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
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | BERKSHIRE HATHAWAY INC DEL | $264.6B | 368,452 |
| 2 | NVIDIA CORPORATION | $2.6B | 14,898,845 |
| 3 | APPLE INC | $1.9B | 7,506,435 |
| 4 | ALPHABET INC | $1.8B | 6,102,839 |
| 5 | MICROSOFT CORP | $1.4B | 3,866,611 |
| 6 | AMAZON COM INC | $1.1B | 5,398,090 |
| 7 | BROADCOM INC | $1.0B | 3,363,137 |
| 8 | TESLA INC | $801M | 2,155,869 |
| 9 | META PLATFORMS INC | $763M | 1,334,144 |
| 10 | VANGUARD INDEX FDS | $681M | 1,139,295 |
| 11 | MICRON TECHNOLOGY INC | $384M | 1,135,832 |
| 12 | NETFLIX INC. | $372M | 3,868,279 |
| 13 | WALMART INC | $338M | 2,716,655 |
| 14 | ADVANCED MICRO DEVICES INC | $309M | 1,517,871 |
| 15 | TEXAS INSTRS INC | $275M | 1,418,558 |
| 16 | LAM RESEARCH CORP | $269M | 1,260,406 |
| 17 | QUALCOMM INC | $269M | 2,087,274 |
| 18 | APPLIED MATLS INC | $268M | 785,337 |
| 19 | ISHARES TR | $265M | 405,514 |
| 20 | PALANTIR TECHNOLOGIES INC | $263M | 1,794,926 |
| 21 | ELI LILLY & CO | $251M | 272,496 |
| 22 | COSTCO WHOLESALE CORPORATION | $247M | 247,827 |
| 23 | SPDR SERIES TRUST | $238M | 3,109,441 |
| 24 | PEPSICO INC | $236M | 1,521,362 |
| 25 | JPMORGAN CHASE & CO | $233M | 791,281 |
| 26 | AMGEN INC | $222M | 630,304 |
| 27 | KLA CORP | $221M | 150,400 |
| 28 | MERCK & CO INC | $215M | 1,787,407 |
| 29 | CHEVRON CORPORATION | $214M | 1,036,287 |
| 30 | ISHARES INC | $205M | 2,932,074 |
| 31 | INTEL CORP | $201M | 4,556,907 |
| 32 | VERIZON COMMUNICATIONS INC | $200M | 3,984,560 |
| 33 | COCA COLA CO | $180M | 2,373,163 |
| 34 | CISCO SYS INC | $180M | 2,313,698 |
| 35 | ISHARES TR | $179M | 2,064,549 |
| 36 | HOME DEPOT INC | $178M | 541,495 |
| 37 | CONOCOPHILLIPS | $173M | 1,310,997 |
| 38 | PROCTER & GAMBLE CO | $173M | 1,195,421 |
| 39 | EXXON MOBIL CORP | $160M | 944,207 |
| 40 | ANALOG DEVICES INC | $160M | 501,671 |
| 41 | UNITEDHEALTH GROUP INC | $159M | 589,203 |
| 42 | LINDE PLC | $159M | 320,993 |
| 43 | JOHNSON & JOHNSON | $157M | 643,785 |
| 44 | VISA INC | $154M | 508,831 |
| 45 | ABBOTT LABORATORIES | $141M | 1,372,906 |
| 46 | MARVELL TECHNOLOGY INC | $139M | 1,400,559 |
| 47 | COMCAST CORP NEW | $135M | 4,709,717 |
| 48 | SPDR SERIES TRUST | $134M | 5,111,695 |
| 49 | INTUITIVE SURGICAL INC | $134M | 289,633 |
| 50 | VANGUARD SCOTTSDALE FDS | $132M | 2,376,266 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.