Mirae Asset Global Investments Co., Ltd. — 13F Holdings

2026 Q1  ·  1762 Positions

2026 Q1 Portfolio Activity

In 2026 Q1, Mirae Asset Global Investments Co., Ltd. maintained a portfolio of 1762 distinct positions. The most significant new addition was BERKSHIRE HATHAWAY INC DEL, now representing 88.40% of the total fund value. They heavily accumulated shares in SELECT SECTOR SPDR TR, increasing the position by 1962.8%. The fund also reduced its exposure to VANGUARD INDEX FDS by 27.9%.
Position History hover any row below to update
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PCA Score Concentration Risk
Risk ENB
Total Positions
1762
Quarter
2026 Q1
Top Holding
BRK/A (88.4%)
Top 10 Concentration
92.4%
Turnover Rate
23.4%
Sector HHI
0.18
Items per page:
Showing 1-50 of 1762

Mirae Asset Global Investments Co., Ltd. Full Holdings List — 2026 Q1

Stock History Sector / Type Port % Prev % Rank / Prev Conviction
Freshness
Change % Change Influence Shares Mkt Value Avg Cost Price Held 1st Owned Source Source Date Date Reported
BRK/A
BERKSHIRE HATHA...
Financial Services 88.40% #1
Prev: #—
9.5
368,452
NEW
368,452 $264,600,119,280 2017 Q2 13F Filing 2026-03-31 2026-05-04
NVDA
NVIDIA CORPORAT...
Technology 0.87% 7.39% #2 1
Prev: #1
2.3
618,897 4.3%
P
S
14,898,845 $2,598,358,568 2012 Q4 13F Filing 2026-03-31 2026-05-04
AAPL
APPLE INC
Technology 0.64% 5.45% #3 1
Prev: #2
1.8
279,456 3.9%
P
S
7,506,435 $1,905,058,139 2012 Q4 13F Filing 2026-03-31 2026-05-04
GOOGL
ALPHABET INC
Communication Services 0.59% 3.90% #4
Prev: #4
3.2
1,615,845 36.0%
P
S
6,102,839 $1,754,932,383 2012 Q4 13F Filing 2026-03-31 2026-05-04
MSFT
MICROSOFT CORP
Technology 0.48% 5.01% #5 2
Prev: #3
1.2
134,033 3.6%
P
S
3,866,611 $1,431,303,394 2012 Q4 13F Filing 2026-03-31 2026-05-04
AMZN
AMAZON COM INC
Consumer Cyclical 0.38% 3.27% #6 1
Prev: #5
2.2
290,967 5.7%
P
S
5,398,090 $1,124,260,205 2012 Q4 13F Filing 2026-03-31 2026-05-04
AVGO
BROADCOM INC
Technology 0.35% 3.08% #7 1
Prev: #6
0.6
155,095 4.8%
P
S
3,363,137 $1,040,924,532 2012 Q4 13F Filing 2026-03-31 2026-05-04
TSLA
TESLA INC
Consumer Cyclical 0.27% 2.41% #8 1
Prev: #9
2.1
226,828 11.8%
P
S
2,155,869 $801,444,301 2012 Q4 13F Filing 2026-03-31 2026-05-04
META
META PLATFORMS ...
Communication Services 0.26% 2.43% #9 1
Prev: #8
0.6
8,866 0.7%
P
S
1,334,144 $763,303,806 2012 Q4 13F Filing 2026-03-31 2026-05-04
VOO
VANGUARD INDEX ...
ETF 0.23% 2.75% #10 3
Prev: #7
0.1
-440,362 -27.9%
P
S
1,139,295 $680,785,727 2012 Q4 13F Filing 2026-03-31 2026-05-04
MU
MICRON TECHNOLO...
Technology 0.13% 0.99% #11 2
Prev: #13
0.6
-119,529 -9.5%
P
S
1,135,832 $383,729,483 2012 Q4 13F Filing 2026-03-31 2026-05-04
NFLX
NETFLIX INC.
Communication Services 0.12% 0.83% #12 4
Prev: #16
2.5
671,902 21.0%
P
S
3,868,279 $371,935,026 2012 Q4 13F Filing 2026-03-31 2026-05-04
WMT
WALMART INC
Consumer Defensive 0.11% 0.29% #13 49
Prev: #62
3.0
1,765,509 185.6%
P
S
2,716,655 $337,625,884 2012 Q4 13F Filing 2026-03-31 2026-05-04
AMD
ADVANCED MICRO ...
Technology 0.10% 1.06% #14 3
Prev: #11
0.5
-261,438 -14.7%
P
S
1,517,871 $308,780,497 2012 Q4 13F Filing 2026-03-31 2026-05-04
TXN
TEXAS INSTRS IN...
Technology 0.09% 0.66% #15 5
Prev: #20
0.5
57,338 4.2%
P
S
1,418,558 $275,398,851 2012 Q4 13F Filing 2026-03-31 2026-05-04
LRCX
LAM RESEARCH CO...
Technology 0.09% 0.65% #16 5
Prev: #21
0.5
-110,600 -8.1%
P
S
1,260,406 $269,298,346 2012 Q4 13F Filing 2026-03-31 2026-05-04
QCOM
QUALCOMM INC
Technology 0.09% 0.57% #17 7
Prev: #24
3.0
884,683 73.6%
P
S
2,087,274 $268,799,146 2012 Q4 13F Filing 2026-03-31 2026-05-04
AMAT
APPLIED MATLS I...
Technology 0.09% 0.57% #18 7
Prev: #25
0.5
-14,133 -1.8%
P
S
785,337 $268,420,334 2012 Q4 13F Filing 2026-03-31 2026-05-04
IVV
ISHARES TR
ETF 0.09% 0.93% #19 5
Prev: #14
0.5
-85,555 -17.4%
P
S
405,514 $264,885,800 2012 Q4 13F Filing 2026-03-31 2026-05-04
PLTR
PALANTIR TECHNO...
Technology 0.09% 0.85% #20 5
Prev: #15
0.5
81,552 4.8%
P
S
1,794,926 $262,561,776 2012 Q4 13F Filing 2026-03-31 2026-05-04
LLY
ELI LILLY & CO
Healthcare 0.08% 0.83% #21 4
Prev: #17
0.5
-5,252 -1.9%
P
S
272,496 $250,633,646 2012 Q4 13F Filing 2026-03-31 2026-05-04
COST
COSTCO WHOLESAL...
Consumer Defensive 0.08% 0.52% #22 7
Prev: #29
2.0
29,434 13.5%
P
S
247,827 $246,942,258 2012 Q4 13F Filing 2026-03-31 2026-05-04
SPLG
SPDR SERIES TRU...
ETF 0.08% 0.64% #23 1
Prev: #22
2.0
224,190 7.8%
P
S
3,109,441 $237,996,614 2012 Q4 13F Filing 2026-03-31 2026-05-04
PEP
PEPSICO INC
Consumer Defensive 0.08% 0.54% #24 3
Prev: #27
2.0
155,832 11.4%
P
S
1,521,362 $236,252,305 2012 Q4 13F Filing 2026-03-31 2026-05-04
JPM
JPMORGAN CHASE ...
Financial Services 0.08% 0.74% #25 7
Prev: #18
0.5
-38,341 -4.6%
P
S
791,281 $232,763,219 2012 Q4 13F Filing 2026-03-31 2026-05-04
AMGN
AMGEN INC
Healthcare 0.07% 0.52% #26 4
Prev: #30
2.0
59,904 10.5%
P
S
630,304 $221,772,462 2012 Q4 13F Filing 2026-03-31 2026-05-04
KLAC
KLA CORP
Technology 0.07% 0.52% #27 4
Prev: #31
0.5
-2,689 -1.8%
P
S
150,400 $221,450,464 2012 Q4 13F Filing 2026-03-31 2026-05-04
MRK
MERCK & CO INC
Healthcare 0.07% 0.55% #28 2
Prev: #26
0.5
-94,125 -5.0%
P
S
1,787,407 $215,007,188 2012 Q4 13F Filing 2026-03-31 2026-05-04
CVX
CHEVRON CORPORA...
Energy 0.07% 0.41% #29 15
Prev: #44
2.0
72,645 7.5%
P
S
1,036,287 $214,407,780 2012 Q4 13F Filing 2026-03-31 2026-05-04
IEMG
ISHARES INC
ETF 0.07% 0.46% #30 6
Prev: #36
2.0
471,233 19.1%
P
S
2,932,074 $204,512,162 2012 Q4 13F Filing 2026-03-31 2026-05-04
INTC
INTEL CORP
Technology 0.07% 0.43% #31 10
Prev: #41
2.0
360,250 8.6%
P
S
4,556,907 $201,096,306 2012 Q4 13F Filing 2026-03-31 2026-05-04
VZ
VERIZON COMMUNI...
Communication Services 0.07% 0.50% #32 1
Prev: #33
0.5
-481,772 -10.8%
P
S
3,984,560 $200,024,912 2012 Q4 13F Filing 2026-03-31 2026-05-04
KO
COCA COLA CO
Consumer Defensive 0.06% 0.40% #33 13
Prev: #46
2.0
318,665 15.5%
P
S
2,373,163 $180,479,046 2012 Q4 13F Filing 2026-03-31 2026-05-04
CSCO
CISCO SYS INC
Technology 0.06% 0.70% #34 15
Prev: #19
0.0
-960,429 -29.3%
P
S
2,313,698 $179,519,828 2012 Q4 13F Filing 2026-03-31 2026-05-04
TLT
ISHARES TR
ETF 0.06% 0.60% #35 12
Prev: #23
0.5
-436,548 -17.5%
P
S
2,064,549 $178,975,753 2012 Q4 13F Filing 2026-03-31 2026-05-04
HD
HOME DEPOT INC
Consumer Cyclical 0.06% 0.44% #36 3
Prev: #39
2.0
81,127 17.6%
P
S
541,495 $178,092,291 2012 Q4 13F Filing 2026-03-31 2026-05-04
COP
CONOCOPHILLIPS
Energy 0.06% 0.32% #37 17
Prev: #54
2.0
95,365 7.8%
P
S
1,310,997 $173,051,604 2012 Q4 13F Filing 2026-03-31 2026-05-04
PG
PROCTER & GAMBL...
Consumer Defensive 0.06% 0.17% #38 61
Prev: #99
3.0
763,091 176.5%
P
S
1,195,421 $172,666,609 2012 Q4 13F Filing 2026-03-31 2026-05-04
XOM
EXXON MOBIL COR...
Energy 0.05% 0.28% #39 27
Prev: #66
2.0
115,693 14.0%
P
S
944,207 $160,194,159 2012 Q4 13F Filing 2026-03-31 2026-05-04
ADI
ANALOG DEVICES ...
Technology 0.05% 0.39% #40 7
Prev: #47
0.5
-19,890 -3.8%
P
S
501,671 $159,601,612 2012 Q4 13F Filing 2026-03-31 2026-05-04
UNH
UNITEDHEALTH GR...
Healthcare 0.05% 0.23% #41 38
Prev: #79
3.0
342,632 139.0%
P
S
589,203 $159,432,440 2012 Q4 13F Filing 2026-03-31 2026-05-04
LIN
LINDE PLC
Basic Materials 0.05% 0.29% #42 22
Prev: #64
2.5
77,050 31.6%
P
S
320,993 $159,135,490 2012 Q4 13F Filing 2026-03-31 2026-05-04
JNJ
JOHNSON & JOHNS...
Healthcare 0.05% 0.34% #43 8
Prev: #51
2.0
49,529 8.3%
P
S
643,785 $157,366,806 2012 Q4 13F Filing 2026-03-31 2026-05-04
V
VISA INC
Financial Services 0.05% 0.48% #44 10
Prev: #34
0.5
16,719 3.4%
P
S
508,831 $153,789,083 2012 Q4 13F Filing 2026-03-31 2026-05-04
ABT
ABBOTT LABORATO...
Healthcare 0.05% 0.13% #45 92
Prev: #137
3.0
1,007,630 275.9%
P
S
1,372,906 $140,956,259 2012 Q4 13F Filing 2026-03-31 2026-05-04
MRVL
MARVELL TECHNOL...
Technology 0.05% 0.30% #46 15
Prev: #61
2.0
143,388 11.4%
P
S
1,400,559 $138,725,369 2012 Q4 13F Filing 2026-03-31 2026-05-04
CMCSA
COMCAST CORP NE...
Communication Services 0.05% 0.16% #47 62
Prev: #109
3.0
2,695,980 133.9%
P
S
4,709,717 $135,215,975 2012 Q4 13F Filing 2026-03-31 2026-05-04
SPTL
SPDR SERIES TRU...
ETF 0.04% 0.45% #48 11
Prev: #37
0.5
-961,780 -15.8%
P
S
5,111,695 $134,437,579 2012 Q4 13F Filing 2026-03-31 2026-05-04
ISRG
INTUITIVE SURGI...
Healthcare 0.04% 0.43% #49 9
Prev: #40
2.0
15,711 5.7%
P
S
289,633 $133,517,917 2012 Q4 13F Filing 2026-03-31 2026-05-04
VGLT
VANGUARD SCOTTS...
ETF 0.04% 0.42% #50 7
Prev: #43
0.5
-305,997 -11.4%
P
S
2,376,266 $131,538,204 2012 Q4 13F Filing 2026-03-31 2026-05-04
Showing 1-50 of 1762 holdings

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