SoftBank Results Presentation Deck
Portfolio Diversification
The proportion of China decreased significantly;
leading to greater geographical diversification of assets
% by regions of assets held
31%
11%
9%
20%
4%
25%
15%
18%
12%
27%
5%
24%
10%
Mar 2023
17%
13%
32%
5%
23%
Mar 2022
(Note) Classification of regions based on the location of each portfolio company's headquarters
China: Alibaba, investments in China from SVF1 and SVF2, and other investments in China
Japan: SoftBank, investments in Japan from SVF1 and SVF2, and other investments in Japan
APAC (excluding Japan and China): Investments in APAC excluding Japan and China from SVF1 and SVF2, and other investments in the region
EMEA: Arm, Deutsche Telekom, investments in EMEA from SVF1 and SVF2, and other investments in EMEA
Latin America: Investments from LatAm Funds and other investments in Latin America
North America: T-Mobile, investments in North America from SVF1 and SVF2, and other investments in North America
Jun 2023
=SoftBank
EMEA
China
Japan
APAC
(excluding Japan and China)
excl. asset-backed finance
Group
Latin America
North America
Finance 10View entire presentation