NBGIX
Neuberger Berman Genesis Fund
NEUBERGER BERMAN EQUITY FUNDS

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
110
Top-10 weight
18.08%
Effective holdings ?
87
Crowding ?
451.7

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VALMONT INDUSTRIES INC 378,424 $174.05M 2.03%
2 LITTELFUSE INC 484,986 $170.94M 2.00%
3 WHITE MOUNTAINS INS GROUP LTD 75,190 $166.96M 1.95%
4 RBC BEARINGS INC 279,606 $161.03M 1.88%
5 MKS INSTRUMENTS INC 647,696 $158.34M 1.85%
6 TIDEWATER INC 1,912,392 $151.88M 1.77%
7 KIRBY CORP 1,163,740 $151.05M 1.76%
8 LATTICE SEMICONDUCTOR CORP 1,519,920 $145.33M 1.70%
9 NEXSTAR MEDIA GROUP INC 538,350 $135.14M 1.58%
10 COMMUNITY FINANCIAL SYSTEM INC 2,201,264 $133.29M 1.56%
11 CNX RESOURCES CORP 3,158,138 $131.95M 1.54%
12 ADV ENERGY INDS 391,758 $131.46M 1.54%
13 BRADY CORPORATION CL A 1,422,416 $131.35M 1.53%
14 STANDEX INTL CORP 494,110 $129.46M 1.51%
15 PROSPERITY BNCSH 1,837,017 $129.27M 1.51%
16 GATES INDUSTRIAL CORP PLC 4,687,805 $129.24M 1.51%
17 ESAB CORP 966,128 $121.90M 1.42%
18 UMB FINANCIAL CORP 1,021,548 $118.38M 1.38%
19 IDACORP INC 786,140 $113.18M 1.32%
20 POWER INTEGRATIONS INC 2,360,154 $113.10M 1.32%
21 FIRSTSERVICE-WI 709,230 $111.75M 1.31%
22 ELEMENT SOLUTIONS INC 3,171,348 $111.28M 1.30%
23 GLACIER BANCORP INC 2,411,189 $109.68M 1.28%
24 VIPER ENERGY INC A 2,338,323 $108.83M 1.27%
25 ESCO TECHNOLOGIES INC 392,254 $108.77M 1.27%
26 AMER STATES WATE 1,455,606 $108.49M 1.27%
27 TEXAS ROADHOUSE INC 581,913 $106.41M 1.24%
28 BIO-TECHNE CORP 1,783,584 $105.23M 1.23%
29 ARCOSA INC 974,728 $104.76M 1.22%
30 JACK HENRY 637,259 $103.53M 1.21%
31 SPX TECHNOLOGIES INC 455,453 $103.36M 1.21%
32 STEWART INFO SVC 1,453,571 $103.19M 1.21%
33 TORO CO 1,035,325 $102.35M 1.20%
34 ENERPAC TOOL GROUP CORP CL A 2,474,584 $100.96M 1.18%
35 UGI CORP NEW 2,696,176 $100.86M 1.18%
36 MARKETAXESS HLDGS INC 523,901 $100.59M 1.17%
37 KNOWLES CORP 3,543,252 $96.27M 1.12%
38 ARMSTRONG WORLD INDUSTRIES INC 541,245 $93.91M 1.10%
39 APTARGROUP INC 644,946 $92.69M 1.08%
40 FED SIGNAL CORP 788,158 $91.77M 1.07%
41 SAIA INC 223,898 $90.77M 1.06%
42 CHESAPEAKE UTILITIES CORP 658,742 $89.57M 1.05%
43 SIMPSON MFG 454,888 $88.05M 1.03%
44 VSE CORP 386,467 $87.76M 1.02%
45 TETRA TECH INC 2,377,658 $85.22M 1.00%
46 CHEMED CORP 204,946 $84.03M 0.98%
47 WINMARK CORP 180,934 $82.55M 0.96%
48 HAEMONETICS CORP MASS 1,289,027 $81.62M 0.95%
49 COLLIERS-SUBORD 668,727 $79.40M 0.93%
50 KADANT INC 233,243 $79.11M 0.92%
1 / 3 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.