Mirae Asset Global Investments Co., Ltd. — 13F Holdings & Portfolio
CIK 1569395 · latest 13F-HR filed 2026-05-04
Mirae Asset Global Investments Co., Ltd. manages $299.33B in 13F-reported U.S. long-equity assets across 2,356 reported positions as of its 2026-03-31 13F-HR filing. Its largest disclosed positions are BRK.A (88.40%), NVDA (0.85%), AAPL (0.62%). Quarter over quarter (versus its 2025-12-31 filing) the fund opened 119 new positions, exited 194, added to 622, and trimmed 638.
AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.
$299.33B
Long-equity book
2,356
Distinct positions
2026-03-31
Filed 2026-05-04
+119 / −194 / ↑622 / ↓638
vs 2025-12-31
| Name | Title / Status | Ownership | Type |
|---|
Top Adds (vs prior quarter)
- ALPHABET INC$350.5M +25.0%
- WALMART INC$231.7M +218.6%
- PROCTER & GAMBLE CO$110.7M +178.7%
- ABBOTT LABORATORIES$95.2M +208.0%
- ACCENTURE PLC IRELAND$82.3M +247.7%
Top Trims
- ALPHABET INC-$484.3M -99.4%
- MICROSOFT CORP-$373.8M -20.7%
- TAIWAN SEMICONDUCTOR MANUFAC-$334.7M -89.2%
- VANGUARD INDEX FDS-$309.9M -31.3%
- ASML HLDG NV-$162.8M -97.8%
New Positions
- BERKSHIRE HATHAWAY INC DEL$264.60B
- VANGUARD WORLD FD$38.4M
- ISHARES TR$19.3M
- SUNBELT RENTALS HOLDINGS INC$18.4M
- MASTEC INC$17.9M
Exited Positions
- AMCOR PLC$108.1M
- ASTRAZENECA PLC$29.7M
- VANGUARD WORLD FD$25.4M
- ISHARES TR$15.5M
- WISDOMTREE TR$11.6M
Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).
| # | Issuer | Symbol | CUSIP | Value | Weight | Shares | Type |
|---|---|---|---|---|---|---|---|
| 1 | BERKSHIRE HATHAWAY INC DEL | BRK.A | 084670108 | $264.60B | 88.40% | 368,452 | SH |
| 2 | NVIDIA CORPORATION | NVDA | 67066G104 | $2.54B | 0.85% | 14,543,334 | SH |
| 3 | APPLE INC | AAPL | 037833100 | $1.85B | 0.62% | 7,288,353 | SH |
| 4 | MICROSOFT CORP | MSFT | 594918104 | $1.38B | 0.46% | 3,726,620 | SH |
| 5 | ALPHABET INC | GOOGL | 02079K305 | $1.17B | 0.39% | 4,061,422 | SH |
| 6 | AMAZON COM INC | AMZN | 023135106 | $1.07B | 0.36% | 5,151,770 | SH |
| 7 | BROADCOM INC | AVGO | 11135F101 | $1.01B | 0.34% | 3,265,342 | SH |
| 8 | TESLA INC | TSLA | 88160R101 | $784.5M | 0.26% | 2,110,268 | SH |
| 9 | META PLATFORMS INC | META | 30303M102 | $732.8M | 0.24% | 1,280,808 | SH |
| 10 | VANGUARD INDEX FDS | VOO | 922908363 | $680.8M | 0.23% | 1,139,295 | SH |
| 11 | ALPHABET INC | GOOGL | 02079K305 | $511.9M | 0.17% | 1,780,061 | SH |
| 12 | MICRON TECHNOLOGY INC | MU | 595112103 | $369.7M | 0.12% | 1,094,330 | SH |
| 13 | WALMART INC | WMT | 931142103 | $330.6M | 0.11% | 2,660,297 | SH |
| 14 | NETFLIX INC. | NFLX | 64110L106 | $328.7M | 0.11% | 3,418,099 | SH |
| 15 | ADVANCED MICRO DEVICES INC | AMD | 007903107 | $308.4M | 0.10% | 1,515,970 | SH |
| 16 | TEXAS INSTRS INC | TXN | 882508104 | $275.2M | 0.09% | 1,417,404 | SH |
| 17 | LAM RESEARCH CORP | LRCX | 512807306 | $269.1M | 0.09% | 1,259,246 | SH |
| 18 | QUALCOMM INC | QCOM | 747525103 | $268.6M | 0.09% | 2,086,068 | SH |
| 19 | APPLIED MATLS INC | AMAT | 038222105 | $265.0M | 0.09% | 775,402 | SH |
| 20 | ISHARES TR | IVV | 464287200 | $264.9M | 0.09% | 405,514 | SH |
| 21 | PALANTIR TECHNOLOGIES INC | PLTR | 69608A108 | $259.0M | 0.09% | 1,770,692 | SH |
| 22 | COSTCO WHOLESALE CORPORATION | COST | 22160K105 | $245.9M | 0.08% | 246,741 | SH |
| 23 | SPDR SERIES TRUST | SPYM | 78464A854 | $238.0M | 0.08% | 3,109,441 | SH |
| 24 | PEPSICO INC | PEP | 713448108 | $236.1M | 0.08% | 1,520,089 | SH |
| 25 | KLA CORP | KLAC | 482480100 | $221.3M | 0.07% | 150,280 | SH |
| 26 | AMGEN INC | AMGN | 031162100 | $220.6M | 0.07% | 626,952 | SH |
| 27 | CHEVRON CORPORATION | CVX | 166764100 | $213.8M | 0.07% | 1,033,189 | SH |
| 28 | ISHARES INC | IEMG | 46434G103 | $204.5M | 0.07% | 2,932,074 | SH |
| 29 | ELI LILLY & CO | LLY | 532457108 | $201.7M | 0.07% | 219,288 | SH |
| 30 | INTEL CORP | INTC | 458140100 | $200.9M | 0.07% | 4,552,447 | SH |
| 31 | JPMORGAN CHASE & CO | JPM | 46625H100 | $197.9M | 0.07% | 672,933 | SH |
| 32 | MERCK & CO INC | MRK | 58933Y105 | $187.9M | 0.06% | 1,561,944 | SH |
| 33 | COCA COLA CO | KO | 191216100 | $180.3M | 0.06% | 2,370,888 | SH |
| 34 | CISCO SYS INC | CSCO | 17275R102 | $179.0M | 0.06% | 2,307,358 | SH |
| 35 | ISHARES TR | TLT | 464287432 | $178.9M | 0.06% | 2,063,214 | SH |
| 36 | HOME DEPOT INC | HD | 437076102 | $177.1M | 0.06% | 538,422 | SH |
| 37 | PROCTER & GAMBLE CO | PG | 742718109 | $172.3M | 0.06% | 1,192,918 | SH |
| 38 | VERIZON COMMUNICATIONS INC | VZ | 92343V104 | $170.8M | 0.06% | 3,402,306 | SH |
| 39 | ANALOG DEVICES INC | ADI | 032654105 | $159.5M | 0.05% | 501,220 | SH |
| 40 | EXXON MOBIL CORP | XOM | 30231G102 | $159.0M | 0.05% | 937,129 | SH |
| 41 | CONOCOPHILLIPS | COP | 20825C104 | $157.4M | 0.05% | 1,192,099 | SH |
| 42 | UNITEDHEALTH GROUP INC | UNH | 91324P102 | $157.1M | 0.05% | 580,705 | SH |
| 43 | JOHNSON & JOHNSON | JNJ | 478160104 | $156.0M | 0.05% | 638,338 | SH |
| 44 | VISA INC | V | 92826C839 | $148.0M | 0.05% | 489,782 | SH |
| 45 | ABBOTT LABORATORIES | ABT | 002824100 | $140.4M | 0.05% | 1,367,624 | SH |
| 46 | MARVELL TECHNOLOGY INC | MRVL | 573874104 | $138.6M | 0.05% | 1,399,523 | SH |
| 47 | LINDE PLC | LIN | G54950103 | $135.8M | 0.05% | 273,966 | SH |
| 48 | COMCAST CORP NEW | CMCSA | 20030N101 | $135.1M | 0.05% | 4,706,414 | SH |
| 49 | SPDR SERIES TRUST | SPTL | 78464A664 | $134.4M | 0.04% | 5,111,695 | SH |
| 50 | VANGUARD SCOTTSDALE FDS | VGLT | 92206C847 | $131.5M | 0.04% | 2,376,266 | SH |
| Period | Filed | AUM | Holdings | Accession |
|---|---|---|---|---|
| 2026-03-31 | 2026-05-04 | $299.33B | 2,356 | 0000905148-26-002017 |
| 2025-12-31 | 2026-01-26 | $36.04B | 2,364 | 0000905148-26-000335 |