SGICX
SGI U.S. Large Cap Equity Fund
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
BERKSHIRE HATH-B 0 6,063 6,063 1.47% $3.06M
Mount Vernon Liquid Assets Portfolio, LLC 0 2,851,944 2,851,944 1.37% $2.85M
CBOE GLOBAL MARKETS INC 0 7,159 7,159 1.03% $2.15M
CENCORA INC 0 5,251 5,251 0.94% $1.95M
WELLTOWER INC 0 7,732 7,732 0.77% $1.60M
UNITED AIRLINES HOLDINGS INC 0 13,585 13,585 0.69% $1.44M
PALANTIR TECHNOLOGIES INC 0 8,933 8,933 0.59% $1.23M
INVESCO S P 500 LOW VOLATILITY ETF 0 15,717 15,717 0.58% $1.22M
GENERAL DYNAMICS CORPORATION 0 3,004 3,004 0.52% $1.07M
CINTAS CORP 0 4,559 4,559 0.44% $916.95K
iShares MSCI USA Min Vol Factor ETF 0 7,119 7,119 0.33% $696.31K
KEYCORP 0 32,502 32,502 0.32% $674.09K
BANK OF AMERICA CORPORATION 0 13,309 13,309 0.32% $663.19K
ROPER TECHNOLOGIES INC 0 1,489 1,489 0.25% $520.75K
SYSCO CORP 0 5,671 5,671 0.25% $516.97K
ROSS STORES INC 0 2,370 2,370 0.23% $487.37K
EOG RESOURCES INC 0 3,883 3,883 0.23% $481.80K
HOST HOTELS & RE 0 24,153 24,153 0.23% $473.16K
TEXTRON INC 0 4,696 4,696 0.22% $463.26K
DECKERS OUTDOOR CORP 0 3,876 3,876 0.22% $454.54K
BROADCOM INC 0 1,354 1,354 0.21% $432.67K
CINCINNATI FINANCIAL CORP 0 2,575 2,575 0.20% $422.25K
CARNIVAL CORP 0 12,933 12,933 0.20% $408.04K
CROWDSTRIKE HOLDINGS INC 0 879 879 0.16% $326.97K
VERSANT MEDIA GROUP INC - A 0 0 0 0.00% $1
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
ZOOM VIDEO COMMUNICATIONS INC CL A 50,915 0 -50,915 0.00% -$4.33M
T-MOBILE US INC 14,240 0 -14,240 0.00% -$2.98M
GILEAD SCIENCES INC 20,349 0 -20,349 0.00% -$2.56M
VERALTO CORP 20,544 0 -20,544 0.00% -$2.08M
PAYCHEX INC 16,338 0 -16,338 0.00% -$1.82M
GODADDY INC CL A 13,871 0 -13,871 0.00% -$1.77M
HUBSPOT INC 3,963 0 -3,963 0.00% -$1.46M
PACKAGING CORP OF AMERICA 5,243 0 -5,243 0.00% -$1.07M
COTERRA ENERGY INC 36,872 0 -36,872 0.00% -$989.64K
TARGA RESOURCES CORP 3,820 0 -3,820 0.00% -$669.68K
GE VERNOVA LLC 1,005 0 -1,005 0.00% -$602.77K
AMGEN INC 1,593 0 -1,593 0.00% -$550.32K
COMCAST CORP CL A 20,551 0 -20,551 0.00% -$548.51K
DYNATRACE INC 12,164 0 -12,164 0.00% -$542.03K
UNITEDHEALTH GRP 1,479 0 -1,479 0.00% -$487.73K
PROCTER & GAMBLE 2,918 0 -2,918 0.00% -$432.33K
APPLOVIN CORP 707 0 -707 0.00% -$423.83K
BROWN & BROWN 4,785 0 -4,785 0.00% -$384.86K
SERVICENOW INC 447 0 -447 0.00% -$363.15K
KEURIG DR PEPPER INC 12,935 0 -12,935 0.00% -$360.89K
NUTANIX INC CL A 7,096 0 -7,096 0.00% -$339.19K
FORTINET INC 4,071 0 -4,071 0.00% -$330.28K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
PROGRESSIVE CORP OHIO 31,733 32,015 282 3.29% -$419.87K
MONSTER BEVERAGE CORP 61,011 75,456 14,445 3.09% $1.86M
MASTERCARD INC CL A 11,191 11,410 219 2.84% -$259.62K
AUTOMATIC DATA PROCESSING INC 24,210 25,242 1,032 2.60% -$769.94K
ALPHABET INC CL C 15,670 16,961 1,291 2.54% $265.88K
NVIDIA CORP 7,840 22,962 15,122 1.95% $2.68M
CARDINAL HEALTH INC 15,217 15,250 33 1.68% $265.80K
AMPHENOL CORPORATION CL A 12,617 23,755 11,138 1.67% $1.69M
CBRE GROUP INC - CL A 7,241 20,095 12,854 1.43% $1.80M
EVERGY INC 6,027 34,121 28,094 1.37% $2.39M
MICROSOFT CORP 6,339 6,499 160 1.23% -$566.43K
WASTE MANAGEMENT INC 6,225 9,385 3,160 1.09% $904.04K
EMCOR GROUP INC 641 2,891 2,250 1.01% $1.70M
TRAVELERS COS IN 4,374 6,493 2,119 0.96% $723.03K
U.S. Bank Money Market Deposit Account 1,460,797 1,775,203 314,405 0.85% $314.41K
LOEWS CORP 7,406 9,719 2,313 0.51% $270.40K
THE BOOKING HOLDINGS INC 87 164 77 0.33% $267.68K
BOSTON SCIENTIFIC CORP 4,719 5,739 1,020 0.21% -$38.31K
INTERCONTINENTAL EXCHANGE INC 2,365 2,515 150 0.20% $40.77K
DOORDASH INC-A 2,084 2,244 160 0.19% -$17.40K
SALESFORCE INC 1,840 2,025 185 0.19% -$29.74K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
NEWMONT CORP 79,092 62,240 -16,852 3.89% $915.18K
COLGATE-PALMOLIVE CO 93,930 76,111 -17,819 3.63% -$5.39K
MICRON TECHNOLOGY INC 23,885 17,743 -6,142 3.52% $1.67M
REGENERON PHARMACEUTICALS INC 12,681 8,364 -4,317 3.14% -$3.36M
PEPSICO INC 41,185 38,369 -2,816 3.13% $386.90K
COSTCO WHOLESALE CORP 7,615 6,411 -1,204 3.11% -$476.81K
META PLATFORMS INC CL A 9,695 9,020 -675 2.81% -$435.29K
DTE ENERGY CO 39,995 38,346 -1,649 2.73% $203.90K
INCYTE CORP 64,008 48,812 -15,196 2.37% -$1.74M
BIOMARIN PHARMACEUTICAL INC 77,928 76,947 -981 2.28% $391.43K
CMS ENERGY CORP 61,208 59,649 -1,559 2.24% $39.27K
MERCK & CO 36,573 33,749 -2,824 2.01% $344.85K
LILLY ELI and CO 4,063 3,879 -184 1.96% -$288.97K
MCKESSON CORP 3,309 3,250 -59 1.54% $293.33K
CONSOLIDATED EDISON INC 27,239 26,382 -857 1.43% $234.80K
CF INDUSTRIES HOLDINGS INC 27,914 26,967 -947 1.29% $487.46K
UNITED THERAPEUTICS CORP DEL 4,907 4,554 -353 1.10% -$90.04K
NISOURCE INC 76,378 48,131 -28,247 1.09% -$1.09M
FREEPORT MCMORAN INC 53,358 32,861 -20,497 1.07% -$56.15K
EVEREST REINSURANCE GROUP LTD 6,287 6,132 -155 0.99% $81.28K
ALLSTATE CORPORATION 9,339 9,171 -168 0.95% -$21.66K
ATMOS ENERGY CORP 21,731 8,407 -13,324 0.75% -$2.26M
ARCH CAPITAL GROUP LTD 14,954 14,797 -157 0.71% $77.44K
VERISIGN INC 13,068 5,857 -7,211 0.64% -$1.96M
ADOBE INC 6,923 4,809 -2,114 0.61% -$954.33K
ELEVANCE HEALTH INC 9,151 3,933 -5,218 0.60% -$1.84M
AMEREN CORP 11,228 10,961 -267 0.60% $47.56K
ARISTA NETWORKS INC 44,406 8,842 -35,564 0.57% -$4.62M
AUTOZONE INC 314 308 -6 0.56% -$84.94K
VERTEX PHARMACEUTICALS INC 2,358 2,261 -97 0.54% $100.88K
TYSON FOODS INC CL A 38,247 16,890 -21,357 0.53% -$1.12M
SIMON PROPERTY 15,305 3,552 -11,753 0.35% -$2.13M
DUKE ENERGY CORP NEW 7,358 5,427 -1,931 0.34% -$201.83K
NEUROCRINE BIOSCIENCES INC 19,062 4,752 -14,310 0.30% -$2.27M
EXXON MOBIL CORP 4,110 3,913 -197 0.29% $120.30K
COGNIZANT TECH SOLUTIONS CL A 11,612 8,948 -2,664 0.28% -$325.85K
MARATHON PETROLEUM CORP 2,660 2,409 -251 0.23% -$37.83K
CADENCE DESIGN SYSTEMS INC 4,032 1,209 -2,823 0.18% -$892.95K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
EXELON CORP 62,216 62,216 0 1.48% $146.21K
CME GROUP INC CL A 3,527 3,527 0 0.54% $134.17K
BANK OF NEW YORK MELLON CORP 9,427 9,427 0 0.54% $65.99K
NRG ENERGY INC 3,052 3,052 0 0.26% $28.90K
RALPH LAUREN CORP 1,384 1,384 0 0.24% -$6.55K
FOX CORPORATION B 9,373 9,373 0 0.23% -$61.21K
PUB SERV ENTERP 5,432 5,432 0 0.22% $13.85K
MARSH & MCLENNAN 2,372 2,372 0 0.21% $7.80K
NVR INC 56 56 0 0.20% $588
O'REILLY AUTOMOTIVE INC 4,255 4,255 0 0.19% -$33.27K
VISTRA CORP 2,278 2,278 0 0.19% -$11.32K
NETFLIX INC 3,820 3,820 0 0.18% -$43.32K
CENTENE CORP 7,927 7,927 0 0.17% $43.92K

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