SOFTBANK GROUP CORP. Holdings

SOFTBANK GROUP CORP. is an investment fund managing more than 6.76B US dollars. The largest holdings include T-Mobile US, Lemonade and EQRx. In Q2 2022 the fund bought assets of total value of 1.15B US dollars and sold assets of total value of 2.47B US dollars.

SOFTBANK GROUP CORP. portfolio value:

$6.75B
portfolio value

SOFTBANK GROUP CORP. quarter portfolio value change:

+1.46%
quarter

SOFTBANK GROUP CORP. 1 year portfolio value change:

-19.96%
1 year

SOFTBANK GROUP CORP. 3 years portfolio value change:

+4260.69%
3 years

SOFTBANK GROUP CORP. 5 years portfolio value change:

+5331.07%
5 years

SOFTBANK GROUP CORP. portfolio changes

Portfolio changes (number of shares)
Period Buy Sel
Q3 2020 623520000 5111280000
Q4 2020 13732000 27706000
Q2 2021 2417275000 13732000
Q3 2021 887667000 7681678000
Q4 2021 489971000 611760000
Q1 2022 21101000 967026000
Q2 2022 1153344000 2471263000

SOFTBANK GROUP CORP. 13F holdings

Stock
Portfolio share: 78.97%
Portfolio value: 5.33B
Avg. open price: N/A
Current price: $150.62
P/L: N/A
Sold -34.72% shares
Q2 2022
Portfolio share: 3.76%
Portfolio value: 253.80M
Avg. open price: N/A
Current price: $18.22
P/L: N/A
N/A
Q3 2020
Portfolio share: 3.16%
Portfolio value: 213.72M
Avg. open price: N/A
Current price: $3.46
P/L: N/A
N/A
Q2 2022
Portfolio share: 3.11%
Portfolio value: 210.29M
Avg. open price: N/A
Current price: $2.18
P/L: N/A
N/A
Q2 2022
Portfolio share: 2.18%
Portfolio value: 147.05M
Avg. open price: N/A
Current price: $3.3
P/L: N/A
N/A
Q4 2021
Portfolio share: 1.89%
Portfolio value: 127.60M
Avg. open price: N/A
Current price: $166.1
P/L: N/A
Sold -44.81% shares
Q3 2020
Portfolio share: 1.43%
Portfolio value: 96.8M
Avg. open price: N/A
Current price: $4.06
P/L: N/A
N/A
Portfolio share: 1.09%
Portfolio value: 73.53M
Avg. open price: N/A
Current price: $3.91
P/L: N/A
Sold -48.29% shares
Q4 2021
Portfolio share: 0.97%
Portfolio value: 65.53M
Avg. open price: N/A
Current price: N/A
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.49%
Portfolio value: 32.99M
Avg. open price: $19.74
Current price: $14.61
P/L: -25.99%
Bought +1391.78% shares
Q4 2021
Portfolio share: 0.44%
Portfolio value: 29.58M
Avg. open price: N/A
Current price: $10.01
P/L: N/A
N/A
Q2 2021
Portfolio share: 0.42%
Portfolio value: 28.7M
Avg. open price: N/A
Current price: $5.56
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.41%
Portfolio value: 27.84M
Avg. open price: N/A
Current price: $1.5
P/L: N/A
N/A
Q3 2021
Portfolio share: 0.40%
Portfolio value: 26.70M
Avg. open price: N/A
Current price: $9.98
P/L: N/A
Sold -96.01% shares
Q3 2022
Portfolio share: 0.34%
Portfolio value: 23M
Avg. open price: N/A
Current price: $11.17
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.32%
Portfolio value: 21.95M
Avg. open price: N/A
Current price: $10.05
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.18%
Portfolio value: 11.82M
Avg. open price: $8.26
Current price: $4.07
P/L: -50.73%
Bought +3.31% shares
Q2 2022
Portfolio share: 0.15%
Portfolio value: 9.92M
Avg. open price: N/A
Current price: $10.03
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.11%
Portfolio value: 7.60M
Avg. open price: N/A
Current price: $1.14
P/L: N/A
N/A
Q4 2021
Portfolio share: 0.11%
Portfolio value: 7.38M
Avg. open price: N/A
Current price: $8.84
P/L: N/A
N/A
Q4 2021
Portfolio share: 0.02%
Portfolio value: 1.44M
Avg. open price: N/A
Current price: $0.25
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.02%
Portfolio value: 1.15M
Avg. open price: N/A
Current price: $53.23
P/L: N/A
N/A
Q2 2021
Portfolio share: 0.02%
Portfolio value: 1.04M
Avg. open price: N/A
Current price: $5.42
P/L: N/A
Sold -85.75% shares
Q3 2022
Portfolio share: 0.01%
Portfolio value: 896K
Avg. open price: N/A
Current price: $11.56
P/L: N/A
N/A
Q2 2022
Portfolio share: 0.00%
Portfolio value: 261K
Avg. open price: N/A
Current price: $13.36
P/L: N/A
N/A
Q1 2022
Portfolio share: 0.00%
Portfolio value: 0
Avg. open price: N/A
Current price: $0.5
P/L: N/A
Sold -100.00% shares
Q3 2022
Portfolio share: 0.00%
Portfolio value: 0
Avg. open price: N/A
Current price: $9.97
P/L: N/A
Sold -100.00% shares
Q3 2022
Portfolio share: 0.00%
Portfolio value: 0
Avg. open price: N/A
Current price: $0.02
P/L: N/A
Sold -100.00% shares
Q3 2022
Portfolio share: 0.00%
Portfolio value: 0
Avg. open price: N/A
Current price: $4.53
P/L: N/A
Sold -100.00% shares
Q3 2022

Showing TOP 29 SOFTBANK GROUP CORP.'s 13F holdings.

Frequently Asked Questions (FAQ)

What is the biggest position of SOFTBANK GROUP CORP.?

The biggest position of the SOFTBANK GROUP CORP. is T-Mobile US, Inc. (TMUS) with 78.97% portfolio share worth of 5.34B US dollars.

Top 5 SOFTBANK GROUP CORP.'s holdings represent 91.18% of the portfolio:

  • T-Mobile US, Inc. (TMUS)78.97%
  • Lemonade, Inc. (LMND)3.76%
  • EQRx, Inc. (EQRX)3.16%
  • Inter & Co, Inc. (INTR)3.11%
  • ESS Tech, Inc. (GWH)2.18%

Who is the portfolio manager of SOFTBANK GROUP CORP.?

The portfolio manager of the SOFTBANK GROUP CORP. is .

What is the total asset value of the SOFTBANK GROUP CORP. portfolio?

SOFTBANK GROUP CORP. total asset value (portfolio value) is 6.76B US dollars.

Who is ?

is the portfolio manager of the SOFTBANK GROUP CORP..

What is (SOFTBANK GROUP CORP.) fund performance?

SOFTBANK GROUP CORP.'s quarterly performance is +1.46%, annualy -19.96%. In the past 3 years, the value of 's portfolio has increased by +4261%. In the past 5 years, the value of the portfolio has increased by +5331%.

What is the SOFTBANK GROUP CORP. CIK?

SOFTBANK GROUP CORP.'s Central Index Key is 0001065521 .