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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Neuberger Berman Group LLC INSTITUTION : Neuberger Berman Group LLC
Neuberger Berman Group LLC Portfolio (reported on 2019-11-13)
Company (links to holding history) Ticker Value On
2019-09-30
No of Shares % of portfolio
MICROSOFT CORP    (Common) MSFT 1,905,095,000 13,703,288 2.32%
JPMORGAN CHASE & CO    (Common) JPM 1,507,240,000 12,806,855 1.84%
APPLE INC    (Common) AAPL 1,238,734,000 5,530,802 1.51%
TWTR 1 09/15/21    (Bond) 953,864,000 9,690,000 1.16%
MOTOROLA SOLUTIONS INC    (Common) MSI 864,864,000 5,075,192 1.05%
ALPHABET INC-CL C    (Common) GOOG 859,656,000 705,214 1.04%
BERKSHIRE HATHAWAY INC CLASS B    (Common) BRK/B 765,365,000 3,679,285 0.93%
CISCO SYSTEMS INC    (Common) CSCO 737,129,000 14,918,630 0.90%
AON PLC CLASS A    (Common) AON 703,119,000 3,632,388 0.85%
ALPHABET INC-CL A    (Common) GOOGL 651,902,000 533,823 0.79%
AMAZON.COM INC    (Common) AMZN 640,909,000 369,206 0.78%
BOEING CO/THE    (Common) BA 622,062,000 1,634,980 0.75%
HOME DEPOT INC    (Common) HD 620,890,000 2,676,021 0.75%
WALT DISNEY CO/THE    (Common) DIS 589,770,000 4,525,551 0.72%
COMCAST CORP-CLASS A    (Common) CMCSA 574,131,000 12,737,072 0.70%
JOHNSON & JOHNSON    (Common) JNJ 571,556,000 4,417,650 0.69%
CSX CORP    (Common) CSX 560,282,000 8,084,263 0.68%
ENTERPRISE PRODUCTS PARTNERS UNITS MLP    (COMMON) EPD 534,002,000 18,684,480 0.65%
T-MOBILE US INC    (Common) TMUS 502,235,000 6,375,976 0.61%
ANALOG DEVICES INC    (Common) ADI 486,577,000 4,354,939 0.59%
MCDONALDS CORP    (Common) MCD 478,801,000 2,229,989 0.58%
ONEOK INC    (Common) OKE 474,459,000 6,438,579 0.57%
VISA INC-CLASS A SHARES    (Common) V 466,806,000 2,713,832 0.57%
BROOKFIELD ASSET MANAGEMENT INC CL    (Common) BAM 457,994,000 8,626,706 0.55%
NEXTERA ENERGY INC    (Common) NEE 454,763,000 1,951,858 0.55%
ALIBABA GROUP HOLDING-SP ADR    (ADR) BABA 441,602,000 2,640,684 0.53%
CME GROUP INC CLASS A A    (Common) CME 420,960,000 1,991,858 0.51%
INTERCONTINENTAL EXCHANGE IN    (Common) ICE 419,370,000 4,544,902 0.51%
CDW CORP/DE    (Common) CDW 412,684,000 3,348,621 0.50%
POOL CORP    (Common) POOL 404,771,000 2,006,798 0.49%
MEDTRONIC PLC    (Common) MDT 386,869,000 3,562,553 0.47%
TEXAS INSTRUMENTS INC    (Common) TXN 386,055,000 2,988,407 0.47%
CHURCH & DWIGHT CO INC    (Common) CHD 383,126,000 5,092,055 0.46%
AIR PRODUCTS & CHEMICALS INC    (Common) APD 382,617,000 1,724,589 0.46%
PFIZER INC    (Common) PFE 377,305,000 10,501,139 0.46%
VISTRA ENERGY CORP    (Common) 375,782,000 14,058,438 0.45%
NEXTERA ENERGY PARTNERS UNITS UNIT    (Common) NEP 374,730,000 7,091,774 0.45%
ASPEN TECHNOLOGY INC    (Common) AZPN 373,641,000 3,035,758 0.45%
ACTIVISION BLIZZARD INC    (Common) ATVI 363,903,000 6,876,485 0.44%
EOG RESOURCES INC    (Common) EOG 359,772,000 4,847,392 0.43%
WESTERN MIDSTREAM PARTNERS COMMON UNIT    (COMMON) 354,764,000 14,253,278 0.43%
BLACKSTONE GROUP INC CLASS A A    (Common) 354,621,000 7,260,883 0.43%
ENERGY TRANSFER UNITS UNIT    (COMMON) ETE 353,213,000 27,004,051 0.43%
ZOETIS INC CLASS A A    (Common) ZTS 351,054,000 2,817,668 0.42%
IDEXX LABORATORIES INC    (Common) IDXX 343,101,000 1,261,728 0.41%
DELTA AIR LINES INC    (Common) DAL 341,726,000 5,932,738 0.41%
MANHATTAN ASSOCIATES INC    (Common) MANH 340,029,000 4,215,057 0.41%
WEST PHARMACEUTICAL SERVICES INC    (Common) WST 333,893,000 2,354,343 0.40%
AMERICAN TOWER REIT CORP REIT    (COMMON) AMT 332,364,000 1,503,025 0.40%
ZEBRA TECHNOLOGIES CORP CLASS A A    (Common) ZBRA 332,095,000 1,609,552 0.40%
UNION PACIFIC CORP    (Common) UNP 327,544,000 2,022,123 0.40%
L3HARRIS TECHNOLOGIES INC    (Common) 326,005,000 1,562,526 0.39%
FACEBOOK INC-CLASS A    (Common) FB 324,460,000 1,821,987 0.39%
DANAHER CORP    (Common) DHR 308,828,000 2,139,218 0.37%
FAIR ISAAC CORP    (Common) FIC 306,666,000 1,010,364 0.37%
COSTCO WHOLESALE CORP    (Common) COST 304,643,000 1,057,384 0.37%
WEX INC    (Common) WEX 304,208,000 1,505,457 0.37%
MONDELEZ INTERNATIONAL INC-A    (Common) MDLZ 302,136,000 5,461,611 0.36%
IHS MARKIT LTD    (Common) 301,580,000 4,509,282 0.36%
WILLIAMS COS INC    (Common) WMB 296,796,000 12,335,678 0.36%
VISHAY INTERTECHNOLOGY 2.25000 6/15/2025 928298A    (Bond) 295,073,000 20,140,000 0.36%
STANLEY BLACK & DECKER INC    (Common) SWK 289,680,000 2,006,457 0.35%
ASML HOLDING NV-NY REG SHS    (Common) ASML 288,896,000 1,163,519 0.35%
PROGRESSIVE CORP    (Common) PGR 288,201,000 3,730,909 0.35%
CHEMED CORP    (Common) CHE 286,860,000 686,974 0.35%
HAEMONETICS CORP/MASS    (Common) HAE 285,257,000 2,261,433 0.34%
CIGNA CORP    (Common) 284,099,000 1,872,209 0.34%
WALMART INC    (Common) WMT 284,043,000 2,393,354 0.34%
SEMPRA ENERGY    (Common) SRE 278,859,000 1,889,155 0.34%
BIO TECHNE CORP    (Common) TECH 273,502,000 1,397,772 0.33%
TYLER TECHNOLOGIES INC    (Common) TYL 272,450,000 1,037,906 0.33%
MARKETAXESS HOLDINGS INC    (Common) MKTX 271,147,000 827,931 0.33%
VERISK ANALYTICS INC    (Common) VRSK 270,882,000 1,712,921 0.33%
ORACLE CORP    (Common) ORCL 270,028,000 4,906,918 0.32%
PHILLIPS 66    (Common) PSX 268,494,000 2,622,005 0.32%
CEDAR FAIR LP    (COMMON) FUN 262,861,000 4,504,119 0.32%
MOODYS CORP    (Common) MCO 261,891,000 1,278,578 0.31%
NIKE INC -CL B    (Common) NKE 261,322,000 2,782,385 0.31%
APTIV PLC    (Common) 261,197,000 2,988,375 0.31%
EXPONENT INC    (Common) EXPO 260,664,000 3,729,092 0.31%
MASTERCARD INC - A    (Common) MA 259,622,000 956,192 0.31%
BRIGHT HORIZONS FAMILY SOLUT    (Common) BFAM 254,509,000 1,668,911 0.31%
POWER INTEGRATIONS INC    (Common) POWI 253,738,000 2,805,904 0.30%
BLACKROCK INC    (Common) BLK 253,196,000 568,163 0.30%
NEXSTAR MEDIA GROUP INC-CL A    (Common) NXST 250,645,000 2,449,857 0.30%
BROOKFIELD INFRASTRUCTURE PA    (COMMON) BIP 243,904,000 4,916,436 0.29%
UNITED TECHNOLOGIES CORP    (Common) UTX 243,515,000 1,783,736 0.29%
AMPHENOL CORP-CL A    (Common) APH 243,488,000 2,523,190 0.29%
ROGERS CORP    (Common) ROG 242,218,000 1,771,764 0.29%
INTUIT INC    (Common) INTU 239,039,000 899,030 0.29%
GILEAD SCIENCES INC    (Common) GILD 236,378,000 3,729,542 0.28%
CHENIERE ENERGY INC    (Common) LNG 235,475,000 3,734,141 0.28%
RBC BEARINGS INC    (Common) ROLL 235,241,000 1,417,888 0.28%
BOSTON SCIENTIFIC CORP    (Common) BSX 234,221,000 5,756,226 0.28%
PROCTER & GAMBLE CO/THE    (Common) PG 228,104,000 1,833,925 0.27%
FIDELITY NATIONAL INFO SERV    (Common) FIS 226,660,000 1,707,294 0.27%
US BANCORP    (Common) USB 224,442,000 4,055,499 0.27%
PIONEER NATURAL RESOURCES CO    (Common) PXD 222,869,000 1,772,036 0.27%
HONEYWELL INTERNATIONAL INC    (Common) HON 219,970,000 1,300,062 0.26%
CITIGROUP INC    (Common) C 217,942,000 3,154,923 0.26%
TORO CO    (Common) TTC 216,944,000 2,959,671 0.26%
CABOT OIL & GAS CORP    (Common) COG 215,153,000 12,245,469 0.26%
BANK OF HAWAII CORP.    (Common) BOH 211,982,000 2,466,915 0.25%
SHERWIN-WILLIAMS CO/THE    (Common) SHW 210,474,000 382,882 0.25%
ADVANCE AUTO PARTS INC    (Common) AAP 209,166,000 1,265,898 0.25%
CABOT MICROELECTRONICS CORP    (Common) CCMP 209,054,000 1,480,450 0.25%
LITTELFUSE INC    (Common) LFUS 204,235,000 1,151,851 0.24%
FOX FACTORY HOLDING CORP    (Common) FOXF 203,676,000 3,272,435 0.24%
ZIMMER BIOMET HOLDINGS INC    (Common) ZMH 202,992,000 1,478,774 0.24%
COCA-COLA CO/THE    (Common) KO 201,466,000 3,700,692 0.24%
PATRICK INDUSTRIES INC    (Bond) 197,096,000 2,185,000 0.24%
APTARGROUP INC    (Common) ATR 194,095,000 1,638,620 0.23%
UNILEVER ADR REPRESENTING NV    (Common) UN 192,857,000 3,212,716 0.23%
FIRST FINANCIAL BANKSHARES INC    (Common) FFIN 192,557,000 5,777,296 0.23%
TRAVELERS COS INC/THE    (Common) TRV 189,380,000 1,273,655 0.23%
SHELL MIDSTREAM PARTNERS UNITS UNIT    (COMMON) SHLX 189,064,000 9,245,222 0.23%
EAGLE MATERIALS INC    (Common) EXP 187,965,000 2,088,267 0.22%
GENERAL DYNAMICS CORP    (Common) GD 187,518,000 1,026,204 0.22%
CVS HEALTH CORP    (Common) CVS 185,647,000 2,929,354 0.22%
JACK HENRY ANS ASSOCIATES INC    (Common) JKHY 183,616,000 1,257,900 0.22%
QUALYS INC    (Common) QLYS 182,657,000 2,417,051 0.22%
AT&T INC    (Common) T 180,484,000 4,769,670 0.22%
TARGA RESOURCES CORP    (Common) TRGP 180,190,000 4,485,686 0.22%
CROWN CASTLE INTL CORP    (COMMON) CCI 179,603,000 1,292,017 0.21%
FIRST HAWAIIAN INC    (Common) FHB 178,037,000 6,668,043 0.21%
SALESFORCE.COM INC    (Common) CRM 176,909,000 1,191,788 0.21%
WATSCO INC    (Common) WSO 176,639,000 1,044,092 0.21%
ADOBE INC    (Common) ADBE 176,257,000 638,032 0.21%
NOVARTIS AG-SPONSORED ADR    (ADR) NVS 175,614,000 2,020,872 0.21%
LENNAR CORP-A    (Common) LEN 175,414,000 3,140,802 0.21%
WEYERHAEUSER REIT REIT    (COMMON) WY 174,390,000 6,295,678 0.21%
ASHLAND GLOBAL HOLDINGS INC    (Common) 173,802,000 2,246,947 0.21%
US FOODS HOLDING CORP    (Common) USFD 172,530,000 4,197,797 0.21%
KROGER CO    (Common) KR 172,315,000 6,684,437 0.21%
BECTON DICKINSON AND CO    (Common) BDX 172,304,000 681,729 0.21%
AERCAP HOLDINGS NV    (Common) AER 172,175,000 3,143,821 0.21%
ACCENTURE PLC CLASS A A    (Common) ACN 172,167,000 895,072 0.21%
SVB FINANCIAL GROUP    (Common) SIVB 172,106,000 823,668 0.21%
EDWARDS LIFESCIENCES CORP    (Common) EW 171,575,000 780,205 0.20%
ALTICE USA INC- A    (Common) 171,110,000 5,966,194 0.20%
EXXON MOBIL CORP    (Common) XOM 170,758,000 2,418,338 0.20%
WD-40 CO    (Common) WDFC 170,344,000 928,105 0.20%
DOMINION ENERGY INC    (Common) D 169,944,000 2,097,039 0.20%
KEYSIGHT TECHNOLOGIES IN    (Common) KEYS 169,009,000 1,737,883 0.20%
RLI CORP    (Common) RLI 168,813,000 1,816,950 0.20%
ROLLINS INC    (Common) ROL 167,555,000 4,917,954 0.20%
VERIZON COMMUNICATIONS INC    (Common) VZ 166,000,000 2,750,156 0.20%
GOLDMAN SACHS GROUP INC    (Common) GS 163,977,000 791,284 0.20%
CIENA CORP    (Common) CIEN 163,549,000 4,168,869 0.19%
CHUBB LTD    (Common) CB 160,677,000 995,274 0.19%
VALMONT INDUSTRIES    (Common) VMI 158,139,000 1,142,296 0.19%
CULLEN FROST BANKERS INC    (Common) CFR 156,883,000 1,771,688 0.19%
UNITED RENTALS INC    (Common) URI 156,524,000 1,255,770 0.19%
MSA SAFETY INC    (Common) MSA 155,969,000 1,429,464 0.19%
UNIVERSAL DISPLAY CORP    (Common) PANL 155,184,000 924,259 0.18%
SERVICENOW INC    (Common) NOW 154,451,000 608,435 0.18%
COGNEX CORP    (Common) CGNX 154,221,000 3,139,036 0.18%
BALL CORP    (Common) BLL 153,581,000 2,109,344 0.18%
ROPER TECHNOLOGIES INC    (Common) ROP 152,901,000 428,775 0.18%
ALEXION PHARMACEUTICALS INC    (Common) ALXN 152,403,000 1,556,086 0.18%
DR HORTON INC    (Common) DHI 151,712,000 2,878,239 0.18%
FISERV INC    (Common) FISV 151,052,000 1,458,177 0.18%
NOVANTA INC    (Common) 150,698,000 1,844,075 0.18%
CVB FINANCIAL CORP    (Common) CVBF 148,301,000 7,105,920 0.18%
AAON INC    (Common) AAON 148,201,000 3,225,958 0.18%
AMERISOURCEBERGEN CORP    (Common) ABC 147,473,000 1,792,625 0.18%
TRANSUNION    (Common) 144,859,000 1,785,958 0.17%
LOWES COS INC    (Common) LOW 144,685,000 1,315,795 0.17%
FIRSTSERVICE SUBORDINATE VOTING CO    (Common) 142,903,000 1,393,229 0.17%
CABLE ONE INC    (Common) CABO 141,289,000 112,608 0.17%
SUNCOR ENERGY INC    (Common) SU 140,651,000 4,454,886 0.17%
U.S. PHYSICAL THERAPY INC    (Common) USPH 139,902,000 1,071,640 0.17%
SENSATA TECHNOLOGIES HOLDING    (Common) 138,420,000 2,766,120 0.16%
STARWOOD PROPERTY TRUST INC    (COMMON) STWD 138,007,000 5,698,073 0.16%
MX 5 03/01/21    (Bond) 137,715,000 5,260,000 0.16%
XILINX INC    (Common) XLNX 137,710,000 1,435,976 0.16%
UNITEDHEALTH GROUP INC    (Common) UNH 137,629,000 633,297 0.16%
COMMUNITY BANK SYSTEM INC    (Common) CBU 137,119,000 2,222,713 0.16%
NORDSON CORP    (Common) NDSN 134,770,000 921,438 0.16%
ASBURY AUTOMOTIVE GROUP    (Common) ABG 133,231,000 1,301,972 0.16%
CANTEL MEDICAL CORP    (Common) CMN 132,589,000 1,772,580 0.16%
NETSCOUT SYSTEMS INC    (Common) NTCT 131,571,000 5,705,623 0.16%
SAP SE-SPONSORED ADR    (ADR) SAP 130,613,000 1,108,249 0.15%
ATRION CORPORATION    (Common) ATRI 128,495,000 164,913 0.15%
MARRIOTT INTERNATIONAL -CL A    (Common) MAR 128,181,000 1,030,641 0.15%
RAYTHEON COMPANY    (Common) RTN 127,692,000 650,859 0.15%
EMERGENT BIOSOLUTIONS INC    (Common) EBS 127,126,000 2,431,634 0.15%
DTE ENERGY COMPANY    (Common) DTE 126,914,000 954,529 0.15%
EXPEDIA GROUP INC    (Common) EXPE 126,641,000 942,199 0.15%
HCA HEALTHCARE INC    (Common) HCA 126,340,000 1,049,162 0.15%
AMEREN CORPORATION    (Common) AEE 126,097,000 1,575,228 0.15%
ARISTA NETWORKS INC    (Common) ANET 125,858,000 526,555 0.15%
MKS INSTRUMENTS INC    (Common) MKSI 125,261,000 1,357,403 0.15%
VANGUARD INDEX FUND;ETF    (ETF) VOO 124,936,000 458,312 0.15%
PAYPAL HOLDINGS INC    (Common) PYPL 124,198,000 1,198,939 0.15%
COLUMBIA BANKING SYSTEM INC    (Common) COLB 123,656,000 3,351,114 0.15%
ADVANCED MICRO DEVICES    (Common) AMD 123,311,000 4,253,565 0.15%
BLACK KNIGHT INC    (Common) 122,327,000 2,003,399 0.14%
PROLOGIS REIT INC REIT    (COMMON) PLD 119,949,000 1,407,529 0.14%
BRISTOL-MYERS SQUIBB CO    (Common) BMY 119,564,000 2,357,809 0.14%
1 2 3 4 5 6 7 8 Next >Full Portfolio View
Total Value As 2019-09-30: 81,878,592,000 SEC FILING
* Portfolios do not reflect changes after reporting
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MAJOR GURUS:
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