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Mirae Asset Global Investments Co., Ltd.

13F filer · CIK 0001569395
Reported Jul 22, 2026
13F portfolio value$67.7BU.S. long equity reported on 13F
Positions1,472Not reported new · Not reported closed
Net flow last quarterNot reportedBuys minus sells
Top 10 positions weight28.6%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q2 2026Reported Jul 22, 20261,472 positions
SPCXSpace Exploration Technologies Corp$4.45B6.58%Not reportedNewQ2 2026
NVDANvidia Corp$3.22B4.76%0.07%+8.0%Q1 2016
AAPLApple Inc.$2.27B3.36%0.05%+4.7%Q2 2010
GOOGLAlphabet Inc.$1.54B2.28%0.04%-29.2%Q4 2015
MUMicron Technology Inc$1.53B2.26%0.12%+16.7%Q2 2010
MSFTMicrosoft Corp$1.53B2.26%0.06%+6.0%Q4 2010
AMZNAmazon Com Inc$1.36B2.01%0.05%+5.7%Q2 2011
AVGOBroadcom Inc.$1.34B1.98%0.07%+5.7%Q1 2016
AMDAdvanced Micro Devices Inc$1.17B1.73%0.12%+32.9%Q2 2018
TSLATesla, Inc.$909M1.34%0.05%+0.2%Q1 2014
METAMeta Platforms, Inc.$789M1.17%Not reported+5.0%Q4 2013
GOOGAlphabet Inc.$710M1.05%Not reported+19088.4%Q4 2015
AMATApplied Materials Inc$705M1.04%0.12%+24.2%Q2 2013
INTCIntel Corp$650M0.96%0.09%+2.2%Q1 2011
LRCXLam Research Corp$646M0.95%0.12%+18.2%Q1 2017
KLACKla Corp$552M0.82%0.14%+21.6%Q3 2013
TSMTaiwan Semiconductor Manufacturing Co Ltd$517M0.76%0.00%+805.2%Q4 2008
TXNTexas Instruments Inc$440M0.65%0.16%+4.0%Q2 2011
MRVLMarvell Technology, Inc.$429M0.63%0.16%+2.8%Q3 2018
WMTWalmart Inc.$355M0.53%0.04%+15.5%Q1 2010
QCOMQualcomm Inc$354M0.52%0.18%-8.2%Q4 2010
ASMLAsml Holding NV$346M0.51%0.05%+6097.9%Q2 2011
LLYELI LILLY & Co$343M0.51%0.03%+5.1%Q2 2011
SNDKSandisk Corp$335M0.50%0.10%+149.0%Q2 2010
CSCOCisco Systems, Inc.$311M0.46%0.07%+14.6%Q1 2011
AMGNAmgen Inc$284M0.42%0.15%+24.6%Q4 2011
JPMJPMorgan Chase & Co$280M0.41%0.03%+8.1%Q3 2009
ADIAnalog Devices Inc$271M0.40%0.14%+35.9%Q2 2011
COSTCostco Wholesale Corp$269M0.40%0.06%+16.0%Q3 2013
MRKMerck & Co., Inc.$261M0.39%0.08%+13.7%Q4 2009
NFLXNetflix Inc$258M0.38%0.09%-6.4%Q2 2011
PEPPepsico Inc$254M0.38%0.14%+23.5%Q2 2011
UNHUnitedhealth Group Inc$252M0.37%0.07%+2.9%Q4 2011
HDHome Depot, Inc.$238M0.35%0.07%+24.5%Q2 2011
ARMArm Holdings PLC$222M0.33%0.06%+64.0%Q3 2023
KOCoca Cola Co$218M0.32%0.06%+13.0%Q1 2011
PGPROCTER & GAMBLE Co$216M0.32%0.06%+23.2%Q1 2010
BRK.BBerkshire Hathaway Inc$209M0.31%Not reported+13.0%Q4 2011
VVisa Inc.$199M0.29%0.03%+14.0%Q4 2008
VZVerizon Communications Inc$197M0.29%0.11%+17.1%Q2 2011
STXSeagate Technology Holdings plc$194M0.29%0.09%+19.1%Q1 2012
CVXChevron Corp$193M0.29%0.06%+12.5%Q1 2009
LINLinde PLC$191M0.28%0.08%+14.5%Q4 2018
RKLBRocket Lab Corp$188M0.28%0.31%+2317.7%Q2 2022
PLTRPalantir Technologies Inc.$184M0.27%0.07%-12.1%Q1 2021
JNJJohnson & Johnson$183M0.27%0.03%+11.7%Q4 2008
PANWPalo Alto Networks Inc$182M0.27%0.07%+13.6%Q3 2014
WDCWestern Digital Corp$178M0.26%0.08%+22.1%Q2 2015
ABTAbbott Laboratories$172M0.25%0.11%+38.0%Q4 2011
TERTeradyne, Inc$168M0.25%0.22%+42.1%Q1 2018
Q1 2026Reported Aug 12, 20261,354 positions
NVDANvidia Corp$2.6B7.44%0.06%+4.3%Q1 2016
AAPLApple Inc.$1.91B5.46%0.05%+3.9%Q2 2010
GOOGLAlphabet Inc.$1.75B5.03%0.05%+36.0%Q4 2015
MSFTMicrosoft Corp$1.43B4.10%0.05%+3.6%Q4 2010
AMZNAmazon Com Inc$1.12B3.22%0.05%+5.7%Q2 2011
AVGOBroadcom Inc.$1.04B2.98%0.07%+4.8%Q1 2016
TSLATesla, Inc.$801M2.30%0.06%+11.8%Q1 2014
METAMeta Platforms, Inc.$763M2.19%Not reported+0.7%Q4 2013
MUMicron Technology Inc$384M1.10%0.10%-9.5%Q2 2010
NFLXNetflix Inc$372M1.07%0.09%+21.0%Q2 2011
WMTWalmart Inc.$338M0.97%0.03%+185.6%Q1 2010
AMDAdvanced Micro Devices Inc$309M0.88%0.09%-14.7%Q2 2018
TXNTexas Instruments Inc$275M0.79%0.16%+4.2%Q2 2011
LRCXLam Research Corp$269M0.77%0.10%-8.1%Q1 2017
QCOMQualcomm Inc$269M0.77%0.20%+73.6%Q4 2010
AMATApplied Materials Inc$268M0.77%0.10%-1.8%Q2 2013
PLTRPalantir Technologies Inc.$263M0.75%0.07%+4.8%Q1 2021
LLYELI LILLY & Co$251M0.72%0.03%-1.9%Q2 2011
COSTCostco Wholesale Corp$247M0.71%0.06%+13.5%Q3 2013
PEPPepsico Inc$236M0.68%0.11%+11.4%Q2 2011
JPMJPMorgan Chase & Co$233M0.67%0.03%-4.6%Q3 2009
AMGNAmgen Inc$222M0.64%0.12%+10.5%Q4 2011
KLACKla Corp$221M0.63%0.11%-1.8%Q3 2013
MRKMerck & Co., Inc.$215M0.62%0.07%-5.0%Q4 2009
CVXChevron Corp$214M0.61%0.05%+7.5%Q1 2009
INTCIntel Corp$201M0.58%0.09%+8.6%Q1 2011
VZVerizon Communications Inc$200M0.57%0.10%-10.8%Q2 2011
KOCoca Cola Co$180M0.52%0.06%+15.5%Q1 2011
CSCOCisco Systems, Inc.$180M0.51%0.06%-29.3%Q1 2011
HDHome Depot, Inc.$178M0.51%0.05%+17.6%Q2 2011
BRK.BBerkshire Hathaway Inc$177M0.51%Not reported+23.4%Q4 2011
COPConocophillips$173M0.50%0.11%+7.8%Q4 2011
PGPROCTER & GAMBLE Co$173M0.49%0.05%+176.5%Q1 2010
XOMExxonMobil Holdings Corp$160M0.46%0.02%+14.0%Q1 2009
ADIAnalog Devices Inc$160M0.46%0.10%-3.8%Q2 2011
UNHUnitedhealth Group Inc$159M0.46%0.06%+139.0%Q4 2011
LINLinde PLC$159M0.46%0.07%+31.6%Q4 2018
JNJJohnson & Johnson$157M0.45%0.03%+8.3%Q4 2008
VVisa Inc.$154M0.44%0.03%+3.4%Q4 2008
ABTAbbott Laboratories$141M0.40%0.08%+275.9%Q4 2011
MRVLMarvell Technology, Inc.$139M0.40%0.16%+11.4%Q3 2018
CMCSAComcast Corp$135M0.39%0.11%+133.9%Q2 2011
ISRGIntuitive Surgical Inc$134M0.38%0.08%+5.7%Q4 2011
LMTLockheed Martin Corp$125M0.36%0.09%-9.4%Q1 2012
SPYSPDR S&P 500 ETF Trust$120M0.34%Not reported-20.7%Q4 2008
GEVGE Vernova Inc.$120M0.34%0.05%+7.2%Q2 2024
BMYBristol Myers Squibb Co$116M0.33%0.09%-9.3%Q4 2011
GILDGilead Sciences, Inc.$116M0.33%0.07%+8.8%Q2 2012
ACNAccenture plc$115M0.33%0.09%+370.4%Q2 2011
ADPAutomatic Data Processing Inc$110M0.32%0.14%+131.9%Q2 2011
Q4 2025Reported Jan 26, 20261,413 positions
NVDANvidia Corp$2.66B7.39%0.06%+13.5%Q1 2016
AAPLApple Inc.$1.96B5.45%0.05%+10.7%Q2 2010
MSFTMicrosoft Corp$1.81B5.01%0.05%+10.1%Q4 2010
GOOGLAlphabet Inc.$1.4B3.90%0.04%+7.7%Q4 2015
AMZNAmazon Com Inc$1.18B3.27%0.05%+8.6%Q2 2011
AVGOBroadcom Inc.$1.11B3.08%0.07%-1.1%Q1 2016
METAMeta Platforms, Inc.$875M2.43%Not reported+15.4%Q4 2013
TSLATesla, Inc.$868M2.41%0.05%+15.7%Q1 2014
GOOGAlphabet Inc.$487M1.35%Not reported+18.1%Q4 2015
AMDAdvanced Micro Devices Inc$381M1.06%0.11%+11.8%Q2 2018
TSMTaiwan Semiconductor Manufacturing Co Ltd$375M1.04%0.00%+6.2%Q4 2008
MUMicron Technology Inc$358M0.99%0.11%-7.2%Q2 2010
PLTRPalantir Technologies Inc.$305M0.85%0.07%+41.7%Q1 2021
NFLXNetflix Inc$300M0.83%0.08%+5.8%Q2 2011
LLYELI LILLY & Co$298M0.83%0.03%+11.3%Q2 2011
JPMJPMorgan Chase & Co$267M0.74%0.03%+13.4%Q3 2009
CSCOCisco Systems, Inc.$252M0.70%0.08%+2.7%Q1 2011
TXNTexas Instruments Inc$236M0.66%0.15%+22.5%Q2 2011
LRCXLam Research Corp$235M0.65%0.11%+6.3%Q1 2017
QCOMQualcomm Inc$206M0.57%0.11%+19.7%Q4 2010
AMATApplied Materials Inc$205M0.57%0.10%+4.1%Q2 2013
MRKMerck & Co., Inc.$198M0.55%0.08%-8.7%Q4 2009
PEPPepsico Inc$196M0.54%0.10%+9.6%Q2 2011
ABBVAbbVie Inc.$189M0.52%0.05%+0.3%Q2 2013
COSTCostco Wholesale Corp$188M0.52%0.05%+19.0%Q3 2013
AMGNAmgen Inc$187M0.52%0.11%-3.6%Q4 2011
KLACKla Corp$186M0.52%0.12%+10.4%Q3 2013
VZVerizon Communications Inc$182M0.50%0.11%+4.2%Q2 2011
VVisa Inc.$173M0.48%0.03%+12.1%Q4 2008
ASMLAsml Holding NV$166M0.46%0.04%+7.2%Q2 2011
SPYSPDR S&P 500 ETF Trust$159M0.44%Not reported+6.4%Q4 2008
HDHome Depot, Inc.$158M0.44%0.05%+12.6%Q2 2011
ISRGIntuitive Surgical Inc$155M0.43%0.08%+7.8%Q4 2011
INTCIntel Corp$155M0.43%0.08%+1.9%Q1 2011
BRK.BBerkshire Hathaway Inc$150M0.42%Not reported+22.7%Q4 2011
CVXChevron Corp$147M0.41%0.05%+5.1%Q1 2009
KOCoca Cola Co$144M0.40%0.05%+0.1%Q1 2011
ADIAnalog Devices Inc$141M0.39%0.11%+23.3%Q2 2011
ORCLOracle Corp$136M0.38%0.02%+6.8%Q4 2010
APPAppLovin Corp$132M0.37%0.06%+12.3%Q3 2022
JNJJohnson & Johnson$123M0.34%0.02%+21.7%Q4 2008
BMYBristol Myers Squibb Co$114M0.32%0.10%-4.4%Q4 2011
COPConocophillips$114M0.32%0.10%+2.1%Q4 2011
CRWDCrowdStrike Holdings, Inc.$113M0.31%0.10%+10.8%Q1 2020
LMTLockheed Martin Corp$110M0.31%0.10%0.0%Q1 2012
MOAltria Group, Inc.$108M0.30%0.11%+9.6%Q4 2011
AMCRAmcor plc$108M0.30%0.11%+1.1%Q3 2019
MAMastercard Inc$108M0.30%0.02%+13.9%Q1 2011
MRVLMarvell Technology, Inc.$107M0.30%0.15%+0.8%Q3 2018
WMTWalmart Inc.$106M0.29%0.01%+16.6%Q1 2010
Q3 2025Reported Nov 3, 20251,406 positions
NVDANvidia Corp$2.35B7.37%0.05%+3.9%Q1 2016
MSFTMicrosoft Corp$1.76B5.51%0.05%+4.3%Q4 2010
AAPLApple Inc.$1.66B5.22%0.04%+5.4%Q2 2010
AVGOBroadcom Inc.$1.07B3.36%0.07%+3.6%Q1 2016
AMZNAmazon Com Inc$1.03B3.24%0.04%+3.1%Q2 2011
GOOGLAlphabet Inc.$1.01B3.18%0.03%+4.5%Q4 2015
METAMeta Platforms, Inc.$843M2.65%Not reported+9.0%Q4 2013
TSLATesla, Inc.$741M2.33%0.05%+0.6%Q1 2014
NFLXNetflix Inc$362M1.14%0.07%+6.7%Q2 2011
TSMTaiwan Semiconductor Manufacturing Co Ltd$325M1.02%0.00%-21.5%Q4 2008
GOOGAlphabet Inc.$320M1.00%Not reported+14.3%Q4 2015
AMDAdvanced Micro Devices Inc$258M0.81%0.10%+22.2%Q2 2018
JPMJPMorgan Chase & Co$231M0.72%0.03%-1.4%Q3 2009
MUMicron Technology Inc$226M0.71%0.12%-5.2%Q2 2010
PLTRPalantir Technologies Inc.$221M0.69%0.05%+27.5%Q1 2021
CSCOCisco Systems, Inc.$218M0.68%0.08%+6.9%Q1 2011
TXNTexas Instruments Inc$204M0.64%0.12%+2.2%Q2 2011
ABBVAbbVie Inc.$191M0.60%0.05%+3.3%Q2 2013
LLYELI LILLY & Co$190M0.60%0.03%+6.4%Q2 2011
VZVerizon Communications Inc$188M0.59%0.10%+7.4%Q2 2011
ORCLOracle Corp$184M0.58%0.02%+93.1%Q4 2010
PEPPepsico Inc$175M0.55%0.09%+3.3%Q2 2011
MRKMerck & Co., Inc.$173M0.54%0.08%+0.8%Q4 2009
LRCXLam Research Corp$173M0.54%0.10%-0.3%Q1 2017
COSTCostco Wholesale Corp$170M0.53%0.04%+12.2%Q3 2013
QCOMQualcomm Inc$167M0.52%0.09%+1.7%Q4 2010
AMGNAmgen Inc$167M0.52%0.11%+8.8%Q4 2011
HDHome Depot, Inc.$166M0.52%0.04%0.0%Q2 2011
AMATApplied Materials Inc$157M0.49%0.10%+5.5%Q2 2013
VVisa Inc.$150M0.47%0.02%+5.7%Q4 2008
KLACKla Corp$150M0.47%0.11%+2.3%Q3 2013
SPYSPDR S&P 500 ETF Trust$146M0.46%Not reported-29.8%Q4 2008
CVXChevron Corp$142M0.45%0.05%+4.6%Q1 2009
ASMLAsml Holding NV$141M0.44%0.04%+7.2%Q2 2011
INTCIntel Corp$138M0.43%0.09%-9.7%Q1 2011
KOCoca Cola Co$136M0.43%0.05%+2.9%Q1 2011
APPAppLovin Corp$125M0.39%0.05%+82.8%Q3 2022
BRK.BBerkshire Hathaway Inc$122M0.38%Not reported+13.9%Q4 2011
LMTLockheed Martin Corp$114M0.36%0.10%+6.7%Q1 2012
ISRGIntuitive Surgical Inc$114M0.36%0.07%+10.5%Q4 2011
MOAltria Group, Inc.$113M0.36%0.10%-4.5%Q4 2011
COPConocophillips$113M0.35%0.10%-1.6%Q4 2011
TMUST-Mobile US, Inc.$108M0.34%0.04%+4.5%Q3 2013
CRWDCrowdStrike Holdings, Inc.$107M0.33%0.09%+3.7%Q1 2020
MRVLMarvell Technology, Inc.$105M0.33%0.14%-3.8%Q3 2018
ADIAnalog Devices Inc$104M0.33%0.09%-5.7%Q2 2011
BMYBristol Myers Squibb Co$99.8M0.31%0.11%+4.4%Q4 2011
INTUIntuit Inc.$99.2M0.31%0.05%+11.9%Q2 2012
LINLinde PLC$94.1M0.30%0.04%+12.3%Q4 2018
MAMastercard Inc$94.1M0.30%0.01%+15.4%Q1 2011
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