Mirae Asset Global Investments Co., Ltd.

Institutional manager — quarterly 13F holdings, Q ending 2026-06-30

Reported value
$67.66B
Q ending 2026-06-30
Prior quarter
$34.91B
Q ending 2026-03-31
Change
+93.8% QoQ · +135.9% YoY
Positions
1,670
reported holdings

Largest positions

Top 100 of 1,670 reported positions by value, Q ending 2026-06-30. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
HoldingTickerTypeValueShares
Ishares TrTLTCall$15.25B176.4M
Space Exploration Techn CorpSPCXShares$4.45B26.1M
Nvidia CorporationNVDAShares$3.22B16.1M
Apple IncAAPLShares$2.27B7.9M
Alphabet IncGOOGLShares$1.54B4.3M
Micron Technology IncMUShares$1.53B1.3M
Microsoft CorpMSFTShares$1.53B4.1M
Amazon Com IncAMZNShares$1.36B5.7M
Broadcom IncAVGOShares$1.34B3.6M
Advanced Micro Devices IncAMDShares$1.17B2.0M
Tesla IncTSLAShares$908.6M2.2M
Vanguard Index FdsVOOShares$855.2M1.2M
Meta Platforms IncMETAShares$789.2M1.4M
Alphabet IncGOOGShares$709.8M2.0M
Applied Matls IncAMATShares$705.0M975K
Intel CorpINTCShares$650.4M4.7M
Lam Research CorpLRCXShares$645.8M1.5M
Kla CorpKLACShares$551.9M1.8M
Taiwan Semiconductor ManufacTSMShares$517.0M1.1M
Texas Instrs IncTXNShares$439.6M1.5M
Marvell Technology IncMRVLShares$428.8M1.4M
Walmart IncWMTShares$355.4M3.1M
Qualcomm IncQCOMShares$354.0M1.9M
Asml Hldg NvShares$346.2M174K
Eli Lilly & CoLLYShares$343.3M286K
Sandisk CorpSNDKShares$335.1M147K
Cisco Sys IncCSCOShares$311.3M2.7M
Spdr Series TrustSPYMShares$304.2M3.5M
Amgen IncAMGNShares$284.5M786K
Jpmorgan Chase & CoJPMShares$280.0M855K
Analog Devices IncADIShares$270.8M682K
Costco Wholesale CorporationCOSTShares$269.0M288K
Merck & Co IncMRKShares$261.2M2.0M
Netflix Inc.NFLXShares$258.5M3.6M
Pepsico IncPEPShares$254.4M1.9M
Ishares TrIVVShares$252.1M337K
Unitedhealth Group IncUNHShares$252.1M606K
Home Depot IncHDShares$237.7M674K
Ishares TrSOXXShares$235.3M367K
Arm Holdings PlcARMShares$221.7M625K
Coca Cola CoKOShares$218.0M2.7M
Procter & Gamble CoPGShares$216.0M1.5M
Ishares IncIEMGShares$210.1M2.5M
Berkshire Hathaway Inc DelBRK/BShares$208.5M417K
Visa IncVShares$199.0M580K
Verizon Communications IncVZShares$197.5M4.7M
Seagate Technology Hldngs PlShares$194.4M201K
Chevron CorporationCVXShares$193.2M1.2M
Linde PlcShares$190.7M367K
Rocket Lab CorpRKLBShares$188.1M1.9M
Palantir Technologies IncPLTRShares$184.1M1.6M
Johnson & JohnsonJNJShares$182.6M719K
Palo Alto Networks IncPANWShares$182.3M535K
Western Digital CorpWDCShares$177.8M278K
Abbott LaboratoriesABTShares$172.0M1.9M
Teradyne IncTERShares$168.5M348K
ConocophillipsCOPShares$155.0M1.5M
Exxon Mobil CorpXOMShares$150.6M1.1M
Caterpillar IncCATShares$147.3M138K
Blackrock Etf TrustDYNFShares$146.6M2.2M
Ishares TrMBBShares$146.5M1.5M
Intuitive Machines IncLUNRShares$145.9M6.8M
Redwire CorporationRDWShares$144.9M11.9M
Astera Labs IncALABShares$144.6M299K
Ishares TrTLTShares$143.3M1.7M
Ge Vernova IncGEVShares$142.1M121K
Nxp Semiconductors N VShares$141.2M503K
Invesco Exch Traded Fd Tr IiSPMOShares$140.4M869K
Automatic Data Processing InADPShares$139.4M622K
Coherent CorpCOHRShares$138.8M352K
Bristol-Myers Squibb CoBMYShares$138.1M2.4M
Comcast Corp NewCMCSAShares$135.0M5.5M
Monolithic Pwr Sys IncMPWRShares$134.9M98K
Spdr Index Shs FdsCWIShares$131.3M3.2M
Altria Group IncMOShares$129.8M1.8M
Intuitive Surgical IncISRGShares$127.2M320K
Abbvie IncABBVShares$124.6M495K
Mastercard IncorporatedMAShares$120.6M235K
Invesco Qqq TrQQQShares$118.1M160K
Applovin CorpAPPShares$117.6M228K
Lockheed Martin CorpLMTShares$117.5M231K
Gilead Sciences IncGILDShares$117.0M926K
Ge AerospaceGEShares$116.0M310K
Ishares TrIEFAShares$110.7M1.1M
Vanguard Scottsdale FdsVGLTShares$107.1M1.9M
Spdr Series TrustSPTLShares$105.6M4.0M
Bloom Energy CorpBEShares$105.1M347K
Select Sector Spdr TrXLKShares$104.8M550K
Vaneck Etf TrustSMHShares$104.6M159K
Vertex Pharmaceuticals IncVRTXShares$104.4M210K
Vertiv Holdings CoVRTShares$102.9M307K
Ishares TrACWIShares$102.6M654K
Ishares TrLQDShares$100.5M921K
Microchip Technology Inc.MCHPShares$96.6M1.1M
Blackstone IncBXShares$94.8M806K
Booking Holdings IncBKNGShares$94.0M527K
Oracle CorpORCLShares$93.6M639K
T-Mobile Us IncTMUSShares$92.3M550K
Ishares TrIEURShares$90.7M1.2M
Vanguard Charlotte FdsBNDXShares$90.0M1.9M

Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.