Universe · entity

MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.

Institutional manager (13F) · CIK 1705339
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $33.3B
#IssuerValueShares
1NVIDIA CORPORATION$2.1B11,908,832
2CAMECO CORP$1.7B15,373,206
3APPLE INC$1.5B6,055,120
4WHEATON PRECIOUS METALS CORP$1.4B10,626,954
5GLOBAL X FDS$1.3B13,882,158
6MICROSOFT CORP$1.2B3,330,604
7PALANTIR TECHNOLOGIES INC$1.1B7,450,810
8AMAZON COM INC$1.0B4,990,829
9ALPHABET INC$940M3,284,713
10BROADCOM INC$902M2,936,861
11LOCKHEED MARTIN CORP$872M1,443,279
12TESLA INC$849M2,286,811
13PAN AMERN SILVER CORP$839M15,359,142
14META PLATFORMS INC$823M1,448,739
15RTX CORPORATION$733M3,801,995
16GENERAL DYNAMICS CORP$706M2,059,275
17NETFLIX INC.$657M6,870,149
18MICRON TECHNOLOGY INC$586M1,747,716
19COEUR MNG INC$542M28,894,370
20NEXGEN ENERGY LTD$495M42,786,101
21CISCO SYS INC$487M6,272,911
22ADVANCED MICRO DEVICES INC$486M2,396,430
23CSX CORP$478M11,649,168
24NORTHROP GRUMMAN CORP$473M692,865
25L3HARRIS TECHNOLOGIES INC$471M1,365,744
26QUANTA SVCS INC$467M850,063
27WALMART INC$466M3,749,201
28ENERGY TRANSFER L P$461M23,898,200
29URANIUM ENERGY CORP$460M34,102,140
30ENTERPRISE PRODS PARTNERS L$459M12,118,253
31ALPHABET INC$458M1,599,352
32GLOBAL X FDS$456M6,430,162
33FREEPORT MCMORAN INC$454M7,725,080
34OKLO INC$439M8,856,496
35EATON CORP PLC$431M1,205,583
36SEMPRA$429M4,413,656
37SOUTHERN COPPER CORP$422M2,456,175
38FASTENAL CO$422M9,098,139
39DEERE & CO$421M746,840
40MPLX LP$418M7,319,250
41TRANE TECHNOLOGIES PLC$412M987,822
42HOWMET AEROSPACE INC$408M1,771,905
43UNION PAC CORP$407M1,676,764
44RIO TINTO PLC$395M4,237,751
45FIRST MAJESTIC SILVER CORP$395M18,493,793
46HECLA MINING COMPANY$384M20,617,157
47PLAINS ALL AMERN PIPELINE L$381M17,051,582
48INTEL CORP$379M8,606,897
49INTUITIVE SURGICAL INC$378M819,411
50NORFOLK SOUTHN CORP$377M1,313,998
All filings on EDGAR ↗

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