StockDuty ← Dashboard Aug 15, 2026 02:38 AM ET
SignalCorporate

📊 SoftBank 13F — SOFTBANK GROUP CORP.: $18.2B portfolio, 30 positions (Q2 2026)

1. INTC — $12.1B (66.8%) 2. SYM — $1.8B (9.8%) 3. TMUS — $1.7B (9.2%) 4. WBTN — $359M (2.0%) 5. INTER & CO I — $329M (1.8%) 6. TEM — $313M (1.7%) 7. Klarna Group PLC — $312M (1.7%) 8. TSM — $270M (1.5%) 9. NU HLDGS L — $238M (1.3%) 10. VTEX — $154M (0.8%) 11. CHYM — $104M (0.6%) 12. QXO — $95M (0.5%) 13. LIFE — $57M (0.3%) 14. COF — $56M (0.3%) 15. RXRX — $50M (0.3%) 16. AFYA LTD — $36M (0.2%) 17. PACB — $34M (0.2%) 18. YMM — $32M (0.2%) 19. eToro Group Ltd — $31M (0.2%) 20. GSAT — $26M (0.1%) … (+10 more)
1. INTC — $12.1B (66.8%)
Sources