Universe · entity

Neuberger Berman Group LLC

Institutional manager (13F) · CIK 1465109
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $57.8B
#IssuerValueShares
1<![CDATA[NVIDIA CORP]]>$5.1B29,167,377
2<![CDATA[MICROSOFT CORP]]>$4.2B11,385,383
3<![CDATA[APPLE INC]]>$4.0B15,901,898
4<![CDATA[AMAZON COM INC]]>$3.6B17,510,023
5<![CDATA[ALPHABET INC CLASS A A]]>$2.7B9,535,136
6<![CDATA[ALPHABET INC-CL C]]>$2.5B8,565,244
7<![CDATA[JPMORGAN CHASE & CO]]>$2.3B7,886,541
8<![CDATA[ELI LILLY & CO]]>$1.6B1,732,649
9<![CDATA[ISHARES CORE S&P 500 ETF]]>$1.5B2,298,647
10<![CDATA[META PLATFORMS INC CLASS A A]]>$1.4B2,469,497
11<![CDATA[BROADCOM INC]]>$1.3B4,204,389
12<![CDATA[NEXTERA ENERGY INC]]>$1.3B13,813,261
13<![CDATA[HOME DEPOT INC]]>$1.3B3,883,681
14<![CDATA[EXXON MOBIL CORP]]>$1.1B6,265,593
15<![CDATA[ASML HOLDING ADR REPRESENTING NV ADR]]>$957M724,980
16<![CDATA[VISA INC-CLASS A SHARES]]>$937M3,098,891
17<![CDATA[JOHNSON & JOHNSON]]>$890M3,642,540
18<![CDATA[COSTCO WHOLESALE CORP]]>$889M892,222
19<![CDATA[WILLIAMS COS INC]]>$838M11,511,441
20<![CDATA[T MOBILE US INC]]>$827M3,936,458
21<![CDATA[ANALOG DEVICES INC]]>$826M2,597,955
22<![CDATA[MOTOROLA SOLUTIONS INC]]>$818M1,883,950
23<![CDATA[BERKSHIRE HATHAWAY INC CLASS B B]]>$791M1,650,174
24<![CDATA[GENERAL ELECTRIC]]>$758M2,670,368
25<![CDATA[AMPHENOL CORP-CL A]]>$746M5,906,177
26<![CDATA[MASTERCARD INC CLASS A A]]>$733M1,467,749
27<![CDATA[NETFLIX INC]]>$716M7,445,068
28<![CDATA[TJX COMPANIES INC]]>$696M4,359,888
29<![CDATA[TARGA RESOURCES CORP]]>$679M2,709,896
30<![CDATA[ORACLE CORP]]>$671M4,559,105
31<![CDATA[CHEVRON CORP]]>$663M3,203,190
32<![CDATA[NEUBERGER CORE EQUITY ETF]]>$655M22,069,952
33<![CDATA[CME GROUP INC CLASS A A]]>$630M2,132,546
34<![CDATA[LINDE PLC]]>$620M1,249,519
35<![CDATA[CATERPILLAR INC]]>$613M865,879
36<![CDATA[MCDONALDS CORP]]>$603M1,940,554
37<![CDATA[AON PLC CLASS A A]]>$600M1,857,834
38<![CDATA[S&P GLOBAL INC]]>$591M1,389,747
39<![CDATA[CHENIERE ENERGY INC]]>$582M2,052,277
40<![CDATA[WALMART INC]]>$575M4,629,617
41<![CDATA[EATON CORP PLC]]>$535M1,496,635
42<![CDATA[ASTRAZENECA PLC]]>$519M2,635,014
43<![CDATA[DANAHER CORP]]>$518M2,734,501
44<![CDATA[ADVANCED MICRO DEVICES INC]]>$517M2,541,282
45<![CDATA[ENTERPRISE PRODUCTS PARTNERS UNITS MLP]]>$516M13,640,543
46<![CDATA[CSX CORP]]>$503M12,258,054
47<![CDATA[BLACKSTONE INC]]>$480M4,177,376
48<![CDATA[UBER TECHNOLOGIES INC]]>$476M6,622,329
49<![CDATA[VANGUARD S&P 500 ETF]]>$457M764,533
50<![CDATA[CISCO SYSTEMS INC]]>$456M5,881,247
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.