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Portfolio (Quarterly) Guide ↗

NORGES BANK

· CIK 0001374170
13F Portfolio $934.8B AUM Filed Feb 10, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025 Q1 2025 · All 163 New 881 Added 462 Reduced 329 Exited
Page 21 of 24  ·  462 positions
# Ticker Company Sector Shares Value ↓ % Port Chg Shares Chg % Period Price ① Since Period ①
401 HNI HNI CORP Industrials 51,508.0 $2.2M -28K -35.6% $42.04 -3.3%
402 MIR MIRION TECHNOLOGIES INC Industrials 92,105.0 $2.2M -510K -84.7% $23.42 -23.5%
403 WHD CACTUS INC Energy 44,413.0 $2.0M -66K -59.7% $45.68 +6.8%
404 OGN ORGANON & CO Healthcare 264,857.0 $1.9M -699K -72.5% $7.17 +88.7%
405 KALU KAISER ALUMINUM CORP Basic Materials 16,469.0 $1.9M -9K -34.8% $114.86 +60.8%
406 WU WESTERN UN CO Financial Services 197,774.0 $1.8M -1.8M -90.2% $9.31 -15.7%
407 BKE BUCKLE INC Consumer Cyclical 32,500.0 $1.7M -13K -29.1% $53.42 -21.4%
408 PRKS UNITED PARKS & RESORTS INC Consumer Cyclical 47,531.0 $1.7M -207K -81.3% $36.30 +29.8%
409 NWN NORTHWEST NAT HLDG CO Utilities 36,000.0 $1.7M -28K -44.0% $46.74 +4.3%
410 LIVN LIVANOVA PLC Healthcare 26,252.0 $1.6M -38K -58.9% $61.53 +34.0%
411 XHR XENIA HOTELS & RESORTS INC Real Estate 109,000.0 $1.5M -58K -34.6% $14.14 +40.7%
412 HUN HUNTSMAN CORP Basic Materials 151,699.0 $1.5M -1.9M -92.7% $10.00 +5.5%
413 FLYW FLYWIRE CORPORATION Technology 106,162.0 $1.5M -188K -63.9% $14.16 +31.1%
414 PAGS PAGSEGURO DIGITAL LTD Technology 150,115.0 $1.4M -139K -48.0% $9.64 -6.1%
415 ARI APOLLO COML REAL EST FIN INC Real Estate 145,800.0 $1.4M -168K -53.6% $9.68 +8.9%
416 WLY WILEY JOHN & SONS INC Communication Services 44,000.0 $1.3M -19K -30.5% $30.63 +66.5%
417 ECG EVERUS CONSTR GROUP Industrials 15,707.0 $1.3M -1.1M -98.6% $85.56 +76.5%
418 QDEL QUIDELORTHO CORP Healthcare 46,241.0 $1.3M -479K -91.2% $28.56 -36.3%
419 NEBIUS GROUP N.V. 15,500.0 $1.3M -413K -96.4% $83.71
420 KYMR KYMERA THERAPEUTICS INC Healthcare 16,543.0 $1.3M -33K -66.7% $77.81 +46.8%
Page 21 of 24  ·  462 positions

Period Price is the implied market price on the last day of the reporting period, calculated as reported value ÷ shares held. It is not the fund's purchase price or cost basis — the fund may have initiated or added to the position at any point during the quarter at a different price. Since Period shows the price change from that quarter-end snapshot to today's last price — it reflects stock movement after the report date, not the fund's actual return.

Sector Allocation
Technology 33.7%
Financial Services 13.4%
Consumer Cyclical 10.7%
Communication Services 10.6%
Healthcare 9.9%
Industrials 6.7%
Real Estate 4.5%
Consumer Defensive 4.0%
Energy 2.6%
Basic Materials 2.1%