| Form 5500, Schedule H, Part IV, Line 4(i) - Schedule of Assets (Held at End of Year) |
SUPPLEMENTAL SCHEDULE NEWMARK 401(k) PLAN Plan Number 001 Employer Identification Number (EIN) 81-4467492 Form 5500, Schedule H, Part IV, Line 4(i)—Schedule of Assets (Held at End of Year) As of December 31, 2025
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | (A) | | (B) | | (C) | | (D) | | (E) | | | | | Identity of issue, borrower, lessor or similar party. | | Description of investment including maturity date, rate of interest, collateral, par or maturity value. | | Cost** | | Current Value | | | | | | | | | | | | | | BlackRock | | Registered Investment Company BlackRock Md-Cp Gr Eq K Fd | | — | | | 6,715,048 | | | | | Dimensional Fund Advisors | | Registered Investment Company DFA EMERG MKT CORE EQTY 2 I FD | | — | | | 11,884,919 | | | | | Fidelity Investments | | Registered Investment Company Fidelity 500 Index Fund | | — | | | 46,248,440 | | | | | Goldman Sachs | | Registered Investment Company Goldman Sch Sm Cp Vl Ins R6 Fd | | — | | | 6,258,795 | | | | | | | | | | | | | | | MFS Investment Management | | Registered Investment Company MFS Mid Cap Value R6 Fund | | — | | | 5,980,898 | | | | * | | Newmark Group, Inc. | | Employer Security Newmark Group, Inc. Stock
| | — | | | 10,853,909 | | | | * | | Principal Life Insurance Company | | Pooled Separate Accounts Prin Blue Chip SA-Z | | — | | | 30,406,944 | | | | * | | Principal Life Insurance Company | | Pooled Separate Accounts Prin Core Plus Bond Sep Acct-Z
| | — | | | 18,022,670 | | | | * | | Principal Life Insurance Company | | Pooled Separate Accounts Prin Diversified Intl SA-Z | | — | | | 11,082,480 | | | | * | | Principal Life Insurance Company | | Pooled Separate Accounts Prin Equity Income SA-Z | | — | | | 24,743,393 | | | | * | | Principal Life Insurance Company | | Pooled Separate Accounts Prin Real Estate Secs SA-Z | | — | | | 1,547,691 | | | | * | | Principal Life Insurance Company | | Insurance Company General Principal Guaranteed Option | | — | | | 38,652,083 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYB 2070 CIT Z | | — | | | 101,923 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR INC CIT Z | | — | | | 24,905 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2015 CIT Z | | — | | | 283 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2020 CIT Z | | — | | | 11,275 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2025 CIT Z | | — | | | 162,307 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2030 CIT Z | | — | | | 441,119 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2035 CIT Z | | — | | | 380,496 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2040 CIT Z | | — | | | 149,187 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2045 CIT Z | | — | | | 505,691 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2050 CIT Z | | — | | | 648,895 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2055 CIT Z | | — | | | 556,794 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2060 CIT Z | | — | | | 353,332 | | | | * | | Principal Global Investors Trust Company | | Common/Collective Trust PRIN LIFETIME HYBR 2065 CIT Z | | — | | | 59,154 | | | | * | | Principal Funds Inc | | Registered Investment Company PRINCIPAL GOV MONEY MKT R6 FD | | — | | | 45,254,470 | | | | | Putnam Investments | | Registered Investment Company PUTNAM SM CAP GROWTH R6 FUND | | — | | | 5,267,077 | | | | | Vanguard Group | | Registered Investment Company Vanguard Intl Growth Adm Fd | | — | | | 3,261,750 | | | | | Vanguard Group | | Registered Investment Company Vanguard Mid Cap Index Adm Fd | | — | | | 9,026,907 | | | | | Vanguard Group | | Registered Investment Company Vanguard Sm Cap Index Adm Fund | | — | | | 8,789,969 | | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | Vanguard Group | | Registered Investment Company Vanguard Ttl Bd Mkt Idx Inst | | — | | | 19,355,968 | | | | | Vanguard Group | | Registered Investment Company Vgd LT Inv-Grade Bond Adm Fund | | — | | | 9,887,213 | | | | | Vanguard Group | | Registered Investment Company Vgd Ttl Intl Stk Idx Inst Fund | | — | | | 14,862,866 | | | | | | | | | | | $331,498,851 | | | * | | Participant Loans | | Range of Interest Rates Rates Range From 3.50% To 10.50% | | — | | | 4,430,317 | | | | | | | | | | | $ | 335,929,168 | | |
| | | | | | | | | | * | | Party-in-interest as defined by ERISA. | | ** | | Cost information is not required for participant-directed investments and is therefore not included. |
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