UBS Group AG's portfolio and holdings - Mar 2026

As per corporate shareholdings filed for Feb-2026, people matching UBS Group AG publicly holds 200 stocks with a net worth of over US$ 30.3 B.

These are shares held by UBS Group AG as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

Month Ending
FOLLOW ALL SUPERSTARS
Results truncated because your query was too generic or resulted in more than 200 results.
Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Hudson Pacific Properties Inc Ubs Group Ag 7.07 5,617,697 10.36% 10.14 39.7 M
MicroAlgo Inc Ubs Group Ag 4.02 73,948 9.17% 2.64 297.3 K
Hertz Global Holdings Inc. - Ordinary Shares (New) Ubs Group Ag 6.98 21,961,144 7.03% -0.26 153.3 M
BJ`s Restaurant Inc. Ubs Group Ag 37.30 1,451,883 6.85% 5.84 54.2 M
Thornburg Income Builder Opportunities Trust Ubs Group Ag 22.22 2,022,402 6.51% 0.03 44.9 M
Summit Hotel Properties Inc Ubs Group Ag 4.72 6,936,070 6.38% 1.01 32.7 M
Enhabit Inc Ubs Group Ag 13.73 3,132,989 6.18% -0.45 43.0 M
Singular Genomics Systems Inc Ubs Group Ag 20.01 156,254 6.16% 3.09 3.1 M
Avis Budget Group Inc Ubs Group Ag 448.98 2,159,993 6.11% 0.57 969.8 M
BILL Holdings Inc Ubs Group Ag 38.21 5,970,956 6.03% 3.24 228.2 M
Brighthouse Financial Inc Ubs Group Ag 62.30 3,413,278 5.97% 2.95 212.6 M
Solaredge Technologies Inc Ubs Group Ag 38.91 3,554,504 5.89% 5.39 138.3 M
Darling Ingredients Inc Ubs Group Ag 60.36 9,173,118 5.78% 3.02 553.7 M
Southwest Airlines Co Ubs Group Ag 40.63 28,282,033 5.76% 3.77 1.1 B
Abivax - ADR Ubs Group Ag 122.47 4,461,262 5.63% 5.42 546.4 M
Western Asset Investment Grade Defined Opportunity Trust Inc Ubs Group Ag 16.30 327,440 5.46% 0.39 5.3 M
SmartRent Inc - Ordinary Shares - Class A Ubs Group Ag 1.47 10,448,199 5.44% 1.15 15.4 M
GCI Liberty Inc. - Ordinary Shares - Series C Ubs Group Ag 37.40 2,071,238 5.20% 5.20 77.5 M
Seadrill Ltd. Ubs Group Ag 47.23 3,111,817 4.98% -0.87 147.0 M
Rapid7 Inc Ubs Group Ag 5.77 3,196,727 4.85% -2.02 18.4 M
Cohen & Steers Limited Duration Preferred and Income Fund Inc Ubs Group Ag 20.85 1,406,501 4.84% -0.17 29.3 M
Acadia Healthcare Company Inc Ubs Group Ag 26.89 4,336,698 4.71% 0.30 116.6 M
Atyr Pharma Inc Ubs Group Ag 0.83 4,505,955 4.60% 2.81 3.7 M
Fluor Corporation Ubs Group Ag 47.88 6,543,565 4.57% 3.27 313.3 M
Cohen & Steers Tax-Advantaged Preferred Securities & Income Fund Ubs Group Ag 19.28 2,416,195 4.37% -0.20 46.6 M
UBS Group AG - Registered Shares Ubs Group Ag 42.72 132,478,549 4.28% 0.57 5.7 B
Huntsman Corp Ubs Group Ag 13.74 7,364,206 4.23% 1.92 101.2 M
Zim Integrated Shipping Services Ltd Ubs Group Ag 26.95 4,886,517 4.05% 0.69 131.7 M
Western Asset High Income Fund II Inc Ubs Group Ag 4.03 3,630,393 4.03% 0.47 14.6 M
AMC Entertainment Holdings Inc - Ordinary Shares - Class A Ubs Group Ag 1.61 23,194,957 3.98% 3.88 37.3 M
First Trust Energy Infrastructure Fund Ubs Group Ag 18.10 618,710 3.95% 0.00 11.2 M
Gevo Inc Ubs Group Ag 1.72 9,525,507 3.92% -0.48 16.4 M
Nuveen California Municipal Value Fund. Ubs Group Ag 9.37 1,291,449 3.90% 0.45 12.1 M
LENZ Therapeutics Inc. Ubs Group Ag 9.64 1,201,616 3.83% 1.02 11.6 M
PIMCO Energy and Tactical Credit Opportunities Fund Ubs Group Ag 20.87 1,688,167 3.78% -0.02 35.2 M
American Airlines Group Inc Ubs Group Ag 12.27 24,900,209 3.77% 0.01 305.5 M
Fitness Champs Holdings Ltd. Ubs Group Ag 1.55 41,633 3.67% 3.67 64.5 K
CBRE Global Real Estate Income Fund Ubs Group Ag 4.82 5,530,237 3.65% 0.11 26.7 M
John Hancock Preferred Income Fund III Ubs Group Ag 14.41 1,141,593 3.55% 0.34 16.5 M
Match Group Inc. - Ordinary Shares - New Ubs Group Ag 34.75 8,179,070 3.52% 0.50 284.2 M
Skechers U S A, Inc. - Ordinary Shares - Class A Ubs Group Ag 63.13 5,273,079 3.51% 2.06 332.9 M
Array Technologies Inc Ubs Group Ag 7.62 5,212,143 3.41% 1.70 39.7 M
Nuveen Municipal Value Fund Inc. Ubs Group Ag 9.14 7,037,473 3.39% 0.06 64.3 M
Brinker International, Inc. Ubs Group Ag 151.09 1,464,389 3.36% 2.07 221.3 M
Encore Capital Group, Inc. Ubs Group Ag 78.70 706,742 3.30% 0.26 55.6 M
Elanco Animal Health Inc Ubs Group Ag 23.13 16,468,148 3.30% 1.18 380.9 M
Timken Co. Ubs Group Ag 103.92 2,286,250 3.28% 2.88 237.6 M
D-Wave Quantum Inc Ubs Group Ag 21.52 12,089,703 3.27% 2.73 260.2 M
Intercept Pharmaceuticals Inc Ubs Group Ag 0.00 1,359,471 3.25% 2.96 -
Flowserve Corp. Ubs Group Ag 77.83 4,146,917 3.24% 1.30 322.8 M
Sturm, Ruger & Co., Inc. Ubs Group Ag 41.98 514,510 3.23% 0.77 21.6 M
Hingham Institution For Savings Ubs Group Ag 300.80 69,998 3.20% 0.43 21.1 M
Triumph Group Inc. Ubs Group Ag 26.01 2,482,054 3.19% 2.04 64.6 M
Marathon Digital Holdings Inc Ubs Group Ag 11.55 12,098,686 3.18% 1.61 139.7 M
Chemours Company Ubs Group Ag 23.87 4,754,492 3.17% 0.01 113.5 M
SharpLink Gaming Ltd Ubs Group Ag 7.74 6,169,346 3.13% 2.81 47.8 M
Haemonetics Corp. Ubs Group Ag 60.11 1,452,571 3.13% 1.27 87.3 M
Groupon Inc Ubs Group Ag 15.52 1,271,767 3.12% 1.84 19.7 M
Neuronetics Inc Ubs Group Ag 1.40 2,164,831 3.11% 2.65 3.0 M
Five Below Inc Ubs Group Ag 225.06 1,713,859 3.10% 0.13 385.7 M
Asset Entities Inc - Ordinary Shares - Class B Ubs Group Ag 13.98 510,424 3.07% 3.00 7.1 M
RH - Ordinary Shares - Class A Ubs Group Ag 129.49 576,696 3.06% 1.05 74.7 M
Evolent Health Inc - Ordinary Shares - Class A Ubs Group Ag 2.99 3,402,408 3.05% 0.53 10.2 M
OppFi Inc - Ordinary Shares - Class A Ubs Group Ag 8.57 799,211 3.02% 1.37 6.8 M
GCM Grosvenor Inc - Ordinary Shares - Class A Ubs Group Ag 10.62 1,833,941 3.02% 2.26 19.5 M
Eaton Vance Tax-Advantaged Global Dividend Income Fund Ubs Group Ag 21.59 2,271,568 2.98% -0.02 49.0 M
Amrize Ltd. - Registered Shares Ubs Group Ag 57.18 16,447,777 2.97% 2.97 940.5 M
Protagonist Therapeutics Inc Ubs Group Ag 103.73 1,896,008 2.97% -1.03 196.7 M
Warrior Met Coal Inc Ubs Group Ag 85.82 1,554,071 2.94% 2.02 133.4 M
PIMCO Access Income Fund Ubs Group Ag 14.62 1,380,357 2.94% -0.25 20.2 M
Cohen & Steers Select Preferred and Income Fund Inc Ubs Group Ag 19.78 350,408 2.91% -0.11 6.9 M
DoubleLine Opportunistic Credit Fund Ubs Group Ag 14.40 574,547 2.91% -0.13 8.3 M
Light & Wonder Inc Ubs Group Ag 86.22 2,224,565 2.88% 1.32 191.8 M
Carters Inc Ubs Group Ag 36.95 1,041,430 2.86% -0.68 38.5 M
Surgery Partners Inc Ubs Group Ag 13.43 3,690,922 2.85% 0.95 49.6 M
RiverNorth Flexible Municipal Income Fund II Inc Ubs Group Ag 12.95 691,976 2.84% -0.39 9.0 M
Bloom Energy Corp - Ordinary Shares - Class A Ubs Group Ag 210.06 8,038,641 2.83% 1.25 1.7 B
Rezolute Inc Ubs Group Ag 3.54 2,695,978 2.82% -0.53 9.5 M
Alpha Teknova Inc Ubs Group Ag 2.68 1,502,144 2.80% -0.16 4.0 M
Enstar Group Limited Ubs Group Ag 337.91 416,049 2.79% 1.22 140.6 M
Wolverine World Wide, Inc. Ubs Group Ag 17.68 2,279,447 2.78% 1.30 40.3 M
Hilton Grand Vacations Inc Ubs Group Ag 46.01 2,258,391 2.78% 0.81 103.9 M
MFS Municipal Income Trust Ubs Group Ag 5.40 1,140,452 2.77% 0.10 6.2 M
Nuveen New York Municipal Value Fund Ubs Group Ag 8.54 518,562 2.75% -0.05 4.4 M
AMC Networks Inc - Ordinary Shares - Class A Ubs Group Ag 8.23 1,170,464 2.74% 0.37 9.6 M
Geo Group, Inc. Ubs Group Ag 18.16 3,603,288 2.72% 1.09 65.4 M
Apellis Pharmaceuticals Inc Ubs Group Ag 40.87 3,429,905 2.68% -1.06 140.2 M
Jack In The Box, Inc. Ubs Group Ag 12.36 510,445 2.68% -1.23 6.3 M
CryoPort Inc Ubs Group Ag 10.17 1,331,521 2.67% 1.42 13.5 M
Angiodynamic Inc Ubs Group Ag 10.46 1,102,488 2.67% 1.19 11.5 M
Visteon Corp. Ubs Group Ag 92.70 706,878 2.64% -0.16 65.5 M
Sciplay Corp - Ordinary Shares - Class A Ubs Group Ag 22.94 557,531 2.63% 1.20 12.8 M
Nuveen Select Tax-Free Income Portfolio Ubs Group Ag 14.21 1,354,163 2.60% -0.04 19.2 M
ANI Pharmaceuticals Inc Ubs Group Ag 78.07 589,874 2.59% 0.79 46.1 M
Kolibri Global Energy Inc Ubs Group Ag 5.25 917,787 2.59% -0.90 4.8 M
Flowers Foods, Inc. Ubs Group Ag 8.57 5,440,909 2.57% 0.05 46.6 M
Calamos Convertible Opportunities and Income Fund Ubs Group Ag 11.78 2,036,796 2.56% 0.10 24.0 M
ManpowerGroup Ubs Group Ag 31.00 1,188,461 2.56% 1.11 36.8 M
Interpublic Group Of Cos., Inc. Ubs Group Ag 24.57 9,262,642 2.55% 0.39 227.6 M
Redfin Corp Ubs Group Ag 11.19 3,258,710 2.55% 2.06 36.5 M
Hawaiian Electric Industries, Inc. Ubs Group Ag 15.76 4,382,802 2.54% -0.60 69.1 M
RiverNorth Opportunistic Municipal Income Fund Inc Ubs Group Ag 15.19 161,653 2.54% 0.07 2.5 M
GrabAGun Digital Holdings Inc. Ubs Group Ag 2.97 748,127 2.54% 2.54 2.2 M
Cg Oncology Inc. Ubs Group Ag 66.34 2,126,270 2.52% -0.33 141.1 M
Adaptimmune Therapeutics Plc - ADR Ubs Group Ag 0.06 6,667,358 2.52% 2.49 400.0 K
Transmedics Group Inc Ubs Group Ag 109.12 856,063 2.50% 1.10 93.4 M
Halozyme Therapeutics Inc. Ubs Group Ag 66.64 2,945,751 2.49% 1.19 196.3 M
Rithm Property Trust Inc. Ubs Group Ag 14.39 187,244 2.47% 2.37 2.7 M
Calamos Strategic Total Return Fund Ubs Group Ag 19.06 3,946,285 2.46% 0.00 75.2 M
CRISPR Therapeutics AG Ubs Group Ag 55.72 2,339,056 2.44% -0.59 130.3 M
Shift4 Payments Inc - Ordinary Shares - Class A Ubs Group Ag 48.45 1,989,526 2.42% -1.03 96.4 M
CyberArk Software Ltd Ubs Group Ag 408.85 1,217,783 2.41% 1.84 497.9 M
Bellring Brands Inc Ubs Group Ag 16.23 2,820,307 2.40% 0.60 45.8 M
abrdn Global Infrastructure Income Fund Ubs Group Ag 24.29 755,706 2.39% -0.23 18.4 M
RiverNorth Managed Duration Municipal Income Fund II Inc Ubs Group Ag 14.84 201,748 2.39% 0.08 3.0 M
Biocryst Pharmaceuticals Inc. Ubs Group Ag 9.52 5,967,737 2.38% -0.29 56.8 M
Arcutis Biotherapeutics Inc Ubs Group Ag 24.19 2,948,438 2.38% -0.02 71.3 M
Angel Oak Financial Strategies Income Term Trust Ubs Group Ag 12.81 792,877 2.37% -0.48 10.2 M
PIMCO Dynamic Income Opportunities Fund Ubs Group Ag 13.31 3,357,297 2.36% -0.30 44.7 M
Dine Brands Global Inc Ubs Group Ag 27.97 304,454 2.35% 0.50 8.5 M
Enphase Energy Inc Ubs Group Ag 31.96 3,086,442 2.34% 1.12 98.6 M
John Hancock Preferred Income Fund Ubs Group Ag 15.98 627,467 2.34% 0.11 10.0 M
Etsy Inc Ubs Group Ag 59.61 2,247,335 2.33% 1.11 134.0 M
Box Inc - Ordinary Shares - Class A Ubs Group Ag 23.89 3,215,792 2.32% 0.05 76.8 M
Perficient Inc. Ubs Group Ag 75.96 816,359 2.32% 2.14 62.0 M
Park Hotels & Resorts Inc Ubs Group Ag 11.18 4,673,214 2.32% -0.16 52.2 M
Bain Capital Specialty Finance Inc Ubs Group Ag 13.24 1,492,327 2.30% 0.07 19.8 M
Tidewater Inc. - Ordinary Shares - New Ubs Group Ag 84.37 1,137,773 2.30% -0.41 96.0 M
PIMCO Dynamic Income Strategy Fund Ubs Group Ag 20.87 1,022,996 2.29% -0.04 21.3 M
Nuveen Taxable Municipal Income Fund Ubs Group Ag 15.86 667,017 2.27% -0.10 10.6 M
China Yuchai International Ubs Group Ag 42.32 849,464 2.26% 2.00 35.9 M
Capri Holdings Ltd Ubs Group Ag 19.82 2,697,890 2.26% -0.34 53.5 M
Nuveen S&P 500 Dynamic Overwrite Fund Ubs Group Ag 17.30 405,266 2.25% 0.05 7.0 M
Entegris Inc Ubs Group Ag 135.92 3,405,183 2.24% 0.36 462.8 M
Treehouse Foods Inc Ubs Group Ag 24.43 1,127,562 2.23% -0.18 27.5 M
Monro Inc Ubs Group Ag 16.85 670,070 2.23% 1.43 11.3 M
MFS High Income Municipal Trust Ubs Group Ag 3.73 700,019 2.22% -0.05 2.6 M
Generation Bio Co Ubs Group Ag 5.34 148,721 2.21% 0.89 794.2 K
Tandem Diabetes Care Inc Ubs Group Ag 20.09 1,504,377 2.20% 0.15 30.2 M
Lite Strategy Inc. Ubs Group Ag 1.18 797,118 2.19% 2.17 940.6 K
Spectrum Brands Holdings Inc. Ubs Group Ag 80.96 505,212 2.18% -1.03 40.9 M
Western Digital Corp. Ubs Group Ag 361.69 7,329,996 2.16% -1.18 2.7 B
Kellogg Co Ubs Group Ag 83.44 7,520,037 2.16% 0.45 627.5 M
Novavax, Inc. Ubs Group Ag 8.64 3,516,203 2.16% 0.77 30.4 M
Adient plc Ubs Group Ag 20.71 1,679,732 2.14% -0.64 34.8 M
Smurfit WestRock plc Ubs Group Ag 41.20 11,240,153 2.14% 1.57 463.1 M
Boston Beer Co., Inc. - Ordinary Shares - Class A Ubs Group Ag 244.52 223,664 2.14% 0.34 54.7 M
Pliant Therapeutics Inc Ubs Group Ag 1.30 1,322,017 2.14% -2.17 1.7 M
Shake Shack Inc - Ordinary Shares - Class A Ubs Group Ag 99.75 855,957 2.13% 0.80 85.4 M
Frequency Electronics, Inc. Ubs Group Ag 58.70 208,334 2.12% 0.80 12.2 M
Pacira BioSciences Inc Ubs Group Ag 23.86 854,861 2.11% -0.28 20.4 M
John Hancock Tax- Advantaged Dividend Income Ubs Group Ag 25.39 747,625 2.11% 0.08 19.0 M
ATAI Life Sciences N.V. Ubs Group Ag 4.09 7,677,289 2.10% -0.77 31.4 M
Core Scientific Inc - Ordinary Shares - New Ubs Group Ag 19.44 6,584,767 2.09% 0.69 128.0 M
DoubleLine Yield Opportunities Fund Ubs Group Ag 14.19 1,012,015 2.08% -0.07 14.4 M
Oatly Group AB - ADR Ubs Group Ag 12.85 646,591 2.07% -0.03 8.3 M
Nuveen Municipal Credit Opportunities Fund Ubs Group Ag 10.68 1,146,221 2.07% 0.00 12.2 M
PROG Holdings Inc Ubs Group Ag 30.38 823,663 2.06% 1.05 25.0 M
Advance Auto Parts Inc Ubs Group Ag 56.66 1,229,905 2.04% -1.08 69.7 M
Fortive Corp Ubs Group Ag 59.65 6,225,192 2.02% 1.00 371.3 M
MBIA Inc. Ubs Group Ag 6.05 1,026,406 2.02% 0.84 6.2 M
Jabil Inc Ubs Group Ag 310.10 2,126,953 2.01% 0.90 659.6 M
UFP Technologies Inc. Ubs Group Ag 194.04 154,688 2.01% 0.59 30.0 M
Vail Resorts Inc. Ubs Group Ag 129.31 713,531 2.00% 0.38 92.3 M
Murphy Oil Corp. Ubs Group Ag 39.24 2,868,437 2.00% -0.58 112.6 M
PGIM Short Duration High Yield Opportunities Fund Ubs Group Ag 16.23 492,324 2.00% -0.04 8.0 M
CPI Card Group Inc Ubs Group Ag 17.89 227,161 1.98% -0.32 4.1 M
On Holding AG - Ordinary Shares Class A Ubs Group Ag 35.42 6,495,807 1.96% 0.70 230.1 M
Invesco Municipal Opportunity Trust Ubs Group Ag 9.70 1,323,395 1.96% -0.15 12.8 M
Royce Micro-Cap Trust Inc Ubs Group Ag 12.77 1,043,876 1.95% -0.01 13.3 M
Aspen Technology Inc Ubs Group Ag 264.33 1,234,940 1.95% 1.84 326.4 M
Shoals Technologies Group Inc - Ordinary Shares - Class A Ubs Group Ag 6.92 3,272,584 1.95% 0.89 22.6 M
Revvity Inc. Ubs Group Ag 89.53 2,179,505 1.95% 0.37 195.1 M
Magellan Midstream Partners L.P. Ubs Group Ag 69.00 3,927,982 1.94% 0.39 271.0 M
Euronet Worldwide Inc Ubs Group Ag 74.24 761,438 1.94% 0.92 56.5 M
RiverNorth Flexible Municipal Income Fund Inc Ubs Group Ag 14.30 117,991 1.93% -0.02 1.7 M
Amedisys Inc. Ubs Group Ag 100.99 634,501 1.93% 1.28 64.1 M
Utz Brands Inc - Ordinary Shares - Class A Ubs Group Ag 7.85 1,702,641 1.93% 0.53 13.4 M
Glatfelter Corporation Ubs Group Ag 10.37 689,481 1.92% -1.17 7.1 M
OSI Systems, Inc. Ubs Group Ag 301.08 316,334 1.92% 0.78 95.2 M
Twilio Inc - Ordinary Shares Class A Ubs Group Ag 136.96 2,899,628 1.91% 0.62 397.1 M
Mirion Technologies Inc. - Ordinary Shares - Class A Ubs Group Ag 19.27 4,796,833 1.91% 1.22 92.4 M
Nuveen Multi-Asset Income Fund Ubs Group Ag 13.43 638,514 1.91% 0.17 8.6 M
YETI Holdings Inc Ubs Group Ag 38.39 1,439,522 1.90% 1.57 55.3 M
Syndax Pharmaceuticals Inc Ubs Group Ag 23.81 1,674,513 1.90% 0.25 39.9 M
Geopark Limited Ubs Group Ag 9.36 981,131 1.90% 0.84 9.2 M
Sarepta Therapeutics Inc Ubs Group Ag 21.17 1,990,508 1.90% 1.42 42.1 M
Ambarella Inc Ubs Group Ag 57.32 821,747 1.88% 1.48 47.1 M
BlackRock Core Bond Trust Ubs Group Ag 9.26 1,352,965 1.87% 0.14 12.5 M
Nuveen Variable Rate Preferred & Income Fund Ubs Group Ag 18.98 452,635 1.87% -0.47 8.6 M
Cava Group Inc Ubs Group Ag 91.24 2,170,711 1.87% 0.38 198.1 M
Nexstar Media Group Inc Ubs Group Ag 197.40 562,631 1.86% -0.25 111.1 M
MidCap Financial Investment Corporation Ubs Group Ag 11.71 1,701,175 1.84% 0.06 19.9 M
Waystar Holding Corp Ubs Group Ag 25.32 3,516,539 1.83% 1.19 89.0 M
MainStreet Bancshares Inc Ubs Group Ag 23.23 134,821 1.83% 1.78 3.1 M
Blackstone Mortgage Trust Inc - Ordinary Shares - Class A Ubs Group Ag 19.78 3,082,005 1.83% 0.41 61.0 M
ModivCare Inc Ubs Group Ag 0.43 260,797 1.82% 1.43 112.1 K
First Solar Inc Ubs Group Ag 191.65 1,945,154 1.81% -0.37 372.8 M
Kohl`s Corp. Ubs Group Ag 14.33 2,030,692 1.81% -2.21 29.1 M
Lightbridge Corp Ubs Group Ag 11.98 579,011 1.81% 0.70 6.9 M
View All The Superstar Shareholder Portfolios