries PLC (*)   34,078    143,482 
Mexico  |  1.9%          
Arca Continental SAB de CV   21,900    252,590 
Norway  |  1.9%          
Norbit ASA   13,064    258,156 
Switzerland  |  1.0%          
Huber & Suhner AG   608    134,671 
Taiwan  |  1.6%          
Gold Circuit Electronics Ltd.   8,000    222,040 
United Kingdom  |  2.3%          
Volution Group PLC   12,429    94,546 
Zegona Communications PLC   9,848    215,354 
         309,900 


 
 

 

Description  Shares   Fair
Value
 
Lazard Global Small Cap Equity Portfolio (concluded) 
United States  |  54.2%          
ABM Industries, Inc.   3,581   $137,940 
Advanced Energy Industries, Inc.   571    184,267 
Alexandria Real Estate Equities, Inc. REIT   2,593    120,367 
Antero Resources Corp. (*)   2,606    110,599 
Atlas Energy Solutions, Inc.   12,869    168,841 
BankUnited, Inc.   2,964    133,854 
Bob’s Discount Furniture, Inc.   6,501    76,387 
Cactus, Inc., Class A   3,067    145,284 
Coherent Corp. (*)   1,002    238,686 
Credo Technology Group Holding Ltd. (*)   2,289    214,868 
CubeSmart   4,311    157,998 
DigitalOcean Holdings, Inc. (*)   1,904    163,325 
Diodes, Inc. (*)   2,644    180,479 
Eagle Materials, Inc.   660    125,037 
EnerSys   669    116,219 
EquipmentShare.com, Inc., Class A   6,952    141,612 
Figure Technology Solutions, Inc., Class A   6,981    237,005 
First American Financial Corp.   1,944    117,204 
First Watch Restaurant Group, Inc. (*)   34,309    359,558 
Floor & Decor Holdings, Inc., Class A (*)   4,611    234,239 
Gates Industrial Corp. PLC (*)   8,563    193,609 
Gentherm, Inc. (*)   2,794    77,617 
Guardian Pharmacy Services, Inc., Class A (*)   4,153    156,402 
Kura Sushi USA, Inc., Class A (*)   2,267    158,214 
Landstar System, Inc.   884    141,714 
Legence Corp., Class A   3,839    216,750 
Lumentum Holdings, Inc. (*)   299    210,125 
MapLight Therapeutics, Inc.   4,880    99,210 
Maravai LifeSciences Holdings, Inc., Class A (*)   37,894    107,240 
Meritage Homes Corp.   1,759    108,777 
Middleby Corp. (*)   991    131,387 
Once Upon a Farm PBC   7,548    123,410 
Onto Innovation, Inc. (*)   741    151,957 
Ramaco Resources, Inc., Class A (*)   8,542    132,059 
Rambus, Inc. (*)   1,871    160,962 
RH (*)   1,753    245,105 
Roku, Inc. (*)   1,990    188,294 
StepStone Group, Inc., Class A   3,718    177,423 
Stifel Financial Corp.   1,992    147,249 
Terns Pharmaceuticals, Inc. (*)   2,330    122,838 
Thor Industries, Inc.   2,842    227,047 
Toro Co.   1,379    128,854 
Description  Shares   Fair
Value
 
Wintrust Financial Corp.   1,397   $194,099 
Wyndham Hotels & Resorts, Inc.   1,959    159,130 
Zeta Global Holdings Corp., Class A (*)   11,591    184,529 
         7,307,770 
Total Common Stocks
(Cost $12,506,496)
        13,331,089 
Short-Term Investments  |  0.9%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $118,482)
   118,482    118,482 
Total Investments  |  99.8%
(Cost $12,624,978)
       $13,449,571 
Cash and Other Assets in Excess of Liabilities  |  0.2%    21,579 
Net Assets  |  100.0%       $13,471,150 
   
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 1.6% of net assets of the Portfolio.
(*) Non-income producing security.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer   Value at
December 31,
2025
    Purchase
cost
    Sales
proceeds
    Realized
gain (loss)
    Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $127,097   $2,217,970   $(2,226,585)  $   $   $2,176    118,482   $118,482 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Portfolio      
Common Stocks  |  94.0%          
Australia  |  2.2%          
Orica Ltd.   510,534   $7,145,417 
Rio Tinto PLC   204,965    19,051,865 
         26,197,282 
Belgium  |  0.9%          
KBC Group NV   88,992    10,878,759 
Canada  |  1.5%          
Suncor Energy, Inc.   273,169    18,067,917 
China  |  2.1%          
Contemporary Amperex Technology Co. Ltd., Class A   194,900    11,423,755 
Li Ning Co. Ltd.   4,625,500    12,896,519 
         24,320,274 
France  |  13.1%          
Air Liquide SA   89,915    18,522,519 
Alstom SA (*)   377,589    10,759,068 
Bureau Veritas SA   669,978    20,125,748 
Cie de Saint-Gobain SA   102,142    8,405,802 
Engie SA   998,667    32,197,214 
Legrand SA   98,256    15,182,978 
Orange SA   1,366,192    27,914,400 
Pernod Ricard SA   103,516    7,726,335 
Societe Generale SA   179,122    13,078,791 
         153,912,855 
Germany  |  8.0%          
Allianz SE   40,267    16,686,157 
Deutsche Boerse AG   61,649    17,923,590 
Deutsche Telekom AG   452,409    16,682,155 
Merck KGaA   144,005    17,883,894 
Siemens Healthineers AG (#)   283,556    11,895,275 
Symrise AG   155,486    13,164,757 
         94,235,828 
Description  Shares   Fair
Value
 
Greece  |  1.7%          
National Bank of Greece SA   1,306,845   $20,254,943 
Hong Kong  |  3.6%          
AIA Group Ltd.   2,448,800    27,509,450 
Techtronic Industries Co. Ltd.   1,090,000    14,508,601 
         42,018,051 
Israel  |  1.4%          
Bank Hapoalim BM   694,366    16,252,601 
Italy  |  3.3%          
Banca Monte dei Paschi di Siena SpA   1,168,783    10,183,808 
Lottomatica Group SpA   437,312    12,622,648 
UniCredit SpA   217,416    15,666,443 
         38,472,899 
Japan  |  18.5%          
Ebara Corp.   491,800    13,857,698 
Japan Exchange Group, Inc.   1,346,800    15,637,512 
Japan Post Bank Co. Ltd.   1,073,900    17,667,959 
MatsukiyoCocokara & Co.   532,400    8,507,983 
Mitsui Fudosan Co. Ltd.   1,013,100    10,723,218 
Mizuho Financial Group, Inc.   264,400    10,553,486 
Nippon Sanso Holdings Corp.   297,500    10,621,686 
Nitori Holdings Co. Ltd.   628,800    9,986,905 
Otsuka Holdings Co. Ltd.   259,000    18,281,925 
Recruit Holdings Co. Ltd.   278,300    12,039,513 
Resona Holdings, Inc.   1,626,800    18,101,350 
Resonac Holdings Corp.   152,500    9,963,960 
Shimadzu Corp.   714,200    16,942,957 
Shin-Etsu Chemical Co. Ltd.   539,500    21,950,950 
Suzuki Motor Corp.   774,300    9,276,866 
Toyo Suisan Kaisha Ltd.   206,500    14,416,829 
         218,530,797 
Mexico  |  0.9%          
Arca Continental SAB de CV   964,012    11,118,706 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Portfolio (continued)  
Netherlands  |  4.3%          
ASML Holding NV   19,028   $25,186,167 
IMCD NV   152,535    15,919,922 
Universal Music Group NV   482,987    9,365,203 
         50,471,292 
South Africa  |  1.1%          
Anglo American PLC   302,339    12,844,792 
South Korea  |  2.0%          
Kia Corp.   92,963    8,947,924 
Samsung Electronics Co. Ltd.   129,611    14,559,209 
         23,507,133 
Spain  |  2.5%          
Banco Santander SA   1,722,762    19,493,604 
Bankinter SA   613,549    9,658,841 
         29,152,445 
Sweden  |  0.8%          
Sandvik AB   242,420    9,264,147 
Switzerland  |  2.5%          
ABB Ltd.   240,998    19,601,014 
Cie Financiere Richemont SA, Class A   56,834    10,127,413 
         29,728,427 
Taiwan  |  1.2%          
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   42,451    14,346,315 
United Kingdom  |  15.4%          
3i Group PLC   335,650    10,998,245 
AstraZeneca PLC   144,440    28,211,745 
Compass Group PLC   581,497    16,156,159 
Croda International PLC   301,864    11,279,672 
Howden Joinery Group PLC   1,404,252    14,917,585 
IMI PLC   499,921    17,043,508 
Marks & Spencer Group PLC   2,549,611    11,450,874 
RELX PLC   768,603    25,340,234 
Description  Shares   Fair
Value
 
RS Group PLC   1,067,061   $7,967,956 
SSE PLC   311,648    10,759,350 
Unilever PLC   484,495    27,164,053 
         181,289,381 
United States  |  7.0%          
Amcor PLC CDI   258,475    10,083,021 
Aon PLC, Class A   51,895    16,750,668 
Chubb Ltd.   32,696    10,656,607 
CRH PLC   100,401    10,554,153 
Globant SA (*)   93,045    4,290,305 
Medtronic PLC   160,918    13,943,545 
Shell PLC   354,634    16,560,282 
         82,838,581 
Total Common Stocks
(Cost $887,736,073)
        1,107,703,425 
Preferred Stocks  |  1.4%          
Brazil  |  1.4%          
Itau Unibanco Holding SA
(Cost $8,213,113)
   1,845,331    15,489,830 
Short-Term Investments  |  5.4%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $64,139,363)
   64,139,363    64,139,363 
Total Investments  |  100.8%
(Cost $960,088,549)
       $1,187,332,618 
Liabilities in Excess of Cash and Other Assets  |  (0.8)%    (8,851,125)
Net Assets  |  100.0%       $1,178,481,493 
   
(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 1.0% of net assets of the Portfolio.
(a) Affiliated investment.


 
 

 

Lazard International Equity Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $24,331,939   $155,806,564   $(115,999,140)  $   $   $364,995    64,139,363   $64,139,363 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Select Portfolio      
Common Stocks  |  94.3%          
Austria  |  0.8%          
BAWAG Group AG (#)   2,762   $421,559 
Belgium  |  0.9%          
KBC Group NV   4,072    497,779 
Canada  |  2.7%          
Suncor Energy, Inc.   11,776    778,887 
Toromont Industries Ltd.   4,593    643,040 
         1,421,927 
China  |  5.8%          
Alibaba Group Holding Ltd.   27,000    425,048 
Contemporary Amperex Technology Co. Ltd., Class A   11,800    691,638 
Li Ning Co. Ltd.   203,000    565,991 
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A   11,565    276,597 
Tencent Holdings Ltd.   17,700    1,117,435 
         3,076,709 
Denmark  |  2.0%          
DSV AS   2,789    666,304 
Novonesis Novozymes B, Class B   6,597    390,343 
         1,056,647 
France  |  6.9%          
Air Liquide SA   3,810    784,861 
Bureau Veritas SA   29,694    891,991 
Engie SA   30,585    986,066 
Pernod Ricard SA   4,553    339,832 
Sartorius Stedim Biotech   3,493    683,876 
         3,686,626 
Germany  |  4.6%          
adidas AG   2,489    392,232 
Allianz SE   1,231    510,111 
Deutsche Boerse AG   2,350    683,230 
Merck KGaA   2,970    368,843 
Description  Shares   Fair
Value
 
MTU Aero Engines AG   1,421   $508,723 
         2,463,139 
Greece  |  1.7%          
Piraeus Bank SA   111,889    922,177 
Hong Kong  |  3.0%          
AIA Group Ltd.   83,200    934,656 
Techtronic Industries Co. Ltd.   51,000    678,843 
         1,613,499 
India  |  2.6%          
Bharti Airtel Ltd.   37,290    708,991 
ICICI Bank Ltd. ADR   25,893    670,629 
         1,379,620 
Israel  |  1.1%          
Bank Hapoalim BM   25,501    596,886 
Italy  |  1.0%          
Lottomatica Group SpA   17,721    511,502 
Japan  |  13.2%          
Ebara Corp.   11,400    321,224 
Hoya Corp.   5,600    965,977 
Japan Post Bank Co. Ltd.   42,100    692,635 
Keyence Corp.   2,300    814,557 
Mitsubishi Electric Corp.   18,400    600,898 
Mitsui Fudosan Co. Ltd.   47,400    501,708 
Nitori Holdings Co. Ltd.   21,600    343,062 
Recruit Holdings Co. Ltd.   16,800    726,783 
Resona Holdings, Inc.   78,500    873,467 
Shin-Etsu Chemical Co. Ltd.   21,100    858,508 
Suzuki Motor Corp.   24,900    298,326 
         6,997,145 
Mexico  |  2.7%          
Fomento Economico Mexicano SAB de CV ADR   4,473    496,771 
Grupo Financiero Banorte SAB de CV, Class O   84,900    941,607 
         1,438,378 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Equity Select Portfolio (concluded) 
Netherlands  |  6.3%          
ASML Holding NV   1,511   $2,000,016 
IMCD NV   8,454    882,335 
Universal Music Group NV   22,583    437,888 
         3,320,239 
South Africa  |  1.9%          
Anglo American PLC   24,240    1,029,830 
South Korea  |  3.3%          
KB Financial Group, Inc.   5,856    547,859 
Samsung Electronics Co. Ltd.   10,639    1,195,079 
         1,742,938 
Spain  |  3.8%          
Banco Santander SA   100,059    1,132,200 
Bankinter SA   28,101    442,382 
Industria de Diseno Textil SA   7,341    422,078 
         1,996,660 
Switzerland  |  3.2%          
ABB Ltd.   11,612    944,435 
Cie Financiere Richemont SA, Class A   4,230    753,756 
         1,698,191 
Taiwan  |  6.3%          
Taiwan Semiconductor Manufacturing Co. Ltd.   59,000    3,326,151 
United Kingdom  |  13.1%          
3i Group PLC   14,015    459,230 
AstraZeneca PLC   2,994    584,782 
Compass Group PLC   33,255    923,948 
Diploma PLC   8,616    687,498 
Halma PLC   6,267    318,392 
IMI PLC   12,438    424,041 
London Stock Exchange Group PLC   4,599    543,537 
Marks & Spencer Group PLC   86,246    387,350 
RELX PLC   31,997    1,054,916 
SSE PLC   18,262    630,478 
Description  Shares   Fair
Value
 
Unilever PLC   17,191   $963,843 
         6,978,015 
United States  |  7.4%          
Aon PLC, Class A   2,800    903,784 
CRH PLC   3,444    362,033 
Experian PLC   18,818    654,087 
Globant SA (*)   4,069    187,622 
InterContinental Hotels Group PLC   3,877    510,608 
Medtronic PLC   4,260    369,129 
Shell PLC   20,418    953,456 
         3,940,719 
Total Common Stocks
(Cost $38,968,046)
        50,116,336 
Preferred Stocks  |  2.0%          
Brazil  |  2.0%          
Itau Unibanco Holding SA
(Cost $570,133)
   128,192    1,076,052 
Total Investments  |  96.3%
(Cost $39,538,179)
       $51,192,388 
Cash and Other Assets in Excess of Liabilities  |  3.7%    1,954,488 
Net Assets  |  100.0%       $53,146,876 
   
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 0.8% of net assets of the Portfolio.
(*) Non-income producing security.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $747,099   $6,818,841   $(7,565,940)  $   $   $9,286       $ 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Quality Growth Portfolio          
Common Stocks  |  95.8%          
Australia  |  1.8%          
Computershare Ltd.   451,308   $8,912,798 
Brazil  |  1.9%          
TOTVS SA   1,421,908    9,591,294 
Canada  |  4.1%          
Dollarama, Inc.   59,111    7,254,706 
Toromont Industries Ltd.   93,345    13,068,702 
         20,323,408 
China  |  3.4%          
Tencent Holdings Ltd.   270,300    17,064,553 
Denmark  |  4.6%          
Coloplast AS, Class B   97,069    6,618,470 
Novo Nordisk AS, Class B   434,077    15,995,381 
         22,613,851 
France  |  5.1%          
EssilorLuxottica SA   43,691    10,168,437 
LVMH Moet Hennessy Louis Vuitton SE   19,861    11,040,038 
Pernod Ricard SA   55,499    4,142,392 
         25,350,867 
Germany  |  6.1%          
Rational AG   14,257    10,319,887 
SAP SE   71,806    12,151,949 
Scout24 SE (#)   99,500    7,623,836 
         30,095,672 
Hong Kong  |  4.6%          
AIA Group Ltd.   1,071,400    12,035,946 
Hong Kong Exchanges & Clearing Ltd.   210,200    10,654,052 
         22,689,998 
Description  Shares   Fair
Value
 
India  |  2.2%          
HDFC Bank Ltd. ADR   434,999   $10,822,775 
Israel  |  2.1%          
Check Point Software Technologies Ltd. (*)   73,708    10,529,188 
Japan  |  9.3%          
Hoya Corp.   54,900    9,470,028 
Keyence Corp.   26,900    9,526,776 
M3, Inc.   865,500    8,835,898 
Recruit Holdings Co. Ltd.   215,100    9,305,423 
SMS Co. Ltd.   350,600    3,683,693 
Toei Animation Co. Ltd.   306,400    5,028,191 
         45,850,009 
Netherlands  |  8.6%          
Argenx SE (*)   11,593    8,318,578 
ASML Holding NV   11,225    14,857,827 
IMCD NV   54,133    5,649,806 
Universal Music Group NV   362,290    7,024,867 
Wolters Kluwer NV   87,506    6,546,339 
         42,397,417 
Norway  |  1.9%          
Gjensidige Forsikring ASA   356,443    9,304,880 
South Africa  |  2.1%          
Clicks Group Ltd.   595,952    10,204,076 
Sweden  |  5.0%          
Assa Abloy AB, Class B   420,385    15,075,168 
Hexagon AB, B Shares   1,000,384    9,733,600 
         24,808,768 
Switzerland  |  4.2%          
Galderma Group AG   40,375    7,827,110 
Partners Group Holding AG   11,994    12,885,921 
         20,713,031 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Quality Growth Portfolio (concluded)
Taiwan  |  6.0%          
Lotes Co. Ltd.   170,000   $11,264,616 
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   54,842    18,533,854 
         29,798,470 
United Kingdom  |  13.6%          
Diageo PLC   348,301    6,471,540 
Diploma PLC   114,605    9,144,693 
Halma PLC   232,885    11,831,601 
London Stock Exchange Group PLC   125,277    14,805,978 
RELX PLC   386,518    12,822,125 
Unilever PLC   222,647    12,547,600 
         67,623,537 
United States  |  9.2%          
Accenture PLC, Class A   49,850    9,884,757 
Aon PLC, Class A   42,866    13,836,287 
Experian PLC   326,604    11,352,294 
InterContinental Hotels Group PLC   79,715    10,498,618 
         45,571,956 
Total Common Stocks
(Cost $509,019,388)
        474,266,548 
Preferred Stocks  |  1.2%          
Germany  |  1.2%          
Sartorius AG
(Cost $8,064,432)
   25,674    6,265,168 
Description  Shares   Fair
Value
 
Short-Term Investments  |  2.9%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $14,242,892)
   14,242,892   $14,242,892 
Total Investments  |  99.9%
(Cost $531,326,712)
       $494,774,608 
Cash and Other Assets in Excess of Liabilities  |  0.1%    291,448 
Net Assets  |  100.0%       $495,066,056 
   
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 1.5% of net assets of the Portfolio.
(*) Non-income producing security.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $12,839,270   $27,482,336   $(26,078,714)  $   $   $103,270    14,242,892   $14,242,892 
 
 

 

Description  Shares   Fair
Value
 
Lazard International Strategic Equity Portfolio
Common Stocks  |  95.2%          
Canada  |  3.2%          
Bird Construction, Inc.   682,027   $19,532,712 
Element Fleet Management Corp.   1,118,094    24,249,081 
         43,781,793 
France  |  4.8%          
Engie SA   854,999    27,565,330 
Societe Generale SA   544,224    39,737,118 
         67,302,448 
Germany  |  6.5%          
Daimler Truck Holding AG   361,645    17,240,104 
Deutsche Boerse AG   88,157    25,630,422 
Deutsche Telekom AG   779,568    28,745,834 
MTU Aero Engines AG   51,059    18,279,307 
         89,895,667 
Greece  |  2.9%          
Piraeus Bank SA   4,851,580    39,986,203 
Hong Kong  |  2.5%          
AIA Group Ltd.   2,526,200    28,378,949 
Techtronic Industries Co. Ltd.   497,000    6,615,390 
         34,994,339 
India  |  2.5%          
Bharti Airtel Ltd.   1,002,594    19,062,225 
ICICI Prudential Asset Management Co. Ltd.   517,373    15,484,202 
         34,546,427 
Israel  |  6.5%          
Bank Leumi Le-Israel BM   1,848,468    41,193,584 
Meitav Investment House Ltd.   474,872    16,670,563 
Phoenix Financial Ltd.   603,568    32,061,150 
         89,925,297 
Italy  |  4.1%          
Banca Monte dei Paschi di Siena SpA   1,965,399    17,124,860 
Description  Shares   Fair
Value
 
Davide Campari-Milano NV   1,298,695   $9,249,554 
Lottomatica Group SpA   1,061,931    30,651,758 
         57,026,172 
Japan  |  19.7%          
Hoya Corp.   110,000    18,974,555 
Japan Exchange Group, Inc.   1,779,900    20,666,178 
Japan Post Bank Co. Ltd.   1,602,000    26,356,336 
Keyence Corp.   70,600    25,003,361 
Kobe Bussan Co. Ltd.   558,600    12,141,249 
Nippon Sanso Holdings Corp.   562,900    20,097,301 
Organo Corp.   198,400    17,862,176 
Otsuka Holdings Co. Ltd.   203,500    14,364,370 
Pan Pacific International Holdings Corp.   3,206,200    19,667,546 
Resona Holdings, Inc.   3,180,600    35,390,431 
Resonac Holdings Corp.   352,000    22,998,780 
Sugi Holdings Co. Ltd.   612,300    13,489,509 
Tokyo Electron Ltd.   109,100    26,680,635 
         273,692,427 
Luxembourg  |  1.3%          
ArcelorMittal SA   339,219    17,673,832 
Mexico  |  1.6%          
Arca Continental SAB de CV   1,967,100    22,688,105 
Netherlands  |  6.4%          
Argenx SE (*)   38,292    27,476,494 
ASML Holding NV   43,168    57,138,768 
IMCD NV   35,216    3,675,458 
         88,290,720 
South Africa  |  2.8%          
Anglo American PLC   655,971    27,868,754 
Clicks Group Ltd.   646,221    11,064,798 
         38,933,552 
Spain  |  2.6%          
Banco Santander SA   3,147,620    35,616,329 


 
 

 

Description  Shares   Fair
Value
 
Lazard International Strategic Equity Portfolio (concluded)
Switzerland  |  5.4%          
ABB Ltd.   374,705   $30,475,762 
Cie Financiere Richemont SA, Class A   160,078    28,524,758 
Inficon Holding AG   127,986    16,086,278 
         75,086,798 
Taiwan  |  2.9%          
Lotes Co. Ltd.   275,000    18,222,174 
Taiwan Semiconductor Manufacturing Co. Ltd.   391,000    22,042,796 
         40,264,970 
United Kingdom  |  12.5%          
Coca-Cola Europacific Partners PLC   208,590    19,146,607 
Compass Group PLC   880,643    24,467,552 
Informa PLC   2,186,710    21,799,593 
National Grid PLC   1,795,867    30,276,421 
RELX PLC   582,630    19,208,851 
SSE PLC   655,963    22,646,496 
Unilever PLC   448,292    25,134,269 
Weir Group PLC   280,728    10,502,570 
         173,182,359 
United States  |  7.0%          
CRH PLC   220,585    23,187,895 
Experian PLC   436,065    15,157,004 
James Hardie Industries PLC CDI (*)   354,253    6,542,916 
Schneider Electric SE   100,203    27,522,766 
Shell PLC   513,967    24,026,606 
         96,437,187 
Total Common Stocks
(Cost $1,023,839,279)
        1,319,324,625 
Description  Shares   Fair
Value
 
Preferred Stocks  |  1.3%          
Germany  |  1.3%          
Sartorius AG
(Cost $19,604,570)
   77,130   $18,821,860 
Short-Term Investments  |  2.0%      
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $27,368,895)
   27,368,895    27,368,895 
Total Investments  |  98.5%
(Cost $1,070,812,744)
       $1,365,515,380 
Cash and Other Assets in Excess of Liabilities  |  1.5%    20,765,009 
Net Assets  |  100.0%       $1,386,280,389 
   
(*) Non-income producing security.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $76,926,151   $194,541,340   $(244,098,596)  $   $   $240,975    27,368,895   $27,368,895 
 
 

 

Description  Shares  Fair
Value
Lazard US Equity Concentrated Portfolio     
Common Stocks  |  99.1%          
Aerospace & Defense  |  4.0%          
Boeing Co. (*)   6,425   $1,278,768 
Broadline Retail  |  8.9%          
Amazon.com, Inc. (*)   13,513    2,814,353 
Capital Markets  |  7.5%          
Charles Schwab Corp.   9,844    925,139 
Intercontinental Exchange, Inc.   9,237    1,452,795 
         2,377,934 
Electronic Equipment, Instruments & Components  |  3.3% 
Coherent Corp. (*)   4,338    1,033,355 
Entertainment  |  6.5%          
Take-Two Interactive Software, Inc. (*)   10,344    2,042,940 
Hotels, Restaurants & Leisure  |  5.9%    
First Watch Restaurant Group, Inc. (*)   177,553    1,860,755 
Insurance  |  3.1%          
First American Financial Corp.   16,237    978,929 
Interactive Media & Services  |  4.6%    
Alphabet, Inc., Class A   5,055    1,453,616 
IT Services  |  3.5%          
DigitalOcean Holdings, Inc. (*)   12,821    1,099,785 
Pharmaceuticals  |  4.6%          
Eli Lilly & Co.   1,599    1,470,712 
Semiconductors & Semiconductor Equipment  |  24.0% 
Advanced Micro Devices, Inc. (*)   11,931    2,427,123 
Description   Shares    Fair
Value
 
Intel Corp. (*)   23,483   $1,036,305 
Marvell Technology, Inc.   26,135    2,588,672 
NVIDIA Corp.   8,835    1,540,824 
         7,592,924 
Software  |  10.3%          
Microsoft Corp.   4,983    1,844,557 
Zeta Global Holdings Corp., Class A (*)   89,473    1,424,410 
         3,268,967 
Specialty Retail  |  8.6%          
Floor & Decor Holdings, Inc., Class A (*)   26,438    1,343,050 
RH (*)   9,944    1,390,370 
         2,733,420 
Textiles, Apparel & Luxury Goods  |  4.3%          
NIKE, Inc., Class B   25,475    1,345,590 
Total Common Stocks
(Cost $29,607,514)
        31,352,048 
Short-Term Investments  |  0.7%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $232,951)
   232,951    232,951 
Total Investments  |  99.8%
(Cost $29,840,465)
       $31,584,999 
Cash and Other Assets in Excess of Liabilites  |  0.2%    66,263 
Net Assets  |  100.0%       $31,651,262 
   
(*) Non-income producing security.
(a) Affiliated investment.


 

 
 

 

Lazard US Equity Concentrated Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
  Purchase
cost
  Sales
proceeds
  Realized
gain (loss)
  Change in
unrealized
appreciation
(depreciation)
  Dividend
Income
  Shares at
March 31, 2026
  Value at
March 31, 2026
Lazard Government Money Market Portfolio  $14,466   $4,008,614   $(3,790,129)  $   $   $2,455    232,951   $232,951 
 
 

 

Description   Shares    Fair
Value
 
Lazard US Equity Focus Portfolio          
Common Stocks  |  96.0%          
Banks  |  2.8%          
Bank of America Corp.   41,123   $2,004,746 
Broadline Retail  |  6.1%          
Amazon.com, Inc. (*)   20,881    4,348,886 
Capital Markets  |  8.2%          
Blackstone, Inc.   13,641    1,568,579 
Intercontinental Exchange, Inc.   18,856    2,965,672 
Moody’s Corp.   2,993    1,305,696 
         5,839,947 
Chemicals  |  3.1%          
Linde PLC   4,413    2,187,789 
Commercial Services & Supplies  |  5.7%          
RB Global, Inc.   15,529    1,488,455 
Waste Management, Inc.   11,133    2,558,252 
         4,046,707 
Electrical Equipment  |  3.0%          
AMETEK, Inc.   9,829    2,106,944 
Financial Services  |  3.2%          
Visa, Inc., A Shares   7,623    2,303,975 
Ground Transportation  |  2.5%          
Old Dominion Freight Line, Inc.   9,127    1,783,416 
Health Care Equipment & Supplies  |  2.3%          
Medtronic PLC   18,957    1,642,624 
Hotels, Restaurants & Leisure  |  3.3%          
McDonald’s Corp.   7,522    2,337,762 
Description   Shares    Fair
Value
 
Household Products  |  2.6%          
Procter & Gamble Co.   12,638   $1,825,433 
Insurance  |  3.0%          
Marsh & McLennan Cos., Inc.   12,264    2,127,191 
Interactive Media & Services  |  6.2%          
Alphabet, Inc., Class A   15,346    4,412,896 
Life Sciences Tools & Services  |  3.3%          
Danaher Corp.   12,537    2,377,015 
Oil, Gas & Consumable Fuels  |  3.1%          
ConocoPhillips   16,650    2,197,800 
Pharmaceuticals  |  5.2%          
Eli Lilly & Co.   1,906    1,753,082 
Merck & Co., Inc.   16,148    1,942,443 
         3,695,525 
Professional Services  |  3.8%          
Equifax, Inc.   8,141    1,465,950 
Jacobs Solutions, Inc.   9,887    1,258,417 
         2,724,367 
Real Estate Management & Development  |  2.2% 
CBRE Group, Inc., Class A (*)   11,635    1,576,077 
Semiconductors & Semiconductor Equipment  |  10.2% 
Analog Devices, Inc.   7,422    2,361,235 
Broadcom, Inc.   7,623    2,359,395 
KLA Corp.   1,028    1,513,637 
QUALCOMM, Inc.   7,723    994,568 
         7,228,835 
Software  |  8.7%          
Microsoft Corp.   12,491    4,623,793 


 

 
 

 

Description   Shares    Fair
Value
 
Lazard US Equity Focus Portfolio (concluded)    
Palo Alto Networks, Inc. (*)   10,005   $1,604,002 
         6,227,795 
Technology Hardware, Storage & Peripherals  |  7.5% 
Apple, Inc.   20,963    5,320,200 
Total Common Stocks
(Cost $44,412,811)
        68,315,930 
Short-Term Investments  |  4.0%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $2,810,811)
   2,810,811    2,810,811 
Total Investments  |  100.0%
(Cost $47,223,622)
       $71,126,741 
Cash and Other Assets in Excess of Liabilites  |  0.0%    26,454 
Net Assets  |  100.0%       $71,153,195 


 

(*) Non-income producing security.
(a) Affiliated investment.

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
  Purchase
cost
  Sales
proceeds
  Realized
gain (loss)
  Change in
unrealized
appreciation
(depreciation)
  Dividend
Income
  Shares at
March 31, 2026
  Value at
March 31, 2026
Lazard Government Money Market Portfolio  $2,244,274   $8,891,686   $(8,325,149)  $   $   $27,067    2,810,811   $2,810,811 
 
 

 

Description   Shares    Fair
Value
 
Lazard US Small Cap Equity Select Portfolio      
Common Stocks  |  99.2%          
Aerospace & Defense  |  1.0%          
StandardAero, Inc. (*)   12,052   $311,303 
Automobile Components  |  1.0%          
Gentherm, Inc. (*)   12,174    338,194 
Automobiles  |  0.8%          
Thor Industries, Inc.   3,436    274,502 
Banks  |  9.9%          
Atlantic Union Bankshares Corp.   13,168    470,624 
BankUnited, Inc.   10,293    464,832 
Community Financial System, Inc.   4,092    239,996 
Home BancShares, Inc.   20,920    563,376 
Texas Capital Bancshares, Inc. (*)   7,787    738,830 
Wintrust Financial Corp.   5,234    727,212 
         3,204,870 
Biotechnology  |  8.1%          
Arcutis Biotherapeutics, Inc. (*)   20,107    473,721 
Aurinia Pharmaceuticals, Inc. (*)   15,222    225,590 
Caris Life Sciences, Inc.   12,557    224,519 
Disc Medicine, Inc. (*)   4,147    265,159 
MapLight Therapeutics, Inc.   13,294    270,267 
Rhythm Pharmaceuticals, Inc. (*)   3,815    331,791 
Soleno Therapeutics, Inc. (*)   6,049    202,520 
Vaxcyte, Inc. (*)   4,920    285,901 
Xenon Pharmaceuticals, Inc. (*)   6,298    366,229 
         2,645,697 
Building Products  |  0.9%          
Janus International Group, Inc. (*)   55,495    285,799 
Capital Markets  |  4.4%          
Bullish   9,145    326,751 
StepStone Group, Inc., Class A   11,499    548,732 
Stifel Financial Corp.   7,698    569,036 
         1,444,519 
Description   Shares    Fair
Value
 
Commercial Services & Supplies  |  3.4%     
ABM Industries, Inc.   13,235   $509,812 
Casella Waste Systems, Inc., Class A (*)   7,656    607,427 
         1,117,239 
Communications Equipment  |  1.7%          
Lumentum Holdings, Inc. (*)   796    559,397 
Construction & Engineering  |  1.7%          
Legence Corp., Class A   9,942    561,325 
Construction Materials  |  1.0%          
Eagle Materials, Inc.   1,746    330,780 
Consumer Finance  |  1.0%          
Figure Technology Solutions, Inc., Class A   9,977    338,719 
Consumer Staples Distribution & Retail  |  2.1%
BJ’s Wholesale Club Holdings, Inc. (*)   3,495    343,978 
Chefs’ Warehouse, Inc. (*)   5,411    321,684 
         665,662 
Containers & Packaging  |  2.4%          
Graphic Packaging Holding Co.   21,983    218,511 
TriMas Corp.   15,388    553,045 
         771,556 
Electrical Equipment  |  3.8%          
EnerSys   1,446    251,199 
Forgent Power Solutions, Inc.   11,867    347,347 
Regal Rexnord Corp.   3,426    641,553 
         1,240,099 
Electronic Equipment, Instruments & Components  |  6.1% 
Advanced Energy Industries, Inc.   2,697    870,349 
Coherent Corp. (*)   2,190    521,680 
Mirion Technologies, Inc. (*)   31,243    580,807 
         1,972,836 


 

 
 

 

Description   Shares    Fair
Value
 
Lazard US Small Cap Equity Select Portfolio (continued) 
Energy Equipment & Services  |  4.9%     
Atlas Energy Solutions, Inc.   44,660   $585,939 
Cactus, Inc., Class A   11,724    555,366 
Kodiak Gas Services, Inc.   7,889    460,087 
         1,601,392 
Entertainment  |  1.9%          
Roku, Inc. (*)   6,589    623,451 
Food Products  |  1.1%          
Once Upon a Farm PBC   21,222    346,980 
Ground Transportation  |  2.0%          
Landstar System, Inc.   3,952    633,545 
Health Care Equipment & Supplies  |  2.8%          
Enovis Corp. (*)   21,700    493,675 
TransMedics Group, Inc. (*)   4,139    411,458 
         905,133 
Health Care Providers & Services  |  1.6%     
Guardian Pharmacy Services, Inc., Class A (*)   13,937    524,868 
Health Care REITs  |  1.3%          
Alexandria Real Estate Equities, Inc.   9,024    418,894 
Hotels, Restaurants & Leisure  |  5.2%     
First Watch Restaurant Group, Inc. (*)   59,336    621,841 
Planet Fitness, Inc., Class A (*)   7,549    561,495 
Wyndham Hotels & Resorts, Inc.   6,049    491,360 
         1,674,696 
Insurance  |  2.1%          
First American Financial Corp.   11,235    677,358 
IT Services  |  1.8%          
DigitalOcean Holdings, Inc. (*)   6,836    586,392 
Description   Shares    Fair
Value
 
Leisure Products  |  1.0%          
Brunswick Corp.   4,491   $326,765 
Life Sciences Tools & Services  |  0.7%          
Maravai LifeSciences Holdings, Inc., Class A (*)   78,249    221,445 
Machinery  |  5.8%          
Gates Industrial Corp. PLC (*)   25,399    574,271 
Middleby Corp. (*)   4,706    623,922 
Toro Co.   7,334    685,289 
         1,883,482 
Media  |  1.8%          
NIQ Global Intelligence PLC   51,814    589,125 
Oil, Gas & Consumable Fuels  |  1.3%    
Antero Resources Corp. (*)   9,927    421,302 
Pharmaceuticals  |  0.7%          
Axsome Therapeutics, Inc. (*)   1,380    233,248 
Semiconductors & Semiconductor Equipment  |  5.0% 
Credo Technology Group Holding Ltd. (*)   3,699    347,225 
Diodes, Inc. (*)   6,744    460,346 
Onto Innovation, Inc. (*)   1,763    361,538 
Rambus, Inc. (*)   5,461    469,810 
         1,638,919 
Software  |  3.3%          
ServiceTitan, Inc., Class A (*)   7,949    504,443 
Zeta Global Holdings Corp., Class A (*)   34,564    550,259 
         1,054,702 
Specialized REITs  |  1.5%          
CubeSmart   13,221    484,550 
Specialty Retail  |  3.0%          
Bob’s Discount Furniture, Inc.   33,069    388,561 
 
 

 

Description   Shares    Fair
Value
 
Lazard US Small Cap Equity Select Portfolio (concluded) 
Floor & Decor Holdings, Inc., Class A (*)   11,368   $577,494 
         966,055 
Trading Companies & Distributors  |  1.1%          
EquipmentShare.com, Inc., Class A   16,979    345,862 
Total Common Stocks
(Cost $28,914,215)
        32,220,661 
Short-Term Investments  |  1.2%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $391,383)
   391,383    391,383 
Total Investments  |  100.4%
(Cost $29,305,598)
       $32,612,044 
Liabilities in Excess of Cash and Other Assets  |  (0.4)%    (119,248)
Net Assets  |  100.0%       $32,492,796 


 

(*) Non-income producing security.
(a) Affiliated investment.

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
  Purchase
cost
  Sales
proceeds
  Realized
gain (loss)
  Change in
unrealized
appreciation
(depreciation)
  Dividend
Income
  Shares at
March 31, 2026
  Value at
March 31, 2026
Lazard Government Money Market Portfolio  $186,322   $3,736,812   $(3,531,751)  $   $   $3,479    391,383   $391,383 
 
 

 

         
Description  Shares   Fair
Value
 
Lazard US Convertibles Portfolio          
Common Stocks  |  0.1%          
Specialty Retail  |  0.1%          
Wayfair, Inc., Class A
(Cost $13,347) (*)
   171   $12,861 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Convertible Corporate Bonds  |  81.9%         
Aerospace & Defense  |  0.4%          
AeroVironment, Inc.,
Zero Coupon, 07/15/30
  $73   $71,613 
Automobiles  |  1.6%          
Rivian Automotive, Inc.,
4.625%, 03/15/29
   240    257,550 
Biotechnology  |  4.6%          
Alnylam Pharmaceuticals, Inc.,
Zero Coupon, 09/15/28 (#)
   164    152,317 
Bridgebio Pharma, Inc.,
2.500%, 03/15/27
   125    225,219 
Cytokinetics, Inc.,
3.500%, 07/01/27
   27    39,535 
Halozyme Therapeutics, Inc.,          
Zero Coupon, 02/15/31 (#)   104    101,608 
0.875%, 11/15/32 (#)   103    101,867 
Ionis Pharmaceuticals, Inc.,
Zero Coupon, 12/01/30 (#)
   121    126,369 
         746,915 
Capital Markets  |  2.4%          
Cipher Digital, Inc.,
Zero Coupon, 10/01/31 (#)
   93    103,898 
Cleanspark, Inc.,
Zero Coupon, 06/15/30
   44    42,592 
Core Scientific, Inc.,
Zero Coupon, 06/15/31 (#)
   97    106,336 
Description  Principal
Amount
(000)
   Fair
Value
 
Terawulf, Inc.,
1.000%, 09/01/31 (#)
  $102   $141,678 
         394,504 
Commercial Services & Supplies  |  0.5%      
Affirm Holdings, Inc.,
0.750%, 12/15/29
   52    48,791 
Stride, Inc.,
1.125%, 09/01/27
   18    31,005 
         79,796 
Construction & Engineering  |  0.7%          
Fluor Corp.,
1.125%, 08/15/29
   48    59,292 
Granite Construction, Inc.,
3.250%, 06/15/30
   35    57,706 
         116,998 
Diversified REITs  |  2.6%          
Digital Realty Trust LP,
1.875%, 11/15/29 (#)
   100    106,113 
Welltower OP LLC,
2.750%, 05/15/28 (#)
   158    328,087 
         434,200 
Diversified Telecommunication Services  |  2.0%  
Applied Digital Corp.,
2.750%, 06/01/30
   20    53,140 
AST SpaceMobile, Inc.,
2.375%, 10/15/32 (#)
   136    200,770 
InterDigital, Inc.,
3.500%, 06/01/27
   21    82,005 
         335,915 
Electric Utilities  |  12.2%          
Alliant Energy Corp.,
3.250%, 05/30/28 (#)
   87    92,283 
CMS Energy Corp.,
3.375%, 05/01/28
   183    207,019 
Duke Energy Corp.,
3.000%, 03/15/29 (#)
   98    98,661 
Evergy, Inc.,
4.500%, 12/15/27
   62    83,716 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio (continued)      
NextEra Energy Capital Holdings, Inc.,
3.000%, 03/01/27
  $346   $480,508 
PG&E Corp.,
4.250%, 12/01/27
   351    363,715 
PPL Capital Funding, Inc.,
3.000%, 12/01/30 (#)
   220    230,120 
Southern Co.,
4.500%, 06/15/27
   146    162,358 
WEC Energy Group, Inc.,
4.375%, 06/01/29
   223    276,130 
         1,994,510 
Electronic Equipment, Instruments & Components  |  2.1% 
Advanced Energy Industries, Inc.,
2.500%, 09/15/28
   36    86,627 
Itron, Inc.,
1.375%, 07/15/30
   175    176,312 
OSI Systems, Inc.,
0.500%, 02/01/31 (#)
   79    80,817 
         343,756 
Entertainment  |  3.9%          
Liberty Media Corp.-Liberty Formula One,
2.250%, 08/15/27
   67    77,452 
Live Nation Entertainment, Inc.,
2.875%, 01/15/30
   519    560,520 
         637,972 
Financial Services  |  2.1%          
Coinbase Global, Inc.,
0.250%, 04/01/30
   230    213,958 
SoFi Technologies, Inc.,
1.250%, 03/15/29 (#)
   43    78,309 
Upstart Holdings, Inc.,
2.000%, 10/01/29
   60    58,776 
         351,043 
Health Care Equipment & Supplies  |  2.5%      
Guardant Health, Inc.,
1.250%, 02/15/31
   72    121,164 
Integer Holdings Corp.,
1.875%, 03/15/30
   84    80,514 
IRhythm Holdings, Inc.,
1.500%, 09/01/29
   96    105,216 
Description  Principal
Amount
(000)
   Fair
Value
 
Lantheus Holdings, Inc.,
2.625%, 12/15/27
  $43   $51,718 
Merit Medical Systems, Inc.,
3.000%, 02/01/29 (#)
   44    47,146 
         405,758 
Interactive Media & Services  |  4.2%      
DoorDash, Inc.,
Zero Coupon, 05/15/30 (#)
   338    308,594 
Hims & Hers Health, Inc.,
Zero Coupon, 05/15/30 (#)
   70    52,550 
Uber Technologies, Inc.,          
Zero Coupon, 05/15/28 (#)   80    78,300 
Series 20280.875%, 12/01/28   153    184,250 
Wayfair, Inc.,
3.500%, 11/15/28
   33    57,701 
         681,395 
IT Services  |  14.3%          
Lumentum Holdings, Inc.,          
0.375%, 03/15/32 (#)   118    454,834 
0.500%, 06/15/28   108    578,801 
Parsons Corp.,
2.625%, 03/01/29
   114    112,461 
Rubrik, Inc.,
Zero Coupon, 06/15/30 (#)
   150    129,638 
Seagate HDD Cayman,
3.500%, 06/01/28
   35    166,283 
Western Digital Corp.,
3.000%, 11/15/28
   93    666,061 
Zscaler, Inc.,
Zero Coupon, 07/15/28 (#)
   258    235,011 
         2,343,089 
Leisure Products  |  0.7%          
NCL Corp. Ltd.,
0.875%, 04/15/30 (#)
   72    74,900 
Peloton Interactive, Inc.,
5.500%, 12/01/29
   27    36,180 
         111,080 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Convertibles Portfolio (continued)      
Machinery  |  1.2%          
Bloom Energy Corp.,
Zero Coupon, 11/15/30 (#)
  $192   $204,922 
Metals & Mining  |  1.8%          
Centrus Energy Corp.,
Zero Coupon, 08/15/32 (#)
   103    109,463 
MP Materials Corp.,
3.000%, 03/01/30 (#)
   79    188,415 
         297,878 
Oil, Gas & Consumable Fuels  |  2.1%      
Crescent Energy Co.,
2.750%, 03/15/31 (#)
   90    103,545 
Northern Oil & Gas, Inc.,
3.625%, 04/15/29
   90    99,031 
Solaris Energy Infrastructure, Inc.,
0.250%, 10/01/31
   118    147,942 
         350,518 
Passenger Airlines  |  0.1%          
JetBlue Airways Corp.,
2.500%, 09/01/29
   25    24,144 
Pharmaceuticals  |  2.6%          
Jazz Investments I Ltd.,
2.000%, 06/15/26
   200    243,100 
Zoetis, Inc.,
0.250%, 06/15/29 (#)
   176    175,120 
         418,220 
Semiconductors & Semiconductor Equipment  |  2.4% 
Microchip Technology, Inc.,
0.750%, 06/01/30
   136    134,735 
MKS, Inc.,
1.250%, 06/01/30
   62    102,579 
ON Semiconductor Corp.,
0.500%, 03/01/29
   151    147,980 
         385,294 
Description  Principal
Amount
(000)
   Fair
Value
 
Software  |  13.8%          
Akamai Technologies, Inc.,
0.375%, 09/01/27
  $358   $415,638 
Cloudflare, Inc.,
Zero Coupon, 08/15/26
   207    242,720 
CoreWeave, Inc.,
1.750%, 12/01/31 (#)
   150    150,728 
Datadog, Inc.,
Zero Coupon, 12/01/29
   236    228,979 
DigitalOcean Holdings, Inc.,
Zero Coupon, 08/15/30 (#)
   36    82,512 
Dropbox, Inc.,
Zero Coupon, 03/01/28
   127    120,713 
Guidewire Software, Inc.,
1.250%, 11/01/29
   57    56,893 
Nutanix, Inc.,
0.250%, 10/01/27
   88    89,839 
Snowflake, Inc.,
Zero Coupon, 10/01/27
   205    242,515 
Strategy, Inc.,          
Zero Coupon, 12/01/29   511    425,408 
0.625%, 03/15/30   177    204,019 
         2,259,964 
Specialty Retail  |  1.1%          
GameStop Corp.,
Zero Coupon, 04/01/30 (#)
   168    173,292 
Total Convertible Corporate Bonds
(Cost $12,273,811)
        13,420,326 
           
Description  Shares   Fair
Value
 
Preferred Stocks  |  12.7%          
Aerospace & Defense  |  2.6%          
Boeing Co.   6,628   $430,025 
Banks  |  3.4%          
Bank of America Corp., Series L   240    285,975 


 
 

 

Description  Shares   Fair
Value
 
Lazard US Convertibles Portfolio (concluded)      
Wells Fargo & Co., Class A, Series L   241   $278,355 
         564,330 
Capital Markets  |  0.9%          
ARES Management Corp., Series B   1,346    48,698 
KKR & Co., Inc., Series D   2,300    92,506 
         141,204 
Chemicals  |  1.2%          
Albemarle Corp.   2,636    189,397 
Financial Services  |  0.8%          
Apollo Global Management, Inc.   1,652    96,576 
Shift4 Payments, Inc.   695    37,280 
         133,856 
Life Sciences Tools & Services  |  0.4%          
Bruker Corp. (*)   233    65,764 
Semiconductors & Semiconductor Equipment  |  1.1% 
Microchip Technology, Inc.   3,125    178,031 
Software  |  1.8%          
Oracle Corp., Series D (*)   6,508    292,925 
Technology Hardware, Storage & Peripherals  |  0.5% 
Hewlett Packard Enterprise Co.   1,367    88,185 
Total Preferred Stocks
(Cost $2,075,379)
        2,083,717 
Description  Shares   Fair
Value
 
Short-Term Investments  |  5.5%        
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $906,129)
   906,129   $906,129 
Total Investments  |  100.2%
(Cost $15,268,666)
       $16,423,033 
Liabilities in Excess of Cash and Other Assets  |  (0.2)%    (40,868)
Net Assets  |  100.0%       $16,382,165 
   
(*) Non-income producing security.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 28.2% of net assets of the Portfolio.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
     Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
Lazard Government Money Market Portfolio  $762,304   $2,190,309   $(2,046,484)    $   $   $5,509    906,129   $906,129
 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio          
Corporate Bonds  |  97.7%          
Aerospace & Defense  |  2.4%          
Bombardier, Inc.,
8.750%, 11/15/30 (#)
  $1,750   $1,861,198 
TransDigm, Inc.,          
4.625%, 01/15/29   500    491,262 
6.750%, 08/15/28 (#)   1,000    1,012,140 
         3,364,600 
Automobile Components  |  3.7%          
American Axle & Manufacturing, Inc.,
5.000%, 10/01/29
   1,500    1,430,916 
Goodyear Tire & Rubber Co.,
5.250%, 07/15/31
   2,000    1,788,890 
Tenneco, Inc.,
8.000%, 11/17/28 (#)
   2,000    1,992,887 
         5,212,693 
Automobiles  |  2.3%          
Allison Transmission, Inc.,          
4.750%, 10/01/27 (#)   1,295    1,286,972 
5.875%, 12/01/33 (#)   2,000    1,987,739 
         3,274,711 
Building Products  |  2.2%          
Griffon Corp.,
5.750%, 03/01/28
   1,750    1,746,316 
Standard Industries, Inc.,
3.375%, 01/15/31 (#)
   1,500    1,344,550 
         3,090,866 
Chemicals  |  4.9%          
Methanex Corp.,
5.125%, 10/15/27
   1,750    1,739,107 
Methanex U.S. Operations, Inc.,
6.250%, 03/15/32 (#)
   2,000    2,046,132 
NOVA Chemicals Corp.,
4.250%, 05/15/29 (#)
   1,750    1,702,365 
WR Grace Holdings LLC,
6.625%, 08/15/32 (#)
   1,500    1,461,533 
         6,949,137 
Description  Principal
Amount
(000)
   Fair
Value
 
Commercial Services & Supplies  |  4.9% 
ADT Security Corp.,
4.125%, 08/01/29 (#)
  $2,250   $2,149,536 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.,
8.375%, 06/15/32 (#)
2,000    1,989,024 
Prime Security Services Borrower LLC/Prime Finance, Inc.,
3.375%, 08/31/27 (#)
   1,500    1,459,890 
Valvoline, Inc.,
3.625%, 06/15/31 (#)
   1,500    1,355,610 
         6,954,060 
Containers & Packaging  |  0.8%          
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC,
4.000%, 09/01/29 (#)
   1,200    1,098,842 
Diversified REITs  |  2.5%          
Iron Mountain, Inc.,          
4.500%, 02/15/31 (#)   3,250    3,051,890 
4.875%, 09/15/29 (#)   500    486,469 
         3,538,359 
Diversified Telecommunication Services  |  5.4% 
Connect Finco SARL/Connect U.S. Finco LLC,
9.000%, 09/15/29 (#)
   1,500    1,575,810 
Level 3 Financing, Inc.,
8.500%, 01/15/36 (#)
   2,000    2,086,823 
Viasat, Inc.,
7.500%, 05/30/31 (#)
   2,000    1,976,416 
Zayo Group Holdings, Inc.,
9.250%, 03/09/30 (#)
   2,037    2,024,682 
         7,663,731 
Electric Utilities  |  3.7%          
NRG Energy, Inc.,
3.625%, 02/15/31 (#)
   1,500    1,381,277 
XPLR Infrastructure Operating Partners LP,          
4.500%, 09/15/27 (#)   1,750    1,732,609 
8.625%, 03/15/33 (#)   2,000    2,112,838 
         5,226,724 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio (continued) 
Electrical Equipment  |  1.9%          
Energizer Holdings, Inc.,
4.750%, 06/15/28 (#)
  $1,700   $1,673,357 
WESCO Distribution, Inc.,          
5.250%, 04/15/31 (#)   500    497,015 
5.500%, 04/15/34 (#)   500    492,425 
         2,662,797 
Entertainment  |  1.0%          
Cinemark USA, Inc.,
5.250%, 07/15/28 (#)
   1,500    1,487,176 
Food Products  |  5.6%          
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC,
3.500%, 03/15/29 (#)
   1,500    1,430,910 
Performance Food Group, Inc.,
4.250%, 08/01/29 (#)
   1,800    1,729,016 
Post Holdings, Inc.,          
4.500%, 09/15/31 (#)   1,500    1,394,717 
6.250%, 10/15/34 (#)   2,000    1,958,413 
U.S. Foods, Inc.,
4.625%, 06/01/30 (#)
   1,500    1,460,543 
         7,973,599 
Gas Utilities  |  0.7%          
AmeriGas Partners LP/AmeriGas Finance Corp.,
9.375%, 06/01/28 (#)
   1,000    1,026,631 
Health Care Equipment & Supplies  |  1.5% 
Bausch & Lomb Corp.,
8.375%, 10/01/28 (#)
   2,000    2,065,000 
Health Care Providers & Services  |  3.6% 
Encompass Health Corp.,
4.625%, 04/01/31
   1,849    1,784,874 
LifePoint Health, Inc.,
5.375%, 01/15/29 (#)
   2,000    1,928,707 
Tenet Healthcare Corp.,
4.375%, 01/15/30
   1,500    1,452,865 
         5,166,446 
Description  Principal
Amount
(000)
   Fair
Value
 
Hotel & Resort REITs  |  2.2%          
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer,
4.875%, 05/15/29 (#)
  $1,500   $1,439,845 
RHP Hotel Properties LP/RHP Finance Corp.,
4.500%, 02/15/29 (#)
   1,750    1,696,443 
         3,136,288 
Hotels, Restaurants & Leisure  |  3.5% 
Boyd Gaming Corp.,
4.750%, 06/15/31 (#)
   2,000    1,901,628 
Station Casinos LLC,
4.625%, 12/01/31 (#)
   1,750    1,633,958 
Travel & Leisure Co.,
4.500%, 12/01/29 (#)
   1,500    1,434,358 
         4,969,944 
Household Durables  |  1.2%          
Somnigroup International, Inc.,
4.000%, 04/15/29 (#)
   1,750    1,682,892 
Interactive Media & Services  |  1.0% 
Ziff Davis, Inc.,
4.625%, 10/15/30 (#)
   1,500    1,414,300 
IT Services  |  2.3%          
NCR Atleos Corp.,
9.500%, 04/01/29 (#)
   1,500    1,605,664 
NCR Voyix Corp.,
5.125%, 04/15/29 (#)
   1,750    1,673,800 
         3,279,464 
Machinery  |  1.4%          
Terex Corp.,
5.000%, 05/15/29 (#)
   2,000    1,970,411 
Media  |  11.2%          
CCO Holdings LLC/CCO Holdings Capital Corp.,          
4.750%, 03/01/30 (#)   1,500    1,423,311 
5.125%, 05/01/27 (#)   154    153,826 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US High Yield Portfolio (continued) 
Clear Channel Outdoor Holdings, Inc.,
7.750%, 04/15/28 (#)
  $2,000   $2,009,490 
DISH Network Corp.,
11.750%, 11/15/27 (#)
   2,000    2,060,490 
Gray Media, Inc.,
4.750%, 10/15/30 (#)
   2,000    1,543,154 
Lamar Media Corp.,
3.625%, 01/15/31
   1,500    1,388,074 
Nexstar Media, Inc.,          
5.625%, 07/15/27 (#)   1,500    1,499,286 
6.500%, 09/15/33 (#)   100    100,762 
7.250%, 04/15/34 (#)   100    100,298 
Scripps Escrow II, Inc.,
3.875%, 01/15/29 (#)
   1,000    924,945 
Sirius XM Radio LLC,
3.875%, 09/01/31 (#)
   1,000    907,919 
Univision Communications, Inc.,
9.375%, 08/01/32 (#)
   2,000    2,061,231 
Virgin Media Secured Finance PLC,
4.500%, 08/15/30 (#)
   2,000    1,773,697 
         15,946,483 
Oil, Gas & Consumable Fuels  |  16.0% 
Borr IHC Ltd./Borr Finance LLC,
10.375%, 11/15/30 (#)
   1,580    1,597,336 
Buckeye Partners LP,
4.500%, 03/01/28 (#)
   1,500    1,475,209 
Comstock Resources, Inc.,
6.750%, 03/01/29 (#)
   1,500    1,480,549 
Crescent Energy Finance LLC,
7.875%, 04/15/32 (#)
   2,000    2,043,314 
CVR Energy, Inc.,
7.500%, 02/15/31 (#)
   1,500    1,511,200 
Kodiak Gas Services LLC,          
5.875%, 04/01/31 (#)   250    251,238 
6.750%, 10/01/35 (#)   2,000    2,031,824 
7.250%, 02/15/29 (#)   1,750    1,813,096 
Nabors Industries, Inc.,
9.125%, 01/31/30 (#)
   1,500    1,574,987 
Range Resources Corp.,
4.750%, 02/15/30 (#)
   1,750    1,706,348 
SM Energy Co.,
8.750%, 07/01/31 (#)
   2,000    2,090,584 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.,
5.500%, 01/15/28 (#)
   1,250    1,239,426 
Description  Principal
Amount
(000)
   Fair
Value
 
Transocean International Ltd.,
8.750%, 02/15/30 (#)
  $1,610   $1,674,711 
Venture Global LNG, Inc.,
9.875%, 02/01/32 (#)
   2,000    2,147,976 
         22,637,798 
Pharmaceuticals  |  1.4%          
1261229 BC Ltd.,
10.000%, 04/15/32 (#)
   2,000    2,047,688 
Software  |  4.5%          
Cloud Software Group, Inc.,          
6.500%, 03/31/29 (#)   1,000    975,570 
9.000%, 09/30/29 (#)   1,500    1,447,011 
CoreWeave, Inc.,
9.250%, 06/01/30 (#)
   2,000    1,943,319 
OAK-Eagle Acquireco, Inc.,
8.750%, 07/01/34 (#)
   2,000    2,093,783 
         6,459,683 
Specialty Retail  |  5.9%          
Asbury Automotive Group, Inc.,          
4.500%, 03/01/28   987    969,234 
5.000%, 02/15/32 (#)   750    710,259 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.,          
4.625%, 01/15/29 (#)   500    477,864 
6.750%, 01/15/30 (#)   2,000    1,868,105 
Group 1 Automotive, Inc.,
4.000%, 08/15/28 (#)
   1,000    967,713 
Penske Automotive Group, Inc.,
3.750%, 06/15/29
   1,750    1,665,033 
Suburban Propane Partners LP/Suburban Energy Finance Corp.,
5.000%, 06/01/31 (#)
   1,750    1,646,537 
         8,304,745 
Total Corporate Bonds
(Cost $140,913,929)
        138,605,068 


 

 
 

 

Description  Shares   Fair
Value
 
Lazard US High Yield Portfolio (concluded) 
Short-Term Investments  |  2.6% 
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $3,707,140)
   3,707,140   $3,707,140 
Total Investments  |  100.3%
(Cost $144,621,069)
       $142,312,208 
Liabilities in Excess of Cash and Other Assets  |  (0.3)%    (431,227)
Net Assets  |  100.0%       $141,880,981 
   
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 87.5% of net assets of the Portfolio.
(a) Affiliated investment.


 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
     Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
Lazard Government Money Market Portfolio  $2,253,644   $23,677,197   $(22,223,701)    $   $   $23,107    3,707,140   $3,707,140
 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Short Duration Fixed Income Portfolio 
Asset-Backed Securities  |  2.6%          
Financial Services  |  1.2%          
Business Jet Securities LLC, Series 2022-1A, Class A,
4.455%, 06/15/37 (#)
  $417   $412,826 
Ground Transportation  |  1.4%          
TRP LLC, Series 2021-1, Class A,
2.070%, 06/19/51 (#)
   476    461,040 
Total Asset-Backed Securities
(Cost $839,102)
        873,866 
Corporate Bonds  |  31.6%          
Aerospace & Defense  |  1.9%          
Boeing Co.,
3.200%, 03/01/29
   675    651,034 
Automobiles  |  6.5%          
American Honda Finance Corp.,
5.250%, 07/07/26
   800    801,527 
Ford Motor Credit Co. LLC,
4.125%, 08/17/27
   675    666,256 
General Motors Financial Co., Inc.,
5.000%, 04/09/27
   700    703,102 
         2,170,885 
Banks  |  14.5%          
Bank of America Corp.,
2.551% (SOFR+1.050%), 02/04/28 (§)
   1,050    1,033,994 
Citigroup, Inc.,
3.887% (SOFR+1.825%), 01/10/28 (§)
   1,025    1,020,059 
Goldman Sachs Group, Inc.,
4.148% (SOFR+0.710%), 01/21/29 (§)
   575    571,452 
JPMorgan Chase & Co.,
4.851% (SOFR+1.990%), 07/25/28 (§)
   950    954,675 
Morgan Stanley,
1.593% (SOFR+0.879%), 05/04/27 (§)
   625    623,265 
Description  Principal
Amount
(000)
   Fair
Value
 
Wells Fargo & Co.,
3.196% (SOFR+1.432%), 06/17/27 (§)
  $675   $673,080 
         4,876,525 
Diversified Telecommunication Services  |  2.2% 
T-Mobile USA, Inc.,
2.625%, 04/15/26
   725    724,467 
Health Care Providers & Services  |  2.0%    
HCA, Inc.,
4.500%, 02/15/27
   675    675,001 
Interactive Media & Services  |  0.8%      
Alphabet, Inc.,
3.875%, 11/15/28
   275    274,109 
Oil, Gas & Consumable Fuels  |  1.9%      
Energy Transfer LP,
5.500%, 06/01/27
   650    656,023 
Semiconductors & Semiconductor Equipment  |  1.8% 
Intel Corp.,
3.750%, 08/05/27
   600    594,927 
Total Corporate Bonds
(Cost $10,598,704)
        10,622,971 
Mortgage-Backed Securities  |  2.2%    
Manhattan West Mortgage Trust, Series 2020-1MW, Class A,
2.130%, 09/10/39 (#)
(Cost $691,804)
   750    722,684 


 
 

 

Description  Principal
Amount
(000)
   Fair
Value
 
Lazard US Short Duration Fixed Income Portfolio (continued) 
U.S. Treasury Securities  |  61.8%          
U.S. Treasury Notes:          
4.125%, 01/31/27  $935   $937,885 
3.500%, 01/31/28   1,445    1,436,759 
3.375%, 09/15/28   1,585    1,568,655 
3.500%, 10/15/28   1,110    1,101,372 
3.500%, 11/15/28   11,830    11,734,343 
3.500%, 03/15/29   4,030    3,994,423 
Total U.S. Treasury Securities
(Cost $20,858,812)
        20,773,437 
           
Description  Shares   Fair
Value
 
Short-Term Investments  |  0.2%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $81,572)
   81,572   $81,572 
Total Investments  |  98.4%          
(Cost $33,069,994)       $33,074,530 
Cash and Other Assets in Excess of Liabilites  |  1.6%    537,979 
Net Assets  |  100.0%       $33,612,509 
   
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 4.7% of net assets of the Portfolio.
(§) 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, 2026.
(a) Affiliated investment.


 
 

 

Lazard US Short Duration Fixed Income Portfolio (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
     Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
Lazard Government Money Market Portfolio  $98,880   $3,117,064   $(3,134,372)    $    $     $ 1,887       81,572     $ 81,572

 

 
 

 

Description  Shares   Fair
Value
 
Lazard Enhanced Opportunities Portfolio    
Common Stocks  |  0.4%          
Canada  |  0.0%          
Premium Brands Holdings Corp. (±)   96   $5,668 
China  |  0.0%          
indie Semiconductor, Inc., Class A (*), (±)   4,411    14,203 
Luxembourg  |  0.1%          
Vinty Holding 5 SA (*), (¢)   20,125,249    20,125 
Netherlands  |  0.0%          
Pharming Group NV (*)   4,361    7,239 
Norway  |  0.0%          
T1 Energy, Inc. (*), (±)   120    527 
South Africa  |  0.0%          
Caledonia Mining Corp. PLC   585    13,215 
United States  |  0.3%          
Arrowhead Pharmaceuticals, Inc. (*)   45    2,821 
Aurora Innovation, Inc. (*)   838    3,453 
Bill Holdings, Inc. (*)   862    33,015 
Bitdeer Technologies Group, Class A (*), (±)   45    389 
Cleanspark, Inc. (*), (±)   37    315 
Cloudflare, Inc., Class A (*)   91    18,777 
CorMedix, Inc. (*), (±)   2,368    16,079 
Cracker Barrel Old Country Store, Inc. (±)   192    5,397 
Galaxy Digital, Inc., Class A (*), (±)   2    37 
InterDigital, Inc.   58    17,516 
Lucid Group, Inc. (*), (±)   1,798    17,135 
Match Group, Inc.   123    3,777 
PAR Technology Corp. (*), (±)   1,967    26,220 
Porch Group, Inc. (*)   232    1,663 
PPL Corp.   531    20,284 
Progress Software Corp. (*), (±)   23    590 
Varonis Systems, Inc. (*), (±)   477    10,241 
Description  Shares   Fair
Value
 
WisdomTree, Inc. (±)   3,280   $47,757 
         225,466 
Total Common Stocks
(Cost $814,667)
        286,443 
           
Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Convertible Corporate Bonds  |  43.6%      
Australia  |  0.2%             
Telix Pharmaceuticals Ltd.,
2.375%, 07/30/29 (**), (±)
  AUD   200   $136,024 
Canada  |  0.5%             
Canadian Solar, Inc.,
3.250%, 01/15/31 (#), (±)
  USD   59    46,964 
Premium Brands Holdings Corp.,
5.500%, 12/31/32 (±)
  CAD   38    27,475 
StorageVault Canada, Inc.,
5.000%, 03/31/28 (#), (±)
  CAD   342    248,061  
            322,500 
China  |  5.6%             
H World Group Ltd.,
3.000%, 05/01/26 (±)
  USD   252    339,066 
indie Semiconductor, Inc.:
3.500%, 12/15/29 (#), (±)
  USD    85     82,025  
4.000%, 03/15/31 (#), (±)  USD   149    160,175 
Lenovo Group Ltd.,             
2.500%, 08/26/29 (**), (±)  USD   660    803,715 
Li Auto, Inc.,
0.250%, 05/01/28 (±)
  USD   171    171,043 
Ping An Insurance Group Co. of China Ltd.,
0.875%, 07/22/29 (**), (±)
  USD   1,400    2,077,600 
Silvercorp Metals, Inc.,
4.750%, 12/15/29 (±)
  USD   122    313,369 
            3,946,993 


 
 

 

Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued) 
India  |  0.1%             
MakeMyTrip Ltd.,
Zero Coupon, 07/01/30 (#), (±)
  USD   96   $81,072 
Israel  |  0.0%             
Camtek Ltd.,
Zero Coupon, 09/15/30 (#), (±)
  USD   12    18,798 
Netherlands  |  1.0%             
Nebius Group NV,
3.000%, 06/05/31 (#), (±)
  USD   96    208,202 
Pharming Group NV,
4.500%, 04/25/29 (**), (±)
  EUR   300    494,296 
            702,498 
Singapore  |  0.1%             
Grab Holdings Ltd.,
Zero Coupon, 06/15/30 (**), (±)
  USD   46    44,022 
Switzerland  |  0.5%             
CRISPR Therapeutics AG,
1.731%, 03/01/31 (#), (±)
  USD   372    364,560 
United States  |  35.6%             
Affirm Holdings, Inc.:             
Zero Coupon, 11/15/26 (±)  USD   274    265,780 
0.750%, 12/15/29 (±)  USD   15    14,074 
Akamai Technologies, Inc.:             
0.375%, 09/01/27 (±)  USD   8    9,288 
1.125%, 02/15/29 (±)  USD   83    94,998 
Alarm.com Holdings, Inc.,
2.250%, 06/01/29 (±)
  USD   84    77,543 
Alphatec Holdings, Inc.,
0.750%, 08/01/26 (±)
  USD   265    262,350 
Amyris, Inc.,
Zero Coupon, 11/15/26 (¢), («)
  USD   938    0 
Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Array Technologies, Inc.,
1.000%, 12/01/28
  USD   19   $17,252 
Arrowhead Pharmaceuticals, Inc.,
Zero Coupon, 01/15/32 (±)
  USD   41    42,521 
Astronics Corp.,
Zero Coupon, 01/15/31 (#), (±)
  USD   94    130,989 
Avnet, Inc.,
1.750%, 09/01/30 (#), (±)
  USD   206    223,716 
Bentley Systems, Inc.,
0.375%, 07/01/27 (±)
  USD   116    110,316 
Bill Holdings, Inc.:             
Zero Coupon, 04/01/27 (±)  USD   59    57,083 
Zero Coupon, 04/01/30 (±)  USD   916    816,843 
BioMarin Pharmaceutical, Inc.,
1.250%, 05/15/27 (±)
  USD   449    433,274 
Bitdeer Technologies Group,
4.000%, 11/15/31 (#), (±)
  USD   38    31,445 
BlackLine, Inc.,
1.000%, 06/01/29 (±)
  USD   33    31,094 
Bloom Energy Corp.:             
3.000%, 06/01/28 (±)  USD   222    1,597,690 
3.000%, 06/01/29 (±)  USD   39    255,575 
Zero Coupon, 11/15/30 (#), (±)  USD   38    40,557 
Box, Inc.,
1.500%, 09/15/29 (±)
  USD   58    53,302 
Bridgebio Pharma, Inc.,
2.500%, 03/15/27 (±)
  USD   482    868,443 
Cheesecake Factory, Inc.,
0.375%, 06/15/26 (±)
  USD   47    46,424 
Cipher Digital, Inc.,
Zero Coupon, 10/01/31 (#), (±)
  USD   86    96,078 
Cloudflare, Inc.,
Zero Coupon, 06/15/30 (#), (±)
  USD   76    86,317 
Coinbase Global, Inc.,
Zero Coupon, 10/01/32 (#)
  USD   48    38,604 
Commvault Systems, Inc.,
Zero Coupon, 09/15/30 (#), (±)
  USD   1    811 
Compass, Inc.,
0.250%, 04/15/31 (#), (±)
  USD   54    45,333 
CONMED Corp.,
2.250%, 06/15/27 (±)
  USD   1,146    1,112,193 
Core Scientific, Inc.,
3.000%, 09/01/29 (#), (±)
  USD   245    392,919 


 
 

 

Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued) 
Cytokinetics, Inc.,
1.750%, 10/01/31 (#), (±)
  USD   41   $52,352 
Danimer Scientific, Inc.,
Zero Coupon, 12/15/26 (¢)
  USD   300    0 
Datadog, Inc.,
Zero Coupon, 12/01/29 (±)
  USD   48    46,572 
Dexcom, Inc.,
0.375%, 05/15/28 (±)
  USD   759    699,988 
DigitalOcean Holdings, Inc.,
Zero Coupon, 12/01/26 (±)
  USD   317    309,947 
DoorDash, Inc.,
Zero Coupon, 05/15/30 (#), (±)
  USD   46    41,998 
Dropbox, Inc.,
Zero Coupon, 03/01/28 (±)
  USD   535    508,518 
Energy Vault Holdings, Inc.,
5.250%, 03/01/31 (#), (±)
  USD   77    74,573 
Enovis Corp.,
3.875%, 10/15/28 (±)
  USD   406    392,703 
Etsy, Inc.:             
0.125%, 09/01/27 (±)  USD   97    90,501 
0.250%, 06/15/28 (±)  USD   719    643,793 
Fastly, Inc.,
Zero Coupon, 12/15/30 (#), (±)
  USD   58    121,237 
Fisker, Inc.,
Zero Coupon, 09/15/26 (#), (±), («)
  USD   769    1,138 
Five9, Inc.,
1.000%, 03/15/29 (±)
  USD   672    586,320 
Galaxy Digital Holdings LP:             
3.000%, 12/15/26 (#), (±)  USD   250    258,660 
2.500%, 12/01/29 (#), (±)  USD   250    286,728 
GameStop Corp.,
Zero Coupon, 06/15/32 (#), (±)
  USD   108    111,672 
Green Plains, Inc.,
2.250%, 03/15/27 (±)
  USD   19    18,934 
Greenbrier Cos., Inc.,
2.875%, 04/15/28 (±)
  USD   85    98,464 
Groupon, Inc.,
Series UNRS4.875%, 06/30/30 (±)
  USD   47    38,502 
Haemonetics Corp.,
2.500%, 06/01/29 (±)
  USD   99    94,723 
Herbalife Ltd.,
4.250%, 06/15/28 (±)
  USD   30    36,000 
Indivior Pharmaceuticals, Inc.,
0.625%, 03/15/31 (#), (±)
  USD   28    28,560 
Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Inotiv, Inc.,
3.250%, 10/15/27 (±)
  USD   313   $75,511 
JBT Marel Corp.,
0.375%, 09/15/30 (#), (±)
  USD   55    53,432 
Lantheus Holdings, Inc.,
2.625%, 12/15/27 (±)
  USD   202    242,956 
Liberty Interactive LLC:             
4.000%, 11/15/29 (±)  USD   418    20,900 
3.750%, 02/15/30 (±)  USD   1,073    42,902 
Liberty Live Holdings, Inc.,
2.375%, 09/30/53 (#), (±)
  USD   1,004    1,603,129 
Match Group Financeco 3, Inc.,
2.000%, 01/15/30 (#)
  USD   342    305,064 
MGP Ingredients, Inc.,
1.875%, 11/15/41 (±)
  USD   545    525,752 
Microchip Technology, Inc.:             
Zero Coupon, 02/15/30 (#), (±)  USD   97    94,793 
0.750%, 06/01/30 (±)  USD   576    570,643 
NCL Corp. Ltd.:             
1.125%, 02/15/27 (±)  USD   228    222,642 
0.875%, 04/15/30 (#), (±)  USD   18    18,725 
0.750%, 09/15/30 (#), (±)  USD   145    134,883 
Nutanix, Inc.,
0.500%, 12/15/29 (±)
  USD   130    117,586 
Oddity Finance LLC,
Zero Coupon, 06/15/30 (#), (±)
  USD   312    213,135 
ON Semiconductor Corp.,
0.500%, 03/01/29 (±)
  USD   456    446,880 
Ormat Technologies, Inc.:             
Series BZero Coupon, 03/15/31 (#), (±)  USD   288    298,440 
Series A1.500%, 03/15/31 (#), (±)  USD   192    199,862 
Pacira BioSciences, Inc.,
2.125%, 05/15/29 (±)
  USD   235    226,940 
PagerDuty, Inc.,
1.500%, 10/15/28 (±)
  USD   23    20,809 
PAR Technology Corp.,
4.000%, 03/15/31 (#), (±)
  USD   48    49,632 
Parsons Corp.,
2.625%, 03/01/29 (±)
  USD   270    266,355 
Patrick Industries, Inc.,
1.750%, 12/01/28 (±)
  USD   2    3,471 
Pebblebrook Hotel Trust,
1.750%, 12/15/26 (±)
  USD   94    91,793 


 
 

 

Description   Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued) 
Penguin Solutions, Inc.,
2.000%, 08/15/30 (±)
  USD   3   $3,023 
PG&E Corp.,
4.250%, 12/01/27 (±)
  USD   94    97,405 
Pitney Bowes, Inc.,
1.500%, 08/15/30 (#), (±)
  USD   59    59,619 
Porch Group, Inc.,
6.750%, 10/01/28 (#), (±)
  USD   257    256,422 
Progress Software Corp.,
3.500%, 03/01/30 (±)
  USD   37    32,963 
Rapid7, Inc.,
0.250%, 03/15/27 (±)
  USD   680    641,920 
RealReal, Inc.,
4.000%, 02/15/31 (#), (±)
  USD   102    122,094 
Rubrik, Inc.,
Zero Coupon, 06/15/30 (#), (±)
  USD   66    57,041 
Sarepta Therapeutics, Inc.,
4.875%, 09/01/30 (#), (±)
  USD   146    122,458 
Semtech Corp.,
1.625%, 11/01/27 (±)
  USD   70    147,928 
Shift Technologies, Inc.,
Zero Coupon, 05/15/26 (#), (±), («)
  USD   850    935 
Shift4 Payments, Inc.,
0.500%, 08/01/27 (±)
  USD   914    860,303 
Sirius XM Holdings, Inc.,
3.750%, 03/15/28 (±)
  USD   87    90,626 
Snap, Inc.,
0.125%, 03/01/28 (±)
  USD   486    443,572 
SoFi Technologies, Inc.,
1.250%, 03/15/29 (#), (±)
  USD   51    92,879 
Spectrum Brands, Inc.,
3.375%, 06/01/29 (±)
  USD   74    74,041 
Super Micro Computer, Inc.:             
3.500%, 03/01/29 (±)  USD   69    55,190 
Zero Coupon, 06/15/30 (#), (±)  USD   233    171,228 
Tandem Diabetes Care, Inc.,
Series 20241.500%, 03/15/29 (±)
  USD   144    147,045 
Tempus AI, Inc.,
0.750%, 07/15/30 (#), (±)
  USD   8    7,646 
Tetra Tech, Inc.,
2.250%, 08/15/28 (±)
  USD   27    28,327 
Uber Technologies, Inc.,
Zero Coupon, 05/15/28 (#), (±)
  USD   333    325,924 
Description  Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
Ultra Clean Holdings, Inc.,
Zero Coupon, 03/15/31 (#), (±)
  USD   19   $20,173 
Unity Software, Inc.,
Zero Coupon, 11/15/26 (±)
  USD   233    226,709 
Upwork, Inc.,
0.250%, 08/15/26 (±)
  USD   547    536,744 
Varonis Systems, Inc.,
1.000%, 09/15/29 (±)
  USD   462    404,190 
Vishay Intertechnology, Inc.,
2.250%, 09/15/30 (±)
  USD   162    155,844 
Wayfair, Inc.,
3.250%, 09/15/27 (±)
  USD   703    951,588 
WisdomTree, Inc.:             
3.250%, 08/15/29 (±)  USD   37    50,439 
4.500%, 10/01/31 (#), (±)  USD   504    522,799 
Workiva, Inc.,
1.250%, 08/15/28 (±)
  USD   358    336,072 
Xometry, Inc.:             
1.000%, 02/01/27 (±)  USD   221    237,022 
0.750%, 06/15/30 (#), (±)  USD   76    89,680 
Ziff Davis, Inc.,
3.625%, 03/01/28 (#), (±)
  USD   193    189,864 
Zoetis, Inc.,
0.250%, 06/15/29 (#), (±)
  USD   8    7,960 
Zscaler, Inc.,
Zero Coupon, 07/15/28 (#), (±)
  USD   47    42,812 
            25,251,415 
Total Convertible Corporate Bonds
(Cost $33,351,373)
           30,867,882 
Corporate Bonds  |  0.4%             
Brazil  |  0.3%             
Gol Finance, Inc.,
14.375%, 06/06/30 (#), (±)
  USD   210    186,275 
Colombia  |  0.1%             
ABRA Global Finance,
14.000%, 10/22/29 (#), (±)
  USD   121    114,848 


 
 

 

Description   Security
Currency
  Principal
Amount
(000)
  Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued)  
                 
Total Corporate Bonds
(Cost $311,929)
          $ 301,123  

 

Description  Counterparty  Number of
Contracts
   Exercise
Price
   Notional
Amount <
   Fair
Value
 
Purchased Options  |  0.0%                
Call                       
B2Gold Corp.,
Expires 04/17/26
  MSC   5   $5   $2,265   $65 
Bridgebio Pharma, Inc.,
Expires 04/17/26
  MSC   13    85    96,538    330 
Dropbox, Inc.,
Expires 04/17/26
  MSC   8    30    18,176    40 
Galaxy Digital, Inc.,
Expires 04/17/26
  MSC   9    35    33,210    18 
Guardant Health, Inc.,
Expires 04/17/26
  MSC   8    135    73,808    88 
indie Semiconductor, Inc.,
Expires 05/15/26
  MSC   51    4    16,422    680 
Shift4 Payments, Inc.,
Expires 04/17/26
  MSC   6    85    26,238    6 
State Street SPDR S&P 500 ETF Trust,
Expires 04/01/26
  MSC   19    660    1,235,646    380 
Put                       
Pagaya Technologies Ltd.,
Expires 04/17/26
  MSC   18    10    20,970    576 
Total Purchased Options
(Cost $30,645)
                     2,183 
Description   Security
Currency
  Principal
Amount
(000)
   Fair
Value
 
U.S. Treasury Securities  |  52.2%      
U.S. Treasury Bills:             
3.652%, 04/28/26 (±)  USD   2,085   $2,079,323 
3.662%, 05/12/26 (±)  USD   2,320    2,310,414 
3.678%, 05/21/26 (±)  USD   1,500    1,492,442 
3.664%, 05/26/26 (±)  USD   3,135    3,117,542 
3.661%, 05/28/26 (±)  USD   2,975    2,957,867 
3.672%, 06/04/26 (±)  USD   4,975    4,943,038 
3.682%, 06/09/26 (±)  USD   2,730    2,711,191 
3.686%, 06/16/26 (±)  USD   3,810    3,781,019 
3.655%, 06/18/26 (±)  USD   4,120    4,087,891 
3.671%, 06/23/26 (±)  USD   2,015    1,998,389 
3.642%, 06/25/26 (±)  USD   4,165    4,129,720 
3.658%, 07/02/26 (±)  USD   1,000    990,792 
3.626%, 07/16/26 (±)  USD   2,425    2,399,374 
Total U.S. Treasury Securities
(Cost $37,001,664)
           36,999,002 
              
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%          
GameStop Corp.,
Expires 10/30/26 (*), (±)
   390    1,505 
Opendoor Technologies, Inc.,
Expires 11/20/26 (*), (±)
   3    1 
Opendoor Technologies, Inc.,
Expires 11/20/26 (*), (±)
   3    1 
Opendoor Technologies, Inc.,
Expires 11/20/26 (*), (±)
   3    2 
         1,509 


 
 

 

Description  Shares   Fair
Value
 
Lazard Enhanced Opportunities Portfolio (continued) 
Total Warrants
(Cost $0)
       $1,509 
Short-Term Investments  |  5.0%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $3,573,189)
   3,573,189    3,573,189 
Total Investments excluding Securities Sold Short  |  101.6%
(Cost $75,083,467)
        72,031,331 
Securities Sold Short  |  (4.4)%          
Common Stocks  |  (4.4)%          
Canada  |  (0.0)%          
Canadian Solar, Inc. (±)   (1,561)   (21,620)
StorageVault Canada, Inc.   (2,136)   (6,756)
         (28,376)
China  |  (1.2)%          
Ping An Insurance Group Co. of China Ltd., Class H   (105,600)   (823,509)
Netherlands  |  (0.1)%          
Pharming Group NV (±)   (45,337)   (75,253)
South Africa  |  (0.0)%          
Caledonia Mining Corp. PLC   (585)   (13,215)
United States  |  (3.1)%          
A10 Networks, Inc.   (334)   (7,722)
Akamai Technologies, Inc. (±)   (26)   (2,986)
Array Technologies, Inc. (±)   (339)   (2,451)
Arrowhead Pharmaceuticals, Inc. (±)   (409)   (25,644)
Astronics Corp. (±)   (154)   (10,276)
Aurora Innovation, Inc. (±)   (837)   (3,449)
Bill Holdings, Inc. (±)   (71)   (2,719)
Description  Shares   Fair
Value
 
Bloom Energy Corp., Class A (±)   (13,505)  $(1,829,793)
Cloudflare, Inc., Class A (±)   (91)   (18,777)
Core Scientific, Inc.   (2,072)   (30,997)
Cytokinetics, Inc.   (458)   (30,187)
Energy Vault Holdings, Inc. (±)   (3,043)   (10,042)
JBT Marel Corp. (±)   (160)   (20,459)
Match Group, Inc. (±)   (123)   (3,777)
Microchip Technology, Inc. (±)   (44)   (2,843)
Ormat Technologies, Inc.   (937)   (104,869)
Pacira BioSciences, Inc. (±)   (848)   (19,165)
Patrick Industries, Inc. (±)   (28)   (3,110)
Porch Group, Inc.   (232)   (1,664)
PPL Corp.   (531)   (20,284)
Xometry, Inc., Class A (±)   (1,235)   (50,437)
         (2,201,651)
Total Common Stocks
(Proceeds $2,855,440)
        (3,142,004)
Total Securities Sold Short
(Proceeds $2,855,440)
        (3,142,004)
Total Investments  |  97.2%
(Cost and short proceeds $72,228,027) (»)
       $68,889,327 
Cash and Other Assets in Excess of Liabilities  |   2.8%    2,002,635 
Net Assets  |  100.0%       $70,891,962 
   
(±) Some or all of this security position has been pledged to cover collateral requirements on securities sold short.
(*) Non-income producing security.
(¢) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(**) Securities exempt from registration under Regulation S of the Securities Act of 1933. These securities are subject to resale restrictions. March 31, 2026, these securities amounted to 5.0% of net assets of the Portfolio.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 12.2% of net assets of the Portfolio.
(«) Issue in default.
Represents the number of contracts multiplied by notional contract size multiplied by the underlying price.
(a) Affiliated investment.


 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

(») The Portfolio, at all times, maintains portfolio securities in sufficient amount to cover its obligations related to investments in forward currency contracts.

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
     Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
Lazard Government Money Market Portfolio  $2,876,234   $32,844,977   $(32,148,022)    $    $     $ 31,195       3,573,189     $ 3,573,189

 

Forward Currency Contracts open at March 31, 2026:

Currency
Purchased
 
Quantity
  Currency
Sold
   Quantity   Counterparty   Settlement
Date
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  327,963   CAD     448,000    SSB   06/25/26  $4,735   $ 
USD  167,121   EUR     144,000    SSB   06/25/26   43     
Total gross unrealized appreciation/depreciation on Forward Currency Contracts      $4,778   $ 

 

Written Options at March 31, 2026:

 

Description  Counterparty   Number of
Contracts
   Strike
Price
   Expiration
Date
  Notional
Amount <
   Premiums   Fair
Value
 
Put                           
Bridgebio Pharma, Inc.  MSC    8   $65   4/17/26  $(59,408)  $2,714   $(960)
Guardant Health, Inc.  MSC    8    85   4/17/26   (73,808)   5,549    (1,920)
Total Written Options       16                $8,263   $(2,880)

 

< Represents the number of contracts multiplied by notional contract size multiplied by the underlying price.

 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Total Return Swap Agreements open at March 31, 2026:

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
Long Position Contract
USD  BNP  $20,722   11/17/28  A10 Networks, Inc., 2.750%, 04/01/30   3.64%  $3,397   $ 
USD  BNP   191,446   11/17/28  ADTRAN Holdings, Inc., 3.750%, 09/15/30   3.64    1,345     
USD  BNP   903,259   11/17/28  Advanced Energy Industries, Inc., 2.500%, 09/15/28   3.64    16,262     
USD  BNP   481,691   11/17/28  Affirm Holdings, Inc., 0.750%, 12/01/29   3.64        59,466 
USD  BNP   170,408   11/17/28  Akamai Technologies, Inc., 0.250%, 05/15/33   3.64    3,033     
USD  BNP   73,050   11/17/28  Akamai Technologies, Inc., 0.375%, 09/01/27   3.64    104     
USD  BNP   448,511   11/17/28  Akamai Technologies, Inc., 1.125%, 02/15/29   3.64    4,099     
USD  BNP   268,432   11/17/28  Alibaba Group Holding Ltd., 0.500%, 06/01/31   3.64        9,850 
USD  BNP   27,187   11/17/28  ANI Pharmaceuticals, Inc., 2.250%, 09/01/29   3.64        3,535 
USD  BNP   2,216,825   11/17/28  Applied Digital Corp., 2.750%, 06/01/30   3.64        217,464 
USD  BNP   2,215,321   11/17/28  Applied Optoelectronics, Inc., 2.750%, 01/15/30   3.64        308,829 
USD  BNP   60,445   11/17/28  Array Technologies, Inc., 2.875%, 07/01/31   3.64        12,798 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $415,845   11/17/28  Arrowhead Pharmaceuticals, Inc., 0.000%, 01/15/32   3.64%  $   $30,094 
USD  BNP   143,100   11/17/28  Ascendis Pharma AS, 2.250%, 04/01/28   3.64        5,291 
USD  BNP   398,545   11/17/28  AST SpaceMobile, Inc., 2.375%, 10/15/32   3.64        71,797 
USD  BNP   117,279   11/17/28  Astronics Corp., 0.000%, 01/15/31   3.64    15,089     
USD  BNP   87,621   11/17/28  B2Gold Corp., 2.750%, 02/01/30   3.64        9,783 
USD  BNP   60,849   11/17/28  Bill Holdings, Inc.   3.64        217 
USD  BNP   460,514   11/17/28  BlackLine, Inc., 1.000%, 06/01/29   3.64        42,622 
USD  BMO   608,032   04/01/27  Bloom Energy Corp., 3.000%, 06/01/29   3.64        43,597 
USD  BNP   3,465,352   11/17/28  Bloom Energy Corp., 3.000%, 06/01/29   3.64    91,483     
USD  BNP   65,869   11/17/28  Bloom Energy Corp., 0.001%, 11/15/30   3.64        6,108 
USD  BNP   2,634,290   11/17/28  Bloom Energy Corp., 3.000%, 06/01/28   3.64    53,527     
USD  BNP   53,445   11/17/28  Bridgebio Pharma, Inc., 2.250%, 02/01/29   3.64        547 
USD  BNP   483,926   11/17/28  Bridgebio Pharma, Inc., 2.500%, 03/15/27   3.64    33,435     
USD  BNP   79,990   11/17/28  Bridgebio Pharma, Inc., 1.750%, 03/01/31   3.64        113 
USD  BNP   18,856   11/17/28  Camtek Ltd., 0.000%, 09/15/30   3.64        60 
USD  BNP   144,678   11/17/28  Canadian Solar, Inc., 3.250%, 01/15/31   3.64        36,285 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $90,233   11/17/28  Check Point Software Technologies Ltd., 0.000%, 12/15/30   3.64%  $   $3,661 
USD  NIP   47,934   11/30/27  Cheesecake Factory, Inc.   3.64        4,191 
USD  BNP   47,823   11/17/28  Cheesecake Factory, Inc., 0.375%, 06/15/26   3.64        364 
USD  BNP   141,590   11/17/28  Cheesecake Factory, Inc.   3.64        5,796 
USD  SGN   239,077   01/29/27  Cipher Digital, Inc., 0.000%, 10/01/31   3.64        73,734 
USD  NIP   1,100,942   11/30/27  Cipher Digital, Inc., 1.750%, 05/15/30   3.64        164,384 
USD  NIP   286,090   11/30/27  Cipher Digital, Inc., 0.000%, 10/01/31   3.64        30,126 
USD  BNP   146,562   11/17/28  Cipher Digital, Inc., 0.000%, 10/01/31   3.64        19,221 
USD  BNP   824,904   11/17/28  Cipher Digital, Inc., 1.750%, 05/15/30   3.64        276,203 
USD  NIP   48,100   11/30/27  Cleanspark, Inc., 0.001%, 06/01/30   3.64        1,682 
USD  BNP   1,006,278   11/17/28  Cloudflare, Inc., 0.000%, 06/15/30   3.64        12,617 
USD  BNP   839,391   11/17/28  Cloudflare, Inc., 0.000%, 08/15/26   3.64        39,808 
USD  BNP   33,319   11/17/28  Cogent Biosciences, Inc., 1.625%, 11/15/31   3.64    1,187     
USD  BNP   621,511   11/17/28  Cohu, Inc., 1.500%, 01/15/31   3.64    12,521     
USD  BNP   51,679   11/17/28  Collegium Pharmaceutical, Inc., 2.875%, 02/15/29   3.64        7,306 
USD  BNP   17,149   11/17/28  Commvault Systems, Inc., 0.000%, 09/15/30   3.64        1,742 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $100,046   11/17/28  Compass, Inc., 0.250%, 04/15/31   3.64%  $   $20,252 
USD  BOA   190,393   03/04/27  Core Scientific, Inc., 3.000%, 09/01/29   3.64        6,269 
USD  NIP   742,716   11/30/27  Core Scientific, Inc., 3.000%, 09/01/29   3.64        67,306 
USD  NIP   216,714   11/30/27  Core Scientific, Inc., 0.000%, 06/15/31   3.64        9,175 
USD  BNP   314,876   11/17/28  Core Scientific, Inc., 3.000%, 09/01/29   3.64        29,001 
USD  BNP   40,817   11/17/28  CoreWeave, Inc., 1.750%, 12/01/31   3.64        3,445 
USD  BNP   299,578   11/17/28  CorMedix, Inc., 4.000%, 08/01/30   3.64        49,089 
USD  BNP   262,086   11/17/28  CyberArk Software Ltd., 0.000%, 06/15/30   3.64        3,764 
USD  BNP   59,314   11/17/28  Cytokinetics, Inc., 1.750%, 10/01/31   3.64        1,442 
USD  BNP   297,572   11/17/28  Denison Mines Corp., 4.250%, 09/15/31   3.64    1,698     
USD  BNP   1,267,878   11/17/28  DigitalOcean Holdings, Inc., 0.000%, 08/15/30   3.64    79,662     
USD  BNP   631,274   11/17/28  Dropbox, Inc., 0.000%, 03/01/28   3.64        40,140 
USD  BNP   496,878   11/17/28  Encore Capital Group, Inc., 4.000%, 03/15/29   3.64    96,005     
USD  BNP   50,227   11/17/28  Endeavour Silver Corp., 0.250%, 01/15/31   3.64    1,828     
USD  BNP   37,077   11/17/28  Enovis Corp., 3.875%, 10/15/28   3.64        632 
USD  BNP   802,230   11/17/28  Eos Energy Enterprises, Inc., 6.750%, 06/15/30   3.64        476,452 
USD  BNP   304,130   11/17/28  Eos Energy Enterprises, Inc., 1.750%, 12/01/31   3.64        154,453 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $1,627,461   11/17/28  Equinox Gold Corp., 4.750%, 10/15/28   3.64%  $   $1,911 
USD  BNP   1,354,542   11/17/28  Evergy, Inc., 4.500%, 12/15/27   3.64    121,959     
USD  BNP   489,533   11/17/28  Fastly, Inc., 0.000%, 12/15/30   3.64    70,607     
USD  BNP   35,274   11/17/28  Fastly, Inc., 7.750%, 06/01/28   3.64    8,057     
USD  BNP   61,874   11/17/28  First Majestic Silver Corp., 0.125%, 01/15/31   3.64        711 
USD  BNP   81,257   11/17/28  First Majestic Silver Corp., 0.375%, 01/15/27   3.64    239     
USD  BNP   208,949   11/17/28  Fluence Energy, Inc., 2.250%, 06/15/30   3.64        20,068 
USD  BNP   642,378   11/17/28  Fluor Corp., 1.125%, 08/15/29   3.64    4,331     
USD  BNP   449,082   11/17/28  Fortuna Mining Corp., 3.750%, 06/01/29   3.64    25,214     
USD  SGN   415,300   01/29/27  Galaxy Digital Holdings LP, 2.500%, 12/01/29   3.64        126,488 
USD  NIP   35,671   11/30/27  Galaxy Digital Holdings LP, 0.500%, 05/01/31   3.64        1,313 
USD  BNP   510,736   11/17/28  GameStop Corp., 0.000%, 06/15/32   3.64        13,445 
USD  BNP   114,189   11/17/28  Golar LNG Ltd., 2.750%, 12/15/30   3.64    903     
USD  BNP   48,091   11/17/28  Grab Holdings Ltd., 0.000%, 06/15/30   3.64        3,118 
USD  BNP   1,205,407   11/17/28  Granite Construction, Inc., 3.750%, 05/15/28   3.64    104,710     
USD  BNP   40,995   11/17/28  Green Plains, Inc., 5.250%, 11/01/30   3.64    585     
USD  BNP   648,291   11/17/28  Greenbrier Cos., Inc., 2.875%, 04/15/28   3.64    3,071     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $1,211,320   11/17/28  Guardant Health, Inc., 0.000%, 11/15/27   3.64%  $   $46,539 
USD  BNP   63,350   11/17/28  Guidewire Software, Inc., 1.250%, 11/01/29   3.64        148 
USD  BNP   677,858   11/17/28  H World Group Ltd., 3.000%, 05/01/26   3.64    37,680     
USD  BNP   132,589   11/17/28  Haemonetics Corp., 2.500%, 06/01/29   3.64        7,138 
USD  BNP   35,234   11/17/28  HAT Holdings I LLC/HAT Holdings II LLC, 3.750%, 08/15/28   3.64    6,204     
USD  BNP   129,547   11/17/28  Herbalife Ltd., 4.250%, 06/15/28   3.64        8,312 
USD  BNP   73,843   11/17/28  Hims & Hers Health, Inc., 0.000%, 05/15/30   3.64        4,036 
USD  BNP   83,616   11/17/28  Impinj, Inc., 0.000%, 09/15/29   3.64    376     
USD  NIP   32,386   11/30/27  indie Semiconductor, Inc., 3.500%, 12/15/29   3.64        2,266 
USD  BNP   436,593   11/17/28  indie Semiconductor, Inc., 3.500%, 12/15/29   3.64        50,425 
USD  BNP   3,857,146   11/17/28  InterDigital, Inc., 3.500%, 06/01/27   3.64        340,446 
USD  BNP   827,937   11/17/28  Intuitive Machines, Inc., 2.500%, 10/01/30   3.64        19,470 
USD  BNP   316,605   11/17/28  Ionis Pharmaceuticals, Inc., 1.750%, 06/15/28   3.64        25,974 
USD  BNP   210,849   11/17/28  Ionis Pharmaceuticals, Inc., 0.000%, 12/01/30   3.64        12,443 
USD  NIP   1,000,445   11/30/27  IREN Ltd., 3.250%, 06/01/30   3.64        161,610 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $15,530   11/30/27  IREN Ltd., 0.000%, 07/01/31   3.64%  $   $1,669 
USD  NIP   4,292,162   11/30/27  IREN Ltd., 3.500%, 12/15/29   3.64        692,553 
USD  BNP   28,714   11/17/28  IREN Ltd., 0.250%, 06/01/32   3.64        3,284 
USD  BNP   120,197   11/17/28  Itron, Inc., 1.375%, 07/01/30   3.64        5,026 
USD  BNP   698,836   11/17/28  JBT Marel Corp., 0.375%, 09/15/30   3.64        65,394 
USD  NIP   43,014   11/30/27  Kite Realty Group LP, 0.750%, 04/01/27   3.64        1,855 
USD  BNP   293,498   11/17/28  Lantheus Holdings, Inc., 2.625%, 12/15/27   3.64    15,138     
USD  BNP   50,190   11/17/28  LeMaitre Vascular, Inc., 2.500%, 02/01/30   3.64    4,424     
USD  BNP   170,357   11/17/28  Li Auto, Inc., 0.250%, 05/01/28   3.64        1,161 
USD  BNP   265,953   11/17/28  Liberty Live Holdings, Inc., 2.375%, 09/30/53   3.64    670     
USD  BNP   66,917   11/17/28  Life360, Inc., 0.000%, 06/01/30   3.64        8,317 
USD  BNP   58,136   11/17/28  Ligand Pharmaceuticals, Inc., 0.750%, 10/01/30   3.64        2,173 
USD  BNP   407,981   11/17/28  LivaNova PLC, 2.500%, 03/15/29   3.64    8,172     
USD  BNP   150,046   11/17/28  Live Nation Entertainment, Inc., 3.125%, 01/15/29   3.64        7,951 
USD  NIP   516,101   11/30/27  Lumentum Holdings, Inc., 0.500%, 12/15/26   3.64    19,853     
USD  BNP   218,396   11/17/28  Lumentum Holdings, Inc., 0.375%, 03/15/32   3.64        17,978 
USD  BNP   238,232   11/17/28  Lumentum Holdings, Inc., 1.500%, 12/15/29   3.64        25,561 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $236,492   11/17/28  Lumentum Holdings, Inc., 0.500%, 06/01/28   3.64%  $   $648 
USD  BNP   1,704,512   11/17/28  Lumentum Holdings, Inc., 0.500%, 12/15/26   3.64    4,351,795     
USD  BNP   58,819   11/17/28  Lyft, Inc., 0.625%, 03/01/29   3.64        948 
USD  BNP   17,160   11/17/28  Lyft, Inc., 0.000%, 09/15/30   3.64        2,075 
USD  BNP   216,960   11/17/28  Match Group Financeco 3, Inc., 2.000%, 01/15/30   3.64        3,685 
USD  BNP   191,756   11/17/28  Mirion Technologies, Inc., 0.250%, 06/01/30   3.64        32,772 
USD  BNP   1,662,513   11/17/28  Mirum Pharmaceuticals, Inc., 4.000%, 05/01/29   3.64    344,057     
USD  BNP   1,697,705   11/17/28  MKS, Inc., 1.250%, 06/01/30   3.64        105,590 
USD  BNP   78,266   11/17/28  NCL Corp. Ltd., 1.125%, 02/15/27   3.64        1,999 
USD  BNP   79,779   11/17/28  NCL Corp. Ltd., 0.875%, 04/15/30   3.64        1,467 
USD  BNP   48,993   11/17/28  NCL Corp. Ltd., 0.750%, 09/15/30   3.64        5,263 
USD  NIP   55,042   11/30/27  Nebius Group NV, 2.000%, 06/05/29   3.64    1,018     
USD  NIP   79,143   11/30/27  Nebius Group NV, 3.000%, 06/05/31   3.64    1,186     
USD  BNP   110,514   11/17/28  Nebius Group NV, 1.000%, 09/15/30   3.64        7,165 
USD  BNP   2,895,555   11/17/28  Nebius Group NV, 2.000%, 06/05/29   3.64        63,956 
USD  BNP   2,257,489   11/17/28  Nebius Group NV, 3.000%, 06/05/31   3.64        74,963 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $97,774   11/17/28  Nebius Group NV, 2.750%, 09/15/32   3.64%  $   $7,682 
USD  BNP   192,953   11/17/28  Nebius Group NV, 1.250%, 03/15/31   3.64        7,872 
USD  BNP   32,846   11/17/28  Oddity Finance LLC, 0.000%, 06/15/30   3.64        8,941 
USD  BNP   44,444   11/17/28  Omnicell, Inc.   3.64    2,541     
USD  BNP   379,025   11/17/28  ON Semiconductor Corp., 0.500%, 03/01/29   3.64    11,134     
USD  BNP   515,489   11/17/28  ON Semiconductor Corp., 0.000%, 05/01/27   3.64        41,387 
USD  BNP      11/17/28  Opendoor Technologies, Inc.   3.64    32     
USD  BNP   849,735   11/17/28  Opendoor Technologies, Inc., 7.000%, 05/15/30   3.64        220,910 
USD  BNP   181,156   11/17/28  Oscar Health, Inc., 2.250%, 09/01/30   3.64        15,781 
USD  BNP   430,179   11/17/28  OSI Systems, Inc., 2.250%, 08/01/29   3.64        8,546 
USD  BNP   438,284   11/17/28  OSI Systems, Inc., 0.500%, 02/01/31   3.64        9,965 
USD  BNP   142,637   11/17/28  Pacira BioSciences, Inc., 2.125%, 05/01/29   3.64        1,464 
USD  BNP   834,809   11/17/28  Pagaya Technologies Ltd., 6.125%, 10/01/29   3.64        387,682 
USD  NIP   42,355   11/30/27  PAR Technology Corp., 2.875%, 04/15/26   3.64        285 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $130,667   11/17/28  Parsons Corp., 2.625%, 03/01/29   3.64%  $   $12,040 
USD  BNP   329,850   11/17/28  Patrick Industries, Inc., 1.750%, 12/01/28   3.64    32,306     
USD  BNP   73,191   11/17/28  Peloton Interactive, Inc., 5.500%, 12/01/29   3.64        8,000 
USD  BNP   395,268   11/17/28  Penguin Solutions, Inc., 2.000%, 08/01/30   3.64    2,661     
USD  BNP   321,448   11/17/28  Penguin Solutions, Inc., 2.000%, 02/01/29   3.64        6,442 
USD  BNP   63,398   11/17/28  Pitney Bowes, Inc., 1.500%, 08/15/30   3.64        2,661 
USD  BNP   1,106,711   11/17/28  Planet Labs PBC, 0.500%, 10/15/30   3.64    25,312     
USD  BNP   157,119   11/17/28  Plug Power, Inc., 6.750%, 12/01/33   3.64        1,485 
USD  BNP   153,349   11/17/28  Porch Group Inc., 6.750%, 10/01/28   3.64        706 
USD  BNP   1,160,662   11/17/28  PTC Therapeutics, Inc., 1.500%, 09/15/26   3.64        39,369 
USD  BNP   404,040   11/17/28  RealReal, Inc., 4.000%, 02/15/31   3.64        48,263 
USD  BNP   36,947   11/17/28  Rivian Automotive, Inc., 4.625%, 03/15/29   3.64        6,847 
USD  BNP   4,330,755   11/17/28  Seagate HDD Cayman, 3.500%, 06/01/28   3.64    888,446     
USD  BNP   562,673   11/17/28  Semtech Corp., 1.625%, 11/01/27   3.64    47,823     
USD  BNP   21,556   11/17/28  Semtech Corp., 0.000%, 10/15/30   3.64        274 
USD  BNP   574,436   11/17/28  Silvercorp Metals, Inc., 4.750%, 12/15/29   3.64    6,546     
USD  BNP   576,490   11/17/28  Snowflake, Inc., 0.000%, 10/01/27   3.64        37,112 
USD  BNP   278,913   11/17/28  Snowflake, Inc., 0.000%, 10/01/29   3.64        25,248 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $114,341   11/30/27  SoFi Technologies, Inc., 1.250%, 03/15/29   3.64%  $   $8,845 
USD  BNP   1,424,252   11/17/28  SoFi Technologies, Inc., 1.250%, 03/15/29   3.64        351,434 
USD  BNP   454,895   11/17/28  SoFi Technologies, Inc., 0.000%, 10/15/26   3.64        91,568 
USD  BNP   855,630   11/17/28  SolarEdge Technologies, Inc., 2.250%, 07/01/29   3.64    110,053     
USD  BNP   1,374,501   11/17/28  Solaris Energy Infrastructure, Inc., 4.750%, 05/01/30   3.64    151,101     
USD  BNP   61,467   11/17/28  Solaris Energy Infrastructure, Inc., 0.250%, 10/01/31   3.64        1,237 
USD  BNP   151,778   11/17/28  Sphere Entertainment Co., 3.500%, 12/01/28   3.64    6,954     
USD  BNP   1,986,448   11/17/28  Stride, Inc., 1.125%, 09/01/27   3.64        73,674 
USD  BNP   331,276   11/17/28  Super Micro Computer, Inc., 0.000%, 06/15/30   3.64        93,211 
USD  BNP   79,317   11/17/28  Super Micro Computer, Inc., 3.500%, 03/01/29   3.64        18,316 
USD  BNP   469,289   11/17/28  Super Micro Computer, Inc., 2.250%, 07/15/28   3.64        114,403 
USD  BNP   42,246   11/17/28  T1 Energy, Inc., 5.250%, 12/01/30   3.64        12,432 
USD  BNP   35,274   11/17/28  Tandem Diabetes Care, Inc., 1.500%, 03/01/29   3.64        2,580 
USD  BNP   20,776   11/17/28  Tempus AI, Inc., 0.750%, 07/15/30   3.64        1,632 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  NIP  $1,967,173   11/30/27  Terawulf, Inc., 2.750%, 02/01/30   3.64%  $   $136,902 
USD  BNP   110,627   11/17/28  Terawulf, Inc., 2.750%, 02/01/30   3.64    18,552     
USD  BNP   241,193   11/17/28  Tetra Tech, Inc., 2.250%, 08/15/28   3.64        20,297 
USD  BNP   1,149,579   11/17/28  TransMedics Group, Inc., 1.500%, 06/01/28   3.64        173,629 
USD  BNP   61,521   11/17/28  Transocean International Ltd., 4.625%, 09/30/29   3.64        2,528 
USD  BNP   127,962   11/17/28  Trip.com Group Ltd., 0.750%, 06/01/29   3.64        8,441 
USD  BNP   300,775   11/17/28  Uber Technologies, Inc., 0.000%, 05/15/28   3.64        15,995 
USD  BNP   30,547   11/17/28  Ultra Clean Holdings, Inc., 03/15/31   3.64    240     
USD  BNP   45,830   11/17/28  Unity Software, Inc.   3.64    1,075     
USD  BNP   385,667   11/17/28  Upstart Holdings, Inc., 2.000%, 10/01/29   3.64        150,186 
USD  BNP   297,879   11/17/28  Veeco Instruments, Inc., 2.875%, 06/01/29   3.64    19,758     
USD  BNP   492,817   11/17/28  Viavi Solutions, Inc., 0.625%, 03/01/31   3.64    140,982     
USD  BNP   686,816   11/17/28  Vishay Intertechnology, Inc., 2.250%, 09/15/30   3.64        29,171 
USD  BNP   11,940   11/17/28  Wayfair, Inc., 3.250%, 09/01/27   3.64    268     
USD  BNP   1,327,415   11/17/28  Wayfair, Inc., 3.500%, 11/15/28   3.64        268,776 
USD  NIP   4,395,488   11/30/27  Western Digital Corp., 3.000%, 11/15/28   3.64        171,259 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued) 

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $5,573,770   11/17/28  Western Digital Corp., 3.000%, 11/15/28   3.64%  $2,409,366   $ 
USD  BNP   291,068   11/17/28  Workiva, Inc., 1.250%, 08/15/28   3.64        8,059 
USD  BNP   211,387   11/17/28  World Kinect Corp., 3.250%, 07/01/28   3.64        9,704 
USD  BNP   232,053   11/17/28  Xometry, Inc., 0.750%, 06/15/30   3.64        39,381 
USD  BNP   368,997   11/17/28  Xometry, Inc., 1.000%, 02/01/27   3.64        17,789 
USD  BNP   335,127   11/17/28  Zoetis, Inc., 0.250%, 06/15/29   3.64    1,384     
Short Position Contract
USD  BNP   5,827   11/17/28  A10 Networks, Inc.   3.64        831 
USD  BNP   126,611   11/17/28  ADTRAN Holdings, Inc.   3.64        2,535 
USD  BNP   824,621   11/17/28  Advanced Energy Industries, Inc.   3.64        13,373 
USD  BNP   141,593   11/17/28  Affirm Holdings, Inc.   3.64    36,817     
USD  BNP   429,666   11/17/28  Akamai Technologies, Inc.   3.64        16,023 
USD  BNP   14,481   11/17/28  Alarm.com Holdings, Inc.   3.64    1,007     
USD  BNP   195,965   11/17/28  Alibaba Group Holding Ltd.   3.64    9,802     
USD  NIP   6,843   11/30/27  Alphatec Holdings, Inc.   3.64    1,252     
USD  BNP   15,780   11/17/28  ANI Pharmaceuticals, Inc.   3.64    1,170     
USD  BNP   1,944,899   11/17/28  Applied Digital Corp.   3.64    235,697     
USD  BNP   1,892,658   11/17/28  Applied Optoelectronics, Inc.   3.64    340,622     
USD  BNP   43,590   11/17/28  Array Technologies, Inc.   3.64    15,513     
USD  BNP   229,942   11/17/28  Arrowhead Pharmaceuticals, Inc.   3.64    20,045     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $ 110,123    11/17/28  Ascendis Pharma AS    3.64%   $5,147   $ 
USD  BNP    268,210    11/17/28  AST SpaceMobile, Inc.    3.64     40,592     
USD  BNP    165,253    11/17/28  Astronics Corp.    3.64         18,304 
USD  BNP    140,042    11/17/28  Aurora Innovation, Inc.    3.64     12,638     
USD  BNP    100,341    11/17/28  Avnet, Inc.    3.64         1,999 
USD  BNP    64,858    11/17/28  B2Gold Corp.    3.64     9,186     
USD  BNP    34,537    11/17/28  Bill Holdings, Inc.    3.64     4,436     
USD  BNP    7,219    11/17/28  BioMarin Pharmaceutical, Inc.    3.64     610     
USD  NIP    13,746    11/30/27  Bitdeer Technologies Group    3.64         1,044 
USD  BNP    112,064    11/17/28  BlackLine, Inc.    3.64     17,505     
USD  BMO    596,410    04/01/27  Bloom Energy Corp.    3.64     42,933     
USD  BNP    5,937,591    11/17/28  Bloom Energy Corp.    3.64         187,985 
USD  BNP    13,065    11/17/28  Box, Inc.    3.64     254     
USD  NIP    566,369    11/30/27  Bridgebio Pharma, Inc.    3.64         51,299 
USD  BNP    661,753    11/17/28  Bridgebio Pharma, Inc.    3.64         18,105 
USD  BNP    30,359    11/17/28  Camtek Ltd.    3.64     1,707     
USD  BNP    78,909    11/17/28  Canadian Solar, Inc.    3.64     27,145     
USD  BNP    18,544    11/17/28  Check Point Software Technologies Ltd.    3.64     2,261     
USD  BNP    83,481    11/17/28  Cheesecake Factory, Inc.    3.64     7,935     
USD  SGN    176,710    01/29/27  Cipher Digital, Inc.    3.64     74,496     
USD  NIP    1,158,664    11/30/27  Cipher Digital, Inc.    3.64     191,342     
USD  BNP    914,772    11/17/28  Cipher Digital, Inc.    3.64     284,248     
USD  NIP    20,984    11/30/27  Cleanspark, Inc.    3.64     1,675     
USD  BNP    171    11/17/28  Cleanspark, Inc.    3.64     26     
USD  BNP    1,093,653    11/17/28  Cloudflare, Inc.    3.64     60,627     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $ 17,769    11/17/28  Cogent Biosciences, Inc.    3.64%   $   $1,282 
USD  BNP    425,319    11/17/28  Cohu, Inc.    3.64         9,014 
USD  BNP    33,208    11/17/28  Collegium Pharmaceutical, Inc.    3.64     9,930     
USD  BNP    2,535    11/17/28  Commvault Systems, Inc.    3.64     666     
USD  BNP    63,793    11/17/28  Compass, Inc.    3.64     22,104     
USD  BOA    166,487    10/30/26  Core Scientific, Inc.    3.64     49,225     
USD  NIP    628,615    11/30/27  Core Scientific, Inc.    3.64     70,478     
USD  BNP    580,062    11/17/28  Core Scientific, Inc.    3.64     79,920     
USD  BNP    27,399    11/17/28  CoreWeave, Inc.    3.64     4,626     
USD  BNP    142,739    11/17/28  CorMedix, Inc.    3.64     44,005     
USD  BNP    37,430    11/17/28  Cracker Barrel Old Country Store, Inc., 1.750%, 09/15/30    3.64     38     
USD  BNP    168,340    11/17/28  CRISPR Therapeutics AG    3.64     14,944     
USD  BNP    34,497    11/17/28  Cytokinetics, Inc.    3.64     952     
USD  BNP    13,108    11/17/28  Datadog, Inc.    3.64     950     
USD  BNP    196,598    11/17/28  Denison Mines Corp.    3.64         2,351 
USD  BNP    52,386    11/17/28  Dexcom, Inc.    3.64     7,238     
USD  BNP    1,128,495    11/17/28  DigitalOcean Holdings, Inc.    3.64         69,224 
USD  BNP    11,165    11/17/28  DoorDash, Inc.    3.64     207     
USD  BNP    240,755    11/17/28  Dropbox, Inc.    3.64     31,465     
USD  BNP    271,795    11/17/28  Encore Capital Group, Inc.    3.64         103,249 
USD  BNP    25,999    11/17/28  Endeavour Silver Corp.    3.64         2,292 
USD  BNP    37,764    11/17/28  Energy Vault Holdings, Inc.    3.64     5,447     
USD  BNP    51,453    11/17/28  Enovis Corp.    3.64     1,272     
USD  BNP    828,905    11/17/28  Eos Energy Enterprises, Inc.    3.64     561,166     
USD  BNP    1,432,493    11/17/28  Equinox Gold Corp.    3.64     36,697     
USD  BNP    1,200,276    11/17/28  Evergy, Inc.    3.64         102,378 
USD  BNP    523,161    11/17/28  Fastly, Inc.    3.64         71,703 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP  $ 93,193    11/17/28  First Majestic Silver Corp.    3.64%   $   $1,783 
USD  BNP    115,760    11/17/28  Fluence Energy, Inc.    3.64     19,782     
USD  BNP    389,078    11/17/28  Fluor Corp.    3.64         3,862 
USD  BNP    343,412    11/17/28  Fortuna Mining Corp.    3.64         5,017 
USD  BOA    375    11/17/26  Galaxy Digital, Inc.    3.64     99     
USD  SGN    314,973    01/29/27  Galaxy Digital, Inc.    3.64     142,336     
USD  NIP    171,900    11/30/27  Galaxy Digital, Inc.    3.64     17,024     
USD  BNP    5,146    11/17/28  Galaxy Digital, Inc.    3.64     758     
USD  BNP    306,374    11/17/28  GameStop Corp.    3.64     2,508    1,695 
USD  BNP    66,737    11/17/28  Golar LNG Ltd.    3.64         1,813 
USD  BNP    25,558    11/17/28  Grab Holdings Ltd.    3.64     2,024     
USD  BNP    1,154,650    11/17/28  Granite Construction, Inc.    3.64         109,300 
USD  BNP    27,847    11/17/28  Green Plains, Inc.    3.64         543 
USD  BNP    375,549    11/17/28  Greenbrier Cos., Inc.    3.64     3,509     
USD  BNP    4,790    11/17/28  Groupon, Inc.    3.64         445 
USD  BNP    304,891    11/17/28  Guardant Health, Inc.    3.64         730 
USD  BNP    19,265    11/17/28  Guidewire Software, Inc.    3.64     1,021     
USD  NIP    172,461    11/30/27  H World Group Ltd.    3.64     13,094     
USD  BNP    832,564    11/17/28  H World Group Ltd.    3.64         48,031 
USD  BNP    30,691    11/17/28  HA Sustainable Infrastructure Capital, Inc.    3.64         2,234 
USD  BNP    38,238    11/17/28  Haemonetics Corp.    3.64     7,019     
USD  BNP    86,381    11/17/28  Herbalife Ltd.    3.64     12,377     
USD  BNP    19,296    11/17/28  Hims & Hers Health, Inc.    3.64     3,022     
USD  BNP    17,901    11/17/28  Impinj, Inc.    3.64         377 
USD  BNP    350,421    11/17/28  indie Semiconductor, Inc.    3.64     29,191     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP    $       14,333    11/17/28  Indivior Pharmaceuticals, Inc.    3.64%   $40   $ 
USD  BNP    33,046    11/17/28  Inotiv, Inc.    3.64     26,571     
USD  BNP    3,834,208    11/17/28  InterDigital, Inc.    3.64     322,633     
USD  BNP    604,506    11/17/28  Intuitive Machines, Inc.    3.64     37,722     
USD  BNP    356,508    11/17/28  Ionis Pharmaceuticals, Inc.    3.64     33,957     
USD  NIP    4,612,401    11/30/27  IREN Ltd.    3.64     883,078     
USD  BNP    23,097    11/17/28  IREN Ltd.    3.64     5,479     
USD  BNP    45,749    11/17/28  Itron, Inc.    3.64     3,179     
USD  BNP    302,859    11/17/28  JBT Marel Corp.    3.64     60,961     
USD  NIP    24,771    11/30/27  Kite Realty Group Trust    3.64     1,668     
USD  BNP    4,328    11/17/28  Kite Realty Group Trust    3.64     81     
USD  NIP    4,919    11/30/27  Lantheus Holdings, Inc.    3.64         148 
USD  BNP    244,828    11/17/28  Lantheus Holdings, Inc.    3.64         19,711 
USD  BNP    23,643    11/17/28  LeMaitre Vascular, Inc.    3.64         3,647 
USD  BNP    473,640    04/26/27  Lenovo Group Ltd.    3.64     17,370     
USD  BNP    11,355    11/17/28  Li Auto, Inc.    3.64     569     
USD  BNP    24,762    11/17/28  Life360, Inc.    3.64     5,171     
USD  BNP    38,267    11/17/28  Ligand Pharmaceuticals, Inc.    3.64     2,134     
USD  BNP    216,327    11/17/28  LivaNova PLC    3.64     5,584     
USD  BNP    1,622,391    11/17/28  Live Nation Entertainment, Inc.    3.64         13,572 
USD  BOA    18,178    04/01/30  Lucid Group, Inc.    3.64     1,082     
USD  NIP    786,060    11/30/27  Lumentum Holdings, Inc.    3.64         30,352 
USD  BNP    2,002,791    11/17/28  Lumentum Holdings, Inc.    3.64         4,401,970 
USD  BNP    26,729    11/17/28  Lyft, Inc.    3.64     850     
USD  BNP    6,663    11/17/28  MakeMyTrip Ltd.    3.64     250     
USD  NIP    8,461    11/30/27  Match Group, Inc.    3.64     71     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP    $       18,130    11/17/28  Match Group, Inc.    3.64%   $382   $ 
USD  BNP    110,351    11/17/28  Microchip Technology, Inc.    3.64     8,408     
USD  BNP    109,393    11/17/28  Mirion Technologies, Inc.    3.64     28,482     
USD  BNP    1,551,004    11/17/28  Mirum Pharmaceuticals, Inc.    3.64         325,172 
USD  BNP    1,322,140    11/17/28  MKS, Inc.    3.64     96,927     
USD  BNP    4,420,332    11/17/28  Nebius Group NV    3.64         168,692 
USD  BNP    142,441    11/17/28  Norwegian Cruise Line Holdings Ltd.    3.64     17,821     
USD  BNP    24,665    11/17/28  Nutanix, Inc.    3.64     683     
USD  BNP    47,390    11/17/28  Oddity Tech Ltd.    3.64     28,475     
USD  BNP    18,751    11/17/28  Omnicell, Inc.    3.64     3,298     
USD  BNP    587,918    11/17/28  ON Semiconductor Corp.    3.64     59,987     
USD  BNP    753,351    11/17/28  Opendoor Technologies, Inc.    3.64     218,288     
USD  BNP    61,810    11/17/28  Ormat Technologies, Inc.    3.64         2,314 
USD  BNP    64,258    11/17/28  Oscar Health, Inc.    3.64     10,929     
USD  BNP    566,761    11/17/28  OSI Systems, Inc.    3.64     31,021     
USD  BNP    83,893    11/17/28  Pacira BioSciences, Inc.    3.64     689     
USD  BNP    651,214    11/17/28  Pagaya Technologies Ltd.    3.64     383,736     
USD  BNP    98,343    11/17/28  Palo Alto Networks, Inc.    3.64     2,001     
USD  BNP    19,274    11/17/28  PAR Technology Corp.    3.64     1,200     
USD  BNP    109,824    11/17/28  Parsons Corp.    3.64     20,076     
USD  BNP    298,086    11/17/28  Patrick Industries, Inc.    3.64         25,653 
USD  BNP    41,492    11/17/28  Peloton Interactive, Inc.    3.64     5,297     
USD  BNP    367,751    11/17/28  Penguin Solutions, Inc.    3.64     74,309     
 
 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP    $       25,283    11/17/28  PG&E Corp.    3.64%   $   $546 
EUR  BNP    240,264    07/06/26  Pharming Group NV    1.93         3,738 
USD  BNP    1,103,685    04/26/27  Ping An Insurance Group Co. of China Ltd.    3.64     90,510     
USD  BNP    66,653    11/17/28  Pitney Bowes, Inc.    3.64         127 
USD  BNP    971,098    11/17/28  Planet Labs PBC    3.64         13,064 
USD  BNP    93,647    11/17/28  Plug Power, Inc.    3.64     3,721     
CAD  BNP    11,788    03/07/28  Premium Brands Holdings Corp.    2.27     2,006     
USD  BNP    7,796    11/17/28  Progress Software Corp.    3.64     2,821     
USD  BNP    860,669    11/17/28  PTC Therapeutics, Inc.    3.64         46,191 
USD  BNP    352,023    11/17/28  RealReal, Inc.    3.64     73,166     
USD  BNP    16,811    11/17/28  Rivian Automotive, Inc.    3.64     1,943     
USD  BNP    13,915    11/17/28  Rubrik, Inc.    3.64     1,282     
USD  BNP    24,383    11/17/28  Sarepta Therapeutics, Inc.    3.64     865     
USD  BNP    4,318,463    11/17/28  Seagate Technology Holdings PLC    3.64         906,852 
USD  BNP    655,532    11/17/28  Semtech Corp.    3.64         26,570 
USD  BMO    4,578    04/01/27  Shift4 Payments, Inc.    3.64     730     
USD  NIP    219,280    11/30/27  Silvercorp Metals, Inc.    3.64         30,942 
USD  BNP    415,586    11/17/28  Silvercorp Metals, Inc.    3.64         63,487 
USD  NIP    9,306    11/30/27  Sirius XM Holdings, Inc.    3.64         914 
USD  BNP    15,170    11/17/28  Sirius XM Holdings, Inc.    3.64         385 
USD  BNP    492,366    11/17/28  Snowflake, Inc.    3.64     69,672     
USD  NIP    180,287    11/30/27  SoFi Technologies, Inc.    3.64     17,646     
USD  BNP    1,401,348    11/17/28  SoFi Technologies, Inc.    3.64     497,446     
USD  BNP    620,150    11/17/28  SolarEdge Technologies, Inc.    3.64         115,681 
 

 
 

 

Lazard Enhanced Opportunities Portfolio (continued)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP    $  1,213,605    11/17/28  Solaris Energy Infrastructure, Inc.    3.64%   $   $69,389 
USD  BNP    15,219    11/17/28  Spectrum Brands Holdings, Inc.    3.64         920 
USD  BNP    141,948    11/17/28  Sphere Entertainment Co.    3.64         7,019 
USD  BNP    1,554,388    11/17/28  Stride, Inc.    3.64         89,210 
USD  BNP    342,671    11/17/28  Super Micro Computer, Inc.    3.64     71,901     
USD  BNP    27,275    11/17/28  T1 Energy, Inc.    3.64     12,202     
USD  BNP    81,238    11/17/28  Tandem Diabetes Care, Inc.    3.64     21,283     
AUD  BNP    20,011    04/12/27  Telix Pharmaceuticals Ltd.    4.10         3,551 
USD  BNP    11,813    11/17/28  Tempus AI, Inc.    3.64     2,091     
USD  NIP    1,628,505    11/30/27  Terawulf, Inc.    3.64     143,064     
USD  BNP    58,679    11/17/28  Terawulf, Inc.    3.64     7,171     
USD  BNP    108,395    11/17/28  Tetra Tech, Inc.    3.64     18,317     
USD  BNP    771,948    11/17/28  TransMedics Group, Inc.    3.64     180,738     
USD  BNP    54,566    11/17/28  Transocean Ltd.    3.64     2,593     
USD  BNP    45,640    11/17/28  Trip.com Group Ltd.    3.64     6,560     
USD  BNP    432,638    11/17/28  U.S. Treasury Bills, 0.001%, 12/24/26    3.64         724 
USD  BNP    48,999    11/17/28  U.S. Treasury Notes, 3.875%, 09/30/32    3.64     644     
USD  BNP    1,367,195    11/17/28  U.S. Treasury Notes, 3.500%, 03/15/29    3.64         1,593 
USD  BNP    1,040,025    11/17/28  U.S. Treasury Notes, 3.500%, 02/28/31    3.64         5,424 
USD  BNP    91,621    11/17/28  U.S. Treasury Notes, 3.750%, 02/28/33    3.64         522 
USD  BNP    1,456,163    11/17/28  U.S. Treasury Notes, 3.750%, 02/29/28    3.64         1,297 
 
 
 

 

Lazard Enhanced Opportunities Portfolio (concluded)

 

Currency  Counter-
party
  Notional
Amount
   Expiration
Date
  Reference Entity>  Reference
Rate at
3/31/2026
   Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  BNP    $  1,440,150    11/17/28  U.S. Treasury Notes, 3.500%, 09/30/29    3.64%   $20,471   $ 
USD  BNP    27,230    11/17/28  Ultra Clean Holdings, Inc.    3.64         251 
USD  BNP    16,036    11/17/28  Unity Software, Inc.    3.64         1,558 
USD  BNP    156,760    11/17/28  Upstart Holdings, Inc.    3.64     70,490     
USD  BNP    59,899    11/17/28  Varonis Systems, Inc.    3.64     11,534     
USD  NIP    21,634    11/30/27  Veeco Instruments, Inc.    3.64         3,800 
USD  BNP    171,462    11/17/28  Veeco Instruments, Inc.    3.64         10,045 
USD  BNP    455,449    11/17/28  Viavi Solutions, Inc.    3.64         123,810 
USD  BNP    268,705    11/17/28  Vishay Intertechnology, Inc.    3.64     14,967     
USD  BNP    2,121,233    11/17/28  Wayfair, Inc.    3.64     459,387     
USD  NIP    2,688,667    11/30/27  Western Digital Corp.    3.64     103,087     
USD  BNP    6,111,457    11/17/28  Western Digital Corp.    3.64         3,487,897 
USD  BNP    289,603    11/17/28  WisdomTree, Inc.    3.64     4,029     
USD  BNP    76,136    11/17/28  Workiva, Inc.    3.64     4,707     
USD  BNP    86,191    11/17/28  World Kinect Corp.    3.64     9,269     
USD  BNP    348,924    11/17/28  Xometry, Inc.    3.64     98,082     
USD  BNP    20,277    11/17/28  Ziff Davis, Inc.    3.64     1,397     
USD  BNP    137,021    11/17/28  Zoetis, Inc.    3.64         2,216 
USD  BNP    1,226    11/17/28  Zscaler, Inc.    3.64     104     
Total gross unrealized appreciation/depreciation on Total Return Swap Agreements   $16,489,595   $17,918,211 

 

> 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 80 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 214 basis points, with one specific position having a rate of OBFR minus a spread of 264 basis points.
 
 
 

 

Description  Shares   Fair
Value
 
Lazard Opportunistic Strategies Portfolio          
Exchange-Traded Funds  |  80.6%          
Commodity  |  4.9%           
U.S. Copper Index Fund   9,229   $317,754 
U.S. Oil Fund LP   2,016    256,536 
WisdomTree Aluminium   120,992    559,185 
         1,133,475 
Equity Funds  |  50.8%          
Franklin FTSE Latin America ETF   13,035    368,630 
Invesco QQQ Trust, Series 1   2,293    1,323,474 
iShares MSCI Japan ETF   11,108    937,959 
iShares MSCI USA Momentum Factor ETF   1,556    373,424 
Lazard Next Gen Technologies ETF (a)   11,841    399,415 
State Street SPDR EURO STOXX 50 ETF   15,981    992,100 
Vanguard S&P 500 ETF   3,450    2,061,547 
Vanguard S&P 500 Growth ETF   5,946    2,424,125 
Vanguard S&P 500 Value ETF   13,297    2,709,796 
         11,590,470 
Fixed Income  |  24.9%           
iShares 1-3 Year Treasury Bond ETF   14,691    1,213,036 
iShares 20+ Year Treasury Bond ETF   32,350    2,804,422 
iShares iBoxx USD Investment Grade Corporate Bond ETF   6,710    731,323 
iShares International Treasury Bond ETF   22,756    934,361 
         5,683,142 
Total Exchange-Traded Funds
(Cost $14,401,046)
        18,407,087 
Description  Shares   Fair
Value
 
Lazard Opportunistic Strategies Portfolio      
Short-Term Investments  |  19.1%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)
(Cost $4,355,096)
   4,355,096   $4,355,096 
Total Investments  |  99.7%
(Cost $18,756,142)
       $22,762,183 
Cash and Other Assets in Excess of Liabilites  |  0.3%    58,736 
Net Assets  |  100.0%       $22,820,919 


 

(a) Affiliated investments.

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer  Value at
December 31,
2025
   Purchase
cost
   Sales
proceeds
   Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
   Dividend
Income
   Shares at
March 31, 2026
   Value at
March 31, 2026
 
Lazard Government Money Market Portfolio  $1,496,981   $3,742,147   $(884,032)  $   $   $17,263    4,355,096   $4,355,096 
Lazard Next Gen Technologies ETF   457,325        (13,079)   (1,044)   (43,787)   897    11,841    399,415 
Total Securities  $1,954,306   $3,742,147   $(897,111)  $(1,044)  $(43,787)  $18,160    4,366,937   $4,754,511 
 
 
 

 

Lazard Opportunistic Strategies Portfolio (concluded)

 

Currency  Counter-
party
  Notional
Amount
  Expiration
Date
  Receive  Pay  Rate  Payment
Frequency
  Unrealized
Appreciation
   Unrealized
Depreciation
 
USD  GSC  $594,248  12/09/26  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+
1.05bps
  Upon
Maturity(a)
  $99,520   $            
USD  GSC  791,071  12/21/26  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+
0.45bps
  Upon
Maturity(a)
   21,867     
Total gross unrealized appreciation/depreciation on Total Return Swap Agreements        $121,387*  $           *
   
(a) For swap agreements, the net settlement will occur on the expiration date.
* Include net accrued dividends and financing charges of $10,213.

 

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 March 31, 2026:

 

Securities within GSCBLZEG (SOFR+1.05bps)  Shares   Fair
Value
 
BAE Systems PLC   6,974   $203,078 
Exosens SAS   118    8,347 
Hensoldt AG   268    23,418 
Kongsberg Gruppen ASA   2,043    87,086 
Leonardo SpA   1,343    90,096 
Renk Group AG   232    13,579 
Rheinmetall AG   107    178,650 
Saab AB, Class B   1,259    82,110 
Theon International PLC   170    6,072 
Tkms AG& Co KGaA   148    13,446 
Total Fair Value       $705,882 
Securities within GSCBLZTH (SOFR+0.45bps)   Shares    Fair
Value
 
Abivax SA, ADR   240   $26,724 
Apogee Therapeutics, Inc.   237    19,948 
Arcutis Biotherapeutics, Inc.   1,037    24,432 
Argenx SE, ADR   103    75,217 
Ascendis Pharma A/S, ADR   205    46,890 
Axsome Therapeutics, Inc.   305    51,551 
Disc Medicine, Inc.   197    12,596 
Insmed, Inc.   306    50,037 
Ionis Pharmaceuticals, Inc.   372    27,933 
Madrigal Pharmaceuticals, Inc.   79    41,354 
Maze Therapeutics, Inc.   225    6,716 
Mirum Pharmaceuticals, Inc.   232    21,432 
Newamsterdam Pharma Co NV   323    10,339 
Rhythm Pharmaceuticals, Inc.   345    30,005 
Roivant Sciences Ltd.   2,043    56,591 
Scholar Rock Holding Corp.   257    12,634 
Terns Pharmaceuticals, Inc.   334    17,608 
TG Therapeutics, Inc.   480    15,946 
Vera Therapeutics, Inc.   242    9,736 
Viridian Therapeutics, Inc.   373    7,296 
Xenon Pharmaceuticals, Inc.   273    15,875 
Total Fair Value       $580,860 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•)          
Common Stocks  |  72.0%          
Australia  |  1.9%          
Anglogold Ashanti PLC   27   $2,709 
Aurizon Holdings Ltd.   8,552    23,576 
BHP Group Ltd.   320    11,692 
Evolution Mining Ltd.   113    1,024 
Fortescue Ltd.   125    1,766 
Goodman Group REIT   1,672    29,765 
Northern Star Resources Ltd.   125    1,825 
Rio Tinto PLC   96    8,924 
South32 Ltd.   361    1,085 
Transurban Group   3,938    38,272 
         120,638 
Belgium  |  0.1%          
Warehouses De Pauw CVA REIT   339    8,811 
Brazil  |  1.6%          
Iguatemi SA   4,800    25,891 
Motiva Infraestrutura de Mobilidade SA   9,600    29,301 
Multiplan Empreendimentos Imobiliarios SA   5,700    35,004 
Suzano SA   100    1,002 
Vale SA   100    1,592 
Wheaton Precious Metals Corp.   26    3,413 
Yara International ASA   94    5,472 
         101,675 
Canada  |  5.1%          
Agnico Eagle Mines Ltd.   42    8,525 
Alamos Gold, Inc., Class A   31    1,379 
Atco Ltd., Class I   917    44,884 
Barrick Mining Corp.   145    5,926 
Boardwalk Real Estate Investment Trust REIT   669    30,274 
Canadian National Railway Co.   212    21,820 
Enbridge, Inc.   204    11,059 
First Capital Real Estate Investment Trust REIT   1,521    22,545 
Franco-Nevada Corp.   21    5,200 
Granite Real Estate Investment Trust REIT   594    34,929 
Hydro One Ltd. (#)   1,369    56,537 
Kinross Gold Corp.   220    6,726 
Lundin Gold, Inc.   31    2,369 
Description  Shares   Fair
Value
 
Nutrien Ltd.   176   $13,286 
TC Energy Corp.   807    50,518 
Teck Resources Ltd., Class B   16    829 
         316,806 
China  |  1.1%          
C&D International Investment Group Ltd.   4,000    6,452 
China Overseas Land & Investment Ltd.   19,500    28,976 
China Resources Land Ltd.   2,500    9,355 
Hopson Development Holdings Ltd. (*)   11,668    4,008 
Midea Real Estate Holding Ltd. (#)   7,000    3,148 
Seazen Group Ltd. (*)   18,000    4,815 
Yuexiu Property Co. Ltd.   21,000    10,185 
         66,939 
Finland  |  0.0%          
Stora Enso OYJ, R Shares   129    1,520 
France  |  3.1%          
Aeroports de Paris SA   111    13,506 
Covivio SA REIT   257    15,365 
Engie SA   2,159    69,607 
Klepierre SA REIT   344    12,966 
TotalEnergies SE   136    12,557 
Vinci SA   462    69,193 
         193,194 
Germany  |  0.2%          
TAG Immobilien AG   553    8,649 
Vonovia SE   182    4,532 
         13,181 
Hong Kong  |  1.3%          
Henderson Land Development Co. Ltd.   2,000    7,418 
Hongkong Land Holdings Ltd.   1,000    7,822 
Kerry Properties Ltd.   2,500    7,009 
Link REIT   3,400    15,742 
Swire Properties Ltd.   4,400    12,788 
Wharf Real Estate Investment Co. Ltd.   11,000    31,891 
         82,670 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•) (continued)      
Israel  |  0.0%          
ICL Group Ltd.   257   $1,324 
Italy  |  0.8%          
Terna - Rete Elettrica Nazionale   4,605    52,736 
Japan  |  3.2%          
Central Japan Railway Co.   400    10,358 
Daiwa House Industry Co. Ltd.   500    15,630 
East Japan Railway Co.   1,200    27,387 
Hankyu Hanshin Holdings, Inc.   600    17,345 
Hoshino Resorts REIT, Inc.   3    4,613 
Hulic Co. Ltd.   2,400    27,938 
Industrial & Infrastructure Fund Investment Corp. REIT   18    16,102 
Japan Prime Realty Investment Corp. REIT   23    14,115 
Japan Real Estate Investment Corp. REIT   17    12,521 
Katitas Co. Ltd.   300    6,026 
KDX Realty Investment Corp. REIT   10    10,160 
Nippon Steel Corp.   500    1,837 
Osaka Gas Co. Ltd.   600    24,331 
Sekisui House Reit, Inc.   17    9,629 
         197,992 
Luxembourg  |  0.0%          
ArcelorMittal SA   21    1,094 
Mexico  |  0.7%          
Grupo Aeroportuario del Centro Norte SAB de CV   1,600    22,934 
Grupo Aeroportuario del Pacifico SAB de CV, B Shares   910    22,449 
         45,383 
Singapore  |  0.7%          
Keppel DC REIT   13,260    22,563 
Parkway Life REIT   4,100    12,789 
UOL Group Ltd.   800    6,094 
         41,446 
South Africa  |  0.5%          
Anglo American PLC   216    9,177 
Description  Shares   Fair
Value
 
Gold Fields Ltd.   80   $3,721 
Growthpoint Properties Ltd. REIT   19,922    19,148 
         32,046 
South Korea  |  0.0%          
POSCO Holdings, Inc.   9    1,989 
Spain  |  0.6%          
Aena SME SA (#)   1,199    35,701 
Sweden  |  0.2%          
Boliden AB (*)   73    3,875 
Catena AB   136    6,384 
         10,259 
Switzerland  |  0.1%          
International Workplace Group PLC   2,504    5,868 
United Arab Emirates  |  0.4%          
Emaar Development PJSC   6,374    23,743 
United Kingdom  |  4.7%          
Big Yellow Group PLC REIT   799    9,034 
National Grid PLC   3,684    62,108 
Segro PLC REIT   843    7,331 
Severn Trent PLC   589    24,186 
Shaftesbury Capital PLC REIT   33,984    57,650 
SSE PLC   2,006    69,255 
Tritax Big Box REIT PLC   30,989    58,429 
United Utilities Group PLC   421    7,360 
         295,353 
United States  |  45.7%          
Alexandria Real Estate Equities, Inc. REIT   1,126    52,269 
Ameren Corp.   718    78,923 
American Electric Power Co., Inc.   400    52,432 
American Homes 4 Rent, Class A REIT   483    13,485 
American Tower Corp. REIT   579    99,924 
American Water Works Co., Inc.   150    20,414 
Apple Hospitality REIT, Inc.   1,478    17,012 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•) (continued)          
Archer-Daniels-Midland Co.   11   $800 
Atmos Energy Corp.   239    44,148 
AvalonBay Communities, Inc. REIT   360    58,806 
Avery Dennison Corp.   11    1,899 
Brixmor Property Group, Inc.   599    17,251 
Camden Property Trust   237    23,145 
CareTrust REIT, Inc.   779    28,550 
CF Industries Holdings, Inc.   67    8,699 
Cheniere Energy, Inc.   203    57,603 
Chevron Corp.   13    2,690 
CMS Energy Corp.   108    8,379 
ConocoPhillips   56    7,392 
Consolidated Edison, Inc.   478    54,100 
Constellation Energy Corp.   30    8,378 
Corteva, Inc.   134    11,217 
Coterra Energy, Inc.   227    7,977 
Crown Castle, Inc.   1,270    103,264 
CSX Corp.   881    36,165 
CubeSmart   362    13,267 
Darling Ingredients, Inc. (*)   45    2,783 
Devon Energy Corp.   27    1,359 
Digital Realty Trust, Inc. REIT   364    65,596 
Dominion Energy, Inc.   568    35,114 
DTE Energy Co.   71    10,382 
Duke Energy Corp.   324    42,425 
EastGroup Properties, Inc. REIT   234    43,311 
Energy Transfer LP   3,401    65,639 
Entergy Corp.   603    67,753 
Enterprise Products Partners LP   667    25,239 
EOG Resources, Inc.   4    578 
Equinix, Inc. REIT   79    77,439 
Equity Residential REIT   652    38,566 
Essex Property Trust, Inc. REIT   81    19,602 
Exelon Corp.   468    22,941 
Extra Space Storage, Inc. REIT   40    5,245 
Exxon Mobil Corp.   78    13,234 
Ferrovial SE   997    64,823 
First Industrial Realty Trust, Inc.   629    36,388 
FMC Corp.   40    689 
Freeport-McMoRan, Inc.   154    9,052 
Halliburton Co.   24    936 
Host Hotels & Resorts, Inc. REIT   1,443    27,648 
Ingredion, Inc.   50    5,633 
Invitation Homes, Inc. REIT   2,037    50,619 
Iron Mountain, Inc. REIT   121    12,359 
Description  Shares   Fair
Value
 
Kinder Morgan, Inc.   896   $30,043 
Marathon Petroleum Corp.   13    3,174 
Mid-America Apartment Communities, Inc. REIT   483    58,984 
Mosaic Co.   74    1,887 
Newmont Corp.   107    11,583 
NextEra Energy, Inc.   502    46,626 
NiSource, Inc.   1,265    59,025 
NNN REIT, Inc.   499    20,973 
Norfolk Southern Corp.   85    24,395 
Nucor Corp.   27    4,566 
Omega Healthcare Investors, Inc.   1,168    51,182 
Phillips 66   18    3,279 
Pinnacle West Capital Corp.   205    20,654 
Prologis, Inc.   1,030    136,145 
Public Service Enterprise Group, Inc.   95    7,690 
Public Storage REIT   69    18,691 
Realty Income Corp. REIT   337    20,618 
Regency Centers Corp. REIT   431    32,609 
Ryman Hospitality Properties, Inc. REIT   101    9,319 
Sabra Health Care REIT, Inc.   1,364    26,230 
SBA Communications Corp. REIT   489    84,162 
Scotts Miracle-Gro Co.   10    608 
Shell PLC   183    8,546 
Simon Property Group, Inc. REIT   465    86,736 
SL Green Realty Corp. REIT   494    18,248 
SLB Ltd.   16    822 
STAG Industrial, Inc.   234    8,438 
Steel Dynamics, Inc.   11    1,980 
Sunstone Hotel Investors, Inc. REIT   1,355    12,209 
Targa Resources Corp.   269    67,446 
Union Pacific Corp.   238    57,744 
Valero Energy Corp.   16    3,953 
Ventas, Inc. REIT   814    66,569 
WEC Energy Group, Inc.   403    46,655 
Welltower, Inc. REIT   551    108,938 
Williams Cos., Inc.   1,025    74,600 
Xcel Energy, Inc.   735    58,388 
         2,867,257 
Zambia  |  0.0%          
First Quantum Minerals Ltd. (*)   112    2,678 
Total Common Stocks
(Cost $3,776,289)
        4,520,303 


 
 

 

Description  Shares   Fair
Value
 
Lazard Real Assets Portfolio (•) (continued)
Exchange-Traded Funds  |  0.7%          
iShares Gold Trust (~)
(Cost $43,829)
   515   $45,402 
Preferred Stocks  |  0.0%          
Brazil  |  0.0%          
Petroleo Brasileiro SA – Petrobras
(Cost $1,167)
   200    1,879 
Short-Term Investments  |  19.0%          
Lazard Government Money Market Portfolio, 3.50% (7 day yield) (a)   672,761    672,761 
State Street Institutional Treasury Plus Money Market Fund, Premier Class, 3.60% (7 day yield) (~)   517,521    517,521 
Total Short-Term Investments
(Cost $1,190,282)
        1,190,282 
Total Investments  |  91.7%
(Cost $5,011,567)
       $5,757,866 
Cash and Other Assets in Excess of Liabilities  |  8.3%    520,432 
Net Assets  |  100.0%       $6,278,298 
   
(•) Lazard Real Assets Portfolio’s Portfolio of Investments and accompanying notes are presented on a consolidated basis.
(#) Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may only be resold to qualified institutional buyers. At March 31, 2026, these securities amounted to 1.5% of net assets of the Portfolio.
(*) Non-income producing security.
(~) The security is owned by Lazard Real Assets Portfolio Ltd., a wholly-owned subsidiary of the Portfolio.
(a) Affiliated investment.


 
 

 

Lazard Real Assets Portfolio (•) (concluded)

 

Affiliated Investment for the period ended March 31, 2026 were as follows:

 

Issuer   Value at
December 31,
2025
    Purchase
cost
    Sales
proceeds
    Realized
gain (loss)
    Change in
unrealized
appreciation
(depreciation)
    Dividend
Income
    Shares at
March 31, 2026
    Value at
March 31, 2026
Lazard Government Money Market Portfolio   $ 366,014     $ 681,154     $ (374,407 )   $     $     $ 3,977       672,761     $ 672,761

 

Total Return Swap Agreements open at March 31, 2026 (~):

Currency   Counter-
party
  Notional Amount   Expiration Date   Receive   Pay   Payable   Payment
Frequency
  Unrealized
Appreciation
    Unrealized
Depreciation
USD   GSC   $1,469,161   07/29/26   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)
  $ 250,669*     $ —*  

 

(~) The security is owned by Lazard Real Assets Portfolio Ltd., a wholly-owned subsidiary of the Portfolio.
(a) For swap agreements, the net settlement will occur on the expiration date.
* Include net accrued dividends and financing charges of $2,500.

 

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 March 31, 2026:

 

Commodity   Commodity Index
Ticker Symbol
  Commodity Exposure Expressed as a
Percentage of Notional Amount
 
Aluminium   BCOMLA     3.73 %
Brent Crude Oil   BCOMCO     11.20  
Chicago Wheat   BCOMW     2.69  
Cocoa   BCOMCC     0.80  
Coffee   BCOMKC     1.91  
Copper HG   BCOMHG     5.09  
Corn   BCOMC     4.71  
Cotton   BCOMCT     1.44  
Gasoil   BCOMQS     4.98  
Gold   BCOMGC     13.08  
Heating Oil   BCOMHO     3.65  
Kansas Wheat   BCOMKW     1.78  
Lead   BCOMLL     0.73  
Lean Hogs   BCOMLH     1.84  
Live Cattle   BCOMLC     3.33  
Natural Gas   BCOMNG     5.82  
Nickel   BCOMLN     1.77  
RBOB Gasoline   BCOMXB     3.32  
Silver   BCOMSI     3.18  
Soybean   BCOMS     4.92  
Soybean Meal   BCOMSM     2.54  
Soybean Oil   BCOMBO     3.29  
Sugar   BCOMSB     2.54  
WTI Crude Oil   BCOMCL     9.73  
Zinc   BCOMLX     1.93  
Total         100.00 %
 

The Lazard Funds, Inc. Notes to Portfolios of Investments
March 31, 2026 (unaudited)

 

Asset Class/Sector  Lazard
Developing
Markets Equity
Portfolio
   Lazard
Emerging
Markets Equity
Advantage
Portfolio
   Lazard
Emerging
Markets Equity
Portfolio
   Lazard Equity
Franchise
Portfolio
   
Communication Services   5.5%   7.7%   8.6%   11.8%  
Consumer Discretionary   13.1    9.7    9.8    18.6   
Consumer Staples   1.5    3.3    6.8    9.6   
Energy   3.4    4.6    8.5       
Financials   17.1    19.9    24.9    20.4   
Health Care   1.9    2.9    3.4    9.8   
Industrials   13.0    7.5    7.3    10.7   
Information Technology   41.3    32.2    20.5    9.8   
Materials   1.3    7.2    4.5       
Real Estate       1.2           
Utilities   1.0    2.4    1.8    5.4   
Other (includes short-term investments)   0.9    1.4    3.9    3.9   
Total   100.0%   100.0%   100.0%   100.0%  

 

Asset Class/Sector  Lazard
Global Listed
Infrastructure
Portfolio
   Lazard
Global Small
Cap Equity
Portfolio
   Lazard
International
Equity
Portfolio
   Lazard
International
Equity Select
Portfolio
   
Communication Services   5.8%   3.0%   4.6%   4.2%  
Consumer Discretionary       16.5    6.9    9.8   
Consumer Staples       3.7    6.8    4.0   
Energy       6.3    2.9    3.3   
Financials       14.5    25.0    24.1   
Health Care       4.4    7.7    6.1   
Industrials   27.5    22.5    18.4    19.6   
Information Technology       20.6    6.3    14.8   
Materials       5.3    12.3    6.4   
Real Estate   8.9    2.1    0.9    1.0   
Utilities   52.2        3.6    3.0   
Other (includes short-term investments)   5.6    1.1    4.6    3.7   
Total   100.0%   100.0%   100.0%   100.0%  
 
Asset Class/Sector  Lazard
International
Quality Growth
Portfolio
   Lazard
International
Strategic
Equity
Portfolio
   Lazard
US Equity
Concentrated
Portfolio
   Lazard US
Equity Focus
Portfolio
   
Communication Services   7.3%   5.1%   11.1%   6.2%  
Consumer Discretionary   5.8    7.4    27.7    9.4   
Consumer Staples   6.7    8.2        2.6   
Energy       1.7        3.1   
Financials   17.1    26.9    10.6    17.2   
Health Care   14.9    5.7    4.6    10.8   
Industrials   21.4    15.2    4.0    15.0   
Information Technology   23.8    11.9    41.1    26.4   
Materials       8.6        3.1   
Real Estate               2.2   
Utilities       5.8           
Other (includes short-term investments)   3.0    3.5    0.9    4.0   
Total   100.0%   100.0%   100.0%   100.0%  

 

Asset Class/Sector  Lazard US
Small Cap
Equity Select
Portfolio
 
Communication Services   3.7%  
Consumer Discretionary   11.0 
Consumer Staples   3.2 
Energy   6.2 
Financials   17.4 
Health Care   13.9 
Industrials   19.7 
Information Technology   17.9 
Materials   3.4 
Real Estate   2.8 
Other (includes short-term investments)   0.8 
Total   100.0%
 
Asset Class/Sector  Lazard US
Convertibles
Portfolio
   Lazard US
High Yield
Portfolio
   Lazard US
Short Duration
Fixed Income
Portfolio
   
Communication Services   6.2%   17.6%   3.0%  
Consumer Discretionary   7.5    17.6    6.5   
Consumer Staples   10.2    17.0    2.0   
Energy   2.1    16.0    1.9   
Financials   12.2    4.7    15.7   
Health Care   0.4           
Industrials   7.0    8.7    3.3   
Information Technology   33.9    6.8    1.8   
Materials   3.0    4.9       
Mortgage-Backed Securities           2.2   
U.S. Treasury Securities           61.8   
Utilities   12.2    4.4       
Other (includes short-term investments)   5.3    2.3    1.8   
Total   100.0%   100.0%   100.0%  

 

Asset Class/Sector  Lazard
Enhanced
Opportunities
Portfolio
   Lazard
Opportunistic
Strategies
Portfolio
   Lazard
Real Assets
Portfolio
   
Commodity   %   4.9%   %  
Communication Services   5.5    4.2       
Consumer Discretionary   4.6    4.5       
Consumer Staples   11.2    2.6    0.2   
Energy   0.2    1.7    7.2   
Exchange-Traded Funds           0.7   
Financials   6.1    5.8       
Fixed Income       24.9       
Health Care   0.0    6.8       
Industrials   4.1    7.7    8.3   
Information Technology   11.3    14.3       
Materials   0.5    1.3    2.2   
Purchased Options   0.0           
Real Estate       0.7    36.7   
U.S. Treasury Securities   52.2           
Utilities   0.9    1.2    17.4   
Warrants   0.0           
Other (includes short-term investments)   3.4    19.4    27.3   
Total   100.0%   100.0%   100.0%  
 

Security Abbreviations:

ADR — American Depositary Receipt
CDI — CHESS Depositary Interest
ETF — Exchange-Traded Fund
GDR — Global Depositary Receipt
KSC — Kuwait Shareholding Company
NVDR — Non-Voting Depository Receipt
PJSC — Public Joint Stock Company
QSC — Qatar Shareholder Company
REITs — Real Estate Investment Trust
SOFR — Secured Overnight Financing Rate

 

Currency Abbreviations:

AUD — Australian Dollar
CAD — Canadian Dollar
CHF — Swiss Franc
EUR — Euro
GBP — British Pound Sterling
HKD — Hong Kong Dollar
NZD — New Zealand Dollar
USD — United States Dollar

 

Counterparty Abbreviations:

BMO — Bank of Montreal
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
SGN — Societe Generale
SSB — State Street Bank & Trust Co.
 

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/ Jennifer Ryan
  Jennifer Ryan
  Principal Executive Officer

 

Date: May 27, 2026

 

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/ Jennifer Ryan
  Jennifer Ryan
  Principal Executive Officer

 

Date: May 27, 2026

 

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

 

Date: May 27, 2026