NI

Natixis Investment Managers International

Diversified strategyLong-term holderQuality / disciplined sizing

Total reported value

$1.3B

Reporting period: 2024-12-31 · Number of holdings: 220

Natixis Investment Managers International disclosed 220 holdings in its latest 13F filing for the period ending 2024-12-31, with total reported value of $1.3B and a quarterly turnover rate of 0.0%.

Personality snowflake

Concentration
13.87
Portfolio Stability
0
Momentum/Contrarian
50
Sector conviction
46.14
Diversification
100
Sizing Uniformity
74.19

Recent moves

No holding changes this quarter

Holdings Map

New buyAddUnchangedTrim

Top 10 holdings by weight

Full holdings list this quarter

#TickerIssuerAsset SubclassWeightWeight ChangeShares Change4Q Trend
1PGProcter & Gamble Co/theStock-Consumer Staples8.02%-0.40%
2LLYEli Lilly & CoStock-Healthcare6.95%-1.33%
3NVDANvidia CORPStock-Tech6.40%-2.33%
4MSFTMicrosoft CORPStock-Tech5.73%-2.13%
5AMZNAmazon.com INCStock-Consumer Disc4.90%-1.67%
6GOOGLAlphabet Inc-cl AStock-Comm Services3.66%-12.75%
7DISWalt Disney Co/theStock-Comm Services3.26%-1.66%
8ICEIntercontinental Exchange InStock-Financials3.05%-1.66%
9NOWServicenow INCStock-Tech2.94%-1.83%
10MPWRMonolithic Power Systems INCStock-Tech2.92%-3.03%
11JPMJpmorgan Chase & CoStock-Financials2.64%-26.54%
12ZTSZoetis INCStock-Healthcare2.63%-12.64%
13PPGPpg Industries INCStock-Materials2.61%-3.22%
14SAIASaia INCStock-Industrials2.58%+0.22%
15METAMeta Platforms Inc-class AStock-Comm Services2.48%
16TXNTexas Instruments INCStock-Tech2.38%-0.55%
17DHRDanaher CORPStock-Healthcare2.34%-2.17%
18DASHDoordash INC - AStock-Consumer Disc2.34%-1.62%
19ORLYO'reilly Automotive INCStock-Consumer Disc2.30%-1.63%
20FIXComfort Systems USA INCStock-Industrials2.13%+3.25%
21INTUIntuit INCStock-Tech2.09%-12.72%
22CTVACorteva INCStock-Materials2.06%-1.65%
23ETNEaton Corporation plcStock-Industrials2.04%+9.66%
24BDXBecton Dickinson And CoStock-Healthcare1.36%-1.64%
25ONOn SemiconductorStock-Tech1.35%-46.33%
26SHWSherwin-williams Co/theStock-Materials1.28%-18.58%
27BLDTopbuild CORPStock-Industrials1.26%+6.61%
28KOSKosmos Energy LTDStock-Other1.06%
29AGNCAgnc Investment CORPStock-Real Estate0.96%-1.67%
30BRK-BBerkshire Hathaway Inc-cl BStock-Other0.71%-68.99%
31COKECoca-cola Consolidated INCStock-Consumer Staples0.69%-12.09%
32TSMTaiwan Semiconductor-sp AdrStock-Tech0.62%-12.55%
33HPEHewlett Packard EnterpriseStock-Tech0.58%-1.44%
34MAMastercard INC - AStock-Financials0.55%-5.11%
35TMOThermo Fisher Scientific INCStock-Healthcare0.45%-4.91%
36ECLEcolab INCStock-Materials0.44%-4.88%
37ROPRoper Technologies INCStock-Tech0.43%-5.02%
38ISRGIntuitive Surgical INCStock-Healthcare0.41%-5.41%
39RTXRtx CORPStock-Industrials0.38%-3.39%
40NEENextera Energy INCStock-Utilities0.37%-5.11%
41PANWPalo Alto Networks INCStock-Tech0.34%+87.07%
42EBAYEbay INCStock-Consumer Disc0.34%-14.33%
43AWKAmerican Water Works Co INCStock-Utilities0.29%-4.99%
44XYLXylem INCStock-Industrials0.27%-4.91%
45WMWaste Management INCStock-Industrials0.25%-4.99%
46VVisa Inc-class A SharesStock-Financials0.22%-5.16%
47ACNAccenture plcStock-Tech0.22%+34.01%
48RCLRoyal Caribbean Cruises Ltd.Stock-Consumer Disc0.21%+0.35%
49MRVLMarvell Technology INCStock-Tech0.20%+28.23%
50MELIMercadolibre INCStock-Consumer Disc0.20%
150 of 220

Holding changes this quarter

Position changes disclosed by Natixis Investment Managers International for the quarter ending 2024-12-31, including ticker, issuer, weight change, shares change, and action
#TickerIssuerWeight ChangeShares ChangeAction

FAQ

What is Natixis Investment Managers International and what type of investor is it?
Natixis Investment Managers International is a investment manager that files SEC Form 13F quarterly, disclosing its U.S. public equity holdings to regulators. As of the most recent reporting period (2024-12-31), the firm manages a tracked equity portfolio valued at approximately $1.3B, spread across 220 disclosed positions.
What are Natixis Investment Managers International's largest equity positions?
Based on the latest 13F filing, Natixis Investment Managers International's top holdings by market value are: 1. Procter & Gamble Co/the (PG) — $103.7M (8.0%) 2. Eli Lilly & Co (LLY) — $89.8M (7.0%) 3. Nvidia CORP (NVDA) — $82.7M (6.4%) 4. Microsoft CORP (MSFT) — $74.1M (5.7%) 5. Amazon.com INC (AMZN) — $63.3M (4.9%)
What changes did Natixis Investment Managers International make in its most recent portfolio filing?
No notable portfolio changes were recorded for Natixis Investment Managers International in the most recent quarter. Holdings appear to have remained relatively stable.
What sectors does Natixis Investment Managers International focus on?
Natixis Investment Managers International is concentrated in the following sectors based on its current disclosed equity portfolio: • Information Technology: 28.2% • Health Care: 14.9% • Consumer Discretionary: 11.4% • Industrials: 10.6% • Communication Services: 9.7% • Consumer Staples: 9.1%