Mirae Asset Global Investments Co., Ltd.

$299B reported 13(f) long value · latest quarter 2026-06-30 · CIK 0001569395 · EDGAR ↗
A quarter-end snapshot. Filed up to 45 days later, so this page is not current holdings and never a complete portfolio. what a 13F is — and is not ↓ · methodology §13F ↗
Period
$299B
reported valuesum of disclosed values for 2026-03-31; 0 positions carry a NULL value and are excluded from the sum, surfaced here rather than folded away
2,356
positionsALL retained default holdings for this (filer, period), including NULL-value ones
121
new stakespositions with no comparable holding in the prior quarter (kind new), 2026-03-31
194
exitspositions absent from this quarter's filing after being held last quarter (kind exit), 2026-03-31 — inferred from absence, not a sale record

Position changes — into 2026-03-31

by shares · Δ value · filing link · how changes are classified §
Position changes into quarter 2026-03-31
Positionposition matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipChangethe reported share count is unchanged across the pair, so the position reads as held rather than as a buy or a sell; only builds before this release inferred a direction from the reported value instead classified_by_value · "exit" = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · "no change" = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an add or a trim (Add / New / Trim / Exit / No change) · "no prior" = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakeΔ valuederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroΔ sharesreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr sharesFlags
BERKSHIRE HATHAWAY INC DEL CL Aposition key pos:11867 · issuer key iss:360new+$265B+368,452$0$265B368,452
NVIDIA CORPORATION COMposition key pos:16535 · issuer key iss:1593add−$64.9M+618,897$2.7B$2.6B14,279,94814,898,845
APPLE INC COMposition key pos:14088 · issuer key iss:219add−$59.7M+279,456$2.0B$1.9B7,226,9797,506,435
ALPHABET INC CAP STK CL Aposition key pos:16029 · issuer key iss:152add+$351M+1,615,845$1.4B$1.8B4,486,9946,102,839
MICROSOFT CORP COMposition key pos:12680 · issuer key iss:1473add−$374M+134,033$1.8B$1.4B3,732,5783,866,611
AMAZON COM INC COMposition key pos:15054 · issuer key iss:159add−$54.6M+290,967$1.2B$1.1B5,107,1235,398,090
BROADCOM INC COMposition key pos:13695 · issuer key iss:441add−$69.4M+155,095$1.1B$1.0B3,208,0423,363,137
TESLA INC COMposition key pos:11199 · issuer key iss:2119add−$66.1M+226,828$868M$801M1,929,0412,155,869
META PLATFORMS INC CL Aposition key pos:12241 · issuer key iss:891add−$111M+8,866$875M$763M1,325,2781,334,144
VANGUARD INDEX FDS S&P 500 ETF SHSposition key sid:sec:prov:127f0021d8310eeeecdea8298c5f12e5 · issuer key cusip6:922908trim−$310M−440,362$991M$681M1,579,6571,139,295
MICRON TECHNOLOGY INC COMposition key pos:16109 · issuer key iss:1476trim+$25.4M−119,529$358M$384M1,255,3611,135,832
NETFLIX INC. COMposition key pos:16326 · issuer key iss:1546add+$72.2M+671,902$300M$372M3,196,3773,868,279
WALMART INC COMposition key pos:14365 · issuer key iss:2299add+$232M+1,765,509$106M$338M951,1462,716,655
ADVANCED MICRO DEVICES INC COMposition key pos:14938 · issuer key iss:85trim−$72.3M−261,438$381M$309M1,779,3091,517,871
TEXAS INSTRS INC COMposition key pos:17749 · issuer key iss:2125add+$39.2M+57,338$236M$275M1,361,2201,418,558
LAM RESEARCH CORP COM NEWposition key pos:11298 · issuer key iss:1321trim+$34.6M−110,600$235M$269M1,371,0061,260,406
QUALCOMM INC COMposition key pos:18448 · issuer key iss:1786add+$63.1M+884,683$206M$269M1,202,5912,087,274
APPLIED MATLS INC COMposition key pos:15036 · issuer key iss:226trim+$63.0M−14,133$205M$268M799,470785,337
ISHARES TR CORE S&P500 ETFposition key pos:11149 · issuer key iss:1231trim−$71.5M−85,555$336M$265M491,069405,514
PALANTIR TECHNOLOGIES INC CL Aposition key pos:13311 · issuer key iss:1668add−$42.0M+81,552$305M$263M1,713,3741,794,926
ELI LILLY & CO COMposition key pos:16757 · issuer key iss:1353trim−$47.9M−5,252$298M$251M277,748272,496
COSTCO WHOLESALE CORPORATION COMposition key pos:12889 · issuer key iss:669add+$58.6M+29,434$188M$247M218,393247,827
SPDR SERIES TRUST STATE STREET SPDposition key pos:15102 · issuer key iss:1900add+$6.5M+224,190$231M$238M2,885,2513,109,441
PEPSICO INC COMposition key pos:14709 · issuer key iss:1700add+$40.3M+155,832$196M$236M1,365,5301,521,362
JPMORGAN CHASE & CO COMposition key pos:18958 · issuer key iss:1247trim−$34.6M−38,341$267M$233M829,622791,281
AMGEN INC COMposition key pos:12524 · issuer key iss:193add+$35.1M+59,904$187M$222M570,400630,304
KLA CORP COM NEWposition key pos:19106 · issuer key iss:1265trim+$35.4M−2,689$186M$221M153,089150,400
MERCK & CO INC COMposition key pos:18668 · issuer key iss:1461trim+$17.0M−94,125$198M$215M1,881,5321,787,407
CHEVRON CORPORATION COMposition key pos:12570 · issuer key iss:572add+$67.5M+72,645$147M$214M963,6421,036,287
ISHARES INC CORE MSCI EMKTposition key pos:14781 · issuer key iss:1235add+$39.1M+471,233$165M$205M2,460,8412,932,074
INTEL CORP COMposition key pos:19062 · issuer key iss:1193add+$46.2M+360,250$155M$201M4,196,6574,556,907
VERIZON COMMUNICATIONS INC COMposition key pos:11781 · issuer key iss:2259trim+$18.1M−481,772$182M$200M4,466,3323,984,560
COCA COLA CO COMposition key pos:11336 · issuer key iss:606add+$36.8M+318,665$144M$180M2,054,4982,373,163
CISCO SYS INC COMposition key pos:12802 · issuer key iss:588trim−$72.7M−960,429$252M$180M3,274,1272,313,698
ISHARES TR 20 YR TR BD ETFposition key pos:13914 · issuer key iss:1231trim−$39.0M−436,548$218M$179M2,501,0972,064,549
HOME DEPOT INC COMposition key pos:11561 · issuer key iss:1122add+$19.7M+81,127$158M$178M460,368541,495
CONOCOPHILLIPS COMposition key pos:15921 · issuer key iss:644add+$59.3M+95,365$114M$173M1,215,6321,310,997
PROCTER & GAMBLE CO COMposition key pos:15878 · issuer key iss:1758add+$111M+763,091$62.0M$173M432,3301,195,421
EXXON MOBIL CORP COMposition key pos:15436 · issuer key iss:879add+$60.5M+115,693$99.7M$160M828,514944,207
ANALOG DEVICES INC COMposition key pos:15188 · issuer key iss:199trim+$18.2M−19,890$141M$160M521,561501,671
UNITEDHEALTH GROUP INC COMposition key pos:17013 · issuer key iss:2218add+$78.0M+342,632$81.4M$159M246,571589,203
LINDE PLC SHSposition key pos:13548 · issuer key iss:2557add+$55.1M+77,050$104M$159M243,943320,993
JOHNSON & JOHNSON COMposition key pos:14474 · issuer key iss:1258add+$34.4M+49,529$123M$157M594,256643,785
VISA INC COM CL Aposition key pos:13716 · issuer key iss:2278add−$18.8M+16,719$173M$154M492,112508,831
ABBOTT LABORATORIES COMposition key pos:13229 · issuer key iss:38add+$95.2M+1,007,630$45.8M$141M365,2761,372,906
MARVELL TECHNOLOGY INC COMposition key pos:18363 · issuer key iss:1429add+$31.9M+143,388$107M$139M1,257,1711,400,559
COMCAST CORP NEW CL Aposition key pos:16006 · issuer key iss:625add+$78.8M+2,695,980$56.4M$135M2,013,7374,709,717
SPDR SERIES TRUST STATE STREET SPDposition key pos:12339 · issuer key iss:1900trim−$26.3M−961,780$161M$134M6,073,4755,111,695
INTUITIVE SURGICAL INC COM NEWposition key pos:17712 · issuer key iss:1213add−$21.6M+15,711$155M$134M273,922289,633
VANGUARD SCOTTSDALE FDS LONG TERM TREASposition key sid:sec:prov:0642809ea123953125be984c495918ab · issuer key cusip6:92206Ctrim−$18.1M−305,997$150M$132M2,682,2632,376,266
LOCKHEED MARTIN CORP COMposition key pos:18083 · issuer key iss:1368trim+$14.6M−21,392$110M$125M227,923206,531
STATE STR SPDR S&P 500 ETF T TR UNITposition key pos:12423 · issuer key iss:1897trim−$38.7M−48,187$159M$120M233,355185,168
GE VERNOVA INC COMposition key pos:18297 · issuer key iss:993add+$36.1M+9,182$83.8M$120M128,184137,366
SPDR INDEX SHS FDS STATE STREET SPDposition key sid:sec:prov:8a3b57c1d13025d1fc6662f161007e27 · issuer key cusip6:78463Xadd+$74.9M+2,025,000$44.4M$119M1,236,2203,261,220
BRISTOL-MYERS SQUIBB CO COMposition key pos:15894 · issuer key iss:435trim+$2.3M−195,832$114M$116M2,115,3601,919,528
GILEAD SCIENCES INC COMposition key pos:11444 · issuer key iss:1008add+$22.2M+67,595$94.2M$116M767,449835,044
ACCENTURE PLC IRELAND SHS CLASS Aposition key pos:18342 · issuer key iss:2450add+$82.3M+458,636$33.2M$115M123,821582,457
ISHARES TR CORE MSCI EAFEposition key sid:sec:prov:f1fd766d326ca552a85c000a4415c3d6 · issuer key cusip6:46432Ftrim−$454K−19,716$111M$111M1,243,9211,224,205
AUTOMATIC DATA PROCESSING IN COMposition key pos:11639 · issuer key iss:279add+$50.1M+308,991$60.3M$110M234,273543,264
ALTRIA GROUP INC COMposition key pos:15901 · issuer key iss:156trim−$5.0M−313,023$108M$103M1,878,8981,565,875
MASTERCARD INCORPORATED CL Aposition key pos:15086 · issuer key iss:1433add−$4.3M+18,287$108M$103M188,482206,769
ABBVIE INC COMposition key pos:16392 · issuer key iss:41trim−$87.2M−359,137$189M$102M826,903467,766
T-MOBILE US INC COMposition key pos:11397 · issuer key iss:2076add+$9.8M+31,469$91.7M$101M451,514482,983
CATERPILLAR INC COMposition key pos:14306 · issuer key iss:537add+$24.8M+12,540$67.3M$92.1M117,503130,043
MONOLITHIC PWR SYS INC COMposition key pos:15750 · issuer key iss:1498trim+$12.5M−3,373$78.5M$91.0M86,63683,263
ISHARES TR MSCI ACWI ETFposition key pos:11745 · issuer key iss:1232add+$21.7M+167,930$68.4M$90.1M483,180651,110
ISHARES TR MBS ETFposition key pos:15759 · issuer key iss:1232trim−$57.8M−604,652$146M$88.7M1,538,535933,883
HONEYWELL INTL INC COMposition key pos:14752 · issuer key iss:1123add+$18.6M+34,559$67.9M$86.5M348,222382,781
ISHARES TR CORE MSCI EUROposition key sid:sec:prov:59d710f05f9f670ca799bb7ce6dd04cf · issuer key cusip6:46434Vadd+$1.8M+37,822$83.5M$85.3M1,176,2751,214,097
NXP SEMICONDUCTORS N V COMposition key pos:14942 · issuer key iss:2705trim−$14.6M−27,091$99.8M$85.2M459,831432,740
VERTEX PHARMACEUTICALS INC COMposition key pos:11430 · issuer key iss:2265add+$4.9M+13,717$79.0M$84.0M174,347188,064
VANGUARD CHARLOTTE FDS TOTAL INT BD ETFposition key sid:sec:prov:efecb32bb577807f0d7dfd77d5f0f1ba · issuer key cusip6:92203Jtrim−$1.5M−20,470$84.8M$83.3M1,754,8621,734,392
ORACLE CORP COMposition key pos:16970 · issuer key iss:1630trim−$53.3M−135,013$136M$83.0M699,077564,064
ISHARES TR CORE US AGGBD ETposition key pos:15622 · issuer key iss:1231trim−$3.4M−29,110$86.3M$82.9M864,131835,021
CONSTELLATION ENERGY CORP COMposition key pos:17409 · issuer key iss:648add−$16.4M+14,861$97.9M$81.5M277,035291,896
VANECK ETF TRUST SEMICONDUCTR ETFposition key pos:16835 · issuer key cusip6:92189Fadd+$69.1M+178,179$11.7M$80.8M32,481210,660
BLACKSTONE INC COMposition key pos:16515 · issuer key iss:396add+$57.3M+547,672$22.2M$79.6M144,300691,972
COHERENT CORP COMposition key pos:16579 · issuer key iss:614add+$25.9M+43,536$53.3M$79.2M288,889332,425
PIMCO ETF TR 25YR+ ZERO U Sposition key sid:sec:prov:b3923ac41234ea9596cef8ac0a8a51d9 · issuer key cusip6:72201Rtrim−$35.6M−548,793$114M$78.6M1,776,5281,227,735
GE AEROSPACE COM NEWposition key pos:13359 · issuer key iss:997add+$6.9M+43,760$70.0M$76.9M227,305271,065
EOG RES INC COMposition key pos:13315 · issuer key iss:780trim+$9.1M−110,340$66.5M$75.6M632,988522,648
PALO ALTO NETWORKS INC COMposition key pos:15667 · issuer key iss:1670add−$4.9M+34,337$80.4M$75.5M436,407470,744
APPLOVIN CORP COM CL Aposition key pos:16993 · issuer key iss:228trim−$56.8M−7,318$132M$74.8M195,265187,947
TERADYNE INC COMposition key pos:16218 · issuer key iss:2113trim+$21.0M−21,978$51.7M$72.7M267,080245,102
INTUIT COMposition key pos:14708 · issuer key iss:1212add−$33.8M+6,809$106M$72.0M159,722166,531
BOEING CO COMposition key pos:18124 · issuer key iss:412add+$3.8M+47,391$67.1M$70.9M308,895356,286
CROWDSTRIKE HLDGS INC CL Aposition key pos:15597 · issuer key iss:684trim−$42.5M−60,604$113M$70.4M241,036180,432
SLB LIMITED COM STKposition key pos:13230 · issuer key iss:1933trim+$7.4M−260,988$61.3M$68.7M1,597,3221,336,334
INVESCO QQQ TR UNIT SER 1position key pos:12022 · issuer key iss:1207add+$14.6M+30,930$54.0M$68.6M87,982118,912
VANGUARD WORLD FD EXTENDED DURposition key sid:sec:prov:0f602342f768acd70b75eee933a2d731 · issuer key cusip6:921910trim−$12.2M−186,020$80.7M$68.6M1,241,7211,055,701
GOLDMAN SACHS GROUP INC COMposition key pos:12796 · issuer key iss:1024add+$6.2M+10,130$62.3M$68.6M70,91281,042
UNITED PARCEL SVCS INC CL Bposition key pos:10997 · issuer key iss:2207trim−$13.2M−127,152$81.6M$68.4M822,478695,326
FASTENAL CO COMposition key pos:16201 · issuer key iss:898trim+$3.0M−152,019$64.3M$67.2M1,601,2801,449,261
SEAGATE TECHNOLOGY HLDNGS PL ORD SHSposition key pos:16471 · issuer key iss:2609add+$37.3M+64,063$29.0M$66.3M105,131169,194
ISHARES TR 0-3 MNTH TREASRYposition key sid:sec:prov:e38118ea8b169e3aaee9194c66190079 · issuer key cusip6:46436Eadd+$17.6M+173,893$48.4M$66.0M482,107656,000
REGENERON PHARMACEUTICALS COMposition key pos:16027 · issuer key iss:1826add+$5.8M+7,404$59.6M$65.4M77,20484,608
BANK AMERICA CORP COMposition key pos:14107 · issuer key iss:321add+$832K+165,897$63.8M$64.7M1,160,8541,326,751
VERTIV HOLDINGS CO COM CL Aposition key pos:17092 · issuer key iss:2266add+$30.2M+47,267$33.5M$63.7M206,936254,203
SPDR SERIES TRUST STATE STREET SPDposition key sid:sec:prov:4252b4f3709914f645284b0206172232 · issuer key cusip6:78468Radd+$18.7M+203,000$44.6M$63.3M488,000691,000
RTX CORPORATION COMposition key pos:16519 · issuer key iss:1815add+$18.9M+86,485$43.5M$62.5M237,391323,876

80 more changes below.

1–100 of 1,731 changes
Mark-to-market only (no share change) · 33

Positions whose share count is identical in both quarters; the value changed with price, not with a decision.

Positions held with no share change into quarter 2026-03-31
Positionposition matched across quarters by exact reported CUSIP over a registry gap — producer-reconciled identity, never a name match identity_reconciled_by_cusipChangethe reported share count is unchanged across the pair, so the position reads as held rather than as a buy or a sell; only builds before this release inferred a direction from the reported value instead classified_by_value · "exit" = absent this quarter: disposed, delisted, under confidential treatment, or reported instead by an affiliated manager — the filing does not say which · change not classifiable: value undisclosed on one side of the quarter pair, or neither shares nor value can classify it · "no change" = the share count is identical in both quarters; the value moved only with price, so the row is mark-to-market and never an add or a trim (Add / New / Trim / Exit / No change) · "no prior" = this filer has no comparable holdings list for the previous quarter on record — a first filing under this registration, or a quarter reported inside an affiliated manager's filing — so the position is not called a new stakeΔ valuederived by Public Filings from the published aggregate; NULL means the source did not disclose a usable value — never zeroΔ sharesreported unit changed across the pair (SH↔PRN); the share delta is withheld rather than fabricated shares_unit_mismatchPrev valueCurr valuePrev sharesCurr sharesFlags
PIMCO ETF TR MULTISECTOR BDposition key sid:sec:prov:472af252cda1e0f13d5ff2184a64a0e5 · issuer key cusip6:72201Rno change−$88.6K0$4.9M$4.8M184,500184,500
INVESCO EXCH TRADED FD TR II INVESCO PHLX SMposition key pos:18338 · issuer key iss:1217no change+$238K0$3.4M$3.6M60,51060,510
JANUS DETROIT STR TR HENDERSON MTGposition key pos:14783 · issuer key cusip6:47103Uno change−$30.1K0$2.7M$2.7M59,00059,000
ISHARES TR AGENCY BOND ETFposition key pos:18318 · issuer key iss:1232no change−$8.7K0$1.8M$1.8M16,09016,090
NEW YORK TIMES CO MTN BE CL Aposition key pos:19101 · issuer key iss:1559no change+$269K0$1.3M$1.6M18,79318,793
TEUCRIUM COMMODITY TR CORN FD SHSposition key sid:sec:prov:593046950fd47a9b0adcc370dae9b86c · issuer key cusip6:88166Ano change+$40.2K0$1.1M$1.1M60,00060,000
WISDOMTREE TR INDIA ERNGS FDposition key pos:12242 · issuer key iss:2346no change−$121K0$1.0M$898K22,00022,000
UGI CORP NEW COMposition key pos:16524 · issuer key iss:2184no change−$20.6K0$765K$744K20,44220,442
NEOS ETF TRUST NEOS S&P 500 HIposition key sid:sec:prov:e4c1dfe3663ac98adb19c8189f6e6295 · issuer key cusip6:78433Hno change−$44.2K0$735K$691K14,00014,000
JACKSON FINANCIAL INC COM CL Aposition key pos:17709 · issuer key iss:1250no change−$5.8K0$663K$657K6,2196,219
DANAOS CORPORATION SHSposition key sid:sec:prov:9d0e436e2bf80ca3b7a5214832ac836d · issuer key cusip6:Y1968Pno change+$97.1K0$495K$592K5,2605,260
ISHARES TR CORE MSCI PACposition key sid:sec:prov:3f95ee96d2dd63077fe83fbe4d1a18e6 · issuer key cusip6:46434Vno change+$23.9K0$530K$554K7,2407,240
UNIVERSAL INS HLDGS INC COMposition key sid:sec:prov:14313d11c75a2567907c01a7c96705b9 · issuer key cusip6:91359Vno change+$5.7K0$536K$541K15,84415,844
ISHARES TR GLOBAL FINLS ETFposition key pos:18315 · issuer key iss:1231no change−$25.6K0$455K$430K3,7703,770
ISHARES TR MSCI SAUDI ARBIAposition key sid:sec:prov:43fe18276cf247457f45430a6f5519bb · issuer key cusip6:46434Vno change+$26.1K0$284K$310K7,8007,800
AXIS CAP HLDGS LTD SHSposition key pos:11818 · issuer key iss:2435no change−$9.0K0$170K$161K1,5891,589
ISHARES TR S&P 500 VAL ETFposition key pos:14782 · issuer key iss:1231no change−$6440$148K$148K700700
CIMPRESS PLC SHS EUROposition key sid:sec:prov:fdf8fd060e542d035c44c1ded6f238c8 · issuer key cusip6:G2143Tno change+$10.9K0$114K$124K1,7051,705
TENET HEALTHCARE CORP COM NEWposition key pos:18040 · issuer key iss:2109no change−$6.4K0$127K$121K640640
SOUTH PLAINS FINANCIAL INC COMposition key sid:sec:prov:4c2fbe8bfd58f84c1135c601cfe517f5 · issuer key cusip6:83946Pno change+$4.6K0$57.7K$62.3K1,4861,486
LEGALZOOM COM INC COMposition key pos:14040 · issuer key iss:1335no change−$44.9K0$105K$59.8K10,54010,540
YALLA GROUP LTD ADSposition key sid:sec:prov:f96e1e7ab22ca29a7f7360b68048289d · issuer key cusip6:98459Uno change−$6.7K0$65.3K$58.6K9,4039,403
TUYA INC SPONSERED ADSposition key sid:sec:prov:540458f2c4611322820d36d4f5046162 · issuer key cusip6:90114Cno change+$2.7K0$28.6K$31.3K13,53713,537
DOUYU INTL HLDGS LTD SPONSORED ADSposition key sid:sec:prov:7d12cb19ed716d59dfdfa1f0972e9c40 · issuer key cusip6:25985Wno change−$10.3K0$39.3K$29.0K5,7805,780
CHINA YUCHAI INTL LTD COMposition key sid:sec:prov:162b1652ef1bd7aa0962b518236b2097 · issuer key cusip6:G21082no change+$2.0K0$23.8K$25.8K670670
SWK HLDGS CORP COM NEWposition key sid:sec:prov:5ee1f94f65588a0af147d75820d9ff0b · issuer key cusip6:78501Pno change−$2100$19.0K$18.8K1,1051,105
KVH INDS INC COMposition key sid:sec:prov:0b9ce4cf1cd76ed41f78f4df29eb85e8 · issuer key cusip6:482738no change+$4.1K0$14.4K$18.6K2,0732,073
SAP SE SPON ADRposition key pos:18308 · issuer key iss:1929no change−$4.9K0$16.8K$11.8K6969
HIGH TEMPLAR TECHNOLOGY LTD SPON ADSposition key sid:sec:prov:0f5c0ed73f826411ebf38a247052b9b6 · issuer key cusip6:747798no change−$8.7K0$19.3K$10.5K5,4335,433
DOCGO INC COMposition key pos:17389 · issuer key iss:745no change−$2.6K0$9.1K$6.5K10,38710,387
PLAYSTUDIOS INC CLASS A COMposition key sid:sec:prov:d9a330858b6d0d176c0ea34dc9e1b07d · issuer key cusip6:72815Gno change−$2.3K0$8.3K$6.0K12,72312,723
PAGAYA TECHNOLOGIES LTD CL A NEWposition key sid:sec:prov:abcee767ada3d355ea2491bd10751db6 · issuer key cusip6:M7S64Lno change−$2.1K0$4.6K$2.6K222222
ORION PROPERTIES INC COMposition key sid:sec:prov:3f7ebcb0b1f2a7e70b2bd7d78d241185 · issuer key cusip6:68629Yno change−$50$113$1085050
Quarter ended 2026-03-31Newest filing in this build: 2026-07-31. Per-row filing dates are on each receipt.
Truncated by Public Filings. Changes derive from the aggregate's top-25 slices and keyable positions only; unkeyable holdings are counted in the registry, not differenced. methodology §13F ↗

Book shape

2026-03-31 · concentration · vs tracked median · tick = median
Top-25 concentration
93.8%above median 80.0%
Concentration index
7,816 bpsabove median 446 bps
Positions with value
2356 / 2356median book 97.5 positions

Concentration uses reported 13F long value, not total assets. The index is withheld when any position lacks a value. Medians are over the 8,748 tracked filers with a 2026-03-31 book; the index median over the 8,662 with a complete book.

null-value positions: 0holdings whose <value> did not parse — retained and counted, never zero-filled · top-N share ·§: 93.8%share of the period's disclosed value held in the top-N positions; denominator is reported 13F value, not total assets · HHI (bps) ·§: 7,816integer Herfindahl–Hirschman index in basis points over disclosed position values · QoQ moves: 1,764

Filing history

AVAILABLE QUARTERS
Available filing periods
PeriodSource
2026-03-31EDGAR ↗
2026-06-30EDGAR ↗

PLANNED sector rotation · Congress overlap · signals for this filer

Complete source filings on SEC EDGAR

The complete filing on EDGAR.

The position list above is served from the published Public Filings build — every position this filer reported for the selected quarter, as it reported it. This block is provenance, not a substitute: the filing itself is the record, and it is one click away. Serving this list is M2-CONTRACT §3, amended 2026-08-02; §3.1 keeps live EDGAR for filings newer than this build.

Open Mirae Asset Global Investments Co., Ltd.'s 13F filings on SEC EDGAR ↗
Notes on this data

Quarter-end holdings as filed

Explore the full published position list and its source filing. This record excludes the manager’s cash, shorts and non-13(f) assets.

Compare consecutive quarters

Position changes retain the producer’s classification and comparability flags. Share counts and reported values describe different changes.

A snapshot, not current holdings

Use the quarter selector to inspect available periods. Unknown values stay unknown and each table states its coverage.

View
Prior quarter not yet availableThis build carries one quarter for this manager: 2026-03-31. Notable managers carry four published quarters, others two.

Reported positions — 2026-03-31

1–100 of 1,401 issuers · $299B disclosed value over 2,356 rows · 0 undisclosed-value rows
Every row below carries ticker not yet mapped — stated once here rather than repeated on every row.
Positions Mirae Asset Global Investments Co., Ltd. reported for the quarter ended 2026-03-31, as that filer reported them
KindClassification is not joined into this reported-position view. Use the changed-positions view to compare the two published quarters.TickerThis list carries reported issuer names and security identities, without a dated ticker mapping. Symbols are not inferred from names.Issuera position composed from a base filing plus NEW-HOLDINGS amendments keeps every source row here; the composition's latest filed date is the one shown served from this build's published holdings (derived from the filer's own reported rows); every row resolves to its filingWeightShare of total reported value, calculated only when the full position list has disclosed values. This is 13F long value, not total assets.Valuevalue undisclosed on the filing: retained and counted, excluded from sums, never shown as $0SharesPosition changeShare change is available in the separate comparison view; it is not joined into this position list.WtCongressThe congressional transaction join is unavailable in this build.
BRK-Averified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred) BRK-Bverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BERKSHIRE HATHAWAY INC DEL
2 positions · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for BERKSHIRE HATHAWAY INC DEL, as it reported them
BERKSHIRE HATHAWAY INC DEL · CL A CUSIP — $265B368,452
BERKSHIRE HATHAWAY INC DEL · CL B NEW CUSIP — $139K291
$265B368,74388.4%
NVDAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NVIDIA CORPORATION
1 position · 9 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for NVIDIA CORPORATION, as it reported them
NVIDIA CORPORATION · COM CUSIP — $2.5B14,543,334
NVIDIA CORPORATION · COM CUSIP — $25.7M147,600
NVIDIA CORPORATION · COM CUSIP — $16.0M91,643
NVIDIA CORPORATION · COM CUSIP — $9.0M51,495
NVIDIA CORPORATION · COM CUSIP — $8.8M50,650
NVIDIA CORPORATION · COM CUSIP — $1.4M8,024
NVIDIA CORPORATION · COM CUSIP — $725K4,157
NVIDIA CORPORATION · COM CUSIP — $270K1,551
NVIDIA CORPORATION · COM CUSIP — $68.2K391
$2.6B14,898,8450.9%
AAPLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLE INC
1 position · 8 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for APPLE INC, as it reported them
APPLE INC · COM CUSIP — $1.8B7,288,353
APPLE INC · COM CUSIP — $31.5M124,300
APPLE INC · COM CUSIP — $12.9M51,000
APPLE INC · COM CUSIP — $8.0M31,385
APPLE INC · COM CUSIP — $1.6M6,496
APPLE INC · COM CUSIP — $850K3,349
APPLE INC · COM CUSIP — $317K1,249
APPLE INC · COM CUSIP — $76.9K303
$1.9B7,506,4350.6%
GOOGLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred) GOOGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ALPHABET INC
2 positions · 10 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ALPHABET INC, as it reported them
ALPHABET INC · CAP STK CL A CUSIP — $1.2B4,061,422
ALPHABET INC · CAP STK CL A CUSIP — $512M1,780,061
ALPHABET INC · CAP STK CL A CUSIP — $52.7M183,100
ALPHABET INC · CAP STK CL A CUSIP — $10.3M35,692
ALPHABET INC · CAP STK CL A CUSIP — $6.2M21,500
ALPHABET INC · CAP STK CL A CUSIP — $4.2M14,689
ALPHABET INC · CAP STK CL C CUSIP — $3.0M10,470
ALPHABET INC · CAP STK CL A CUSIP — $1.5M5,130
ALPHABET INC · CAP STK CL A CUSIP — $290K1,007
ALPHABET INC · CAP STK CL A CUSIP — $68.4K238
$1.8B6,113,3090.6%
MSFTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MICROSOFT CORP
1 position · 9 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MICROSOFT CORP, as it reported them
MICROSOFT CORP · COM CUSIP — $1.4B3,726,620
MICROSOFT CORP · COM CUSIP — $27.7M74,800
MICROSOFT CORP · COM CUSIP — $11.3M30,623
MICROSOFT CORP · COM CUSIP — $5.8M15,792
MICROSOFT CORP · COM CUSIP — $4.8M12,900
MICROSOFT CORP · COM CUSIP — $1.1M2,910
MICROSOFT CORP · COM CUSIP — $795K2,149
MICROSOFT CORP · COM CUSIP — $242K655
MICROSOFT CORP · COM CUSIP — $60.0K162
$1.4B3,866,6110.5%
AMZNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMAZON COM INC
1 position · 9 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for AMAZON COM INC, as it reported them
AMAZON COM INC · COM CUSIP — $1.1B5,151,770
AMAZON COM INC · COM CUSIP — $24.1M115,903
AMAZON COM INC · COM CUSIP — $14.8M71,200
AMAZON COM INC · COM CUSIP — $4.6M22,000
AMAZON COM INC · COM CUSIP — $4.5M21,597
AMAZON COM INC · COM CUSIP — $2.1M9,959
AMAZON COM INC · COM CUSIP — $673K3,232
AMAZON COM INC · COM CUSIP — $406K1,948
AMAZON COM INC · COM CUSIP — $100K481
$1.1B5,398,0900.4%
AVGOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BROADCOM INC
1 position · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for BROADCOM INC, as it reported them
BROADCOM INC · COM CUSIP — $1.0B3,265,342
BROADCOM INC · COM CUSIP — $22.9M73,900
BROADCOM INC · COM CUSIP — $4.2M13,500
BROADCOM INC · COM CUSIP — $3.2M10,395
$1.0B3,363,1370.3%
ISHARES TR
26 positions · 30 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES TR, as it reported them
ISHARES TR · CORE S&P500 ETF CUSIP — $265M405,514
ISHARES TR · 20 YR TR BD ETF CUSIP — $179M2,063,214
ISHARES TR · CORE US AGGBD ET CUSIP — $82.9M835,021
ISHARES TR · EXPND TEC SC ETF CUSIP — $57.2M482,300
ISHARES TR · 7-10 YR TRSY BD CUSIP — $43.0M450,693
ISHARES TR · ISHARES SEMICDTR CUSIP — $42.2M128,535
ISHARES TR · IBOXX INV CP ETF CUSIP — $22.9M209,950
ISHARES TR · IBOXX INV CP ETF CUSIP — $21.9M201,114
ISHARES TR · MSCI EMG MKT ETF CUSIP — $20.7M363,857
ISHARES TR · RUS 2000 GRW ETF CUSIP — $19.3M61,400
ISHARES TR · CORE S&P SCP ETF CUSIP — $16.9M136,000
ISHARES TR · TIPS BD ETF CUSIP — $11.6M105,500
ISHARES TR · 1 3 YR TREAS BD CUSIP — $9.6M116,264
ISHARES TR · RUS 2000 VAL ETF CUSIP — $8.2M43,400
ISHARES TR · GLOB HLTHCRE ETF CUSIP — $5.5M58,600
ISHARES TR · RUSSELL 2000 ETF CUSIP — $5.2M21,114
ISHARES TR · U.S. REAL ES ETF CUSIP — $4.1M43,210
ISHARES TR · CORE S&P MCP ETF CUSIP — $2.3M34,264
ISHARES TR · RUS 1000 GRW ETF CUSIP — $2.3M5,407
ISHARES TR · SELECT DIVID ETF CUSIP — $1.7M11,400
ISHARES TR · EXPANDED TECH CUSIP — $947K11,833
ISHARES TR · GLOBAL FINLS ETF CUSIP — $430K3,770
ISHARES TR · ISHARES BIOTECH CUSIP — $429K2,540
ISHARES TR · 1 3 YR TREAS BD CUSIP — $287K3,480
ISHARES TR · GLOBAL ENERG ETF CUSIP — $173K3,000
ISHARES TR · US TELECOM ETF CUSIP — $157K4,000
ISHARES TR · GBL COMM SVC ETF CUSIP — $149K1,300
ISHARES TR · S&P 500 VAL ETF CUSIP — $148K700
ISHARES TR · 7-10 YR TRSY BD CUSIP — $118K1,240
ISHARES TR · 20 YR TR BD ETF CUSIP — $116K1,335
$824M5,809,9550.3%
TSLAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TESLA INC
1 position · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for TESLA INC, as it reported them
TESLA INC · COM CUSIP — $784M2,110,268
TESLA INC · COM CUSIP — $10.7M28,700
TESLA INC · COM CUSIP — $3.7M9,850
TESLA INC · COM CUSIP — $2.6M7,051
$801M2,155,8690.3%
METAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)META PLATFORMS INC
1 position · 8 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for META PLATFORMS INC, as it reported them
META PLATFORMS INC · CL A CUSIP — $733M1,280,808
META PLATFORMS INC · CL A CUSIP — $14.3M25,000
META PLATFORMS INC · CL A CUSIP — $8.2M14,279
META PLATFORMS INC · CL A CUSIP — $4.0M7,000
META PLATFORMS INC · CL A CUSIP — $3.1M5,456
META PLATFORMS INC · CL A CUSIP — $737K1,289
META PLATFORMS INC · CL A CUSIP — $142K249
META PLATFORMS INC · CL A CUSIP — $36.0K63
$763M1,334,1440.3%
VANGUARD INDEX FDS
3 positions · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VANGUARD INDEX FDS, as it reported them
VANGUARD INDEX FDS · S&P 500 ETF SHS CUSIP 922908363 $681M1,139,295
VANGUARD INDEX FDS · VALUE ETF CUSIP — $8.0M41,000
VANGUARD INDEX FDS · GROWTH ETF CUSIP — $3.1M43,000
$692M1,223,2950.2%
SPDR SERIES TRUST
12 positions · 13 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SPDR SERIES TRUST, as it reported them
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $238M3,109,441
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $134M5,111,695
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $47.9M188,486
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $11.3M200,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $9.9M347,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $9.1M301,860
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $7.4M335,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $6.5M195,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $5.5M59,687
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $2.1M14,100
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $2.0M20,160
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $376K2,943
SPDR SERIES TRUST · STATE STREET SPD CUSIP — $149K1,630
$475M9,887,0020.2%
MUverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MICRON TECHNOLOGY INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MICRON TECHNOLOGY INC, as it reported them
MICRON TECHNOLOGY INC · COM CUSIP — $370M1,094,330
MICRON TECHNOLOGY INC · COM CUSIP — $13.6M40,400
MICRON TECHNOLOGY INC · COM CUSIP — $372K1,102
$384M1,135,8320.1%
NFLXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NETFLIX INC.
1 position · 8 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for NETFLIX INC., as it reported them
NETFLIX INC. · COM CUSIP — $329M3,418,099
NETFLIX INC. · COM CUSIP — $21.2M220,129
NETFLIX INC. · COM CUSIP — $15.9M165,800
NETFLIX INC. · COM CUSIP — $2.9M30,000
NETFLIX INC. · COM CUSIP — $1.8M19,017
NETFLIX INC. · COM CUSIP — $1.0M10,612
NETFLIX INC. · COM CUSIP — $355K3,688
NETFLIX INC. · COM CUSIP — $89.8K934
$372M3,868,2790.1%
WMTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)WALMART INC
1 position · 7 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for WALMART INC, as it reported them
WALMART INC · COM CUSIP — $331M2,660,297
WALMART INC · COM CUSIP — $3.8M30,356
WALMART INC · COM CUSIP — $1.5M11,759
WALMART INC · COM CUSIP — $1.0M8,117
WALMART INC · COM CUSIP — $518K4,172
WALMART INC · COM CUSIP — $196K1,578
WALMART INC · COM CUSIP — $46.7K376
$338M2,716,6550.1%
ISHARES TR
15 positions · 20 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES TR, as it reported them
ISHARES TR · MSCI ACWI ETF CUSIP — $90.1M651,110
ISHARES TR · MBS ETF CUSIP — $43.9M462,675
ISHARES TR · MBS ETF CUSIP — $36.1M380,437
ISHARES TR · JPMORGAN USD EMG CUSIP — $33.5M356,287
ISHARES TR · USD INV GRDE ETF CUSIP — $30.4M592,736
ISHARES TR · MSCI ACWI EX US CUSIP — $29.2M426,295
ISHARES TR · INTL SEL DIV ETF CUSIP — $16.4M386,264
ISHARES TR · IBOXX HI YD ETF CUSIP — $16.4M206,474
ISHARES TR · MBS ETF CUSIP — $8.6M90,771
ISHARES TR · 3 7 YR TREAS BD CUSIP — $8.4M70,537
ISHARES TR · ISHS 1-5YR INVS CUSIP — $5.7M109,000
ISHARES TR · GLB INFRASTR ETF CUSIP — $2.3M33,926
ISHARES TR · AGENCY BOND ETF CUSIP — $1.8M16,090
ISHARES TR · 10-20 YR TRS ETF CUSIP — $615K6,106
ISHARES TR · PFD AND INCM SEC CUSIP — $529K17,452
ISHARES TR · JPMORGAN USD EMG CUSIP — $290K3,090
ISHARES TR · 10-20 YR TRS ETF CUSIP — $168K1,670
ISHARES TR · GLOB UTILITS ETF CUSIP — $155K1,800
ISHARES TR · GLB CNSM STP ETF CUSIP — $147K2,200
ISHARES TR · 3 7 YR TREAS BD CUSIP — $116K980
$325M3,815,9000.1%
AMDverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ADVANCED MICRO DEVICES INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ADVANCED MICRO DEVICES INC, as it reported them
ADVANCED MICRO DEVICES INC · COM CUSIP — $308M1,515,970
ADVANCED MICRO DEVICES INC · COM CUSIP — $387K1,901
$309M1,517,8710.1%
VANGUARD SCOTTSDALE FDS
7 positions · 10 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VANGUARD SCOTTSDALE FDS, as it reported them
VANGUARD SCOTTSDALE FDS · LONG TERM TREAS CUSIP 92206C847 $132M2,376,266
VANGUARD SCOTTSDALE FDS · INT-TERM CORP CUSIP — $49.7M601,193
VANGUARD SCOTTSDALE FDS · SHRT TRM CORP BD CUSIP 92206C409 $30.6M385,466
VANGUARD SCOTTSDALE FDS · INTER TERM TREAS CUSIP 92206C706 $30.1M505,729
VANGUARD SCOTTSDALE FDS · LG-TERM COR BD CUSIP 92206C813 $24.0M320,664
VANGUARD SCOTTSDALE FDS · SHORT TERM TREAS CUSIP 92206C102 $11.2M191,120
VANGUARD SCOTTSDALE FDS · INT-TERM CORP CUSIP — $5.9M70,795
VANGUARD SCOTTSDALE FDS · VNG RUS2000IDX CUSIP 92206C664 $4.7M47,100
VANGUARD SCOTTSDALE FDS · LG-TERM COR BD CUSIP 92206C813 $257K3,435
VANGUARD SCOTTSDALE FDS · SHRT TRM CORP BD CUSIP 92206C409 $106K1,335
$288M4,503,1030.1%
TXNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TEXAS INSTRS INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for TEXAS INSTRS INC, as it reported them
TEXAS INSTRS INC · COM CUSIP — $275M1,417,404
TEXAS INSTRS INC · COM CUSIP — $224K1,154
$275M1,418,5580.1%
LRCXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LAM RESEARCH CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for LAM RESEARCH CORP, as it reported them
LAM RESEARCH CORP · COM NEW CUSIP — $269M1,259,246
LAM RESEARCH CORP · COM NEW CUSIP — $248K1,160
$269M1,260,4060.1%
QCOMverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)QUALCOMM INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for QUALCOMM INC, as it reported them
QUALCOMM INC · COM CUSIP — $269M2,086,068
QUALCOMM INC · COM CUSIP — $155K1,206
$269M2,087,2740.1%
AMATverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLIED MATLS INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for APPLIED MATLS INC, as it reported them
APPLIED MATLS INC · COM CUSIP — $265M775,402
APPLIED MATLS INC · COM CUSIP — $3.1M9,200
APPLIED MATLS INC · COM CUSIP — $251K735
$268M785,3370.1%
PLTRverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PALANTIR TECHNOLOGIES INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for PALANTIR TECHNOLOGIES INC, as it reported them
PALANTIR TECHNOLOGIES INC · CL A CUSIP — $259M1,770,692
PALANTIR TECHNOLOGIES INC · CL A CUSIP — $3.2M22,000
PALANTIR TECHNOLOGIES INC · CL A CUSIP — $327K2,234
$263M1,794,9260.1%
LLYverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ELI LILLY & CO
1 position · 9 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ELI LILLY & CO, as it reported them
ELI LILLY & CO · COM CUSIP — $202M219,288
ELI LILLY & CO · COM CUSIP — $20.2M22,000
ELI LILLY & CO · COM CUSIP — $19.6M21,300
ELI LILLY & CO · COM CUSIP — $4.5M4,910
ELI LILLY & CO · COM CUSIP — $1.6M1,766
ELI LILLY & CO · COM CUSIP — $1.4M1,492
ELI LILLY & CO · COM CUSIP — $1.3M1,377
ELI LILLY & CO · COM CUSIP — $268K291
ELI LILLY & CO · COM CUSIP — $66.2K72
$251M272,4960.1%
COSTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COSTCO WHOLESALE CORPORATION
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for COSTCO WHOLESALE CORPORATION, as it reported them
COSTCO WHOLESALE CORPORATION · COM CUSIP — $246M246,741
COSTCO WHOLESALE CORPORATION · COM CUSIP — $1.1M1,086
$247M247,8270.1%
PEPverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PEPSICO INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for PEPSICO INC, as it reported them
PEPSICO INC · COM CUSIP — $236M1,520,089
PEPSICO INC · COM CUSIP — $198K1,273
$236M1,521,3620.1%
JPMverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)JPMORGAN CHASE & CO
1 position · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for JPMORGAN CHASE & CO, as it reported them
JPMORGAN CHASE & CO · COM CUSIP — $198M672,933
JPMORGAN CHASE & CO · COM CUSIP — $33.9M115,100
JPMORGAN CHASE & CO · COM CUSIP — $830K2,822
JPMORGAN CHASE & CO · COM CUSIP — $125K426
$233M791,2810.1%
ISHARES INC
6 positions · 6 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES INC, as it reported them
ISHARES INC · CORE MSCI EMKT CUSIP — $205M2,932,074
ISHARES INC · MSCI JAPAN ETF CUSIP — $10.4M123,053
ISHARES INC · MSCI TAIWAN ETF CUSIP — $8.7M122,608
ISHARES INC · ESG AWR MSCI EM CUSIP — $4.8M105,070
ISHARES INC · MSCI EMRG CHN CUSIP — $857K10,900
ISHARES INC · MSCI GBL GOLD MN CUSIP — $600K7,595
$230M3,301,3000.1%
AMGNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AMGEN INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for AMGEN INC, as it reported them
AMGEN INC · COM CUSIP — $221M626,952
AMGEN INC · COM CUSIP — $1.0M2,845
AMGEN INC · COM CUSIP — $178K507
$222M630,3040.1%
KLACverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)KLA CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for KLA CORP, as it reported them
KLA CORP · COM NEW CUSIP — $221M150,280
KLA CORP · COM NEW CUSIP — $177K120
$221M150,4000.1%
MRKverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MERCK & CO INC
1 position · 5 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MERCK & CO INC, as it reported them
MERCK & CO INC · COM CUSIP — $188M1,561,944
MERCK & CO INC · COM CUSIP — $26.6M221,400
MERCK & CO INC · COM CUSIP — $248K2,060
MERCK & CO INC · COM CUSIP — $193K1,603
MERCK & CO INC · COM CUSIP — $48.1K400
$215M1,787,4070.1%
CVXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CHEVRON CORPORATION
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CHEVRON CORPORATION, as it reported them
CHEVRON CORPORATION · COM CUSIP — $214M1,033,189
CHEVRON CORPORATION · COM CUSIP — $578K2,796
CHEVRON CORPORATION · COM CUSIP — $62.5K302
$214M1,036,2870.1%
INTCverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTEL CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for INTEL CORP, as it reported them
INTEL CORP · COM CUSIP — $201M4,552,447
INTEL CORP · COM CUSIP — $197K4,460
$201M4,556,9070.1%
VZverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VERIZON COMMUNICATIONS INC
1 position · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VERIZON COMMUNICATIONS INC, as it reported them
VERIZON COMMUNICATIONS INC · COM CUSIP — $171M3,402,306
VERIZON COMMUNICATIONS INC · COM CUSIP — $29.1M579,000
VERIZON COMMUNICATIONS INC · COM CUSIP — $129K2,574
VERIZON COMMUNICATIONS INC · COM CUSIP — $34.1K680
$200M3,984,5600.1%
KOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COCA COLA CO
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for COCA COLA CO, as it reported them
COCA COLA CO · COM CUSIP — $180M2,370,888
COCA COLA CO · COM CUSIP — $126K1,656
COCA COLA CO · COM CUSIP — $47.1K619
$180M2,373,1630.1%
CSCOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CISCO SYS INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CISCO SYS INC, as it reported them
CISCO SYS INC · COM CUSIP — $179M2,307,358
CISCO SYS INC · COM CUSIP — $280K3,613
CISCO SYS INC · COM CUSIP — $212K2,727
$180M2,313,6980.1%
HDverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)HOME DEPOT INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for HOME DEPOT INC, as it reported them
HOME DEPOT INC · COM CUSIP — $177M538,422
HOME DEPOT INC · COM CUSIP — $959K2,915
HOME DEPOT INC · COM CUSIP — $52.0K158
$178M541,4950.1%
COPverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CONOCOPHILLIPS
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CONOCOPHILLIPS, as it reported them
CONOCOPHILLIPS · COM CUSIP — $157M1,192,099
CONOCOPHILLIPS · COM CUSIP — $15.7M118,700
CONOCOPHILLIPS · COM CUSIP — $26.1K198
$173M1,310,9970.1%
PGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PROCTER & GAMBLE CO
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for PROCTER & GAMBLE CO, as it reported them
PROCTER & GAMBLE CO · COM CUSIP — $172M1,192,918
PROCTER & GAMBLE CO · COM CUSIP — $308K2,130
PROCTER & GAMBLE CO · COM CUSIP — $53.9K373
$173M1,195,4210.1%
XOMverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EXXON MOBIL CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for EXXON MOBIL CORP, as it reported them
EXXON MOBIL CORP · COM CUSIP — $159M937,129
EXXON MOBIL CORP · COM CUSIP — $1.2M7,078
$160M944,2070.1%
ADIverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ANALOG DEVICES INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ANALOG DEVICES INC, as it reported them
ANALOG DEVICES INC · COM CUSIP — $159M501,220
ANALOG DEVICES INC · COM CUSIP — $143K451
$160M501,6710.1%
UNHverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)UNITEDHEALTH GROUP INC
1 position · 7 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for UNITEDHEALTH GROUP INC, as it reported them
UNITEDHEALTH GROUP INC · COM CUSIP — $157M580,705
UNITEDHEALTH GROUP INC · COM CUSIP — $764K2,825
UNITEDHEALTH GROUP INC · COM CUSIP — $756K2,795
UNITEDHEALTH GROUP INC · COM CUSIP — $558K2,063
UNITEDHEALTH GROUP INC · COM CUSIP — $146K539
UNITEDHEALTH GROUP INC · COM CUSIP — $39.0K144
UNITEDHEALTH GROUP INC · COM CUSIP — $35.7K132
$159M589,2030.1%
LINverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LINDE PLC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for LINDE PLC, as it reported them
LINDE PLC · SHS CUSIP — $136M273,966
LINDE PLC · SHS CUSIP — $23.1M46,600
LINDE PLC · SHS CUSIP — $212K427
$159M320,9930.1%
JNJverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)JOHNSON & JOHNSON
1 position · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for JOHNSON & JOHNSON, as it reported them
JOHNSON & JOHNSON · COM CUSIP — $156M638,338
JOHNSON & JOHNSON · COM CUSIP — $640K2,618
JOHNSON & JOHNSON · COM CUSIP — $598K2,445
JOHNSON & JOHNSON · COM CUSIP — $93.9K384
$157M643,7850.1%
Vverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VISA INC
1 position · 7 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VISA INC, as it reported them
VISA INC · COM CL A CUSIP — $148M489,782
VISA INC · COM CL A CUSIP — $4.0M13,249
VISA INC · COM CL A CUSIP — $890K2,945
VISA INC · COM CL A CUSIP — $654K2,165
VISA INC · COM CL A CUSIP — $97.3K322
VISA INC · COM CL A CUSIP — $81.3K269
VISA INC · COM CL A CUSIP — $29.9K99
$154M508,8310.1%
ABTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ABBOTT LABORATORIES
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ABBOTT LABORATORIES, as it reported them
ABBOTT LABORATORIES · COM CUSIP — $140M1,367,624
ABBOTT LABORATORIES · COM CUSIP — $514K5,003
ABBOTT LABORATORIES · COM CUSIP — $28.6K279
$141M1,372,9060.0%
MRVLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MARVELL TECHNOLOGY INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MARVELL TECHNOLOGY INC, as it reported them
MARVELL TECHNOLOGY INC · COM CUSIP — $139M1,399,523
MARVELL TECHNOLOGY INC · COM CUSIP — $103K1,036
$139M1,400,5590.0%
CMCSAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COMCAST CORP NEW
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for COMCAST CORP NEW, as it reported them
COMCAST CORP NEW · CL A CUSIP — $135M4,706,414
COMCAST CORP NEW · CL A CUSIP — $94.8K3,303
$135M4,709,7170.0%
ISRGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTUITIVE SURGICAL INC
1 position · 8 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for INTUITIVE SURGICAL INC, as it reported them
INTUITIVE SURGICAL INC · COM NEW CUSIP — $116M252,317
INTUITIVE SURGICAL INC · COM NEW CUSIP — $11.2M24,261
INTUITIVE SURGICAL INC · COM NEW CUSIP — $4.0M8,780
INTUITIVE SURGICAL INC · COM NEW CUSIP — $972K2,109
INTUITIVE SURGICAL INC · COM NEW CUSIP — $620K1,344
INTUITIVE SURGICAL INC · COM NEW CUSIP — $190K412
INTUITIVE SURGICAL INC · COM NEW CUSIP — $150K326
INTUITIVE SURGICAL INC · COM NEW CUSIP — $38.7K84
$134M289,6330.0%
LMTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)LOCKHEED MARTIN CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for LOCKHEED MARTIN CORP, as it reported them
LOCKHEED MARTIN CORP · COM CUSIP — $125M206,500
LOCKHEED MARTIN CORP · COM CUSIP — $18.7K31
$125M206,5310.0%
SPDR INDEX SHS FDS
3 positions · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SPDR INDEX SHS FDS, as it reported them
SPDR INDEX SHS FDS · STATE STREET SPD CUSIP 78463X848 $119M3,261,220
SPDR INDEX SHS FDS · STATE STREET SPD CUSIP 78463X202 $1.4M22,600
SPDR INDEX SHS FDS · STATE STREET SPD CUSIP 78463X855 $152K2,000
$121M3,285,8200.0%
SPYverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)STATE STR SPDR S&P 500 ETF T STATE STR SPDR S&P 500 ETF T · TR UNIT CUSIP —
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$120M185,1680.0%
GEVverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GE VERNOVA INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GE VERNOVA INC, as it reported them
GE VERNOVA INC · COM CUSIP — $120M137,227
GE VERNOVA INC · COM CUSIP — $121K139
$120M137,3660.0%
GLOBAL X FDS
17 positions · 19 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GLOBAL X FDS, as it reported them
GLOBAL X FDS · US INFR DEV ETF CUSIP 37954Y673 $24.9M490,952
GLOBAL X FDS · X EMERGING MKT CUSIP 37954Y350 $20.1M856,950
GLOBAL X FDS · GLOBAL X URANIUM CUSIP 37954Y871 $17.1M353,760
GLOBAL X FDS · RBTCS ARTFL INTE CUSIP 37954Y715 $16.1M484,337
GLOBAL X FDS · NASDAQ 100 COVER CUSIP 37954Y483 $6.9M402,085
GLOBAL X FDS · DATA CTR & DIGIT CUSIP 37954Y236 $6.3M263,100
GLOBAL X FDS · ARTIFICIAL ETF CUSIP 37954Y632 $6.1M131,300
GLOBAL X FDS · X EMERGING MKT CUSIP 37954Y350 $5.5M236,000
GLOBAL X FDS · CYBRSCURTY ETF CUSIP 37954Y384 $4.7M187,559
GLOBAL X FDS · CLOUD COMPUTNG CUSIP 37954Y442 $3.1M161,000
GLOBAL X FDS · AUTONMOUS EV ETF CUSIP 37954Y624 $2.2M72,000
GLOBAL X FDS · INTERNET OF THNG CUSIP 37954Y780 $2.2M58,000
GLOBAL X FDS · GLOBAL X COPPER CUSIP 37954Y830 $1.0M13,300
GLOBAL X FDS · US PFD ETF CUSIP 37954Y657 $942K51,207
GLOBAL X FDS · LITHIUM BTRY ETF CUSIP 37954Y855 $761K10,230
GLOBAL X FDS · GLBL X MLP ETF CUSIP 37954Y343 $700K13,000
GLOBAL X FDS · GLOBAL X SILVER CUSIP 37954Y848 $432K4,800
GLOBAL X FDS · GLB X MLP ENRG I CUSIP 37954Y293 $207K2,800
GLOBAL X FDS · X EMERGING MKT CUSIP 37954Y350 $00
$119M3,792,3800.0%
ISHARES TR
2 positions · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES TR, as it reported them
ISHARES TR · CORE MSCI EAFE CUSIP 46432F842 $111M1,224,205
ISHARES TR · MSCI USA QLT FCT CUSIP 46432F339 $6.7M35,000
$118M1,259,2050.0%
BMYverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BRISTOL-MYERS SQUIBB CO
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for BRISTOL-MYERS SQUIBB CO, as it reported them
BRISTOL-MYERS SQUIBB CO · COM CUSIP — $116M1,919,202
BRISTOL-MYERS SQUIBB CO · COM CUSIP — $19.8K326
$116M1,919,5280.0%
GILDverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GILEAD SCIENCES INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GILEAD SCIENCES INC, as it reported them
GILEAD SCIENCES INC · COM CUSIP — $116M833,891
GILEAD SCIENCES INC · COM CUSIP — $161K1,153
$116M835,0440.0%
ACNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ACCENTURE PLC IRELAND
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ACCENTURE PLC IRELAND, as it reported them
ACCENTURE PLC IRELAND · SHS CLASS A CUSIP — $115M582,359
ACCENTURE PLC IRELAND · SHS CLASS A CUSIP — $19.4K98
$115M582,4570.0%
ADPverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)AUTOMATIC DATA PROCESSING IN
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for AUTOMATIC DATA PROCESSING IN, as it reported them
AUTOMATIC DATA PROCESSING IN · COM CUSIP — $110M542,896
AUTOMATIC DATA PROCESSING IN · COM CUSIP — $74.8K368
$110M543,2640.0%
MOverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ALTRIA GROUP INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ALTRIA GROUP INC, as it reported them
ALTRIA GROUP INC · COM CUSIP — $103M1,565,605
ALTRIA GROUP INC · COM CUSIP — $17.8K270
$103M1,565,8750.0%
MAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MASTERCARD INCORPORATED
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MASTERCARD INCORPORATED, as it reported them
MASTERCARD INCORPORATED · CL A CUSIP — $101M201,938
MASTERCARD INCORPORATED · CL A CUSIP — $2.3M4,700
MASTERCARD INCORPORATED · CL A CUSIP — $65.5K131
$103M206,7690.0%
ABBVverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ABBVIE INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ABBVIE INC, as it reported them
ABBVIE INC · COM CUSIP — $101M465,560
ABBVIE INC · COM CUSIP — $419K1,925
ABBVIE INC · COM CUSIP — $61.1K281
$102M467,7660.0%
TMUSverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)T-MOBILE US INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for T-MOBILE US INC, as it reported them
T-MOBILE US INC · COM CUSIP — $101M482,060
T-MOBILE US INC · COM CUSIP — $194K923
$101M482,9830.0%
ISHARES TR
7 positions · 7 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES TR, as it reported them
ISHARES TR · CORE MSCI EURO CUSIP 46434V738 $85.3M1,214,097
ISHARES TR · FUTURE EXPONENTI CUSIP 46434V381 $4.5M65,420
ISHARES TR · GLOBAL REIT ETF CUSIP 46434V647 $3.7M146,691
ISHARES TR · CORE DIV GRWTH CUSIP — $2.1M29,500
ISHARES TR · 0-5YR HI YL CP CUSIP — $1.8M41,600
ISHARES TR · CORE MSCI PAC CUSIP 46434V696 $554K7,240
ISHARES TR · MSCI SAUDI ARBIA CUSIP 46434V423 $310K7,800
$98.2M1,512,3480.0%
VANECK ETF TRUST
7 positions · 7 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VANECK ETF TRUST, as it reported them
VANECK ETF TRUST · SEMICONDUCTR ETF CUSIP — $80.8M210,660
VANECK ETF TRUST · MRNGSTR WDE MOAT CUSIP 92189F643 $11.6M120,000
VANECK ETF TRUST · PREFERRED SECURT CUSIP 92189F429 $1.9M107,105
VANECK ETF TRUST · URANIUM AND NUCL CUSIP 92189F601 $1.5M10,940
VANECK ETF TRUST · GOLD MINERS ETF CUSIP 92189F106 $1.4M14,900
VANECK ETF TRUST · IG FLOATING RATE CUSIP 92189F486 $793K31,129
VANECK ETF TRUST · AGRIBUSINESS ETF CUSIP 92189F700 $161K1,900
$98.0M496,6340.0%
VANGUARD INTL EQUITY INDEX F
3 positions · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VANGUARD INTL EQUITY INDEX F, as it reported them
VANGUARD INTL EQUITY INDEX F · FTSE EUROPE ETF CUSIP 922042874 $40.2M487,396
VANGUARD INTL EQUITY INDEX F · TT WRLD ST ETF CUSIP — $38.3M277,111
VANGUARD INTL EQUITY INDEX F · FTSE EMR MKT ETF CUSIP 922042858 $17.4M321,331
$95.9M1,085,8380.0%
SPDR SERIES TRUST
5 positions · 5 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SPDR SERIES TRUST, as it reported them
SPDR SERIES TRUST · STATE STREET SPD CUSIP 78468R663 $63.3M691,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP 78468R622 $15.3M160,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP 78468R101 $8.1M279,000
SPDR SERIES TRUST · STATE STREET SPD CUSIP 78468R556 $5.9M32,550
SPDR SERIES TRUST · STATE STREET SPD CUSIP 78468R788 $1.7M36,300
$94.4M1,198,8500.0%
CATverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CATERPILLAR INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CATERPILLAR INC, as it reported them
CATERPILLAR INC · COM CUSIP — $90.0M127,061
CATERPILLAR INC · COM CUSIP — $2.1M2,909
CATERPILLAR INC · COM CUSIP — $51.7K73
$92.1M130,0430.0%
MPWRverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)MONOLITHIC PWR SYS INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for MONOLITHIC PWR SYS INC, as it reported them
MONOLITHIC PWR SYS INC · COM CUSIP — $91.0M83,220
MONOLITHIC PWR SYS INC · COM CUSIP — $47.0K43
$91.0M83,2630.0%
J P MORGAN EXCHANGE TRADED F
4 positions · 4 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for J P MORGAN EXCHANGE TRADED F, as it reported them
J P MORGAN EXCHANGE TRADED F · BETABULDRS JAPAN CUSIP 46641Q217 $49.1M712,984
J P MORGAN EXCHANGE TRADED F · BETABUILDERS CDA CUSIP 46641Q225 $38.2M406,137
J P MORGAN EXCHANGE TRADED F · ULTRA SHRT ETF CUSIP 46641Q837 $2.1M42,092
J P MORGAN EXCHANGE TRADED F · EQUITY PREMIUM CUSIP — $453K8,000
$89.9M1,169,2130.0%
SELECT SECTOR SPDR TR
10 positions · 10 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SELECT SECTOR SPDR TR, as it reported them
SELECT SECTOR SPDR TR · STATE STREET TEC CUSIP — $48.9M367,873
SELECT SECTOR SPDR TR · STATE STREET ENE CUSIP 81369Y506 $35.9M585,821
SELECT SECTOR SPDR TR · STATE STREET HEA CUSIP 81369Y209 $935K6,377
SELECT SECTOR SPDR TR · STATE STREET IND CUSIP 81369Y704 $890K5,506
SELECT SECTOR SPDR TR · STATE STREET MAT CUSIP 81369Y100 $596K11,932
SELECT SECTOR SPDR TR · STATE STREET FIN CUSIP 81369Y605 $538K10,898
SELECT SECTOR SPDR TR · STATE STREET UTI CUSIP — $532K11,600
SELECT SECTOR SPDR TR · STATE STREET CON CUSIP — $524K6,390
SELECT SECTOR SPDR TR · STATE STREET COM CUSIP 81369Y852 $510K4,600
SELECT SECTOR SPDR TR · STATE STREET REA CUSIP 81369Y860 $284K6,950
$89.6M1,017,9470.0%
GLOBAL X FDS
7 positions · 10 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GLOBAL X FDS, as it reported them
GLOBAL X FDS · 1-3 MONTH T-BILL CUSIP 37960A438 $26.0M259,000
GLOBAL X FDS · INVESTMENT GRADE CUSIP 37960A339 $24.7M990,000
GLOBAL X FDS · DEFENSE TECH ETF CUSIP 37960A529 $14.1M198,550
GLOBAL X FDS · INVESTMENT GRADE CUSIP 37960A339 $11.6M465,000
GLOBAL X FDS · U S ELECTRIFICAT CUSIP 37960A370 $6.4M200,000
GLOBAL X FDS · INVESTMENT GRADE CUSIP 37960A339 $2.6M103,800
GLOBAL X FDS · LONG-TERM TREAS CUSIP 37960A388 $1.8M40,000
GLOBAL X FDS · LONG-TERM TREAS CUSIP 37960A388 $312K6,900
GLOBAL X FDS · SHORT-TERM TREAS CUSIP 37960A412 $200K4,000
GLOBAL X FDS · SUPERDIVIDEND CUSIP 37960A669 $157K6,200
$87.9M2,273,4500.0%
HONverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)HONEYWELL INTL INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for HONEYWELL INTL INC, as it reported them
HONEYWELL INTL INC · COM CUSIP — $85.8M379,680
HONEYWELL INTL INC · COM CUSIP — $568K2,512
HONEYWELL INTL INC · COM CUSIP — $133K589
$86.5M382,7810.0%
NXPIverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)NXP SEMICONDUCTORS N V
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for NXP SEMICONDUCTORS N V, as it reported them
NXP SEMICONDUCTORS N V · COM CUSIP — $85.1M432,372
NXP SEMICONDUCTORS N V · COM CUSIP — $72.4K368
$85.2M432,7400.0%
VRTXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)VERTEX PHARMACEUTICALS INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for VERTEX PHARMACEUTICALS INC, as it reported them
VERTEX PHARMACEUTICALS INC · COM CUSIP — $83.5M186,994
VERTEX PHARMACEUTICALS INC · COM CUSIP — $375K839
VERTEX PHARMACEUTICALS INC · COM CUSIP — $103K231
$84.0M188,0640.0%
PIMCO ETF TR
2 positions · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for PIMCO ETF TR, as it reported them
PIMCO ETF TR · 25YR+ ZERO U S CUSIP 72201R882 $78.6M1,227,735
PIMCO ETF TR · MULTISECTOR BD CUSIP 72201R585 $4.8M184,500
$83.4M1,412,2350.0%
VANGUARD CHARLOTTE FDS VANGUARD CHARLOTTE FDS · TOTAL INT BD ETF CUSIP 92203J407
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$83.3M1,734,3920.0%
ORCLverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)ORACLE CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ORACLE CORP, as it reported them
ORACLE CORP · COM CUSIP — $82.6M561,209
ORACLE CORP · COM CUSIP — $420K2,855
$83.0M564,0640.0%
CEGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CONSTELLATION ENERGY CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CONSTELLATION ENERGY CORP, as it reported them
CONSTELLATION ENERGY CORP · COM CUSIP — $81.4M291,429
CONSTELLATION ENERGY CORP · COM CUSIP — $130K467
$81.5M291,8960.0%
SCHWAB STRATEGIC TR
2 positions · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SCHWAB STRATEGIC TR, as it reported them
SCHWAB STRATEGIC TR · US DIVIDEND EQ CUSIP — $50.1M1,631,844
SCHWAB STRATEGIC TR · LONG TERM US CUSIP — $30.7M977,627
$80.8M2,609,4710.0%
BXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BLACKSTONE INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for BLACKSTONE INC, as it reported them
BLACKSTONE INC · COM CUSIP — $79.6M691,855
BLACKSTONE INC · COM CUSIP — $13.5K117
$79.6M691,9720.0%
ISHARES INC
12 positions · 13 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES INC, as it reported them
ISHARES INC · MSCI WORLD ETF CUSIP 464286392 $44.4M246,520
ISHARES INC · MSCI AUST ETF CUSIP 464286103 $10.6M380,387
ISHARES INC · MSCI STH KOR ETF CUSIP 464286772 $10.5M85,011
ISHARES INC · JP MRG EM CRP BD CUSIP 464286251 $3.2M70,000
ISHARES INC · MSCI CDA ETF CUSIP 464286509 $3.1M56,800
ISHARES INC · MSCI BIC ETF CUSIP 464286657 $2.6M63,600
ISHARES INC · MSCI BRAZIL ETF CUSIP 464286400 $2.5M63,900
ISHARES INC · MSCI HONG KG ETF CUSIP 464286871 $981K42,493
ISHARES INC · JP MORGAN EM ETF CUSIP 464286517 $514K12,600
ISHARES INC · JP MRG EM CRP BD CUSIP 464286251 $453K10,000
ISHARES INC · MSCI STH AFR ETF CUSIP 464286780 $400K5,900
ISHARES INC · MSCI MEXICO ETF CUSIP 464286822 $233K3,100
ISHARES INC · MSCI ISRAEL ETF CUSIP 464286632 $228K1,965
$79.5M1,042,2760.0%
COHRverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)COHERENT CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for COHERENT CORP, as it reported them
COHERENT CORP · COM CUSIP — $79.2M332,396
COHERENT CORP · COM CUSIP — $6.9K29
$79.2M332,4250.0%
GEverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GE AEROSPACE
1 position · 6 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GE AEROSPACE, as it reported them
GE AEROSPACE · COM NEW CUSIP — $69.7M245,502
GE AEROSPACE · COM NEW CUSIP — $6.2M21,858
GE AEROSPACE · COM NEW CUSIP — $806K2,840
GE AEROSPACE · COM NEW CUSIP — $159K560
GE AEROSPACE · COM NEW CUSIP — $47.4K167
GE AEROSPACE · COM NEW CUSIP — $39.2K138
$76.9M271,0650.0%
ISHARES TR
5 positions · 5 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for ISHARES TR, as it reported them
ISHARES TR · 0-3 MNTH TREASRY CUSIP 46436E718 $66.0M656,000
ISHARES TR · ISHARES 25+ YR T CUSIP 46436E577 $5.0M540,000
ISHARES TR · ESG MSCI USA ETF CUSIP 46436E767 $4.3M77,300
ISHARES TR · INVT GRD CORP BD CUSIP 46436E288 $577K23,845
ISHARES TR · 20+ YEAR TR BD CUSIP — $240K10,626
$76.1M1,307,7710.0%
EOGverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)EOG RES INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for EOG RES INC, as it reported them
EOG RES INC · COM CUSIP — $75.5M522,561
EOG RES INC · COM CUSIP — $12.6K87
$75.6M522,6480.0%
PANWverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)PALO ALTO NETWORKS INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for PALO ALTO NETWORKS INC, as it reported them
PALO ALTO NETWORKS INC · COM CUSIP — $74.8M466,298
PALO ALTO NETWORKS INC · COM CUSIP — $593K3,700
PALO ALTO NETWORKS INC · COM CUSIP — $120K746
$75.5M470,7440.0%
APPverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)APPLOVIN CORP
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for APPLOVIN CORP, as it reported them
APPLOVIN CORP · COM CL A CUSIP — $74.7M187,669
APPLOVIN CORP · COM CL A CUSIP — $111K278
$74.8M187,9470.0%
TERverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)TERADYNE INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for TERADYNE INC, as it reported them
TERADYNE INC · COM CUSIP — $72.7M245,076
TERADYNE INC · COM CUSIP — $7.7K26
$72.7M245,1020.0%
INTUverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INTUIT
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for INTUIT, as it reported them
INTUIT · COM CUSIP — $71.8M166,097
INTUIT · COM CUSIP — $188K434
$72.0M166,5310.0%
BAverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)BOEING CO
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for BOEING CO, as it reported them
BOEING CO · COM CUSIP — $70.3M353,271
BOEING CO · COM CUSIP — $575K2,891
BOEING CO · COM CUSIP — $24.7K124
$70.9M356,2860.0%
CRWDverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)CROWDSTRIKE HLDGS INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for CROWDSTRIKE HLDGS INC, as it reported them
CROWDSTRIKE HLDGS INC · CL A CUSIP — $62.5M160,208
CROWDSTRIKE HLDGS INC · CL A CUSIP — $7.8M19,900
CROWDSTRIKE HLDGS INC · CL A CUSIP — $126K324
$70.4M180,4320.0%
QQQverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)INVESCO QQQ TR
2 positions · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for INVESCO QQQ TR, as it reported them
INVESCO QQQ TR · UNIT SER 1 CUSIP — $68.6M118,912
INVESCO QQQ TR · UNIT SER 1 · PUT CUSIP — $231K400
$68.9M119,3120.0%
SLBverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SLB LIMITED
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SLB LIMITED, as it reported them
SLB LIMITED · COM STK CUSIP — $68.7M1,336,095
SLB LIMITED · COM STK CUSIP — $12.3K239
$68.7M1,336,3340.0%
VANGUARD WORLD FD VANGUARD WORLD FD · EXTENDED DUR CUSIP 921910709
quarter ended 2026-03-31 filed filed 2026-05-04 +34d
$68.6M1,055,7010.0%
GSverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)GOLDMAN SACHS GROUP INC
1 position · 3 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for GOLDMAN SACHS GROUP INC, as it reported them
GOLDMAN SACHS GROUP INC · COM CUSIP — $66.3M78,377
GOLDMAN SACHS GROUP INC · COM CUSIP — $2.2M2,619
GOLDMAN SACHS GROUP INC · COM CUSIP — $38.9K46
$68.6M81,0420.0%
UPSverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)UNITED PARCEL SVCS INC
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for UNITED PARCEL SVCS INC, as it reported them
UNITED PARCEL SVCS INC · CL B CUSIP — $68.4M695,209
UNITED PARCEL SVCS INC · CL B CUSIP — $11.5K117
$68.4M695,3260.0%
FASTverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)FASTENAL CO
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for FASTENAL CO, as it reported them
FASTENAL CO · COM CUSIP — $67.2M1,448,176
FASTENAL CO · COM CUSIP — $50.3K1,085
$67.2M1,449,2610.0%
STXverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)SEAGATE TECHNOLOGY HLDNGS PL
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for SEAGATE TECHNOLOGY HLDNGS PL, as it reported them
SEAGATE TECHNOLOGY HLDNGS PL · ORD SHS CUSIP — $66.2M169,004
SEAGATE TECHNOLOGY HLDNGS PL · ORD SHS CUSIP — $74.4K190
$66.3M169,1940.0%
REGNverified against the SEC company list on 2026-09-10 — a reviewed mapping row for this filed issuer name and class (never inferred)REGENERON PHARMACEUTICALS
1 position · 2 reported rows
Rows Mirae Asset Global Investments Co., Ltd. reported for REGENERON PHARMACEUTICALS, as it reported them
REGENERON PHARMACEUTICALS · COM CUSIP — $65.3M84,512
REGENERON PHARMACEUTICALS · COM CUSIP — $74.2K96
$65.4M84,6080.0%
1–100 of 1,401 issuers · page 1 of 15
every row this filer reported for the quarter, as it reported it — cross-filer de-duplication is applied to issuer totals elsewhere and never deletes a row here
A 13F is a quarterly, long-only snapshot filed up to 45 days late — not current holdings. what a 13F covers ↗

13F reports cover LONG positions in Section 13(f) securities (US exchange-traded equities plus reportable options, warrants, certain convertibles) held by managers with at least $100M in such securities — so managers below that threshold are absent entirely. No short positions, no cash, no non-13(f) assets — not a full portfolio, and not a census of institutional ownership.

Positions are quarter-end snapshots filed up to 45 days late — not current holdings. A position may have been changed or closed before you ever see it, and is older still by however long ago that quarter ended.

Values are the manager's stated market value at quarter-end in era-dependent units (whole dollars for form versions effective 2023-01-03 onward, thousands before), normalized here to whole dollars with unit_basis carried on every record.

Affiliated managers may report the same position (otherManager), so one position can appear under more than one filer.

Positions under confidential treatment may be omitted until a later amendment discloses them.

These are disclosures, not investment advice (ARCHITECTURE.md §5.2 / M2-CONTRACT §5).