Home › Funds › Lazard Asset Management › OMC

Lazard Asset Management position in OMC

OMNICOM GROUP INC · Consumer Discretionary

Latest position (Q2 2026)1.52M sh
Reported value held$110.68M
Portfolio Weight0.17%
First reportedQ3 2021
Last changeAdd

Quarter by quarter

QuarterSharesValueChange
Q3 2021 1.58M $114.58M New
Q4 2021 2.17M $159.18M Add
Q1 2022 2.04M $172.98M Reduce
Q2 2022 2.44M $155.50M Add
Q3 2022 2.69M $169.87M Add
Q4 2022 2.24M $182.32K Reduce
Q1 2023 1.53M $144.23K Reduce
Q2 2023 1.53M $145.48K Hold
Q3 2023 3.03M $225.84K Add
Q4 2023 2.62M $226.88K Reduce
Q1 2024 2.79M $269.73K Add
Q2 2024 1.86M $166.41K Reduce
Q3 2024 2.15M $222.00K Add
Q4 2024 2.28M $195.74K Add
Q1 2025 2.38M $196.92K Add
Q2 2025 2.85M $204.77K Add
Q3 2025 2.75M $224.16M Reduce
Q4 2025 1.94M $156.61M Reduce
Q1 2026 1.48M $111.61M Reduce
Q2 2026 1.52M $110.68M Add

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding OMC

All OMC fund holders →