NINCX
Neuberger Berman Intrinsic Value Fund
NEUBERGER BERMAN EQUITY FUNDS

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
MAGNUM ICE CREAM 0 672,701 672,701 0.82% $10.68M
HB FULLER CO 0 161,862 161,862 0.82% $10.64M
HILLMAN SOLUTIONS CORP 0 677,675 677,675 0.43% $5.56M
CENTURI HOLDINGS INC 0 166,700 166,700 0.40% $5.17M
DENTSPLY SIRONA INC 0 304,370 304,370 0.34% $4.47M
AZENTA INC 0 159,601 159,601 0.33% $4.31M
RIBBON COMM INC WRNTS 0 1,511,444 1,511,444 0.03% $342.71K
CONTRA TREEHOUSE FOODS 0 169,122 169,122 0.02% $295.96K
CYTOSORBENTS CORP RESTRICTED 0 131,579 131,579 0.00% $0
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
TREEHOUSE FOODS INC 343,799 0 -343,799 0.00% -$8.21M
SEALED AIR CORP 181,439 0 -181,439 0.00% -$7.79M
HARMONIC INC 123,482 0 -123,482 0.00% -$1.18M
RIBBON COMM INC WRNTS 1,511,444 0 -1,511,444 0.00% -$831.18K
CYTOSORBENTS CORP RESTRICTED 131,579 0 -131,579 0.00% $0
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
IPG PHOTONICS CORP 184,957 214,578 29,621 2.17% $13.50M
State Street Institutional Treasury Money Market Fund 14,281,137 14,769,242 488,105 1.14% $488.11K
VARONIS SYSTEMS INC 327,648 539,786 212,138 0.96% $1.63M
ITRON INC 91,934 131,011 39,077 0.95% $3.20M
ACADIA HEALTHCARE CO INC 326,750 494,828 168,078 0.89% $5.98M
QUIDELORTHO CORP 215,302 421,581 206,279 0.74% $3.70M
RADWARE LTD 312,849 402,214 89,365 0.72% $2.13M
NCR VOYIX CORP 284,999 881,227 596,228 0.52% $3.85M
VAREX IMAGING CORP 392,789 508,761 115,972 0.51% $2.16M
INTEGRA LIFESCIENCES HLDS CORP 488,254 560,108 71,854 0.49% -$31.86K
INDIE SEMICONDUCTOR INC 1,478,509 1,671,368 192,859 0.47% $853.71K
CEVA INC 208,554 279,573 71,019 0.45% $1.33M
CALERES INC 268,046 296,099 28,053 0.27% $381.80K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
VIASAT INC 1,481,712 1,355,053 -126,659 4.77% $11.17M
RESIDEO TECHNOLOGIES INC 1,150,136 1,117,233 -32,903 3.32% $5.29M
ORMAT TECHNOLOGIES INC 392,370 340,077 -52,293 2.71% -$9.04M
AERCAP HOLDINGS NV 267,249 226,405 -40,844 2.60% -$1.98M
HARSCO CORP 1,725,744 1,676,374 -49,370 2.44% $83.61K
VEECO INSTRUMENT 1,001,569 972,917 -28,652 2.29% $456.48K
HUNTINGTON BANCSHARES INC 1,648,569 1,601,409 -47,160 2.07% $32.00K
KBR INC 655,115 636,374 -18,741 2.07% -$129.77K
RAMBUS INC 294,614 255,313 -39,301 1.96% -$2.71M
AVERY DENNISON CORP 127,501 123,854 -3,647 1.87% $2.34M
OPENLANE INC 861,631 836,983 -24,648 1.83% $1.94M
HAEMONETICS CORP MASS 375,158 364,426 -10,732 1.77% -$7.44M
ATMOS ENERGY CORP 123,586 120,050 -3,536 1.72% $627.28K
TEMPUR SEALY INTERNATIONAL INC 257,824 250,448 -7,376 1.72% -$1.18M
ARCOSA INC 214,428 208,293 -6,135 1.72% -$457.83K
LIONSGATE STUDIOS CORP 2,694,372 2,468,339 -226,033 1.71% $2.12M
International Game Technology PLC 1,681,950 1,633,833 -48,117 1.70% -$4.15M
TEXAS CAPITAL BANCSHARES INC 238,745 231,916 -6,829 1.70% $573.96K
NORTHWESTERN ENERGY GROUP INC 321,925 312,716 -9,209 1.68% -$364.19K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 149,315 86,702 -62,613 1.65% -$4.62M
PORTLAND GENERAL ELECTRIC CO 397,619 386,245 -11,374 1.60% $634.78K
MERCURY SYSTEMS INC 300,284 233,073 -67,211 1.59% -$236.36K
NEW JERSEY RESOURCES CORP 371,860 361,222 -10,638 1.51% $1.71M
CNX RESOURCES CORP 471,521 458,032 -13,489 1.47% $822.70K
ADEIA INC 949,243 922,088 -27,155 1.47% $7.34M
TELEDYNE TECHNOLOGIES INC 28,670 27,849 -821 1.46% $4.65M
OSI SYSTEMS INC 68,456 66,497 -1,959 1.46% $423.64K
DEVON ENERGY CORP 442,298 429,645 -12,653 1.44% $2.31M
TECHNIPFMC PLC 449,679 278,435 -171,244 1.42% -$1.89M
CIENA CORP 155,549 52,092 -103,457 1.40% -$13.60M
TETRA TECHNOLOGIES INC 2,083,703 2,024,092 -59,611 1.35% $1.34M
COHERENT CORP 107,253 66,205 -41,048 1.32% -$474.92K
CRITEO SA-SPON ADR DEPOSITARY RECEIPT 945,198 923,858 -21,340 1.27% -$2.28M
SEMTECH CORP 178,635 173,524 -5,111 1.20% $2.41M
BLOOM ENERGY CORP CL A 130,727 94,941 -35,786 1.14% $498.85K
CLEAN HARBORS INC 49,287 47,877 -1,410 1.08% $2.82M
LEAR CORP NEW 109,754 106,614 -3,140 1.08% $2.21M
BANC OF CALIFORNIA INC 762,968 741,142 -21,826 1.05% -$380.24K
CLEVELAND-CLIFFS INC 1,263,982 1,227,822 -36,160 1.01% -$3.39M
AMNEAL PHARM INC 968,534 940,827 -27,707 1.00% $866.78K
STRATASYS LTD 1,301,865 1,264,623 -37,242 0.94% $734.93K
HELIOS TECHNOLOGIES INC 175,129 170,119 -5,010 0.93% $2.68M
NLIGHT INC 363,816 214,023 -149,793 0.92% -$791.29K
KYNDRYL HOLDINGS INC 978,298 950,312 -27,986 0.90% -$13.55M
BABCOCK & WILCOX 1,747,079 1,306,897 -440,182 0.89% $659.86K
COGNYTE SOFTWARE LTD 1,462,880 1,421,032 -41,848 0.77% -$2.21M
VISTRA CORP 55,554 53,965 -1,589 0.72% -$552.41K
RIBBON COMMUNICATIONS INC 4,305,634 4,182,453 -123,181 0.72% -$2.99M
CHARLES RIVER LABS INTL INC 48,961 47,561 -1,400 0.65% -$232.75K
BREAD FINANCIAL HOLDINGS 118,577 115,184 -3,393 0.63% $130.72K
WHIRLPOOL CORP 116,822 113,481 -3,341 0.60% -$1.27M
ATRICURE INC 251,535 244,339 -7,196 0.59% -$1.45M
UNDER ARMOUR INC CL C 1,047,479 1,017,514 -29,965 0.57% $2.72M
ALCOA CORP 120,033 116,599 -3,434 0.56% $2.23M
ROGERS CORP 67,546 65,615 -1,931 0.54% $1.41M
UIPATH INC -CL A 667,102 648,018 -19,084 0.53% -$2.29M
GLACIER BANCORP INC 131,845 128,074 -3,771 0.45% $249.04K
LIVERAMP HOLDINGS INC 219,805 213,517 -6,288 0.45% -$540.12K
INNOVEX INTERNATIONAL INC 220,433 214,128 -6,305 0.43% $788.34K
PATTERSON-UTI ENERGY INC 681,534 662,038 -19,496 0.43% $1.67M
CONDUENT INC 3,712,730 3,606,511 -106,219 0.40% -$1.94M
WIX.COM LTD 69,227 67,247 -1,980 0.36% -$1.89M
ONESPAN INC 429,161 416,885 -12,276 0.35% -$633.35K
ALBANY INTL CORP 81,693 79,355 -2,338 0.35% $679.69K
XPERI INC 760,702 738,941 -21,761 0.35% $125.24K
CONMED CORP 83,344 80,961 -2,383 0.29% $105.41K
UNISYS CORP NEW 1,560,869 1,516,217 -44,652 0.28% -$498.72K
UNITED PARKS & R 106,572 103,524 -3,048 0.28% -$244.58K
ORASURE TECHNOLOGIES INC 1,136,052 1,103,553 -32,499 0.27% $772.39K
NEOGEN CORP 313,181 304,222 -8,959 0.26% $1.54M
ALIGHT INC-CL A 1,833,275 1,803,740 -29,535 0.12% -$2.65M
STARZ ENTERTAINMENT CORP 121,436 119,337 -2,099 0.10% -$19.45K
STANDARD BIOTOOLS INC 1,067,680 1,037,137 -30,543 0.09% -$429.56K
INNOVIZ TECHNOLOGIES LTD 1,289,462 1,252,575 -36,887 0.08% -$582.19K
ACCURAY INC 1,447,975 1,406,553 -41,422 0.06% -$751.53K
HAIN CELESTIAL GROUP INC 702,697 682,595 -20,102 0.04% -$227.30K
CYTOSORBENTS CORP 666,061 647,006 -19,055 0.04% -$53.44K

No positions in this category.

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