v3.26.1
Form 5500, Schedule H, Part IV, Line 4(i) - Schedule of Assets (Held at End of Year)
12 Months Ended
Dec. 31, 2025
EBP 001  
EBP, Schedule of Asset Held for Investment [Line Items]  
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
BlackRockRegistered 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 InvestmentsRegistered Investment Company Fidelity 500 Index Fund— 46,248,440 
Goldman SachsRegistered Investment Company Goldman Sch Sm Cp Vl Ins R6 Fd— 6,258,795 
MFS Investment ManagementRegistered 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 CompanyPooled Separate Accounts Prin Blue Chip SA-Z— 30,406,944 
*Principal Life Insurance CompanyPooled Separate Accounts Prin Core Plus Bond Sep Acct-Z
— 18,022,670 
*Principal Life Insurance CompanyPooled Separate Accounts Prin Diversified Intl SA-Z— 11,082,480 
*Principal Life Insurance CompanyPooled Separate Accounts Prin Equity Income SA-Z— 24,743,393 
*Principal Life Insurance CompanyPooled Separate Accounts Prin Real Estate Secs SA-Z— 1,547,691 
*Principal Life Insurance CompanyInsurance 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 CompanyCommon/Collective Trust PRIN LIFETIME HYBR INC CIT Z — 24,905 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2015 CIT Z— 283 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2020 CIT Z— 11,275 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2025 CIT Z— 162,307 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2030 CIT Z— 441,119 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2035 CIT Z— 380,496 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2040 CIT Z— 149,187 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2045 CIT Z— 505,691 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2050 CIT Z— 648,895 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2055 CIT Z— 556,794 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2060 CIT Z— 353,332 
*Principal Global Investors Trust CompanyCommon/Collective Trust PRIN LIFETIME HYBR 2065 CIT Z— 59,154 
*Principal Funds IncRegistered Investment Company PRINCIPAL GOV MONEY MKT R6 FD— 45,254,470 
Putnam InvestmentsRegistered Investment Company PUTNAM SM CAP GROWTH R6 FUND— 5,267,077 
Vanguard GroupRegistered Investment Company Vanguard Intl Growth Adm Fd— 3,261,750 
Vanguard GroupRegistered Investment Company Vanguard Mid Cap Index Adm Fd— 9,026,907 
Vanguard GroupRegistered Investment Company Vanguard Sm Cap Index Adm Fund— 8,789,969 
Vanguard GroupRegistered Investment Company Vanguard Ttl Bd Mkt Idx Inst— 19,355,968 
Vanguard GroupRegistered Investment Company Vgd LT Inv-Grade Bond Adm Fund— 9,887,213 
Vanguard GroupRegistered 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.