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Neuberger Berman Group LLC

The positions Neuberger Berman Group LLC reported on its Form 13F for Q2 2026, the quarter ending 30 Jun 2026, filed on 13 Aug 2026. Every figure below is the filing’s own: US-listed long equity, valued at the quarter end, with the change measured against the same manager’s previous filing.

Reported book
$150bn
+$18.9bn on Q1 2026
Positions
2,342
1 new, 87 sold out
Top ten weight
23%
Spread across the book
Quarter
Q2 2026
Filed 13 Aug 2026
Read the Q2 2026 filing on sec.gov CIK 0001465109 · Long-only · NY
Reported book by quarter
$0$75.2bn$150bnQ3 24: $128bn$128bnQ3 24Q4 24: $126bn$126bnQ4 24Q1 25: $119bn$119bnQ1 25Q2 25: $130bn$130bnQ2 25Q3 25: $137bn$137bnQ3 25Q4 25: $134bn$134bnQ4 25Q1 26: $131bn$131bnQ1 26Q2 26: $150bn$150bnQ2 26
Largest positions, share of the book
Nvidia Corp (NVDA): 4.1%Nvidia Corp (NVDA)4.1%Apple Inc (AAPL): 3.3%Apple Inc (AAPL)3.3%Amazon Com Inc (AMZN): 3.1%Amazon Com Inc (AMZN)3.1%Microsoft Corp (MSFT): 2.6%Microsoft Corp (MSFT)2.6%Alphabet Inc Class A A: 2.4%Alphabet Inc Class A A2.4%Alphabet Inc-cl C: 2.1%Alphabet Inc-cl C2.1%JPMorgan Chase & Co: 1.7%JPMorgan Chase & Co1.7%Eli Lilly & Co (LLY): 1.4%Eli Lilly & Co (LLY)1.4%iShares Core S&P 500 ETF: 1.3%iShares Core S&P 500 ETF1.3%Broadcom Inc (AVGO): 1.0%Broadcom Inc (AVGO)1.0%

Opened this quarter

A new position is the clearest thing a filing says. Somebody argued for it recently, and it is the easiest question to be ready for.

  • Space Exploration Technologies Cor A$363m · 0.2%

Sold out of this quarter

Exits are valued at what the position was worth in the previous filing, because by this one it is gone.

  • Honeywell International Inc (HON)$186m held before
  • Enviri Corp (NVRI)$119m held before
  • Hologic Inc$103m held before
  • Carnival Corp (CCL)$97m held before
  • Coterra Energy Inc$92m held before
  • Masimo Corp$72m held before
  • Cra International Inc (CRAI)$61m held before
  • Exponent Inc (EXPO)$47m held before
  • Preformed Line Products Co (PLPC)$27m held before
  • Terns Pharmaceuticals Inc$25m held before
  • Sealed Air Corp$23m held before
  • Fastly Inc Class A A$9.5m held before
  • and 75 more.

Every reported position, Q2 2026

200 positions, sorted by weight · page 1 of 2

PositionWeightValueSharesChange on the quarterAction
Marriott International Inc Class A A
Common · CUSIP 571903202
0.1%$170m459,645
-$500k
-62,822 shares
Trimmed
Kirby Corp (KEX)
Common · CUSIP 497266106
0.1%$172m1,262,228
-$59m
-473,160 shares
Trimmed
Gilead Sciences Inc (GILD)
Common · CUSIP 375558103
0.1%$172m1,361,825
-$14m
+30,767 shares
Added
D R Horton Inc
Common · CUSIP 23331A109
0.1%$173m1,061,164
+$19m
-59,766 shares
Trimmed
Rambus Inc (RMBS)
Common · CUSIP 750917106
0.1%$173m1,311,777
+$62m
+9,608 shares
Added
Citigroup Inc
Common · CUSIP 172967424
0.1%$176m1,260,451
+$88m
+480,160 shares
Added
Standex International Corp
Common · CUSIP 854231107
0.1%$179m499,695
-$24m
-295,605 shares
Trimmed
Applovin Corp Class A A
Common · CUSIP 03831W108
0.1%$179m347,866
+$73m
+81,470 shares
Added
Coherent Corp (COHR)
Common · CUSIP 19247G107
0.1%$181m459,039
+$16m
-246,962 shares
Trimmed
SS SPDR S&P 500 ETF Trust-us
ETF · CUSIP 78462F103
0.1%$184m245,690
+$27m
+5,066 shares
Added
Digitalocean Holdings Inc (DOCN)
Common · CUSIP 25402D102
0.1%$184m1,170,873
+$108m
+282,853 shares
Added
O Reilly Automotive Inc (ORLY)
Common · CUSIP 67103H107
0.1%$184m1,996,090
+$25m
+271,976 shares
Added
Texas Roadhouse Inc (TXRH)
Common · CUSIP 882681109
0.1%$185m958,137
-$12m
-238,183 shares
Trimmed
Expedia Group Inc (EXPE)
Common · CUSIP 30212P303
0.1%$185m723,261
-$35m
-227,975 shares
Trimmed
Federal Signal Corp
Common · CUSIP 313855108
0.1%$185m1,441,454
+$35m
+47,697 shares
Added
Ul Solutions Inc - Class A
Common · CUSIP 903731107
0.1%$185m1,819,860
+$75m
+529,443 shares
Added
Idexx Laboratories Inc
Common · CUSIP 45168D104
0.1%$186m353,322
-$11m
+3,615 shares
Added
Neuberger Option Strategy Et
ETF · CUSIP 64135A705
0.1%$186m6,638,404
+$4.7m
-139,929 shares
Trimmed
Tidewater Inc
Common · CUSIP 88642R109
0.1%$187m2,803,406
-$87m
-467,965 shares
Trimmed
Waste Connections Inc (WCN)
Common · CUSIP 94106B101
0.1%$188m1,126,933
-$34m
-240,265 shares
Trimmed
Reddit Inc Class A A
Common · CUSIP 75734B100
0.1%$189m1,089,929
+$85m
+313,177 shares
Added
Wynn Resorts LTD (WYNN)
Common · CUSIP 983134107
0.1%$190m1,952,908
+$13m
+211,718 shares
Added
Seagate Technology Holdings PLC (STX)
Common · CUSIP G7997R103
0.1%$191m197,863
+$126m
+31,340 shares
Added
BHP Group Ltd-spon ADR
ADR · CUSIP 088606108
0.1%$193m2,313,533
+$29m
+56,489 shares
Added
Medtronic PLC (MDT)
Common · CUSIP G5960L103
0.1%$194m2,468,323
-$127m
-1,229,880 shares
Trimmed
Fedex Corp (FDX)
Common · CUSIP 31428X106
0.1%$194m617,054
+$134m
+450,546 shares
Added
Intl Business Machines Corp
Common · CUSIP 459200101
0.1%$194m689,624
+$16m
-44,962 shares
Trimmed
Aptargroup Inc (ATR)
Common · CUSIP 038336103
0.1%$194m1,548,824
+$46m
+374,287 shares
Added
Synopsys Inc (SNPS)
Common · CUSIP 871607107
0.1%$195m438,153
-$4.1m
-65,120 shares
Trimmed
Charles River Laboratories Interna
Common · CUSIP 159864107
0.1%$196m862,704
+$45m
-11,674 shares
Trimmed
iShares Core Msci Emerging
ETF · CUSIP 46434G103
0.1%$196m2,363,740
+$48m
+242,314 shares
Added
Kla Corp (KLAC)
Common · CUSIP 482480100
0.1%$196m650,951
+$75m
+568,781 shares
Added
NIKE Inc -cl B
Common · CUSIP 654106103
0.1%$197m4,791,138
+$22m
+1,487,543 shares
Added
Slb Ltd (SLB)
Common · CUSIP 806857108
0.1%$197m4,246,742
-$14m
+126,334 shares
Added
Eagle Materials Inc (EXP)
Common · CUSIP 26969P108
0.1%$200m889,261
+$59m
+142,644 shares
Added
Gates Industrial Corp PLC (GTES)
Common · CUSIP G39108108
0.1%$201m7,169,311
+$18m
-909,579 shares
Trimmed
Bio Techne Corp (TECH)
Common · CUSIP 09073M104
0.1%$201m2,844,692
+$26m
-496,145 shares
Trimmed
The Cigna Group (CI)
Common · CUSIP 125523100
0.1%$201m728,717
+$53m
+170,394 shares
Added
Mondelez International Inc-a
Common · CUSIP 609207105
0.1%$202m3,494,886
+$101m
+1,742,382 shares
Added
Warner Bros. Discovery Inc Series A
Common · CUSIP 934423104
0.1%$203m7,590,252
+$9.5m
+557,165 shares
Added
Live Nation Entertainment Inc (LYV)
Common · CUSIP 538034109
0.1%$204m1,111,101
+$76m
+272,595 shares
Added
Davita Inc (DVA)
Common · CUSIP 23918K108
0.1%$206m925,579
+$124m
+393,492 shares
Added
Colgate-palmolive Co (CL)
Common · CUSIP 194162103
0.1%$207m2,251,398
-$2.3m
-198,363 shares
Trimmed
Waste Management Inc (WM)
Common · CUSIP 94106L109
0.1%$207m929,385
-$25m
-79,174 shares
Trimmed
SS SPDR P High Yield ETF
ETF · CUSIP 78468R606
0.1%$207m8,848,319
-$17m
-770,807 shares
Trimmed
Revvity Inc (RVTY)
Common · CUSIP 714046109
0.1%$209m1,876,041
+$87m
+488,662 shares
Added
Glacier Bancorp Inc (GBCI)
Common · CUSIP 37637Q105
0.1%$211m4,081,530
+$12m
-375,742 shares
Trimmed
Ryan Specialty Holdings Inc Class A
Common · CUSIP 78351F107
0.1%$211m5,572,840
+$106m
+2,467,296 shares
Added
American States Water Co (AWR)
Common · CUSIP 029899101
0.1%$211m2,557,960
+$20m
+30,068 shares
Added
Stryker Corp (SYK)
Common · CUSIP 863667101
0.1%$212m672,964
+$136m
+442,400 shares
Added
Prosperity Bancshares Inc (PB)
Common · CUSIP 743606105
0.1%$212m2,900,025
+$6.2m
-160,017 shares
Trimmed
iShares Core Msci Eafe ETF
ETF · CUSIP 46432F842
0.1%$212m2,197,743
+$19m
+64,487 shares
Added
Littelfuse Inc
Common · CUSIP 537008104
0.1%$213m467,862
-$39m
-273,321 shares
Trimmed
Lattice Semiconductor Corp (LSCC)
Common · CUSIP 518415104
0.1%$214m1,401,783
-$23m
-1,160,853 shares
Trimmed
Eqt Corp (EQT)
Common · CUSIP 26884L109
0.1%$215m4,050,712
-$72m
-465,634 shares
Trimmed
Monolithic Power Systems Inc (MPWR)
Common · CUSIP 609839105
0.1%$216m156,360
+$52m
+6,253 shares
Added
Deere & Co (DE)
Common · CUSIP 244199105
0.1%$216m341,015
+$58m
+60,710 shares
Added
Brookfield Asset Management Voting A
Common · CUSIP 113004105
0.1%$218m4,854,713
+$50m
+1,080,300 shares
Added
Rockwell Automation Inc (ROK)
Common · CUSIP 773903109
0.1%$222m447,447
+$69m
+20,971 shares
Added
Coca-cola Co/the (KO)
Common · CUSIP 191216100
0.1%$221m2,724,833
+$12m
-29,964 shares
Trimmed
Walt Disney Co/the (DIS)
Common · CUSIP 254687106
0.1%$222m2,300,425
-$36m
-376,440 shares
Trimmed
Umb Financial Corp
Common · CUSIP 902788108
0.1%$223m1,562,240
+$31m
-137,399 shares
Trimmed
Devon Energy Corp
Common · CUSIP 25179M103
0.1%$224m5,417,436
+$112m
+3,185,132 shares
Added
Equinix REIT Inc REIT
COMMON · CUSIP 29444U700
0.1%$224m215,281
-$10m
-24,006 shares
Trimmed
Rio Tinto ADR Reptg One PLC ADR
ADR · CUSIP 767204100
0.2%$227m2,389,913
-$2.2m
-64,989 shares
Trimmed
Arcosa Inc (ACA)
Common · CUSIP 039653100
0.2%$229m1,579,472
-$54m
-1,094,373 shares
Trimmed
Eog Resources Inc (EOG)
Common · CUSIP 26875P101
0.2%$231m1,777,757
-$21m
+36,369 shares
Added
Community Financial System Inc (CBU)
Common · CUSIP 203607106
0.2%$232m3,456,640
+$14m
-258,785 shares
Trimmed
Abbott Laboratories (ABT)
Common · CUSIP 002824100
0.2%$232m2,558,111
-$63m
-320,615 shares
Trimmed
Apollo Global Management Inc
Common · CUSIP 03769M106
0.2%$233m1,966,436
+$5.3m
-73,471 shares
Trimmed
Amgen Inc (AMGN)
Common · CUSIP 031162100
0.2%$234m646,798
+$28m
+60,827 shares
Added
CNX Resources Corp (CNX)
Common · CUSIP 12653C108
0.2%$236m6,947,081
-$31m
+37,704 shares
Added
Schwab (charles) Corp
Common · CUSIP 808513105
0.2%$236m2,557,515
-$22m
-180,031 shares
Trimmed
Delta Air Lines Inc (DAL)
Common · CUSIP 247361702
0.2%$237m2,531,044
+$40m
-435,006 shares
Trimmed
Fifth Third Bancorp
Common · CUSIP 316773100
0.2%$239m4,229,029
+$73m
+668,115 shares
Added
Waters Corp
Common · CUSIP 941848103
0.2%$239m638,786
+$125m
+255,838 shares
Added
Lumentum Holdings Inc (LITE)
Common · CUSIP 55024U109
0.2%$241m280,339
+$96m
+73,334 shares
Added
Take Two Interactive Software Inc (TTWO)
Common · CUSIP 874054109
0.2%$245m979,993
+$94m
+213,843 shares
Added
White Mountains Insurance Group LT
Common · CUSIP G9618E107
0.2%$247m119,141
-$27m
-5,574 shares
Trimmed
Pfizer Inc (PFE)
Common · CUSIP 717081103
0.2%$248m10,281,652
-$24m
+588,533 shares
Added
Echostar Corp Class A A
Common · CUSIP 278768106
0.2%$254m2,499,457
+$166m
+1,753,947 shares
Added
Brookfield Infrastructure Pa
COMMON · CUSIP G16252101
0.2%$258m7,067,911
-$20m
-636,366 shares
Trimmed
Spotify Technology SA
Common · CUSIP L8681T102
0.2%$260m565,401
+$3.8m
+37,882 shares
Added
Edwards Lifesciences Corp (EW)
Common · CUSIP 28176E108
0.2%$261m2,886,953
+$73m
+536,774 shares
Added
Phillips 66 (PSX)
Common · CUSIP 718546104
0.2%$262m1,547,269
+$2.5m
+123,163 shares
Added
Regeneron Pharmaceuticals Inc (REGN)
Common · CUSIP 75886F107
0.2%$263m421,976
-$67m
-5,153 shares
Trimmed
Ametek Inc (AME)
Common · CUSIP 031100100
0.2%$264m1,092,452
+$46m
+75,684 shares
Added
Philip Morris International (PM)
Common · CUSIP 718172109
0.2%$265m1,461,558
+$34m
+67,266 shares
Added
Wells Fargo & Co
Common · CUSIP 949746101
0.2%$266m3,214,004
-$100m
-1,377,753 shares
Trimmed
Procter & Gamble Co/the (PG)
Common · CUSIP 742718109
0.2%$266m1,815,807
+$1.0m
-21,060 shares
Trimmed
Capital One Financial Corp
Common · CUSIP 14040H105
0.2%$268m1,334,600
+$42m
+92,048 shares
Added
WW Grainger Inc
Common · CUSIP 384802104
0.2%$269m197,952
+$127m
+67,045 shares
Added
Western Midstream Partners L
COMMON · CUSIP 958669103
0.2%$271m6,190,369
+$12m
-93,341 shares
Trimmed
Prologis REIT Inc REIT
COMMON · CUSIP 74340W103
0.2%$271m2,003,203
+$123m
+882,065 shares
Added
Veeco Instruments Inc (VECO)
Common · CUSIP 922417100
0.2%$275m3,651,115
+$158m
+200,453 shares
Added
Element Solutions Inc (ESI)
Common · CUSIP 28618M106
0.2%$276m5,777,953
+$3.9m
-2,189,476 shares
Trimmed
Vertex Pharmaceuticals Inc
Common · CUSIP 92532F100
0.2%$278m559,445
+$32m
+7,923 shares
Added
Tesla Inc (TSLA)
Common · CUSIP 88160R101
0.2%$281m668,759
+$54m
+57,147 shares
Added
Arista Networks Inc (ANET)
Common · CUSIP 040413205
0.2%$281m1,667,355
+$138m
+488,537 shares
Added
Ugi Corp
Common · CUSIP 902681105
0.2%$283m8,201,866
-$24m
-225,301 shares
Trimmed

Every filing on file

QuarterPeriod endFiledBookPositionsTop 10Filing
Q2 202630 Jun 202613 Aug 2026$150bn2,34223%13F-HR
Q1 202631 Mar 202614 May 2026$131bn2,16522%13F-HR
Q4 202531 Dec 202513 Feb 2026$134bn2,11324%13F-HR
Q3 202530 Sept 202512 Nov 2025$137bn2,03223%13F-HR
Q2 202530 Jun 202525 Aug 2025$130bn2,05021%13F-HR
Q1 202531 Mar 202513 May 2025$119bn1,97319%13F-HR
Q4 202431 Dec 202413 Feb 2025$126bn1,92820%13F-HR
Q3 202430 Sept 202414 Nov 2024$128bn1,92919%13F-HR

Taking this into the room

Pick one name from the top of the book and one from the new positions, and know both properly: what the company earns, what it is priced at, and what has to be true for the position to work. That is a conversation. Reciting the whole table is not, and the interviewer wrote it.

A position sold out of is worth as much preparation as one opened. Ask what changed rather than asserting the fund was wrong, and be ready for the answer that the thesis played out and the money went somewhere better.

What this filing leaves out

A 13F covers US-listed long equity at one moment in time. Shorts, bonds, cash, private positions and non-US listings never appear, and options are reported in a form that will mislead you if you read them as a position. A long/short manager showing $8bn here may run a book several times that size.

The lag matters too. Positions are as at the quarter end and the filing arrives up to forty-five days later, so what you are reading is at least six weeks old and possibly four months. Phrase it as what the filing showed, not what the fund holds today.

Company names, tickers and logos are the trademarks of their respective owners and appear here to identify the company whose public figures are being used. L3VLUP is not affiliated with, sponsored by or endorsed by any company shown, and nothing here is a statement by or about that company. More