SEC FORM 13F-HR

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F COVER PAGE

OMB APPROVAL
OMB Number: 3235-0006
Estimated average burden
hours per response: 23.8

Report for the Calendar Year or Quarter Ended: 06-30-2026
Check here if Amendment checkbox unchecked Amendment Number:
This Amendment (Check only one.): checkbox unchecked is a restatement.
checkbox unchecked adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: DigitalBridge Group, Inc.
Address: 750 Park of Commerce Drive
Suite 210
Boca Raton, FL  33487
Form 13F File Number: 028-19781
CRD Number (if applicable):
SEC File Number (if applicable):

The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:
Name: Kristen Whealon
Title: Chief Compliance Officer
Phone: 720-897-4863
Signature, Place, and Date of Signing:
/s/ Kristen Whealon DenverCO 08-14-2026
[Signature] [City, State] [Date]
Report Type (Check only one.):
checkbox checked 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.)
checkbox unchecked 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)
checkbox unchecked 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)
Form 13F Summary Page
Report Summary:
Number of Other Included Managers: 3
Form 13F Information Table Entry Total: 137
Form 13F Information Table Value Total: 1,670,551,605
(round to nearest dollar)
List of Other Included Managers:
Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report.
[If there are no entries in this list, state “NONE” and omit the column headings and list entries.]
No. Name Form 13F File Number CRD No. (if applicable) SEC File No. (if applicable) CIK
1 DCL Adviser, LLC 028-20948     0001846313
2 DC Liquid Strategies Adviser, LLC 028-21231     0001861561
4 DigitalBridge Liquid Accounts Adviser, LLC 028-22035     0001910907

SEC FORM 13-F Information Table

The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
The reader should not assume that the information is accurate and complete.

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F

FORM 13F INFORMATION TABLE

OMB APPROVAL
OMB Number: 3235-0006
Estimated average burden
hours per response: 23.8

COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP FIGI (to the nearest dollar) PRN AMT PRN CALL DISCRETION MANAGER SOLE SHARED NONE
AMAZON COM INC COM 023135106   1,508,692 6,330 SH   DFND 2 6,330 0 0
AMAZON COM INC COM 023135106   1,681,012 7,053 SH   DFND 1 7,053 0 0
AMAZON COM INC COM 023135106   63,046,173 264,522 SH   DFND 4 264,522 0 0
AMDOCS LTD SHS G02602103   2,057,332 40,707 SH   DFND 2 40,707 0 0
AMDOCS LTD SHS G02602103   2,292,040 45,351 SH   DFND 1 45,351 0 0
AMDOCS LTD SHS G02602103   86,008,669 1,701,794 SH   DFND 4 1,701,794 0 0
AMERICAN HEALTHCARE REIT INC COM SHS 398182303   1,285,393 24,648 SH   DFND 2 24,648 0 0
AMERICAN HEALTHCARE REIT INC COM SHS 398182303   2,782,306 53,352 SH   DFND 4 53,352 0 0
AMERICAN TOWER CORP COM 03027X100   1,881,219 11,501 SH   DFND 2 11,501 0 0
AMERICAN TOWER CORP COM 03027X100   2,095,986 12,814 SH   DFND 1 12,814 0 0
AMERICAN TOWER CORP COM 03027X100   78,599,966 480,528 SH   DFND 4 480,528 0 0
ARISTA NETWORKS INC COM SHS 040413205   1,577,336 9,285 SH   DFND 2 9,285 0 0
ARISTA NETWORKS INC COM SHS 040413205   1,756,899 10,342 SH   DFND 1 10,342 0 0
ARISTA NETWORKS INC COM SHS 040413205   66,011,291 388,576 SH   DFND 4 388,576 0 0
ARRAY DIGITAL INFRASTRUCTURE COM 911684108   246,568 6,800 SH   DFND 2 6,800 0 0
ARRAY DIGITAL INFRASTRUCTURE COM 911684108   282,828 7,800 SH   DFND 4 7,800 0 0
AVALONBAY CMNTYS INC COM 053484101   9,481,673 50,250 SH   DFND 4 50,250 0 0
AVALONBAY CMNTYS INC COM 053484101   3,075,647 16,300 SH   DFND 2 16,300 0 0
AXON ENTERPRISE INC COM 05464C101   1,486,738 2,652 SH   DFND 2 2,652 0 0
AXON ENTERPRISE INC COM 05464C101   1,629,693 2,907 SH   DFND 1 2,907 0 0
AXON ENTERPRISE INC COM 05464C101   60,173,075 107,335 SH   DFND 4 107,335 0 0
BLOOM ENERGY CORP COM CL A 093712107   869,052 2,871 SH   DFND 2 2,871 0 0
BLOOM ENERGY CORP COM CL A 093712107   968,640 3,200 SH   DFND 1 3,200 0 0
BLOOM ENERGY CORP COM CL A 093712107   36,131,483 119,364 SH   DFND 4 119,364 0 0
CAMDEN PPTY TR SH BEN INT 133131102   6,571,726 57,400 SH   DFND 4 57,400 0 0
CAMDEN PPTY TR SH BEN INT 133131102   2,140,963 18,700 SH   DFND 2 18,700 0 0
CANADIAN PACIFIC KANSAS CITY COM 13646K108   875,165 10,100 SH   DFND 4 10,100 0 0
CHIRON REAL ESTATE INC COM NEW 37954A303   2,826,419 75,331 SH   DFND 4 75,331 0 0
CHIRON REAL ESTATE INC COM NEW 37954A303   1,410,077 37,582 SH   DFND 2 37,582 0 0
CIENA CORP COM NEW 171779309   1,463,340 2,983 SH   DFND 2 2,983 0 0
CIENA CORP COM NEW 171779309   1,631,603 3,326 SH   DFND 1 3,326 0 0
CIENA CORP COM NEW 171779309   60,655,292 123,645 SH   DFND 4 123,645 0 0
COLLIERS INTL GROUP INC SUB VTG SHS 194693107   2,973,143 31,700 SH   DFND 2 31,700 0 0
COLLIERS INTL GROUP INC SUB VTG SHS 194693107   3,263,892 34,800 SH   DFND 4 34,800 0 0
COMCAST CORP NEW CL A 20030N101   722,482 29,429 SH   DFND 2 29,429 0 0
COMCAST CORP NEW CL A 20030N101   804,675 32,777 SH   DFND 1 32,777 0 0
COMCAST CORP NEW CL A 20030N101   30,043,258 1,223,758 SH   DFND 4 1,223,758 0 0
DIGITAL RLTY TR INC COM 253868103   2,621,868 14,600 SH   DFND 4 14,600 0 0
DISNEY WALT CO COM 254687106   1,025,255 10,652 SH   DFND 2 10,652 0 0
DISNEY WALT CO COM 254687106   1,137,771 11,821 SH   DFND 1 11,821 0 0
DISNEY WALT CO COM 254687106   42,278,293 439,255 SH   DFND 4 439,255 0 0
EASTGROUP PPTYS INC COM 277276101   1,741,758 8,600 SH   DFND 4 8,600 0 0
ENTEGRIS INC COM 29362U104   1,241,034 6,900 SH   DFND 2 6,900 0 0
ENTEGRIS INC COM 29362U104   1,382,224 7,685 SH   DFND 1 7,685 0 0
ENTEGRIS INC COM 29362U104   51,620,898 287,006 SH   DFND 4 287,006 0 0
EPR PPTYS CONV PFD 9% SR E 26884U307   1,969,740 62,000 SH   DFND 4 62,000 0 0
EPR PPTYS PFD C CV 5.75% 26884U208   1,921,500 75,000 SH   DFND 4 75,000 0 0
EQUINIX INC COM 29444U700   2,329,742 2,235 SH   DFND 1 2,235 0 0
EQUINIX INC COM 29444U700   103,774,094 99,554 SH   DFND 4 99,554 0 0
EQUINIX INC COM 29444U700   7,198,745 6,906 SH   DFND 2 6,906 0 0
EQUITY LIFESTYLE PROPERTIES COM 29472R108   1,430,790 22,200 SH   DFND 4 22,200 0 0
EXTRA SPACE STORAGE INC COM 30225T102   4,598,745 31,650 SH   DFND 4 31,650 0 0
EXTRA SPACE STORAGE INC COM 30225T102   1,772,660 12,200 SH   DFND 2 12,200 0 0
FIRST INDL RLTY TR INC COM 32054K103   1,379,475 22,500 SH   DFND 4 22,500 0 0
GAMING & LEISURE P COM 36467J108   11,341,791 254,700 SH   DFND 4 254,700 0 0
GAMING & LEISURE P COM 36467J108   4,243,709 95,300 SH   DFND 2 95,300 0 0
HEWLETT PACKARD ENTERPRISE C COM 42824C109   1,175,025 26,048 SH   DFND 2 26,048 0 0
HEWLETT PACKARD ENTERPRISE C COM 42824C109   1,308,731 29,012 SH   DFND 1 29,012 0 0
HEWLETT PACKARD ENTERPRISE C COM 42824C109   48,863,197 1,083,201 SH   DFND 4 1,083,201 0 0
INVITATION HOMES INC COM 46187W107   4,350,240 144,000 SH   DFND 2 144,000 0 0
INVITATION HOMES INC COM 46187W107   13,373,967 442,700 SH   DFND 4 442,700 0 0
IRON MTN INC DEL COM 46284V101   1,365,411 10,810 SH   DFND 2 10,810 0 0
IRON MTN INC DEL COM 46284V101   1,515,846 12,001 SH   DFND 1 12,001 0 0
IRON MTN INC DEL COM 46284V101   54,858,329 434,315 SH   DFND 4 434,315 0 0
JANUS LIVING INC CL A-1 471024109   3,690,216 128,400 SH   DFND 2 128,400 0 0
JANUS LIVING INC CL A-1 471024109   11,866,746 412,900 SH   DFND 4 412,900 0 0
JONES LANG LASALLE INC COM 48020Q107   1,487,760 4,800 SH   DFND 4 4,800 0 0
LAMAR ADVERTISING CO CL A 512816109   1,871,760 12,000 SH   DFND 4 12,000 0 0
LIVE NATION ENTERTAINMENT IN COM 538034109   1,367,649 7,469 SH   DFND 2 7,469 0 0
LIVE NATION ENTERTAINMENT IN COM 538034109   1,516,151 8,280 SH   DFND 1 8,280 0 0
LIVE NATION ENTERTAINMENT IN COM 538034109   56,291,677 307,420 SH   DFND 4 307,420 0 0
LUMENTUM HLDGS INC COM 55024U109   1,267,355 1,477 SH   DFND 2 1,477 0 0
LUMENTUM HLDGS INC COM 55024U109   1,389,199 1,619 SH   DFND 1 1,619 0 0
LUMENTUM HLDGS INC COM 55024U109   51,281,955 59,765 SH   DFND 4 59,765 0 0
LXP INDUSTRIAL TRUST COM 529043408   1,724,160 32,000 SH   DFND 2 32,000 0 0
LXP INDUSTRIAL TRUST COM 529043408   3,022,668 56,100 SH   DFND 4 56,100 0 0
MACERICH CO COM 554382101   4,987,620 198,000 SH   DFND 4 198,000 0 0
MACERICH CO COM 554382101   2,435,873 96,700 SH   DFND 2 96,700 0 0
NETFLIX INC. COM 64110L106   1,072,357 15,019 SH   DFND 2 15,019 0 0
NETFLIX INC. COM 64110L106   1,194,736 16,733 SH   DFND 1 16,733 0 0
NETFLIX INC. COM 64110L106   44,674,410 625,692 SH   DFND 4 625,692 0 0
NEXPOINT RESIDENTIAL TR INC COM 65341D102   2,435,936 87,247 SH   DFND 2 87,247 0 0
NEXPOINT RESIDENTIAL TR INC COM 65341D102   4,801,039 171,957 SH   DFND 4 171,957 0 0
NEXTNAV INC COMMON STOCK 65345N106   413,656 23,200 SH   DFND 2 23,200 0 0
NEXTNAV INC COMMON STOCK 65345N106   620,484 34,800 SH   DFND 4 34,800 0 0
NVIDIA CORPORATION COM 67066G104   1,209,744 6,046 SH   DFND 2 6,046 0 0
NVIDIA CORPORATION COM 67066G104   1,347,806 6,736 SH   DFND 1 6,736 0 0
NVIDIA CORPORATION COM 67066G104   50,571,346 252,743 SH   DFND 4 252,743 0 0
NVR INC COM 62944T105   953,876 140 SH   DFND 4 140 0 0
POSTAL REALTY TRUST INC CL A 73757R102   2,139,122 86,815 SH   DFND 2 86,815 0 0
POSTAL REALTY TRUST INC CL A 73757R102   3,726,701 151,246 SH   DFND 4 151,246 0 0
PROLOGIS INC. COM 74340W103   717,991 5,300 SH   DFND 2 5,300 0 0
PROLOGIS INC. COM 74340W103   2,099,785 15,500 SH Call DFND 2 15,500 0 0
PROLOGIS INC. COM 74340W103   2,289,443 16,900 SH Call DFND 4 16,900 0 0
PROLOGIS INC. COM 74340W103   3,752,520 27,700 SH   DFND 4 27,700 0 0
QUANTA SVCS INC COM 74762E102   914,451 1,270 SH   DFND 2 1,270 0 0
QUANTA SVCS INC COM 74762E102   1,018,137 1,414 SH   DFND 1 1,414 0 0
QUANTA SVCS INC COM 74762E102   38,038,993 52,829 SH   DFND 4 52,829 0 0
REALTY INCOME CORP COM 756109104   508,072 8,200 SH Put DFND 2 8,200 0 0
REALTY INCOME CORP COM 756109104   954,184 15,400 SH Put DFND 4 15,400 0 0
ROGERS COMMUNICATIONS INC CL B 775109200   941,304 29,000 SH   DFND 2 29,000 0 0
ROGERS COMMUNICATIONS INC CL B 775109200   28,539,974 879,269 SH   DFND 4 879,269 0 0
SALESFORCE INC COM 79466L302   875,103 5,586 SH   DFND 2 5,586 0 0
SALESFORCE INC COM 79466L302   970,039 6,192 SH   DFND 1 6,192 0 0
SALESFORCE INC COM 79466L302   36,053,419 230,138 SH   DFND 4 230,138 0 0
SBA COMMUNICATIONS CORP CL A 78410G104   1,048,172 5,940 SH   DFND 1 5,940 0 0
SBA COMMUNICATIONS CORP CL A 78410G104   5,261,861 29,819 SH   DFND 2 29,819 0 0
SBA COMMUNICATIONS CORP CL A 78410G104   50,202,693 284,499 SH   DFND 4 284,499 0 0
SEAGATE TECHNOLOGY HLDNGS PL ORD SHS G7997R103   1,220,725 1,265 SH   DFND 2 1,265 0 0
SEAGATE TECHNOLOGY HLDNGS PL ORD SHS G7997R103   1,362,580 1,412 SH   DFND 1 1,412 0 0
SEAGATE TECHNOLOGY HLDNGS PL ORD SHS G7997R103   50,517,750 52,350 SH   DFND 4 52,350 0 0
SEMTECH CORP COM 816850101   1,337,528 8,264 SH   DFND 2 8,264 0 0
SEMTECH CORP COM 816850101   1,489,829 9,205 SH   DFND 1 9,205 0 0
SEMTECH CORP COM 816850101   55,634,804 343,743 SH   DFND 4 343,743 0 0
SIMON PPTY GROUP INC NEW COM 828806109   715,680 3,200 SH Put DFND 4 3,200 0 0
SIMON PPTY GROUP INC NEW COM 828806109   402,570 1,800 SH Put DFND 2 1,800 0 0
SMARTSTOP SELF STORAG REIT I COMMON STOCK 83192D402   4,004,000 123,200 SH   DFND 4 123,200 0 0
SMARTSTOP SELF STORAG REIT I COMMON STOCK 83192D402   1,917,500 59,000 SH   DFND 2 59,000 0 0
SONIDA SENIOR LIVING INC COM 140475203   3,594,480 88,100 SH   DFND 2 88,100 0 0
SONIDA SENIOR LIVING INC COM 140475203   9,049,440 221,800 SH   DFND 4 221,800 0 0
STARWOOD PPTY TR INC COM 85571B105   471,744 28,800 SH Put DFND 4 28,800 0 0
STARWOOD PPTY TR INC COM 85571B105   262,080 16,000 SH Put DFND 2 16,000 0 0
TELEPHONE & DATA SYS INC COM NEW 879433829   3,634,197 98,195 SH   DFND 4 98,195 0 0
TELEPHONE & DATA SYS INC COM NEW 879433829   3,354,439 90,636 SH   DFND 2 90,636 0 0
TERRENO RLTY CORP COM 88146M101   2,092,071 32,300 SH   DFND 2 32,300 0 0
TERRENO RLTY CORP COM 88146M101   6,392,799 98,700 SH   DFND 4 98,700 0 0
T-MOBILE US INC COM 872590104   1,159,182 6,911 SH   DFND 2 6,911 0 0
T-MOBILE US INC COM 872590104   1,291,856 7,702 SH   DFND 1 7,702 0 0
T-MOBILE US INC COM 872590104   48,194,868 287,336 SH   DFND 4 287,336 0 0
U HAUL HOLDING COMPANY COM SER N 023586506   11,586,795 200,811 SH   DFND 4 200,811 0 0
U HAUL HOLDING COMPANY COM SER N 023586506   4,336,155 75,150 SH   DFND 2 75,150 0 0
VERTIV HOLDINGS CO COM CL A 92537N108   1,377,784 4,115 SH   DFND 2 4,115 0 0
VERTIV HOLDINGS CO COM CL A 92537N108   1,515,395 4,526 SH   DFND 1 4,526 0 0
VERTIV HOLDINGS CO COM CL A 92537N108   57,806,004 172,648 SH   DFND 4 172,648 0 0
WARNER MUSIC GROUP CORP COM CL A 934550203   1,079,633 39,883 SH   DFND 2 39,883 0 0
WARNER MUSIC GROUP CORP COM CL A 934550203   1,223,699 45,205 SH   DFND 1 45,205 0 0
WARNER MUSIC GROUP CORP COM CL A 934550203   45,845,291 1,693,583 SH   DFND 4 1,693,583 0 0