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.

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AUM

$299.33B

Long-equity book

Holdings

2,356

Distinct positions

Period

2026-03-31

Filed 2026-05-04

Q/Q Activity

+119 / −194 / ↑622 / ↓638

vs 2025-12-31

Firm Profile & Key People
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%
Show all 622

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%
Show all 638

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
Show all 119

Exited Positions

  • AMCOR PLC$108.1M
  • ASTRAZENECA PLC$29.7M
  • VANGUARD WORLD FD$25.4M
  • ISHARES TR$15.5M
  • WISDOMTREE TR$11.6M
Show all 194
All Holdings

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
Filing History
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