13F Filings for SOFTBANK GROUP CORP. (CIK: 1065521)

View the most recent portfolio holdings disclosed by SOFTBANK GROUP CORP. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
TMUS - T-MOBILE US(Class: COM)85.36M $22.77B -Unchanged
NVDA - NVIDIA CORPORATION(Class: COM)30.53M $3.31B -Increased 20.01M (190.0%, $1.90B)
SYM - SYMBOTIC INC(Class: CLASS A COM)39.83M $804.87M -Unchanged
INTR - INTER CO I(Class: CLASS A CO)64.51M $353.50M -Unchanged
TSM - TAIWAN SEMICONDUCTOR MFG LTD(Class: SPONSORED ADS)1.99M $329.51M -New 1.99M ($329.51M)
LMND - LEMONADE I(Class: COM)10.45M $328.52M -Decreased 246.74K (2.0%, $63.93M)
TEM - TEMPUS AI INC(Class: CL A)5.41M $260.70M -Unchanged
WBTN - WEBTOON ENTMT INC(Class: COM)31.43M $241.09M -Unchanged
NU - NU HLDGS L(Class: ORD SHS CL)21.01M $215.14M -Unchanged
VTEX - VTEX(Class: SHS CL A)38.43M $194.86M -Unchanged
ORCL - ORACLE CORP(Class: COM)1.22M $170.57M -New 1.22M ($170.57M)
RXRX - RECURSION PHARMACEUTICALS IN(Class: CL A)14.67M $77.59M -Unchanged
QXO - QXO INC(Class: COM NEW)5.47M $74.07M -Unchanged
AFYA - AFYA LTD(Class: CL A COM)2.43M $43.63M -Unchanged
YMM - FULL TRUCK ALLIANCE CO LTD(Class: SPONSORED ADS)3.12M $39.90M -Decreased 1.10M (25.0%, $5.76M)
PACB - PACIFIC BIOSCIENCES CALIF IN(Class: COM)20.45M $24.13M -Unchanged
CIFR - CIPHER MINING INC(Class: COM)10.44M $24.01M -New 10.44M ($24.01M)
SATL - SATELLOGIC(Class: CLASS A OR)2.58M $9.22M -Unchanged
SEER - SEER INC(Class: COM CL A)5.14M $8.68M -Unchanged
GWH - ESS TECH IN(Class: COM NEW)2.40M $7.81M -Unchanged
BETR - BETTER HOME FINANCE HOLDIN(Class: COM NEW CL A)628.55K $6.86M -Unchanged
GSAT - GLOBALSTAR INC(Class: COM)321K $6.70M -New 321K ($6.70M)
NMRA - NEUMORA THERAPEUTICS INC.(Class: COM)6.54M $6.54M -Unchanged
DDL - DINGDONG CAYMAN LTD(Class: ADS)1.05M $2.83M -Unchanged
GSAT - GLOBALSTAR INC(Class: COM)0 $0 -Exited 4.82M ($9.97M)