BPSIX
Boston Partners Small Cap Value Fund II
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
PENGUIN SOLUTIONS INC 0 292,412 292,412 0.70% $6.08M
FIRST BANCORP/NC 0 84,935 84,935 0.55% $4.82M
HERITAGE FINL 0 157,513 157,513 0.48% $4.16M
OR ROYALTIES INC 0 85,168 85,168 0.46% $4.04M
VONTIER CORP W/I 0 97,881 97,881 0.46% $4.01M
CHURCHILL DOWNS INC 0 43,033 43,033 0.45% $3.96M
A10 NETWORKS INC 0 203,922 203,922 0.45% $3.93M
Hamilton Insurance Group Ltd., Class B 0 122,455 122,455 0.44% $3.87M
AVEANNA HEALTHCARE HOLDINGS INC 0 514,433 514,433 0.43% $3.79M
OCEANEERING INTL 0 105,690 105,690 0.43% $3.75M
SPECTRUM BRANDS HOLDINGS INC 0 47,618 47,618 0.43% $3.73M
DOLBY LABORATORIES INC CL A 0 52,994 52,994 0.41% $3.53M
LANTHEUS HOLDING 0 47,013 47,013 0.40% $3.52M
NCR ATLEOS CORP 0 77,907 77,907 0.40% $3.45M
TERADATA CORP 0 108,354 108,354 0.39% $3.41M
CREDIT ACCEPTANCE CORP 0 7,196 7,196 0.39% $3.41M
EPAM SYSTEMS INC 0 23,929 23,929 0.39% $3.37M
HELIX ENERGY SOL GRP INC 0 357,763 357,763 0.38% $3.29M
ASGN INC 0 72,795 72,795 0.36% $3.12M
ASHLAND INC 0 49,949 49,949 0.36% $3.11M
SOUTH PLAINS FINANCIAL INC 0 75,540 75,540 0.36% $3.09M
CROSS COUNTRY HEALTHCARE INC 0 349,122 349,122 0.35% $3.04M
CITIZENS COMMUNI 0 167,375 167,375 0.33% $2.91M
COLUMBUS MCKI/NY 0 151,957 151,957 0.33% $2.88M
EZCORP INC CL A NON VTG 0 107,670 107,670 0.33% $2.86M
WINNEBAGO INDUSTRIES INC 0 70,969 70,969 0.33% $2.83M
BRP GROUP INC-A 0 105,846 105,846 0.28% $2.46M
FTI CONSULTING INC 0 14,854 14,854 0.28% $2.44M
GRAPHIC PACKAGING HOLDING CO 0 197,058 197,058 0.28% $2.41M
INSIGHT ENTERPRISES INC 0 27,271 27,271 0.26% $2.28M
ROBERT HALF INTL 0 89,761 89,761 0.25% $2.19M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
SLM CORP 276,524 0 -276,524 0.00% -$8.10M
PEDIATRIX MEDICAL GROUP INC 263,830 0 -263,830 0.00% -$6.36M
ABERCROMBIE & FI 61,363 0 -61,363 0.00% -$6.01M
KONTOOR BRANDS INC 67,636 0 -67,636 0.00% -$5.03M
INGREDION INC 45,236 0 -45,236 0.00% -$4.86M
ACADEMY SPORTS and OUTDOORS INC 98,998 0 -98,998 0.00% -$4.78M
MODINE MFG CO 27,966 0 -27,966 0.00% -$4.53M
WORLD KINECT CORP 188,822 0 -188,822 0.00% -$4.38M
URBAN OUTFITTERS 55,527 0 -55,527 0.00% -$4.11M
BUILD A BEAR WORKSHOP INC 76,636 0 -76,636 0.00% -$4.07M
CADENCE BANK 101,761 0 -101,761 0.00% -$4.05M
HEIDRICK & STRUG 67,365 0 -67,365 0.00% -$3.97M
METHANEX CORP 108,216 0 -108,216 0.00% -$3.85M
STEVEN MADDEN LTD 89,133 0 -89,133 0.00% -$3.72M
ECOVYST INC 383,542 0 -383,542 0.00% -$3.53M
MASTERBRAND INC 300,544 0 -300,544 0.00% -$3.33M
WSFS FINANCIAL CORP 58,500 0 -58,500 0.00% -$3.26M
COCA COLA CONSOLIDATED INC 19,990 0 -19,990 0.00% -$3.26M
KNIFE RIVER HOLDING CO W/I 42,750 0 -42,750 0.00% -$3.20M
BELLRING BRANDS INC 93,269 0 -93,269 0.00% -$2.88M
NCR VOYIX CORP 279,435 0 -279,435 0.00% -$2.83M
BLUE OWL CAPITAL CORP COMMON STOCK 205,125 0 -205,125 0.00% -$2.70M
PINNACLE FINL PARTNERS INC 28,873 0 -28,873 0.00% -$2.65M
UNIVERSAL TECHNI 101,723 0 -101,723 0.00% -$2.34M
OPORTUN FIN CORP 416,621 0 -416,621 0.00% -$2.15M
DIAMOND HILL INVEST GRP INC 17,356 0 -17,356 0.00% -$2.05M
KELLY SERVICES INC CL A 229,120 0 -229,120 0.00% -$1.98M
WOLVERINE WORLD WIDE INC 119,774 0 -119,774 0.00% -$1.94M
EMPLOYERS HOLDINGS INC 44,215 0 -44,215 0.00% -$1.76M
ALLIANCEBERNSTEIN HOLDING LP 39,115 0 -39,115 0.00% -$1.62M
Bath & Body Works Inc 81,298 0 -81,298 0.00% -$1.42M
LEGACY HOUSING CORP 15,111 0 -15,111 0.00% -$301.16K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
Mount Vernon Liquid Assets Portfolio, LLC 77,033,946 92,801,420 15,767,474 10.66% $15.77M
U.S. Bank Money Market Deposit Account 6,744,701 11,972,717 5,228,016 1.37% $5.23M
BEL FUSE INC NV CL B 43,685 46,667 2,982 1.23% $3.99M
STONEX GROUP INC 66,603 83,699 17,096 1.23% $4.64M
FRONTDOOR INC 72,384 154,298 81,914 1.22% $6.68M
National Energy Services Reunited Corporation 375,096 400,702 25,606 1.15% $4.81M
LAUREATE EDUCATION INC CL A 268,613 286,950 18,337 1.07% $979.82K
GRANITE CONSTRUCTION INC 60,523 64,654 4,131 1.00% $2.19M
NICOLET BANKSHARES INC 34,055 54,401 20,346 0.95% $4.02M
NORTHEAST BANK 55,550 73,527 17,977 0.94% $3.22M
GRAND CANYON EDUCATION INC 27,287 51,222 23,935 0.94% $3.84M
FEDERAL AGRI MTG NON VTG CL C 44,337 51,420 7,083 0.93% $491.55K
MAGNITE INC 487,806 587,567 99,761 0.92% $836.79K
FIRST AMERICAN FINANCIAL CORP 95,215 113,560 18,345 0.91% $1.70M
BRINK'S CO/THE 62,139 66,381 4,242 0.89% $771.24K
INTERDIGITAL INC 17,432 20,543 3,111 0.86% $1.29M
ADEIA INC 331,346 353,965 22,619 0.84% $3.22M
GUARDIAN PHARMACY SERVICES INC 199,187 212,786 13,599 0.82% $1.30M
TIDEWATER INC 65,735 89,330 23,595 0.81% $3.54M
CARGURUS INC CL A 111,487 222,934 111,447 0.79% $2.91M
MATSON INC 37,495 40,055 2,560 0.76% $2.57M
OPPENHEIMER HO-A 47,972 76,870 28,898 0.76% $3.37M
HURON CONSULTING GROUP INC 43,889 46,885 2,996 0.76% -$595.03K
HANCOCK WHITNEY CORP 58,795 99,362 40,567 0.75% $2.98M
HNI CORP 102,420 144,127 41,707 0.74% $2.23M
OLD SECOND BNCRP 183,845 326,806 142,961 0.74% $2.95M
MAXIMUS INC 54,928 84,153 29,225 0.73% $1.63M
BENCHMARK ELECTRONICS INC 102,042 109,008 6,966 0.72% $1.72M
DAKTRONICS INC 169,551 236,709 67,158 0.70% $2.89M
BELDEN INC 30,821 42,355 11,534 0.70% $2.57M
OPTION CARE HEALTH INC 143,073 185,724 42,651 0.69% $1.58M
COVISTA INC 50,115 60,909 10,794 0.69% $1.33M
IBEX LTD 191,534 204,421 12,887 0.68% -$832.31K
WEATHERFORD INTERNATIONAL PLC 43,913 55,348 11,435 0.67% $2.55M
AXIS CAPITAL HOLDINGS LTD 51,228 54,724 3,496 0.66% $547.87K
UPWORK INC 285,573 427,693 142,120 0.66% $102.43K
HALOZYME THERAPEUTICS INC 41,007 81,443 40,436 0.65% $2.73M
ELEMENT SOLUTIONS INC 125,631 160,045 34,414 0.64% $2.36M
STEWART INFO SVC 73,416 78,426 5,010 0.64% -$58.41K
BYLINE BANCORP INC 117,663 177,998 60,335 0.64% $2.27M
SOUTH BOW CORP 161,032 172,024 10,992 0.64% $1.10M
GROUP 1 AUTOMOTIVE INC 14,251 16,939 2,688 0.63% -$197.51K
MURPHY USA INC 10,721 14,033 3,312 0.63% $1.35M
VALVOLINE INC 93,506 143,644 50,138 0.62% $2.50M
SENSATA TECHNOLOGIES HOLDING PLC 136,041 145,327 9,286 0.62% $1.06M
ARCHROCK INC 142,434 152,156 9,722 0.62% $1.88M
LEGALZOOMCOM INC 332,508 763,878 431,370 0.62% $2.27M
COMMERCIAL METALS CO 68,251 72,910 4,659 0.61% $991.25K
ADDUS HOMECARE CORP 33,403 49,625 16,222 0.59% $1.12M
HOME BANCSHARES INC 121,919 184,122 62,203 0.58% $1.63M
RED RIVER BANCSHARES INC 40,353 56,266 15,913 0.57% $2.16M
BRISTOW GROUP INC 80,988 104,291 23,303 0.57% $1.94M
OMNICELL INC 93,569 120,574 27,005 0.57% $1.54M
AXOS FINANCIAL INC 41,497 56,965 15,468 0.57% $1.54M
HAEMONETICS CORP MASS 56,180 77,694 21,514 0.56% $349.34K
WEX INC 21,215 32,694 11,479 0.56% $1.73M
PENNYMAC FINANCIAL SERVICES INC 36,962 52,007 15,045 0.55% -$192.97K
CRA INTERNATIONAL INC 25,713 27,467 1,754 0.54% $208.22K
LSI INDUSTRIES INC 204,905 218,895 13,990 0.54% $984.80K
FIRST MID BANCSHARES INC 61,594 114,873 53,279 0.54% $2.37M
PHOTRONICS INC 115,392 123,271 7,879 0.53% $1.97M
TAYLOR MORRISON HOME CORP 65,410 69,875 4,465 0.53% $503.51K
LIVERAMP HOLDINGS INC 157,591 168,348 10,757 0.53% $27.51K
BAR HARBOR BNKSH 102,042 141,210 39,168 0.52% $1.51M
LEAR CORP NEW 32,133 34,326 2,193 0.52% $1.06M
CATALYST PHARMACEUTICALS INC 129,877 190,842 60,965 0.51% $1.36M
NATURE'S SUNSHNE 147,262 157,316 10,054 0.50% $1.32M
WYNDHAM HOTELS and RESORTS INC 36,633 53,086 16,453 0.50% $1.66M
OSI SYSTEMS INC 11,347 15,004 3,657 0.49% $1.21M
VISTEON CORP 27,656 44,390 16,734 0.49% $1.39M
CIRRUS LOGIC INC 28,041 29,955 1,914 0.49% $852.80K
JAMES RIVER GROUP HOLDINGS INC 580,348 602,153 21,805 0.48% $796.82K
HARMONY BIOSCIENCES HOLDINGS INC 87,274 147,528 60,254 0.48% $1.13M
ABM INDUSTRIES INC 87,957 93,961 6,004 0.48% $399.11K
FIRST INDUSTRIAL REALTY TRUST 61,338 65,525 4,187 0.48% $626.26K
BGC GROUP INC-A 400,638 427,987 27,349 0.47% $588.89K
KBR INC 81,869 94,554 12,685 0.46% $618.38K
FIRST ADVANTAGE CORP 324,310 346,449 22,139 0.46% -$513.79K
LANDSTAR SYSTEM INC 22,425 23,956 1,531 0.45% $969.54K
AZZ INC 26,796 28,624 1,828 0.45% $1.07M
CONNECTONE BANCORP INC 101,266 144,258 42,992 0.44% $1.27M
BOYD GAMING CORP 34,490 45,868 11,378 0.44% $944.58K
ESSENTIAL PROPERTIES REALTY TRUST INC 104,081 111,187 7,106 0.43% $478.48K
GIBRALTAR INDUSTRIES INC 63,267 82,658 19,391 0.43% $598.47K
ESSENT GROUP LTD 56,128 59,960 3,832 0.42% $125.37K
MYERS INDUSTRIES 151,624 161,976 10,352 0.42% $885.07K
PENNYMAC MORTGAGE INV TRUST 212,202 292,243 80,041 0.41% $858.23K
COLUMBIA BANKING SYSTEMS INC 116,882 124,862 7,980 0.41% $312.35K
HERITAGE COMMERCE CORP 266,331 284,512 18,181 0.41% $636.14K
NORTHRIM BANCORP INC 113,347 149,900 36,553 0.40% $737.35K
MAYVILLE ENGINEERING CO INC 155,135 165,726 10,591 0.40% $844.50K
STAGWELL INC 527,610 703,958 176,348 0.39% $565.09K
Civeo Corporation 112,855 119,623 6,768 0.38% $796.82K
GREEN BRICK PARTNERS INC 42,033 44,902 2,869 0.38% $454.28K
EURONET WORLDWIDE INC 33,570 45,249 11,679 0.36% $659.87K
Global Indemnity Group LLC 107,298 109,107 1,809 0.36% $133.70K
KORN FERRY 46,249 49,406 3,157 0.36% $54.48K
JANUS INTERNATIONAL GROUP INC 397,301 424,421 27,120 0.34% $486.73K
KARAT PACKAGING INC 111,561 119,177 7,616 0.34% $478.91K
EVERTEC INC 93,450 99,831 6,381 0.32% $125.51K
QORVO INC 30,991 33,106 2,115 0.32% $82.67K
INSTALLED BUILDING PRODUCTS INC 7,798 8,331 533 0.31% $640.55K
REDWOOD TRUST INC REIT 403,685 431,243 27,558 0.30% $384.72K
SILVERCREST ASSET MGMT GRP INC CL A 165,231 171,440 6,209 0.30% $326.56K
GOLUB CAPITAL BDC INC COMMON STOCK 201,557 215,317 13,760 0.30% -$258.29K
EVERQUOTE INC CL A 148,774 158,930 10,156 0.29% -$1.42M
CTO REALTY GROWTH INC 118,354 126,434 8,080 0.28% $323.09K
CONCENTRIX CORP 67,087 71,665 4,578 0.27% -$78.61K
NOW INC 179,845 192,123 12,278 0.26% -$247.43K
COUSINS PROPERTIES INC 87,714 93,702 5,988 0.25% -$91.13K
YEXT INC 352,852 376,938 24,086 0.25% -$830.01K
AMERISAFE INC 46,952 50,157 3,205 0.19% -$284.03K
BRT APARTMENTS CORP 86,148 92,031 5,883 0.16% $88.89K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
FIRSTCASH HOLDINGS INC 68,311 62,337 -5,974 1.38% $1.20M
PRIMORIS SVCS CORP 80,662 54,750 -25,912 0.95% -$1.96M
ASSURED GUARANTY LTD 85,678 81,642 -4,036 0.81% -$718.93K
Tri-State Deposit 15,859,462 7,007,849 -8,851,614 0.80% -$8.85M
PREFERRED BANK LOS ANGELES 78,433 68,675 -9,758 0.69% -$1.38M
ENERSYS INC 45,010 34,121 -10,889 0.65% -$772.18K
CARRIAGE SERVICES INC 141,475 118,170 -23,305 0.63% -$681.78K
ARROW ELECTRONICS INC 36,423 33,937 -2,486 0.59% $1.23M
AVNET INC 86,602 74,756 -11,846 0.57% $807.47K
CAVCO INDUSTRIES INC 7,648 7,319 -329 0.49% -$330.57K
AXCELIS TECHNOLOGIES INC 53,663 48,130 -5,533 0.46% -$465.67K
VIPER ENERGY INC A 132,787 80,838 -51,949 0.43% -$1.09M
GRIFFON CORP 59,319 41,396 -17,923 0.41% -$920.33K
WHITE MOUNTAINS INS GROUP LTD 2,687 1,504 -1,183 0.38% -$2.10M
DXP ENTERPRISES INC 36,642 23,291 -13,351 0.37% -$218.88K
VOYA FINANCIAL INC 66,121 48,139 -17,982 0.37% -$1.43M
PRICESMART INC 38,717 20,421 -18,296 0.36% -$1.61M
LCI INDUSTRIES 35,337 22,229 -13,108 0.34% -$1.06M
STERLING INFRASTRUCTURE INC 9,635 6,652 -2,983 0.33% -$469.51K
LITTELFUSE INC 9,516 7,842 -1,674 0.32% $327.70K
PURE CYCLE CORP 156,370 142,370 -14,000 0.17% -$274.64K

No positions in this category.

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