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Holders — by stockHoldings — by fund

Mirae Asset Global Investments Co., Ltd.

Everything this manager disclosed owning in US-listed stocks — its complete Form 13F portfolio · as of 2026-06-30 · filed with the SEC up to 45 days after quarter end · CIK 1569395

$67.66B

disclosed book value

1,665

positions

22.5%

largest position share

Positions, as of 2026-06-30

top 100 of 1,665 · 13F covers long US-listed positions only — cash, bonds, private and foreign stakes are not disclosed · PUT/CALL tags = options positions (share-equivalents), not shares held

#IssuerSharesValue% of book
1TLTISHARES TRCALL176.4M$15.25B22.5%
2SPCXSPACE EXPLORATION TECHN CORP26.1M$4.45B6.6%
3NVDANVIDIA CORPORATION16.1M$3.22B4.8%
4AAPLAPPLE INC7.9M$2.27B3.4%
5GOOGLALPHABET INC4.3M$1.54B2.3%
6MUMICRON TECHNOLOGY INC1.3M$1.53B2.3%
7MSFTMICROSOFT CORP4.1M$1.53B2.3%
8AMZNAMAZON COM INC5.7M$1.36B2%
9AVGOBROADCOM INC3.6M$1.34B2%
10AMDADVANCED MICRO DEVICES INC2.0M$1.17B1.7%
11TSLATESLA INC2.2M$908.6M1.3%
12VOOVANGUARD INDEX FDS1.2M$855.2M1.3%
13METAMETA PLATFORMS INC1.4M$789.2M1.2%
14GOOGALPHABET INC2.0M$709.8M1%
15AMATAPPLIED MATLS INC975,112$705.0M1%
16INTCINTEL CORP4.7M$650.4M1%
17LRCXLAM RESEARCH CORP1.5M$645.8M1%
18KLACKLA CORP1.8M$551.9M0.8%
19TSMTAIWAN SEMICONDUCTOR MANUFAC1.1M$517.0M0.8%
20TXNTEXAS INSTRS INC1.5M$439.6M0.6%
21MRVLMARVELL TECHNOLOGY INC1.4M$428.8M0.6%
22WMTWALMART INC3.1M$355.4M0.5%
23QCOMQUALCOMM INC1.9M$354.0M0.5%
24ASML HLDG NV174,036$346.2M0.5%
25LLYELI LILLY & CO286,254$343.3M0.5%
26SNDKSANDISK CORP147,376$335.1M0.5%
27CSCOCISCO SYS INC2.7M$311.3M0.5%
28SPYMSPDR SERIES TRUST3.5M$304.2M0.4%
29AMGNAMGEN INC785,516$284.5M0.4%
30JPMJPMORGAN CHASE & CO855,351$280.0M0.4%
31ADIANALOG DEVICES INC681,707$270.8M0.4%
32COSTCOSTCO WHOLESALE CORPORATION287,588$269.0M0.4%
33MRKMERCK & CO INC2.0M$261.2M0.4%
34NFLXNETFLIX INC.3.6M$258.5M0.4%
35PEPPEPSICO INC1.9M$254.4M0.4%
36IVVISHARES TR336,655$252.1M0.4%
37UNHUNITEDHEALTH GROUP INC606,437$252.1M0.4%
38HDHOME DEPOT INC673,912$237.7M0.4%
39SOXXISHARES TR367,193$235.3M0.3%
40ARMARM HOLDINGS PLC625,235$221.7M0.3%
41KOCOCA COLA CO2.7M$218.0M0.3%
42PGPROCTER & GAMBLE CO1.5M$216.0M0.3%
43IEMGISHARES INC2.5M$210.1M0.3%
44BRK/BBERKSHIRE HATHAWAY INC DEL416,698$208.5M0.3%
45VVISA INC579,904$199.0M0.3%
46VZVERIZON COMMUNICATIONS INC4.7M$197.5M0.3%
47SEAGATE TECHNOLOGY HLDNGS PL201,481$194.4M0.3%
48CVXCHEVRON CORPORATION1.2M$193.2M0.3%
49LINDE PLC367,392$190.7M0.3%
50RKLBROCKET LAB CORP1.9M$188.1M0.3%
51PLTRPALANTIR TECHNOLOGIES INC1.6M$184.1M0.3%
52JNJJOHNSON & JOHNSON718,900$182.6M0.3%
53PANWPALO ALTO NETWORKS INC534,590$182.3M0.3%
54WDCWESTERN DIGITAL CORP278,405$177.8M0.3%
55ABTABBOTT LABORATORIES1.9M$172.0M0.3%
56TERTERADYNE INC348,243$168.5M0.2%
57COPCONOCOPHILLIPS1.5M$155.0M0.2%
58EXMOCEXXON MOBIL CORP1.1M$150.6M0.2%
59CATCATERPILLAR INC138,332$147.3M0.2%
60DYNFBLACKROCK ETF TRUST2.2M$146.6M0.2%
61MBBISHARES TR1.5M$146.5M0.2%
62LUNRINTUITIVE MACHINES INC6.8M$145.9M0.2%
63RDWREDWIRE CORPORATION11.9M$144.9M0.2%
64ALABASTERA LABS INC299,405$144.6M0.2%
65TLTISHARES TR1.7M$143.3M0.2%
66GEVGE VERNOVA INC120,959$142.1M0.2%
67NXP SEMICONDUCTORS N V502,571$141.2M0.2%
68SPMOINVESCO EXCH TRADED FD TR II869,180$140.4M0.2%
69ADPAUTOMATIC DATA PROCESSING IN622,464$139.4M0.2%
70COHRCOHERENT CORP351,812$138.8M0.2%
71BMYBRISTOL-MYERS SQUIBB CO2.4M$138.1M0.2%
72CMCSACOMCAST CORP NEW5.5M$135.0M0.2%
73MPWRMONOLITHIC PWR SYS INC97,618$134.9M0.2%
74CWISPDR INDEX SHS FDS3.2M$131.3M0.2%
75MOALTRIA GROUP INC1.8M$129.8M0.2%
76ISRGINTUITIVE SURGICAL INC319,952$127.2M0.2%
77ABBVABBVIE INC495,003$124.6M0.2%
78MAMASTERCARD INCORPORATED234,829$120.6M0.2%
79QQQINVESCO QQQ TR160,415$118.1M0.2%
80APPAPPLOVIN CORP228,214$117.6M0.2%
81LMTLOCKHEED MARTIN CORP230,706$117.5M0.2%
82GILDGILEAD SCIENCES INC926,242$117.0M0.2%
83GEGE AEROSPACE310,461$116.0M0.2%
84IEFAISHARES TR1.1M$110.7M0.2%
85VGLTVANGUARD SCOTTSDALE FDS1.9M$107.1M0.2%
86SPTLSPDR SERIES TRUST4.0M$105.6M0.2%
87BEBLOOM ENERGY CORP347,192$105.1M0.2%
88XLKSELECT SECTOR SPDR TR550,019$104.8M0.2%
89SMHVANECK ETF TRUST159,429$104.6M0.2%
90VRTXVERTEX PHARMACEUTICALS INC210,209$104.4M0.2%
91VRTVERTIV HOLDINGS CO307,180$102.9M0.2%
92ACWIISHARES TR653,715$102.6M0.2%
93LQDISHARES TR921,293$100.5M0.1%
94MCHPMICROCHIP TECHNOLOGY INC.1.1M$96.6M0.1%
95BXBLACKSTONE INC806,048$94.8M0.1%
96BKNGBOOKING HOLDINGS INC527,425$94.0M0.1%
97ORCLORACLE CORP638,674$93.6M0.1%
98TMUST-MOBILE US INC550,202$92.3M0.1%
99IEURISHARES TR1.2M$90.7M0.1%
100BNDXVANGUARD CHARLOTTE FDS1.9M$90.0M0.1%

Source: SEC Form 13F-HR, reporting period 2026-06-30. Values are the manager's filed June-30-style quarter-end marks, not live prices. Research, not investment advice.

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