BPLSX
Boston Partners Long/Short Equity Fund
RBB Fund, Inc.

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
122
Top-10 weight
27.65%
Effective holdings ?
54
Crowding ?
547.5

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Mount Vernon Liquid Assets Portfolio, LLC 11,377,342 $11.38M 10.30%
2 SAMSUNG ELECTRONICS CO LTD 21,309 $3.19M 2.89%
3 ALPHABET INC CL A 9,831 $3.06M 2.78%
4 GALLIFORD TRY HOLDINGS PLC COMMON STOCK GFRD LN 366,301 $2.71M 2.45%
5 U.S. Bank Money Market Deposit Account USBFS04 2,488,867 $2.49M 2.25%
6 SPONSORED ADR BTI 34,691 $2.17M 1.97%
7 FAIRFAX FINL HLDGS LTD SUB VTG 1,260 $2.17M 1.96%
8 Hamilton Insurance Group Ltd., Class B HG 65,281 $2.06M 1.87%
9 KB Financial Group Inc. ADR EACH REPR 1 ORD SHS KB US 18,274 $2.01M 1.82%
10 BGC GROUP INC-A 198,970 $1.89M 1.72%
11 JOHNSON&JOHNSON 7,288 $1.81M 1.64%
12 PHOTRONICS INC 47,169 $1.77M 1.60%
13 Arcos Dorados Holdings, Inc., Class A ARCO 200,156 $1.76M 1.59%
14 BROADCOM INC 5,398 $1.72M 1.56%
15 RINGCENTRAL INC CL A 45,996 $1.68M 1.52%
16 BRIGHTSPHERE INVESTMENT GROUP INC 30,751 $1.66M 1.50%
17 CATALYST PHARMACEUTICALS INC 67,756 $1.56M 1.42%
18 NEWMARK GROUP INC CL A 103,036 $1.50M 1.35%
19 PAN AMER SILVER 21,720 $1.49M 1.35%
20 FRONTDOOR INC 21,377 $1.47M 1.33%
21 CITIGROUP INC 13,172 $1.45M 1.31%
22 ADEIA INC 69,465 $1.44M 1.30%
23 INTERDIGITAL INC 3,890 $1.43M 1.29%
24 DELL TECHNOLOGIES INC CL C 8,559 $1.27M 1.15%
25 HUBSPOT INC 4,750 $1.26M 1.14%
26 ASTRAZENECA PLC 5,993 $1.25M 1.13%
27 MAREX GROUP PLC MRX 27,927 $1.21M 1.10%
28 WELLS FARGO & CO 13,853 $1.13M 1.02%
29 TWILIO INC CLASS A 9,113 $1.10M 1.00%
30 CAVCO INDUSTRIES INC 1,909 $1.10M 1.00%
31 COMMSTCK BBVA US 47,591 $1.10M 1.00%
32 BANK OF AMERICA CORPORATION 22,008 $1.10M 0.99%
33 OPPENHEIMER HO-A 12,607 $1.09M 0.98%
34 NRG ENERGY INC 5,965 $1.07M 0.97%
35 Novartis AG 6,227 $1.05M 0.95%
36 CARRIAGE SERVICES INC 22,607 $1.04M 0.94%
37 Telefonaktiebolaget LM Ericsson (publ) ADR EACH REP 1 ORD'B'SEK1 ERIC 87,601 $1.02M 0.92%
38 PRICESMART INC 6,520 $1.01M 0.91%
39 STERLING INFRASTRUCTURE INC 2,294 $982.13K 0.89%
40 MSILF Prime Portfolio MPFXX 978,303 $978.59K 0.89%
41 METHANEX CORP 19,028 $961.48K 0.87%
42 MEDTRONIC PLC 9,111 $889.78K 0.81%
43 CDW CORPORATION 7,184 $881.05K 0.80%
44 SUPER GROUP SGHC LTD SGHC 81,353 $870.48K 0.79%
45 QUANTA SVCS INC 1,537 $865.45K 0.78%
46 OKTA INC CL A 11,863 $860.07K 0.78%
47 GE HEALTHCARE TECHNOLOGIES INC WI 9,964 $839.67K 0.76%
48 ABERCROMBIE & FI 8,432 $824.65K 0.75%
49 HERITAGE INSURANCE HOLDINGS INC 29,394 $819.21K 0.74%
50 STIFEL FINANCIAL CORP 10,966 $812.07K 0.74%
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