UBS Group AG

Location
ZURICH, V8
Portfolio Value
Mega $142,586,752,230
Diversification
Diversified
Filing Date
Global Rank
#21 / 8,524 ▲ 3
Top Industry
Semiconductors 11.4%
Period ended 58 days ago
Filed May 5, 2026 · 23d
46 quarters · since Dec 2014

Portfolio Concentration

5,445 positions · as of Mar 31, 2026 · Δ vs Dec 31, 2025
Top Position
3.9%
−0.2 pts
Top 5
14.8%
−1.1 pts
Top 10
23.0%
−1.3 pts
HHI
78
Jun 2023 → Mar 2026 · range 78 – 198
Diversified −9

Portfolio Trend

46 quarters · across all stocks

Sector Breakdown

As of Mar 31, 2026
Sector % Portfolio Value
Technology 28.5% $142,586,752,230
Financial Services 12.2% $61,144,638,398
Industrials 10.1% $50,233,028,169
Consumer Cyclical 9.7% $48,238,204,429
Healthcare 9.2% $45,887,113,233
Unclassified 7.0% $34,820,187,530
Communication Services 6.4% $32,200,552,001
Energy 5.4% $27,057,779,594
Consumer Defensive 4.3% $21,281,362,101
Basic Materials 3.2% $15,934,232,753
Utilities 2.2% $11,055,362,990
Real Estate 1.9% $9,321,675,894

Last Quarter's Activity

Export CSV
Mar 31, 2026 vs Dec 31, 2025

Added To

Positions the filer increased
25 positions
Ticker Δ Shares Shares Value
SOFI +27,404,101 59,245,049 $940,811,376
NCLH +17,814,080 22,700,134 $424,492,504
SLB +16,342,411 41,996,603 $2,158,205,422
IHS +16,136,056 16,491,631 $135,726,121
PLUG +16,118,618 45,293,479 $102,363,260
AGNC +13,447,886 23,104,217 $231,735,295
HBAN +11,091,625 19,279,048 $301,717,100
AES +10,920,076 15,379,742 $216,700,562
DT +10,469,619 11,117,652 $411,130,769
QXO +10,245,335 15,223,507 $295,640,505
STLA +10,241,319 60,857,367 $431,478,728
FOLD +10,064,625 15,957,913 $230,751,421
CWAN +9,328,058 14,742,954 $348,670,861
CMCSA +8,814,753 23,780,851 $682,748,228
NRGV +8,717,938 10,259,025 $33,854,782
NAKA +8,516,590 16,944,915 $3,744,825
RC +8,131,408 11,286,811 $18,284,632
PTON +8,072,318 11,974,430 $51,370,303
ALIT +7,535,477 8,945,730 $5,215,360
AAL +7,254,612 22,082,324 $237,164,158
DBRG +7,021,232 8,272,671 $127,564,585
PSKY +6,965,491 21,804,825 $196,679,520
T +6,938,943 30,293,894 $878,219,982
ORCL +6,917,389 23,083,820 $3,395,860,752
SNAP +6,702,746 24,545,544 $112,909,501

Trimmed

Positions the filer reduced
25 positions
Ticker Δ Shares Shares Value
UBS 28,797,582 117,481,352 $4,589,996,418
KVUE 20,982,972 20,873,300 $359,855,688
RIOT 20,545,907 3,426,663 $42,353,553
NIO 17,088,491 18,346,973 $110,632,243
WBD 14,656,713 20,021,431 $549,788,493
BAC 13,019,012 40,714,266 $1,984,820,462
JBLU 11,734,187 3,443,387 $15,219,770
ALC 9,920,114 9,021,224 $679,749,223
WIT 8,904,356 4,750,049 $10,070,103
RIVN 8,381,497 19,620,984 $295,295,806
KHC 6,671,374 7,906,414 $177,815,248
MRNA 6,433,133 8,337,033 $423,521,274
BAX 6,366,961 4,319,497 $72,567,548
IRT 6,189,865 1,549,985 $23,079,274
HPE 5,889,260 13,024,468 $310,112,580
MRK 5,441,842 14,658,330 $1,763,250,510
PTEN 5,401,053 2,919,491 $31,618,087
LUV 4,913,243 2,858,826 $107,406,091
NOK 4,847,611 11,878,241 $95,501,057
BEKE 4,585,183 1,101,476 $16,489,095
SHLS 4,266,087 1,874,456 $12,333,920
GSK 4,146,648 2,134,235 $117,788,428
CNP 4,145,502 3,115,577 $134,468,301
AVTR 4,072,619 3,660,024 $28,694,586
FCX 3,969,519 16,056,124 $943,778,965

New Positions

Positions the filer opened this quarter
25 positions
Ticker Shares Value
AZN 6,297,762 $1,242,044,616
AMCR 12,513,581 $497,414,843
SUNB 1,910,539 $124,356,980
FPS 2,324,686 $68,043,558
INDV 2,192,264 $66,820,205
PNFP 732,725 $63,116,931
QGEN 1,477,207 $59,147,366
PAYP 2,626,397 $56,047,311
ATAI 7,426,867 $26,291,108
YSS 1,053,844 $23,363,719
MANE 347,075 $21,917,786
EQPT 960,081 $19,556,849
MDA 543,682 $13,766,027
ASST 1,203,422 $12,058,286
DFTX 493,977 $9,336,164
MWH 284,857 $8,554,255
AKTS 353,263 $6,319,875
INFQ 632,001 $6,199,928
LIFE 463,853 $5,181,238
OFRM 288,866 $4,722,958
MMED 311,349 $4,645,327
PICS 428,567 $4,478,525
GENB 356,704 $4,458,800
BOBS 278,482 $3,272,163
MRLN 273,086 $2,007,181

Sold Out

Positions the filer fully exited
25 positions
Ticker Shares Value
EXAS 3,046,007 $309,352,469
FUBO 3,999,762 $120,952,802
AGL 3,395,366 $58,485,179
BXMX 1,433,452 $21,071,744
NGD 1,985,473 $17,293,468
DIAX 403,874 $6,163,116
ADV 266,870 $5,871,140
XFLT 167,787 $4,026,888
TGNA 166,296 $3,227,804
COOK 59,759 $3,226,986
ZNB 49,467 $2,869,086
PIPR 30,284 $2,571,943
RVPH 359,455 $2,012,948
BBUC 30,118 $1,080,632
YYGH 92,854 $933,182
TVGN 54,885 $908,346
ORGN 104,065 $661,853
AZI 17,458 $546,434
FBLG 120,770 $543,465
FWDI 78,286 $517,469
DMAA 38,159 $395,861
AKTX 32,855 $379,803
GRTUF 5,502 $325,663
ELPW 1,891 $275,329
MODD 20,864 $227,834

Portfolio Positions

Export CSV View 13F filing
740 positions · $142,586,752,230 total · Technology only · as of Mar 31, 2026
Showing 1–50 of 740 positions by value · page 1 of 15
Ticker Company Shares Value (USD) % of Portfolio Action
NVDA
Nvidia Corp
Technology
112,686,204 $19,652,473,971 13.78% History
AAPL
Apple Inc.
Technology
63,227,928 $16,046,615,837 11.25% History
MSFT
Microsoft Corp
Technology
40,069,682 $14,832,594,175 10.40% History
AVGO
Broadcom Inc.
Technology
28,755,685 $8,900,172,058 6.24% History
TSM
Taiwan Semiconductor Manufacturing Co Ltd
Technology
15,640,262 $5,285,626,537 3.71% History
MU
Micron Technology Inc
Technology
10,097,730 $3,411,417,095 2.39% History
ORCL
Oracle Corp
Technology
23,083,820 $3,395,860,752 2.38% History
AMD
Advanced Micro Devices Inc
Technology
14,535,324 $2,956,920,954 2.07% History
CSCO
Cisco Systems, Inc.
Technology
33,784,421 $2,621,333,219 1.84% History
TXN
Texas Instruments Inc
Technology
10,424,312 $2,023,775,925 1.42% History
INTC
Intel Corp
Technology
45,274,954 $1,997,983,715 1.40% History
MRVL
Marvell Technology, Inc.
Technology
19,686,384 $1,949,936,331 1.37% History
PLTR
Palantir Technologies Inc.
Technology
13,230,168 $1,935,308,969 1.36% History
PANW
Palo Alto Networks Inc
Technology
10,981,985 $1,760,631,831 1.23% History
UBER
Uber Technologies, Inc
Technology
21,222,035 $1,526,500,971 1.07% History
LITE
Lumentum Holdings Inc.
Technology
2,123,517 $1,492,322,802 1.05% History
LRCX
Lam Research Corp
Technology
6,901,233 $1,474,517,436 1.03% History
QCOM
Qualcomm Inc/De
Technology
11,329,038 $1,458,953,510 1.02% History
CRM
Salesforce, Inc.
Technology
7,528,217 $1,405,292,262 0.99% History
AMAT
Applied Materials Inc /De
Technology
3,899,755 $1,332,897,256 0.93% History
WDC
Western Digital Corp
Technology
4,674,248 $1,264,337,340 0.89% History
ASML
Asml Holding NV
Technology
936,447 $1,236,887,288 0.87% History
ADI
Analog Devices Inc
Technology
3,753,323 $1,194,082,174 0.84% History
IBM
International Business Machines Corp
Technology
4,521,667 $1,096,006,861 0.77% History
JBL
Jabil Inc
Technology
4,113,883 $1,092,770,738 0.77% History
ACN
Accenture plc
Technology
5,250,369 $1,041,095,664 0.73% History
INTU
Intuit Inc.
Technology
2,173,450 $939,756,307 0.66% History
CRWD
CrowdStrike Holdings, Inc.
Technology
2,339,730 $913,453,984 0.64% History
MSTR
Strategy Inc
Technology
6,876,610 $858,200,926 0.60% History
KLAC
Kla Corp
Technology
573,610 $844,589,097 0.59% History
SNPS
Synopsys Inc
Technology
2,124,538 $842,336,823 0.59% History
APH
Amphenol Corp /De/
Technology
6,374,626 $805,433,993 0.56% History
LOGI
Logitech International S.A.
Technology
8,759,239 $798,141,852 0.56% History
ANET
Arista Networks, Inc.
Technology
6,209,451 $762,396,389 0.53% History
GLW
Corning Inc /Ny
Technology
5,196,005 $706,500,797 0.50% History
SHOP
Shopify Inc.
Technology
5,675,436 $673,220,213 0.47% History
SNOW
Snowflake Inc.
Technology
4,412,541 $665,499,429 0.47% History
DELL
Dell Technologies Inc.
Technology
3,980,507 $653,320,611 0.46% History
ADP
Automatic Data Processing Inc
Technology
3,128,347 $635,617,541 0.45% History
ASTS
AST SpaceMobile, Inc.
Technology
7,644,959 $633,537,749 0.44% History
NOW
ServiceNow, Inc.
Technology
5,955,773 $622,676,064 0.44% History
MPWR
Monolithic Power Systems Inc
Technology
541,913 $592,500,576 0.42% History
ADBE
Adobe Inc.
Technology
2,419,146 $588,046,005 0.41% History
SNDK
Sandisk Corp
Technology
763,130 $484,847,012 0.34% History
COHR
Coherent Corp.
Technology
1,945,827 $463,515,447 0.33% History
DT
Dynatrace, Inc.
Technology
11,117,652 $411,130,769 0.29% History
CORZ
Core Scientific, Inc./tx
Technology
26,861,780 $401,852,226 0.28% History
MSI
Motorola Solutions, Inc.
Technology
844,667 $366,560,136 0.26% History
WDAY
Workday, Inc.
Technology
2,812,559 $365,407,662 0.26% History
CRWV
CoreWeave, Inc.
Technology
4,691,584 $363,457,010 0.25% History
Page 1 of 15
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