Skip to main content Skip to main content
Institutional Filer · CIK 1302815

SB Capital Management Inc


PERIOD 2025-Q4 (filed 2026-02-20) · SOURCE: SEC EDGAR (PUBLIC)

Holdings as of the 2025-Q4 13F-HR filing (filed 2026-02-20). 13F is disclosed up to 45 days after quarter-end.

92
Reported positionstop 5 = 31% of reported value
$273M
Reported valueas of 2025-Q4 13F-HR
1
Quarters on file

What a 13F does — and does not — show

These figures come from Form 13F, a quarterly filing that large US institutional managers must submit to the SEC. It is a useful window, but a partial and lagged one, so read it carefully:

  • It is a snapshot, up to 45 days old. A 13F shows what a manager held on the last day of a quarter, filed up to 45 days later — the fund may have traded since.
  • Long US-listed stocks only. It excludes short positions, cash, bonds, most derivatives, and non-US or private holdings, so it is not the fund’s whole portfolio.
  • Reported 13F value is not assets under management. Every share and concentration figure below is a percentage of the reported 13F value only — not the firm’s total assets.
  • It describes, it does not recommend. A large or long-held position is not an endorsement, and none of this is investment advice.

Concentration

Share of reported portfolio value. Long US-listed equity positions as filed; percentages are of reported 13F value, which excludes shorts, cash, non-US and private holdings.

TierReported valueShare
Top position$37M13.6%
Top 5$86M31.5%
Top 10$130M47.6%

Top holdings

#SecuritySharesReported value% of value
1STIP ISHARES TR361,193$37M13.6%
2DUHP DIMENSIONAL ETF TRUST342,515$13M4.8%
3DFUV DIMENSIONAL ETF TRUST264,597$12M4.5%
4VTIP VANGUARD MALVERN FDS242,590$12M4.4%
5CAPR CAPRICOR THERAPEUTICS INC400,001$12M4.2%
6DISV DIMENSIONAL ETF TRUST246,850$9M3.4%
7DFAS DIMENSIONAL ETF TRUST129,672$9M3.3%
8ISHG ISHARES TR116,555$9M3.2%
9DFUS DIMENSIONAL ETF TRUST113,731$8M3.1%
10DFAI DIMENSIONAL ETF TRUST219,857$8M3.1%
11DFIV DIMENSIONAL ETF TRUST155,832$8M2.8%
12DFAT DIMENSIONAL ETF TRUST130,198$8M2.8%

How this filer invests

Reproducible measures computed from the positions in this filer’s own 13F filings — not from any outside estimate.

How concentrated the book is

48%
Top 10 positions (of reported 13F value)
14%
Largest position
0.04
Concentration index (HHI, 0–1) — broadly diversified

Across 93 reported positions. Shares are of reported 13F value (long US-listed equity), which is not the firm’s total assets. The concentration index (HHI) is the sum of each position’s squared weight — higher means a book concentrated in fewer names.

Frequently asked

What does SB Capital Management Inc own?

SB Capital Management Inc reported 92 long US-listed equity positions worth $273M in its 2025-Q4 13F filing.

Where does this data come from?

Holdings are parsed from SEC Form 13F-HR filings on EDGAR (public filings). 13F is disclosed up to 45 days after quarter-end and reflects long US-listed equity positions only. Informational, not investment advice.

About 13F filings

A Form 13F is a quarterly disclosure that institutional investment managers with over $100 million in US-listed equities must file with the SEC. In plain English: it is a snapshot of the long stock positions a fund held at the end of a quarter. It is filed up to 45 days after quarter-end, so it is backward-looking — the manager may have traded since — and it covers long US-listed equities only, not short positions, cash, or private holdings. Reading a 13F tells you what a manager owned, not whether you should own it.

Learn how to read a 13F

Explore other funds