0000950123-23-001065
UBS Group AG
Total Value: $267,823,799,973
Total Holdings: 20469
QuarterFilling ID
Q2 250002002654-25-000004
Q1 250002002654-25-000003
Q4 240002002654-25-000001
Q3 240002002654-24-000005
Q2 240002002654-24-000004
Q1 240002002654-24-000002
Q4 230002002654-24-000001
Q3 230002002654-23-000008
Q2 230002002654-23-000007
Q1 230002002654-23-000006
Q4 220002002654-23-000005
Q3 220002002654-23-000004
Q2 220002002654-23-000003
Q1 220002002654-23-000002
Q4 210002002654-23-000001
Compare Quarter:
NameTitleCUSIPValueSharesShare PriceInvestment% of Portfolio
SPDR S&P 500 ETF TRTR UNIT78462F103$10,684,602,39527,938,714DFND
MICROSOFT CORPCOM594918104$7,656,701,00431,926,866DFND
APPLE INCCOM37833100$7,340,122,88556,492,903DFND
INVESCO QQQ TRUNIT SER 146090E103$4,494,745,15516,879,770DFND
ISHARES TR20 YR TR BD ETF464287432$3,619,843,79836,358,415DFND
JPMORGAN CHASE & COCOM46625H100$2,922,119,46221,790,600DFND
AMAZON COM INCCOM23135106$2,768,696,19632,960,669DFND
ALPHABET INCCAP STK CL A02079K305$2,576,790,15029,205,374DFND
ISHARES TRRUSSELL 2000 ETF464287655$2,533,704,84214,531,457DFND
JOHNSON & JOHNSONCOM478160104$2,371,575,00613,425,276DFND
UBS GROUP AGSHSH42097107$2,349,369,284125,836,598DFND
ISHARES TRMSCI EMG MKT ETF464287234$2,338,920,27461,712,936DFND
HOME DEPOT INCCOM437076102$2,245,007,7997,107,604DFND
ABBVIE INCCOM00287Y109$2,087,727,59412,918,307DFND
UNITEDHEALTH GROUP INCCOM91324P102$1,994,427,4123,761,793DFND
BROADCOM INCCOM11135F101$1,986,031,9963,552,004DFND
SPDR GOLD TRGOLD SHS78463V107$1,954,519,98311,521,575DFND
CHEVRON CORP NEWCOM166764100$1,863,210,12410,380,579DFND
SELECT SECTOR SPDR TRFINANCIAL81369Y605$1,860,997,44654,415,130DFND
VANGUARD INDEX FDSVALUE ETF922908744$1,846,337,84613,153,365DFND
PROCTER AND GAMBLE COCOM742718109$1,793,287,62611,832,196DFND
CISCO SYS INCCOM17275R102$1,742,855,70936,583,873DFND
VISA INCCOM CL A92826C839$1,739,706,8268,373,637DFND
NVIDIA CORPORATIONCOM67066G104$1,734,962,68011,871,922DFND
SELECT SECTOR SPDR TRENERGY81369Y506$1,723,802,77919,707,360DFND
MERCK & CO INCCOM58933Y105$1,630,470,49714,695,543DFND
MCDONALDS CORPCOM580135101$1,612,527,4216,118,952DFND
EXXON MOBIL CORPCOM30231G102$1,500,107,79713,600,252DFND
BANK AMERICA CORPCOM60505104$1,475,420,02144,547,706DFND
COCA COLA COCOM191216100$1,448,793,63822,776,193DFND
ALPHABET INCCAP STK CL C02079K107$1,445,884,63016,295,330DFND
ISHARES TRCORE MSCI EAFE46432F842$1,401,237,52622,732,601DFND
TESLA INCCOM88160R101$1,358,224,68611,026,341DFND
RAYTHEON TECHNOLOGIES CORPCOM75513E101$1,245,861,33612,345,039DFND
ISHARES TRRUS 1000 GRW ETF464287614$1,241,311,7015,794,024DFND
COSTCO WHSL CORP NEWCOM22160K105$1,237,531,3302,710,912DFND
MORGAN STANLEYCOM NEW617446448$1,237,416,19414,554,413DFND
NEXTERA ENERGY INCCOM65339F101$1,234,181,11514,762,932DFND
VANGUARD INDEX FDSMID CAP ETF922908629$1,212,443,4745,948,891DFND
HONEYWELL INTL INCCOM438516106$1,203,189,7085,614,511DFND
BERKSHIRE HATHAWAY INC DELCL B NEW84670702$1,164,966,9273,771,340DFND
ISHARES TRCHINA LG-CAP ETF464287184$1,162,036,74341,061,369DFND
ISHARES TRCORE S&P500 ETF464287200$1,160,709,1673,021,028DFND
AMGEN INCCOM31162100$1,136,322,9914,326,542DFND
VANGUARD INDEX FDSGROWTH ETF922908736$1,121,901,6125,264,425DFND
THERMO FISHER SCIENTIFIC INCCOM883556102$1,107,389,1302,010,912DFND
WALMART INCCOM931142103$1,094,367,5477,718,228DFND
ISHARES TRRUS 1000 VAL ETF464287598$1,083,698,9377,146,053DFND
PEPSICO INCCOM713448108$1,083,312,3355,996,415DFND
SELECT SECTOR SPDR TRSBI HEALTHCARE81369Y209$1,076,890,6947,927,057DFND