0000950123-25-002409
UBS Group AG
Total Value: $541,090,902,824
Total Holdings: 23016
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
APPLE INCCOM037833100$18,815,171,22375,134,459DFND
NVIDIA CORPORATIONCOM67066G104$16,533,561,744123,118,339DFND
MICROSOFT CORPCOM594918104$16,220,421,38538,482,613DFND
SPDR S&P 500 ETF TRTR UNIT78462F103$9,922,465,09616,930,223DFND
AMAZON COM INCCOM023135106$9,299,828,01642,389,480DFND
BROADCOM INCCOM11135F101$7,007,201,01830,224,297DFND
META PLATFORMS INCCL A30303M102$6,779,052,93111,578,031DFND
ALPHABET INCCAP STK CL A02079K305$6,546,764,64334,584,071DFND
INVESCO QQQ TRUNIT SER 146090E103$6,217,593,57412,162,028DFND
JPMORGAN CHASE & CO.COM46625H100$6,090,370,69925,407,245DFND
TESLA INCCOM88160R101$5,479,264,37013,567,909DFND
UBS GROUP AGSHSH42097107$4,817,768,682158,897,384DFND
ALPHABET INCCAP STK CL C02079K107$4,666,050,99824,501,423DFND
ISHARES TRRUSSELL 2000 ETF464287655$4,557,665,69020,626,655DFND
VISA INCCOM CL A92826C839$4,269,624,86513,509,761DFND
TAIWAN SEMICONDUCTOR MFG LTDSPONSORED ADS874039100$3,308,904,66216,754,796DFND
ISHARES TRMSCI EMG MKT ETF464287234$3,307,775,27379,095,535DFND
BERKSHIRE HATHAWAY INC DELCL B NEW084670702$3,068,996,6076,770,642DFND
UNITEDHEALTH GROUP INCCOM91324P102$3,066,662,4336,062,275DFND
ELI LILLY & COCOM532457108$2,945,823,0763,815,833DFND
SPDR GOLD TRGOLD SHS78463V107$2,932,616,81712,111,745DFND
COSTCO WHSL CORP NEWCOM22160K105$2,778,322,1423,032,209DFND
CISCO SYS INCCOM17275R102$2,775,731,94946,887,364DFND
HOME DEPOT INCCOM437076102$2,743,799,3167,053,650DFND
ADVANCED MICRO DEVICES INCCOM007903107$2,656,466,34421,992,436DFND
SELECT SECTOR SPDR TRFINANCIAL81369Y605$2,578,215,51553,346,069DFND
ABBVIE INCCOM00287Y109$2,560,871,66314,411,208DFND
PROCTER AND GAMBLE COCOM742718109$2,534,963,22715,120,568DFND
SELECT SECTOR SPDR TRENERGY81369Y506$2,511,285,82629,316,902DFND
ISHARES TRRUS 1000 GRW ETF464287614$2,488,406,1326,196,539DFND
NETFLIX INCCOM64110L106$2,443,595,6732,741,547DFND
VANGUARD INDEX FDSGROWTH ETF922908736$2,437,923,3045,939,780DFND
SALESFORCE INCCOM79466L302$2,431,607,4997,273,076DFND
EXXON MOBIL CORPCOM30231G102$2,407,085,82122,376,925DFND
MASTERCARD INCORPORATEDCL A57636Q104$2,392,520,8204,543,595DFND
CHEVRON CORP NEWCOM166764100$2,384,753,81116,464,746DFND
ISHARES TRCHINA LG-CAP ETF464287184$2,311,192,25075,926,158DFND
JOHNSON & JOHNSONCOM478160104$2,310,066,74415,973,356DFND
ISHARES TRCORE S&P500 ETF464287200$2,282,383,0023,877,120DFND
BANK AMERICA CORPCOM060505104$2,255,688,35051,323,967DFND
MCDONALDS CORPCOM580135101$2,253,542,8247,773,786DFND
VANGUARD INDEX FDSVALUE ETF922908744$2,238,455,31213,221,827DFND
WALMART INCCOM931142103$2,184,631,83124,179,655DFND
VANGUARD INDEX FDSS&P 500 ETF SHS922908363$2,075,466,4853,851,945DFND
MORGAN STANLEYCOM NEW617446448$2,071,247,68616,475,085DFND
ISHARES TRIBOXX HI YD ETF464288513$2,033,677,66725,857,313DFND
ORACLE CORPCOM68389X105$1,931,439,41911,590,491DFND
ISHARES TRMSCI EAFE ETF464287465$1,903,511,23825,175,390DFND
MERCK & CO INCCOM58933Y105$1,879,004,00518,888,259DFND
COCA COLA COCOM191216100$1,863,691,58529,934,012DFND