SoftBank Group Top Holdings and 13F Report (2026) About SoftBank GroupSoftBank Group OTCMKTS: SFTBF has filed 13-F forms with the SEC as an investor. SoftBank Group is itself a publicly traded company. SoftBank Group Corp., headquartered in Tokyo, is a Japanese multinational conglomerate holding company with diversified interests in telecommunications, technology services and investment management. Founded in 1981 by Masayoshi Son, the company began as a software distributor before branching into mobile communications and internet ventures. Over the years, SoftBank has built one of Japan’s largest wireless networks and expanded its operations to encompass a broad range of digital services. For more information on SoftBank Group stock, visit the SoftBank Group stock profile here.Investment ActivitySoftBank Group has $18.17 billion in total holdings as of June 30, 2026.SoftBank Group owns shares of 30 different stocks, but just 3 companies or ETFs make up 80% of its holdings.Approximately 0.31% of the portfolio was purchased this quarter.About 6.87% of the portfolio was sold this quarter.This quarter, SoftBank Group has purchased 29 new stocks and bought additional shares in 0 stocks.SoftBank Group sold shares of 2 stocks and completely divested from 1 stock this quarter.Largest Holdings Intel $12,141,739,167Symbotic $1,790,147,774T-Mobile US $1,677,300,000WEBTOON ENTMT INC $358,958,922Inter & Co. Inc. $328,551,033 Largest New Holdings this Quarter 14040H105 - Capital One Financial $55,533,823 Holding532206109 - LIFE360 INC $488,544 Holding Largest Purchases this Quarter Capital One Financial 276,811 shares (about $55.53M)LIFE360 INC 10,178 shares (about $488.54K) Largest Sales this Quarter Taiwan Semiconductor Manufacturing 1,420,000 shares (about $678.15M)SATELLOGIC 155,096 shares (about $887.15K) Sector Allocation Over TimeMap of 500 Largest Holdings ofSoftBank Group Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorINTCIntel$12,141,739,1670.0%86,956,52266.8%TechnologySYMSymbotic$1,790,147,7740.0%39,825,3129.8%IndustrialsTMUST-Mobile US$1,677,300,0000.0%10,000,0009.2%Communication ServicesWEBTOON ENTMT INC$358,958,9220.0%31,432,4802.0%COMINTRInter & Co. Inc.$328,551,0330.0%60,506,6361.8%FinanceTEMPUS AI INC$313,135,1700.0%5,405,4061.7%CL AKlarna Group PLC$311,700,5340.0%15,400,2241.7%SHSTSMTaiwan Semiconductor Manufacturing$269,827,050$678,149,400 â–¼-71.5%565,0001.5%TechnologyNUNU$238,370,6700.0%17,842,1161.3%FinanceVTEXVTEX$153,738,3480.0%38,434,5870.8%TechnologyCHIME FINL INC$103,779,0410.0%5,067,3360.6%COM SHS CL AQXO INC$94,529,5320.0%5,470,4590.5%COM NEWETHOS TECHNOLOGIES INC$56,758,2820.0%3,128,9020.3%CL ACOFCapital One Financial$55,533,823$55,533,823 â–²New Holding276,8110.3%FinanceRXRXRecursion Pharmaceuticals$50,046,0100.0%13,636,5150.3%HealthcareAFYAAfya$36,110,5130.0%2,433,3230.2%Consumer DiscretionaryPACBPacific Biosciences of California$34,358,6380.0%20,451,5700.2%HealthcareYMMFull Truck Alliance$31,542,0020.0%3,884,4830.2%IndustrialseToro Group Ltd$31,417,9620.0%795,9960.2%SHS CL AGLOBALSTAR INC$26,094,3340.0%321,0030.1%COMBETTER HOME & FINANCE HOLDIN$17,285,2080.0%628,5530.1%COM NEW CL ASATELLOGIC$13,885,580$887,149 â–¼-6.0%2,427,5490.1%COM CL AAMBIQ MICRO INC$13,151,3140.0%148,9390.1%COMMON STOCKNEUMORA THERAPEUTICS INC.$10,353,5120.0%6,090,3010.1%COMSEERSeer$8,524,7360.0%5,135,3830.0%HealthcareABCLAbCellera Biologics$2,709,5140.0%345,1610.0%HealthcareESS TECH IN$2,277,1310.0%2,396,9800.0%COM NEWDDLDingdong (Cayman)$2,026,5000.0%1,050,0000.0%Consumer StaplesLIFE360 INC$488,544$488,544 â–²New Holding10,1780.0%COMCONCORDE INTL GROUP LTD$199,4930.0%259,0820.0%ORD SHS CL ATWENTY ONE CAP INC$0$570,283,187 â–¼-100.0%00.0%COM SHS CL AShowing largest 100 holdings. 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