Institutions / Bessemer Group Inc

Bessemer Group Inc

CIK 1054074 · Institution · as of Mar 31, 2026
Portfolio value
$63.62M
Positions
2,532
As of
Mar 31, 2026

Portfolio trend

Portfolio value

$63.62M-2.3%
$65.13M$64.37M$63.62MQ4 '25Q1 '26

Positions

2,532-3.4%
2,6202,5762,532Q4 '25Q1 '26

Top holdings

Mar 31, 2026View all 2,532 →
CompanyClassValueShares% of portfolio
NVIDIA Corp$4.35M24,951,0566.8%
Apple Inc.$3.03M11,928,5654.8%
Alphabet Inc.$2.91M10,146,6554.6%
Microsoft Corp$2.56M6,921,6774.0%
Amazon.com Inc$2.05M9,828,7483.2%
Broadcom Inc.$1.66M5,347,3742.6%
Meta Platforms Inc$1.31M2,298,0572.1%
JPMORGAN CHASE & CO$1.31M4,460,7092.1%
Nextera Energy Inc$946.2K10,187,0131.5%
Visa Inc$861.6K2,850,7661.4%
ELI LILLY & Co$791.7K860,7041.2%
Chevron Corp$718.2K3,471,0361.1%
AbbVie Inc.$686.8K3,157,9361.1%
iShares Tr S&P 500 Index$671.2K1,027,5831.1%
Costco Wholesale Corp /New$667.4K669,7971.0%
Bank of America Corp /De$618.4K12,684,9771.0%
Taiwan Semiconductor Manufacturing Co LtdTSMADR$602.1K1,781,7640.9%
Ishrs MSCI Eafe Ind Fnd$542.6K5,586,1390.9%
Walmart Inc.$535.9K4,312,4210.8%
Exxon Mobil Corp$512.6K3,021,1140.8%
Howmet Aerospace Inc.$499.0K2,165,2730.8%
XPO Inc$471.0K2,420,8990.7%
Intercontinental Exchange, Inc.$437.0K2,778,6120.7%
Applied Materials Inc /De$415.7K1,216,3730.7%
Mcdonald'S Corp$412.1K1,325,8800.6%

Activity

InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
DateActionCompanyValueShares ΔPosition afterImpact
Q1 2026
as of
TrimDanaher Corp /De$-390.7K-2.1M
-98.26%
36,441
0.01% of portfolio
low
Q1 2026
as of
TrimUnitedhealth Group Inc$-339.1K-1.3M
-73.83%
444,104
0.19% of portfolio
low
Q1 2026
as of
AddWarren E. Buffett$316.5K+660K
+865.28%
736,785
0.55% of portfolio
low
Q1 2026
as of
AddXPO Inc$252.8K+1.3M
+115.88%
2,420,899
0.74% of portfolio
low
Q1 2026
as of
AddELI LILLY & Co$250.4K+272K
+46.25%
860,704
1.24% of portfolio
low
Q1 2026
as of
TrimS&P Global Inc.$-244.1K-574K
-96.86%
18,614
0.01% of portfolio
low
Q1 2026
as of
TrimMastercard Inc$-243.2K-487K
-91.50%
45,203
0.04% of portfolio
low
Q1 2026
as of
TrimBoston Scientific Corp$-241.6K-3.9M
-98.83%
45,473
<0.01% of portfolio
low
Q1 2026
as of
AddMcdonald'S Corp$234.5K+755K
+132.09%
1,325,880
0.65% of portfolio
low
Q1 2026
as of
AddNetflix Inc$222.4K+2.3M
+176.68%
3,622,325
0.55% of portfolio
low