13FBOX
NATIXIS ADVISORS, LLC · 13F Holdings
Options Calculator Rankings

NATIXIS ADVISORS, LLC

No.124 Data as of 2026Q2
Latest AUM (Q2 2026)
$89.13B
QoQ Change Q1 2026
+$17.66B+24.7%
Holdings
1819
New Buys
195
Adds
1167
Reduces
454
Exits
60
Unchanged
3
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
4.84%4.67%$4.31B21.5M$3.34B19.1M+2.4M+12.54%Add
APPLE INCAAPL
3.82%3.85%$3.40B11.8M$2.75B10.8M+923,928+8.52%Add
AMAZON COM INCAMZN
2.63%2.63%$2.34B9.8M$1.88B9.0M+796,024+8.81%Add
MICROSOFT CORPMSFT
2.62%2.99%$2.34B6.3M$2.14B5.8M+490,886+8.50%Add
ALPHABET INCGOOGL
2.62%2.42%$2.34B6.5M$1.73B6.0M+520,876+8.66%Add
VVANGUARD INDEX FDSVOO
1.83%1.59%$1.63B2.4M$1.14B1.9M+475,443+24.96%Add
AAlphabet Inc Class CGOOG
1.76%1.6%$1.57B4.5M$1.14B4.0M+473,463+11.90%Add
BROADCOM INCAVGO
1.74%1.71%$1.55B4.1M$1.22B4.0M+138,087+3.49%Add
VVANGUARD MIDVO
1.62%<0.01%$1.44B17.9M$289,5344.0M+13.9M+343.46%Add
TAIWAN SEMICONDUCTOR MANUFACTSM
1.33%1.1%$1.19B2.5M$787.5M2.3M+156,625+6.72%Add
IISHARES MSCI EAFE SMALL-CAP ETFSCZ
1.3%1.39%$1.16B14.1M$996.3M12.7M+1.4M+11.03%Add
META PLATFORMS INCMETA
1.26%1.59%$1.12B2.0M$1.14B2.0M+1,277+0.06%Add
MICRON TECHNOLOGY INCMU
1.24%0.42%$1.10B956,863$301.8M893,251+63,612+7.12%Add
ELI LILLY & COLLY
1.18%1%$1.05B876,181$718.1M780,730+95,451+12.23%Add
VISA INCV
1.07%1.05%$953.7M2.8M$750.3M2.5M+297,277+11.97%Add
ADVANCED MICRO DEVICES INCAMD
1.01%0.37%$903.0M1.6M$262.2M1.3M+265,667+20.61%Add
KLA CORPKLAC
0.98%0.39%$874.0M2.9M$276.4M187,716+2.7M+1,443.19%Add
TESLA INCTSLA
0.92%0.92%$820.1M1.9M$660.9M1.8M+172,184+9.69%Add
JPMORGAN CHASE & COJPM
0.84%0.88%$746.9M2.3M$626.1M2.1M+153,380+7.21%Add
APPLIED MATLS INCAMAT
0.8%0.4%$715.8M990,105$288.0M842,748+147,357+17.49%Add
IISHARES COREIJR
0.66%0.5%$587.0M4.0M$358.1M2.9M+1.1M+37.39%Add
LINDE PLCLIN
0.66%0.72%$585.0M1.1M$512.6M1.0M+93,317+9.03%Add
EXXON MOBIL CORPXOM
0.65%1.04%$579.7M4.2M$746.2M4.4M-158,522-3.60%Reduce
AMPHENOL CORPAPH
0.65%0.54%$577.8M3.3M$385.3M3.0M+227,730+7.47%Add
BERKSHIRE HATHAWAY INC DELBRK.B
0.57%0.66%$510.4M1.0M$469.6M979,988+40,103+4.09%Add
LAM RESEARCH CORPLRCX
0.57%0.29%$505.6M1.2M$207.6M971,451+195,248+20.10%Add
JOHNSON & JOHNSONJNJ
0.56%0.6%$498.3M2.0M$426.3M1.7M+218,145+12.51%Add
INTEL CORPINTC
0.53%0.19%$472.2M3.4M$135.1M3.1M+319,599+10.44%Add
CISCO SYS INCCSCO
0.52%0.41%$465.6M4.0M$296.4M3.8M+143,493+3.76%Add
DDIMENSIONAL ETF TRUSTDFIS
0.51%0.54%$458.8M13.1M$383.3M11.4M+1.7M+15.05%Add
ASML HLDG NVASML
0.5%0.38%$443.5M222,906$274.1M207,521+15,385+7.41%Add
CATERPILLAR INCCAT
0.5%0.34%$442.1M415,152$241.7M341,212+73,940+21.67%Add
MASTERCARD INCORPORATEDMA
0.49%0.46%$432.8M842,646$330.7M661,839+180,807+27.32%Add
SSTATE STREETSPYM
0.48%0.73%$425.4M4.8M$522.6M6.8M-2.0M-29.11%Reduce
GE AEROSPACEGE
0.47%0.47%$422.2M1.1M$335.9M1.2M-54,249-4.58%Reduce
UNITEDHEALTH GROUP INCUNH
0.45%0.23%$404.3M972,743$167.3M618,220+354,523+57.35%Add
BBANK OF AMER CORPBAC
0.45%0.46%$399.2M7.0M$330.9M6.8M+218,389+3.22%Add
ABBVIE INCABBV
0.44%0.4%$393.0M1.6M$285.6M1.3M+248,535+18.93%Add
ANALOG DEVICES INC COMADI
0.44%0.48%$389.5M980,805$344.0M1.1M-100,374-9.28%Reduce
EATON CORP PLCETN
0.43%0.43%$386.8M907,806$308.1M861,293+46,513+5.40%Add
GE VERNOVA INCGEV
0.43%0.39%$386.6M329,090$277.0M317,335+11,755+3.70%Add
BOEING COBA
0.43%0.5%$384.1M1.8M$360.7M1.8M-37,827-2.09%Reduce
ASTRAZENECA PLCAZN
0.42%0.36%$375.2M2.0M$258.9M1.3M+666,009+50.74%Add
NOVARTIS AGNVS
0.42%0.48%$374.0M2.4M$341.6M2.2M+150,371+6.72%Add
WALMART INCWMT
0.41%0.46%$368.0M3.2M$331.7M2.7M+580,308+21.74%Add
MERCK & CO INCMRK
0.41%0.5%$367.2M2.9M$357.3M3.0M-112,662-3.79%Reduce
WELLS FARGO CO NEWWFC
0.41%0.38%$364.3M4.4M$274.4M3.4M+960,403+27.86%Add
VVANGUARD INDEX FDSVUG
0.41%<0.01%$363.6M4.2M$61,464844,309+3.4M+400.00%Add
ORACLE CORPORCL
0.39%0.44%$345.9M2.4M$315.8M2.1M+214,050+9.97%Add
COCA COLA COKO
0.39%0.45%$345.8M4.3M$321.1M4.2M+33,870+0.80%Add

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow