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Mirae Asset Global Investments Co., Ltd.

hedge fundUpdated 29 days ago

Managed by Mirae Asset Global Investments Co., Ltd. • Latest filing Q2 2026

Portfolio value
$67.7B
Q2 2026
Filings
14
Quarterly 13F history
Top-10 concentration
77.5%
Weight of largest holdings
Annualized return
15.0%
Implied from 13F holdings

Portfolio value history

13F-disclosed portfolio value over 14 quarters

Show data table
PeriodPortfolio value
Q1 2023$42.9B
Q2 2023$46.8B
Q3 2023$45.4B
Q4 2023$49.2B
Q1 2024$46.1B
Q2 2024$20.1B
Q3 2024$22.6B
Q4 2024$24.6B
Q1 2025$24.5B
Q2 2025$28.7B
Q3 2025$31.9B
Q4 2025$36B
Q1 2026$299.3B
Q2 2026$67.7B

Top holdings

2,356 positions as of Q1 2026

View filing
N

NVIDIA CORPORATION

Value
$2.5B
Shares
14.54M
% Port
7.27%
A

APPLE INC

Value
$1.8B
Shares
7.29M
% Port
5.30%
M

MICROSOFT CORP

Value
$1.4B
Shares
3.73M
% Port
3.95%
G

ALPHABET INC

Value
$1.2B
Shares
4.06M
% Port
3.35%
A

AMAZON COM INC

Value
$1.1B
Shares
5.15M
% Port
3.07%
A

BROADCOM INC

Value
$1B
Shares
3.27M
% Port
2.90%
T

TESLA INC

Value
$784.5M
Shares
2.11M
% Port
2.25%
M

META PLATFORMS INC

Value
$732.8M
Shares
1.28M
% Port
2.10%
V

VANGUARD INDEX FDS

Value
$680.8M
Shares
1.14M
% Port
1.95%
G

ALPHABET INC

Value
$511.9M
Shares
1.78M
% Port
1.47%
M
11.MU

MICRON TECHNOLOGY INC

Value
$369.7M
Shares
1.09M
% Port
1.06%
W
12.WMT

WALMART INC

Value
$330.6M
Shares
2.66M
% Port
0.95%
N
13.NFLX

NETFLIX INC.

Value
$328.7M
Shares
3.42M
% Port
0.94%
A
14.AMD

ADVANCED MICRO DEVICES INC

Value
$308.4M
Shares
1.52M
% Port
0.88%
T
15.TXN

TEXAS INSTRS INC

Value
$275.2M
Shares
1.42M
% Port
0.79%
L
16.LRCX

LAM RESEARCH CORP

Value
$269.1M
Shares
1.26M
% Port
0.77%
Q
17.QCOM

QUALCOMM INC

Value
$268.6M
Shares
2.09M
% Port
0.77%
A
18.AMAT

APPLIED MATLS INC

Value
$265M
Shares
775.4K
% Port
0.76%
E
19.ETHA

ISHARES TR

Value
$264.9M
Shares
405.5K
% Port
0.76%
P
20.PLTR

PALANTIR TECHNOLOGIES INC

Value
$259M
Shares
1.77M
% Port
0.74%

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