Mirae Asset Global Investments Co., Ltd.
Q2 2026 13F filing
Updated 50 days ago2,374 disclosed positions worth $67.7B
Full holdings
Every line item disclosed in Q2 2026
| # | Stock | Value | Shares | % Portfolio | Change |
|---|---|---|---|---|---|
| 1 | E ETHA ISHARES TR | $15.2B | 176.43M | 22.53% | Added(+13215706.7%) |
| 2 | S SPCX SPACE EXPLORATION TECHN CORP | $4.2B | 24.37M | 6.15% | — |
| 3 | N NVDA NVIDIA CORPORATION | $3.2B | 15.77M | 4.66% | Added(+30515.4%) |
| 4 | A AAPL APPLE INC | $2.2B | 7.63M | 3.26% | Added(+24226.3%) |
| 5 | M MU MICRON TECHNOLOGY INC | $1.5B | 1.28M | 2.19% | Added(+17.1%) |
| 6 | M MSFT MICROSOFT CORP | $1.5B | 3.93M | 2.17% | Added(+12741.9%) |
| 7 | G GOOGN ALPHABET INC | $1.5B | 4.09M | 2.16% | Added(+406490.0%) |
| 8 | A AVGO BROADCOM INC | $1.3B | 3.54M | 1.98% | Added(+8.5%) |
| 9 | A AMZN AMAZON COM INC | $1.3B | 5.46M | 1.92% | Added(+1135856.3%) |
| 10 | A AMD ADVANCED MICRO DEVICES INC | $1.1B | 1.96M | 1.68% | Added(+29.3%) |
| 11 | T TSLA TESLA INC | $892.8M | 2.12M | 1.32% | Added(+0.6%) |
| 12 | V VGES VANGUARD INDEX FDS | $793.8M | 1.16M | 1.17% | Added(+1.4%) |
| 13 | M META META PLATFORMS INC | $758.1M | 1.35M | 1.12% | Added(+2136169.8%) |
| 14 | G GOOGN ALPHABET INC | $705.7M | 2.00M | 1.04% | Added(+18976.6%) |
| 15 | A AMAT APPLIED MATLS INC | $698.6M | 966.2K | 1.03% | Added(+131359.2%) |
| 16 | I INTC INTEL CORP | $649.3M | 4.65M | 0.96% | Added(+104166.1%) |
| 17 | L LRCX LAM RESEARCH CORP | $644.8M | 1.49M | 0.95% | Added(+128184.6%) |
| 18 | K KLAC KLA CORP | $551.2M | 1.83M | 0.81% | Added(+1522434.2%) |
| 19 | T TSMWF TAIWAN SEMICONDUCTOR MANUFAC | $464M | 971.6K | 0.69% | Added(+115294.3%) |
| 20 | T TXN TEXAS INSTRS INC | $439M | 1.47M | 0.65% | Added(+3.9%) |
| 21 | M MRVL MARVELL TECHNOLOGY INC | $428.2M | 1.44M | 0.63% | Added(+138653.3%) |
| 22 | Q QCOM QUALCOMM INC | $353.6M | 1.91M | 0.52% | Trimmed(-8.3%) |
| 23 | W WMT WALMART INC | $344.8M | 3.04M | 0.51% | Added(+809604.3%) |
| 24 | A ASMLF ASML HLDG NV | $340.8M | 171.3K | 0.50% | Added(+6245.3%) |
| 25 | S SNDK SANDISK CORP | $334.6M | 147.1K | 0.49% | Added(+148.7%) |
| 26 | C CSCO CISCO SYS INC | $310.3M | 2.64M | 0.46% | Added(+96765.6%) |
| 27 | S STT-PG SPDR SERIES TRUST | $304.2M | 3.46M | 0.45% | Added(+11.3%) |
| 28 | S SPCX SPACE EXPLORATION TECHN CORP | $288.1M | 1.69M | 0.43% | — |
| 29 | L LLY ELI LILLY & CO | $283.2M | 236.1K | 0.42% | Added(+81028.5%) |
| 30 | A AMGN AMGEN INC | $283M | 781.6K | 0.42% | Added(+24.7%) |
| 31 | A ADI ANALOG DEVICES INC | $270.4M | 680.9K | 0.40% | Added(+150880.3%) |
| 32 | C COST COSTCO WHOLESALE CORPORATION | $268.4M | 286.9K | 0.40% | Added(+16.3%) |
| 33 | P PEP PEPSICO INC | $254.1M | 1.88M | 0.38% | Added(+23.4%) |
| 34 | U UNH UNITEDHEALTH GROUP INC | $250.2M | 602.1K | 0.37% | Added(+21441.3%) |
| 35 | J JPM-PM JPMORGAN CHASE & CO | $241.2M | 736.8K | 0.36% | Added(+26009.9%) |
| 36 | H HD HOME DEPOT INC | $236.6M | 671.0K | 0.35% | Added(+22919.0%) |
| 37 | E ETHA ISHARES TR | $235.3M | 367.2K | 0.35% | Added(+185.7%) |
| 38 | M MRK MERCK & CO INC | $232.1M | 1.81M | 0.34% | Added(+87586.8%) |
| 39 | A ARM ARM HOLDINGS PLC | $221.5M | 624.7K | 0.33% | Added(+63.9%) |
| 40 | N NFLX NETFLIX INC. | $220.2M | 3.08M | 0.33% | Trimmed(-9.8%) |
| 41 | K KO COCA COLA CO | $217.8M | 2.68M | 0.32% | Added(+161727.5%) |
| 42 | P PG PROCTER & GAMBLE CO | $215.6M | 1.47M | 0.32% | Added(+68916.3%) |
| 43 | E ETHA ISHARES INC | $210.1M | 2.54M | 0.31% | Trimmed(-13.5%) |
| 44 | B BRK-A BERKSHIRE HATHAWAY INC DEL | $208.2M | 416.1K | 0.31% | Added(+142906.9%) |
| 45 | S STX SEAGATE TECHNOLOGY HLDNGS PL | $194.1M | 201.1K | 0.29% | Added(+105759.5%) |
| 46 | C CVX CHEVRON CORPORATION | $192.6M | 1.16M | 0.28% | Added(+384714.9%) |
| 47 | V V VISA INC | $190.8M | 556.2K | 0.28% | Added(+172637.6%) |
| 48 | E ETHA ISHARES TR | $189.2M | 252.7K | 0.28% | Trimmed(-37.7%) |
| 49 | R RKLB ROCKET LAB CORP | $188M | 1.85M | 0.28% | Added(+2316.7%) |
| 50 | P PLTR PALANTIR TECHNOLOGIES INC | $183M | 1.57M | 0.27% | Added(+70114.6%) |