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SNSRSNSR
30 quarters

Position history for UBS Group AGUBS Group AG's holdings in GLOBAL X INTERNET OF THINGS

UBS Group AG holds 50,094 shares of SNSR (GLOBAL X INTERNET OF THINGS), worth $2.5M as of 2026-Q2. The position was increased (+3.8% shares). SNSR represents 0.0% of UBS Group AG's portfolio.

Current Value

$2.5M

Current Shares

50,094

Total Value Change

+$305,197

Total Shares Change

-69,926

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2026-Q2
Latest
Increased
50,094
+3.8%
$2.5M0.0%$49.97
27
2026-Q1
Decreased
48,249
-3.6%
$1.8M0.0%$38.91
0
2025-Q4
Decreased
50,072
-2.7%
$1.9M0.0%$37.26
0
2025-Q3
Decreased
51,483
-19.3%
$2M0.0%$38.68
0
2025-Q2
Decreased
63,758
-2.0%
$2.4M0.0%$37.39
0
2025-Q1
Increased
65,038
+1.5%
$2.1M0.0%$32.71
26
2024-Q4
Decreased
64,078
-5.5%
$2.2M0.0%$34.76
0
2024-Q3
Decreased
67,772
-21.5%
$2.4M0.0%$34.64
0
2024-Q2
Decreased
86,330
-47.9%
$3.1M0.0%$35.53
0
2024-Q1
Decreased
165,556
-2.9%
$6M0.0%$35.78
0
2023-Q4
Decreased
170,505
-2.2%
$6M0.0%$34.87
0
2023-Q3
Increased
174,272
+5.0%
$5.3M0.0%$30.12
28
2023-Q2
Decreased
165,901
-0.8%
$5.7M0.0%$33.56
0
2023-Q1
Decreased
167,305
-1.4%
$5.6M0.0%$32.21
0
2022-Q4
Decreased
169,634
-11.2%
$4.9M0.0%$28.34
0
2022-Q3
Decreased
191,041
-2.4%
$4.8M0.0%$24.36
0
2022-Q2
Decreased
195,822
-22.3%
$5M0.0%$25.27
0
2022-Q1
Decreased
252,095
-4.5%
$8.4M0.0%$32.91
0
2021-Q4
Increased
264,021
+7.2%
$10.3M0.0%$38.13
30
2021-Q3
Increased
246,272
+1.9%
$8.9M0.0%$35.34
28
2021-Q2
Increased
241,639
+7.3%
$8.6M0.0%$34.69
30
2021-Q1
Increased
225,266
+15.0%
$7.5M0.0%$31.84
31
2020-Q4
Increased
195,924
+18.4%
$6.2M0.0%$30.81
32
2020-Q3
Increased
165,525
+0.8%
$4.3M0.0%$25.30
27
2020-Q2
Decreased
164,129
-0.5%
$4M0.0%$23.10
0
2020-Q1
Increased
164,916
+20.4%
$3M0.0%$17.72
31
2019-Q4
Increased
136,958
+20.7%
$3.2M0.0%$22.72
32
2019-Q3
Decreased
113,461
-15.4%
$2.3M0.0%$19.40
0
2019-Q2
Increased
134,173
+11.8%
$2.7M0.0%$18.97
29
2019-Q1
New
120,020
-
$2.2M0.0%$17.47
36

Other major holders of SNSR: PNC FINANCIAL SERVICES GROUP, INC.

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