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UBS Group AG

Position in ING — Ing Groep NV

CIK 1610520 ZURICH, V8

Position in ING

as of Mar 31, 2026 · filed May 5, 2026
Position Value
$19,011,836
+$5,385,300 QoQ
Shares Held
729,821
+50.0% QoQ
Ownership
0.025%
of shares outstanding
% of Portfolio
0.00%
of 13F equity value
Holder Rank
not a current holder
Holding Since
Mar 2020
25 quarters on record
Voting authority Sole 34.33211705335966.ToString("F0")% Shared 0.ToString("F0")% None 65.66788294664035.ToString("F0")%

Common Shares in ING Over Time

Shares Held

Position Value (USD)

Derivatives in ING

reported options exposure · as of Mar 31, 2023
CallValue
$36,797
CallShares
3,100
PutValue
$0
PutShares
0

Notional value of option positions as reported on Form 13F. Calls and puts are disclosed separately and do not net against the common-share stake above.

Position in Banks - Diversified

Financial Services · as of Mar 31, 2026

UBS Group AG holds $13,960,742,268 across 19 Banks - Diversified names. ING ranks #16 (0.1% of the industry book) .

# Ticker Company Shares Value (USD) Open

All Filings in ING

Export CSV
31 filing rows on record
Report Date Value (USD) Shares
2026-03-31 $19,011,836 729,821
2025-12-31 $13,626,536 486,662
2025-09-30 $13,535,856 519,013
2025-06-30 $10,144,727 463,865
2025-03-31 $9,004,640 459,655
2024-12-31 $6,336,774 404,389
2024-09-30 $7,628,142 420,052
2024-06-30 $6,855,519 399,972
2024-03-31 $7,239,340 439,014
2023-12-31 $7,789,671 518,620
2023-09-30 $7,037,433 533,948
2023-06-30 $7,320,768 543,487
2023-03-31 $5,715,938 481,545
2023-03-31 $36,797 3,100
2022-12-31 $37,727 3,100
2022-12-31 $1,534,637 126,100
2022-12-31 $5,534,097 454,733
2022-09-30 $850,000 100,000
2022-09-30 $3,779,924 444,697
2022-06-30 $4,822,885 486,178
2022-06-30 $992,000 100,000
2022-03-31 $4,965,284 476,058
2021-12-31 $8,009,568 575,400
2021-12-31 $6,669,906 479,160
2021-09-30 $6,568,953 453,344
2021-06-30 $6,916,814 522,418
2021-03-31 $6,403,872 523,620
2020-12-31 $5,008,447 530,556
2020-09-30 $4,686,173 661,889
2020-06-30 $5,866,427 850,207
2020-03-31 $5,116,437 993,483