BPAIX
Boston Partners All-Cap Value Fund
RBB Fund, Inc.

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ADOBE INC 0 15,247 15,247 0.30% $4.00M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CH ROBINSON WORLDWIDE INC 60,266 0 -60,266 0.00% -$9.57M
OPTION 154,107 0 -154,107 0.00% -$7.61M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
Mount Vernon Liquid Assets Portfolio, LLC 30,319,992 38,632,507 8,312,515 2.90% $8.31M
BANK OF AMERICA CORPORATION 610,648 695,656 85,008 2.60% $1.90M
Tri-State Deposit 23,000,489 33,229,687 10,229,198 2.50% $10.23M
CORPAY INC 85,473 89,242 3,769 2.18% $3.73M
META PLATFORMS INC CL A 21,526 39,973 18,447 1.95% $11.96M
WELLS FARGO & CO 176,492 288,809 112,317 1.77% $8.37M
CDW CORPORATION 87,029 149,557 62,528 1.38% $5.79M
WALT DISNEY CO/T 135,339 148,984 13,645 1.19% $1.66M
COGNIZANT TECH SOLUTIONS CL A 210,888 241,047 30,159 1.17% -$857.45K
ZEBRA TECHNOLOGIES CORP CL A 21,949 40,769 18,820 0.69% $3.58M
WEX INC 43,614 50,297 6,683 0.56% $1.03M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ALPHABET INC CL A 116,896 109,566 -7,330 2.57% -$3.27M
JOHNSON&JOHNSON 143,413 134,419 -8,994 2.51% $3.72M
PHILIP MORRIS INTL INC 163,945 153,665 -10,280 2.16% $2.89M
JPMORGAN CHASE and CO 114,667 86,781 -27,886 1.96% -$9.84M
ABBVIE INC 116,359 109,062 -7,297 1.90% -$1.18M
MICRON TECHNOLOGY INC 61,029 57,202 -3,827 1.77% $9.16M
MEDTRONIC PLC 249,857 234,187 -15,670 1.72% -$3.45M
CISCO SYSTEMS INC 293,266 274,872 -18,394 1.64% -$722.56K
CHUBB LTD 66,458 62,290 -4,168 1.60% $1.55M
SANOFI SPON ADR 455,282 426,731 -28,551 1.56% -$1.94M
FLEX LTD 320,337 300,247 -20,090 1.42% -$13.55K
ANALOG DEVICES INC 56,736 53,178 -3,558 1.42% $3.87M
CRH PLC 165,220 154,856 -10,364 1.40% -$1.24M
MARKEL GROUP INC 9,559 8,960 -599 1.40% -$1.32M
AMERICAN INTERNATIONAL GROUP 243,991 228,689 -15,302 1.38% -$175.18K
ARROW ELECTRONICS INC 123,350 115,613 -7,737 1.32% $4.27M
GOLDMAN SACHS GROUP INC 30,232 20,405 -9,827 1.32% -$7.43M
CENCORA INC 49,913 46,783 -3,130 1.31% -$1.00M
VISA INC-CLASS A 57,881 54,251 -3,630 1.31% -$1.99M
LOEWS CORP 167,928 157,395 -10,533 1.30% -$797.80K
THE BOOKING HOLDINGS INC 4,211 3,948 -263 1.26% -$3.96M
CHECK POINT SOFTWARE TECHS LTD 116,771 109,448 -7,323 1.25% -$5.17M
AMGEN INC 44,291 41,513 -2,778 1.21% $812.92K
RENAISSANCERE HLDGS LTD 55,142 51,684 -3,458 1.17% $1.23M
JABIL INC 61,428 57,576 -3,852 1.15% $2.31M
FIRST AMERICAN FINANCIAL CORP 230,572 216,111 -14,461 1.14% -$10.87K
SS&C TECHNOLOGIE 209,320 196,192 -13,128 1.11% -$3.22M
MICROCHIP TECHNOLOGY 205,646 192,748 -12,898 1.08% $3.37M
SYSCO CORP 164,851 154,510 -10,341 1.06% $1.52M
WHITE MOUNTAINS INS GROUP LTD 6,747 6,324 -423 1.06% $384.89K
ORACLE CORP 100,464 94,164 -6,300 1.03% -$6.60M
ALLEGION PLC 85,193 79,849 -5,344 0.97% -$1.28M
CITIGROUP INC 182,408 114,733 -67,675 0.95% -$6.26M
APPLIED MATERIALS INC 52,572 33,927 -18,645 0.95% -$630.26K
ALLISON TRANSMISSION HLDGS INC 107,502 100,759 -6,743 0.95% $3.09M
LAM RESEARCH CORP 76,939 53,950 -22,989 0.95% $615.88K
TRAVELERS COS IN 43,461 40,734 -2,727 0.94% -$155.85K
NVR INC 2,419 1,660 -759 0.94% -$5.68M
WESTINGHOUSE AIR BRAKE TECH CORP 49,678 46,563 -3,115 0.92% $1.93M
THE CIGNA GROUP 44,802 41,993 -2,809 0.91% -$252.29K
KLA CORP 10,082 7,235 -2,847 0.83% -$820.97K
MCKESSON CORP 19,714 10,769 -8,945 0.80% -$6.74M
KEURIG DR PEPPER INC 361,054 338,410 -22,644 0.77% $173.65K
LPL FINL HLDGS INC 36,294 34,018 -2,276 0.77% -$2.70M
MERCK & CO 87,019 81,560 -5,459 0.76% $976.56K
CAPITAL ONE FINANCIAL CORP 54,897 51,455 -3,442 0.76% -$1.96M
RANGE RESOURCES CORP 254,177 238,235 -15,942 0.74% -$203.11K
TD SYNNEX CORP 63,828 59,823 -4,005 0.70% -$351.65K
AON PLC 27,911 26,161 -1,750 0.66% -$1.10M
HURON CONSULTING GROUP INC 63,152 59,191 -3,961 0.63% -$2.03M
EXPEDITORS INTL OF WASH INC 119,052 56,439 -62,613 0.62% -$9.30M
OMNICOM GROUP INC 101,687 95,308 -6,379 0.61% $845.98K
SLB LTD 168,659 158,081 -10,578 0.61% $2.00M
WYNDHAM HOTELS and RESORTS INC 104,923 98,340 -6,583 0.60% $363.85K
ACUITY INC 34,461 26,531 -7,930 0.60% -$4.63M
UNITEDHEALTH GRP 29,076 27,252 -1,824 0.60% -$1.60M
AMETEK INC NEW 35,636 33,401 -2,235 0.60% $938.18K
ACCENTURE PLC CL A 40,469 37,930 -2,539 0.59% -$2.20M
U.S. Bank Money Market Deposit Account 9,878,165 7,850,127 -2,028,038 0.59% -$2.03M
TEXTRON INC 83,917 78,653 -5,264 0.58% $780.58K
ALLSTATE CORPORATION 38,575 36,155 -2,420 0.58% -$459.73K
MIDDLEBY CORP 46,698 43,768 -2,930 0.56% $1.87M
GE HEALTHCARE TECHNOLOGIES INC WI 91,405 85,669 -5,736 0.54% -$92.16K
CONOCOPHILLIPS 67,330 63,105 -4,225 0.54% $1.19M
SCIENCE APPLICATIONS INTERNATIONAL CORP 82,651 77,467 -5,184 0.54% $21.76K
ZIMMER BIOMET HO 76,982 72,152 -4,830 0.53% -$404.64K
CAN NATURAL RES 172,650 161,821 -10,829 0.53% $1.25M
UBER TECHNOLOGIES INC 96,452 90,401 -6,051 0.51% -$1.63M
EXXON MOBIL CORP 46,725 43,793 -2,932 0.50% $1.26M
LANDSTAR SYSTEM INC 43,635 40,896 -2,739 0.50% $954.80K
NICE SYSTEM LTD SPONSORED ADR 60,387 56,598 -3,789 0.49% $174.27K
QUALCOMM INC 49,302 46,208 -3,094 0.49% -$1.71M
SENSATA TECHNOLOGIES HOLDING PLC 183,176 171,686 -11,490 0.48% $536.30K
RESIDEO TECHNOLOGIES INC 175,361 164,361 -11,000 0.48% $575.61K
HALLIBURTON CO 184,519 172,945 -11,574 0.47% $1.39M
GLOBAL PAYMENTS INC 83,772 78,516 -5,256 0.45% -$343.23K
CREDIT ACCEPTANCE CORP 13,134 12,310 -824 0.44% -$242.67K
ELEVANCE HEALTH INC 18,985 17,794 -1,191 0.43% -$727.79K
TOPBUILD CORP 12,045 11,289 -756 0.38% -$389.50K
SHELL PLC SPONS ADR 64,196 60,167 -4,029 0.38% $288.81K
COCA-COLA EUROPA 45,892 43,012 -2,880 0.36% $541.98K
MASCO CORPORATION 70,705 66,269 -4,436 0.36% $159.55K
PHILLIPS 66 32,464 30,426 -2,038 0.35% $249.38K
EQUIFAX INC 23,743 22,254 -1,489 0.35% -$392.11K
FIDELITY NATL INFORM SVCS INC 93,083 87,243 -5,840 0.33% -$1.68M
ENERSYS INC 28,448 26,663 -1,785 0.33% $358.86K
LKQ CORP 139,248 130,513 -8,735 0.32% $187.01K
MATCH GROUP INC 144,742 135,662 -9,080 0.32% -$534.44K
COMMSTCK 90,398 84,726 -5,672 0.25% $29.08K
ROPER TECHNOLOGIES INC 8,540 8,004 -536 0.21% -$1.01M
GEN DIGITAL INC 103,234 96,756 -6,478 0.16% -$538.50K
ROBERT HALF INTL 89,656 84,030 -5,626 0.15% -$372.29K
FERMI INC 151,514 142,006 -9,508 0.11% -$1.08M

No positions in this category.

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