Universe · entity

Mirae Asset Global Investments Co., Ltd.

Institutional manager (13F) · CIK 1569395
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $285.2B
#IssuerValueShares
1BERKSHIRE HATHAWAY INC DEL$264.6B368,452
2NVIDIA CORPORATION$2.6B14,898,845
3APPLE INC$1.9B7,506,435
4ALPHABET INC$1.8B6,102,839
5MICROSOFT CORP$1.4B3,866,611
6AMAZON COM INC$1.1B5,398,090
7BROADCOM INC$1.0B3,363,137
8TESLA INC$801M2,155,869
9META PLATFORMS INC$763M1,334,144
10VANGUARD INDEX FDS$681M1,139,295
11MICRON TECHNOLOGY INC$384M1,135,832
12NETFLIX INC.$372M3,868,279
13WALMART INC$338M2,716,655
14ADVANCED MICRO DEVICES INC$309M1,517,871
15TEXAS INSTRS INC$275M1,418,558
16LAM RESEARCH CORP$269M1,260,406
17QUALCOMM INC$269M2,087,274
18APPLIED MATLS INC$268M785,337
19ISHARES TR$265M405,514
20PALANTIR TECHNOLOGIES INC$263M1,794,926
21ELI LILLY & CO$251M272,496
22COSTCO WHOLESALE CORPORATION$247M247,827
23SPDR SERIES TRUST$238M3,109,441
24PEPSICO INC$236M1,521,362
25JPMORGAN CHASE & CO$233M791,281
26AMGEN INC$222M630,304
27KLA CORP$221M150,400
28MERCK & CO INC$215M1,787,407
29CHEVRON CORPORATION$214M1,036,287
30ISHARES INC$205M2,932,074
31INTEL CORP$201M4,556,907
32VERIZON COMMUNICATIONS INC$200M3,984,560
33COCA COLA CO$180M2,373,163
34CISCO SYS INC$180M2,313,698
35ISHARES TR$179M2,064,549
36HOME DEPOT INC$178M541,495
37CONOCOPHILLIPS$173M1,310,997
38PROCTER & GAMBLE CO$173M1,195,421
39EXXON MOBIL CORP$160M944,207
40ANALOG DEVICES INC$160M501,671
41UNITEDHEALTH GROUP INC$159M589,203
42LINDE PLC$159M320,993
43JOHNSON & JOHNSON$157M643,785
44VISA INC$154M508,831
45ABBOTT LABORATORIES$141M1,372,906
46MARVELL TECHNOLOGY INC$139M1,400,559
47COMCAST CORP NEW$135M4,709,717
48SPDR SERIES TRUST$134M5,111,695
49INTUITIVE SURGICAL INC$134M289,633
50VANGUARD SCOTTSDALE FDS$132M2,376,266
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.