NBMBX
Neuberger Berman Mid Cap Growth Fund
NEUBERGER BERMAN EQUITY FUNDS

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
76
Top-10 weight
31.18%
Effective holdings ?
53
Crowding ?
821.1

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 CENCORA INC 222,684 $82.87M 4.16%
2 HILTON WORLDWIDE HOLDINGS INC 240,522 $74.99M 3.77%
3 HOWMET AEROSPACE INC 281,184 $73.82M 3.71%
4 VERTIV HOLDINGS CO 287,678 $73.33M 3.68%
5 ROYAL CARIBBEAN CRUISES LTD 206,983 $64.36M 3.23%
6 QUANTA SVCS INC 101,601 $57.21M 2.87%
7 CLOUDFLARE INC-A 298,986 $51.48M 2.59%
8 IDEXX LABS INC 77,272 $50.75M 2.55%
9 CARDINAL HEALTH INC 211,948 $48.58M 2.44%
10 FASTENAL CO 1,021,382 $47.02M 2.36%
11 MONOLITHIC POWER SYS INC 40,163 $45.90M 2.31%
12 COMFORT SYSTEMS USA INC 31,849 $45.52M 2.29%
13 CELESTICA INC SUB VTG 161,154 $44.74M 2.25%
14 DATADOG INC CL A 343,949 $38.51M 1.94%
15 AXON ENTERPRISE INC 69,895 $37.91M 1.91%
16 ROSS STORES INC 173,785 $35.74M 1.80%
17 TARGA RESOURCES CORP 142,493 $33.60M 1.69%
18 VIKING HOLDINGS LTD 400,665 $31.26M 1.57%
19 ULTA BEAUTY INC 45,626 $31.24M 1.57%
20 CARVANA CO CL A 92,516 $30.92M 1.55%
21 FTAI AVIATION LTD 99,358 $30.38M 1.53%
22 TAPESTRY INC 179,469 $27.90M 1.40%
23 LPL FINL HLDGS INC 92,307 $27.73M 1.39%
24 SNOWFLAKE INC CL A 163,777 $27.58M 1.39%
25 MONGODB INC CL A 81,314 $26.71M 1.34%
26 HEICO CORP 81,933 $26.17M 1.32%
27 DARDEN RESTAURANTS INC 122,198 $26.13M 1.31%
28 AST SPACEMOBILE INC 328,249 $25.99M 1.31%
29 PURE STORAGE INC CL A 399,592 $25.66M 1.29%
30 EVERCORE INC A 82,999 $25.63M 1.29%
31 INSMED INC 170,841 $25.51M 1.28%
32 CASEY'S GENERAL 36,778 $25.21M 1.27%
33 NATERA INC 119,986 $24.96M 1.25%
34 AFFIRM HOLDINGS INC 523,441 $24.59M 1.24%
35 NU HOLDINGS LTD/CAYMAN ISLANDS 1,640,064 $24.57M 1.23%
36 State Street Navigator Securities Lending Portfolio II GVMXX 23,553,435 $23.55M 1.18%
37 VISTRA CORP 135,197 $23.51M 1.18%
38 ALNYLAM PHARMACEUTICALS INC 70,433 $23.45M 1.18%
39 US FOODS HOLDING CORP 236,200 $22.82M 1.15%
40 REDDIT INC-A 148,186 $21.61M 1.09%
41 ROCKET LAB CORP 312,056 $21.56M 1.08%
42 WATERS CORP 67,408 $21.53M 1.08%
43 TEXAS ROADHOUSE INC 116,641 $21.33M 1.07%
44 IREN LTD IREN 480,434 $19.67M 0.99%
45 DEXCOM INC 264,340 $19.41M 0.98%
46 ROBINHOOD MARKETS INC 252,177 $19.13M 0.96%
47 UNITED RENTALS INC 22,687 $19.06M 0.96%
48 TRADEWEB MARKETS INC A 140,892 $17.37M 0.87%
49 EXPEDIA INC 80,179 $17.29M 0.87%
50 QXO INC 683,690 $16.37M 0.82%
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