Mirae Asset Global Investments Co., Ltd.

Reported US equity positions for Q1 2026 — $299.3B across 2,354 positions.

← All managers CIK 1569395 · Q1 2026 · showing the largest 60
HoldingReported valueShare of portfolioShares
BRK.A Berkshire Hathaway Inc. $264.6B 88.4% 368,452
NVDA NVIDIA Corporation $2.6B 0.9% 14,898,845
AAPL Apple Inc. $1.9B 0.6% 7,506,435
GOOGL Alphabet Inc. $1.8B 0.6% 6,102,839
MSFT Microsoft Corporation $1.4B 0.5% 3,866,611
AMZN Amazon.com, Inc. $1.1B 0.4% 5,398,090
AVGO Broadcom Inc. $1.0B 0.3% 3,363,137
TSLA Tesla, Inc. $801.4M 0.3% 2,155,869
META Meta Platforms, Inc. $763.3M 0.3% 1,334,144
VOO Vanguard S&P 500 ETF $680.8M 0.2% 1,139,295
MU Micron Technology, Inc. $383.7M 0.1% 1,135,832
NFLX Netflix, Inc. $371.9M 0.1% 3,868,279
WMT Walmart Inc. $337.6M 0.1% 2,716,655
AMD Advanced Micro Devices, Inc. $308.8M 0.1% 1,517,871
TXN Texas Instruments Incorporated $275.4M 0.1% 1,418,558
LRCX Lam Research Corporation $269.3M 0.1% 1,260,406
QCOM QUALCOMM Incorporated $268.8M 0.1% 2,087,274
AMAT Applied Materials, Inc. $268.4M 0.1% 785,337
IVV iShares Core S&P 500 ETF $264.9M 0.1% 405,514
PLTR Palantir Technologies Inc. $262.6M 0.1% 1,794,926
LLY Eli Lilly and Company $250.6M 0.1% 272,496
COST Costco Wholesale Corporation $246.9M 0.1% 247,827
SPYM State Street SPDR Portfolio S&P 500 ETF $238.0M 0.1% 3,109,441
PEP PepsiCo, Inc. $236.3M 0.1% 1,521,362
JPM JP Morgan Chase & Co. $232.8M 0.1% 791,281
AMGN Amgen Inc. $221.8M 0.1% 630,304
KLAC KLA Corporation $221.5M 0.1% 150,400
MRK Merck & Company, Inc. Common Stock (new) $215.0M 0.1% 1,787,407
CVX Chevron Corporation $214.4M 0.1% 1,036,287
IEMG iShares Core MSCI Emerging Markets ETF $204.5M 0.1% 2,932,074
INTC Intel Corporation $201.1M 0.1% 4,556,907
BAC Bank of America Corporation $200.0M 0.1% 3,984,560
KO The Coca-Cola Company $180.5M 0.1% 2,373,163
CSCO Cisco Systems, Inc. $179.5M 0.1% 2,313,698
TLT iShares 20+ Year Treasury Bond ETF $179.0M 0.1% 2,064,549
HD The Home Depot, Inc. $178.1M 0.1% 541,495
COP ConocoPhillips $173.1M 0.1% 1,310,997
PG The Procter & Gamble Company $172.7M 0.1% 1,195,421
XOM ExxonMobil Holdings Corporation $160.2M 0.1% 944,207
ADI Analog Devices, Inc. $159.6M 0.1% 501,671
UNH UnitedHealth Group Incorporated Common Stock (DE) $159.4M 0.1% 589,203
G54950103 Linde PLC $159.1M 0.1% 320,993
JNJ Johnson & Johnson $157.4M 0.1% 643,785
V Visa Inc. $153.8M 0.1% 508,831
ABT Abbott Laboratories $141.0M 0.0% 1,372,906
MRVL Marvell Technology, Inc. $138.7M 0.0% 1,400,559
CMCSA Comcast Corporation $135.2M 0.0% 4,709,717
SPTL State Street SPDR Portfolio Long Term Treasury ETF $134.4M 0.0% 5,111,695
ISRG Intuitive Surgical, Inc. $133.5M 0.0% 289,633
VGLT Vanguard Long-Term Treasury ETF $131.5M 0.0% 2,376,266
LMT Lockheed Martin Corporation $124.8M 0.0% 206,531
SPY State Street SPDR S&P 500 ETF Trust $120.4M 0.0% 185,168
GEV GE Vernova Inc. $119.9M 0.0% 137,366
CWI State Street SPDR MSCI ACWI ex-US ETF $119.3M 0.0% 3,261,220
BMY Bristol-Myers Squibb Company $116.4M 0.0% 1,919,528
GILD Gilead Sciences, Inc. $116.4M 0.0% 835,044
G1151C101 Accenture PLC Ireland $115.5M 0.0% 582,457
IEFA iShares Core MSCI EAFE ETF $110.8M 0.0% 1,224,205
ADP Automatic Data Processing, Inc. $110.4M 0.0% 543,264
MO Altria Group, Inc. $103.3M 0.0% 1,565,875

Long US equity positions only, as filed. 13F does not cover short positions, cash, bonds or non-US listings, so this is not the whole portfolio.

What changed last quarter

HoldingChangeNowWasShares
NVDA NVIDIA Corporation Add $2.6B $2.7B +4%
AAPL Apple Inc. Add $1.9B $2.0B +4%
GOOGL Alphabet Inc. Add $1.8B $1.4B +36%
MSFT Microsoft Corporation Add $1.4B $1.8B +4%
AMZN Amazon.com, Inc. Add $1.1B $1.2B +6%
AVGO Broadcom Inc. Add $1.0B $1.1B +5%
TSLA Tesla, Inc. Add $801.4M $867.5M +12%
VOO Vanguard S&P 500 ETF Trim $680.8M $990.7M -28%
MU Micron Technology, Inc. Trim $383.7M $358.3M -10%
NFLX Netflix, Inc. Add $371.9M $299.7M +21%
WMT Walmart Inc. Add $337.6M $106.0M +186%
AMD Advanced Micro Devices, Inc. Trim $308.8M $381.1M -15%
TXN Texas Instruments Incorporated Add $275.4M $236.2M +4%
LRCX Lam Research Corporation Trim $269.3M $234.7M -8%
QCOM QUALCOMM Incorporated Add $268.8M $205.7M +74%
AMAT Applied Materials, Inc. Trim $268.4M $205.5M -2%
IVV iShares Core S&P 500 ETF Trim $264.9M $336.4M -17%
PLTR Palantir Technologies Inc. Add $262.6M $304.6M +5%
LLY Eli Lilly and Company Trim $250.6M $298.5M -2%
COST Costco Wholesale Corporation Add $246.9M $188.3M +13%
SPYM State Street SPDR Portfolio S&P 500 ETF Add $238.0M $231.5M +8%
PEP PepsiCo, Inc. Add $236.3M $196.0M +11%
JPM JP Morgan Chase & Co. Trim $232.8M $267.3M -5%
AMGN Amgen Inc. Add $221.8M $186.7M +11%
KLAC KLA Corporation Trim $221.5M $186.0M -2%
MRK Merck & Company, Inc. Common Stock (new) Trim $215.0M $198.1M -5%
CVX Chevron Corporation Add $214.4M $146.9M +8%
IEMG iShares Core MSCI Emerging Markets ETF Add $204.5M $165.4M +19%
INTC Intel Corporation Add $201.1M $154.9M +9%
BAC Bank of America Corporation Trim $200.0M $181.9M -11%
KO The Coca-Cola Company Add $180.5M $143.6M +16%
CSCO Cisco Systems, Inc. Trim $179.5M $252.2M -29%
TLT iShares 20+ Year Treasury Bond ETF Trim $179.0M $218.0M -17%
HD The Home Depot, Inc. Add $178.1M $158.4M +18%
COP ConocoPhillips Add $173.1M $113.8M +8%
PG The Procter & Gamble Company Add $172.7M $62.0M +177%
XOM ExxonMobil Holdings Corporation Add $160.2M $99.7M +14%
ADI Analog Devices, Inc. Trim $159.6M $141.4M -4%
UNH UnitedHealth Group Incorporated Common Stock (DE) Add $159.4M $81.4M +139%
G54950103 Linde PLC Add $159.1M $104.0M +32%

New and exited positions are only shown for managers whose entire filed portfolio fits inside the positions stored here. For a manager filing more than that, a holding leaving the stored set is indistinguishable from a holding being sold, so those are reported as adds and trims only.

What a 13F is

Any institutional manager exercising discretion over more than $100 million in US-listed equities must file a Form 13F with the SEC within 45 days of each quarter end, listing what they held on the last day of that quarter. The threshold was set in 1975 and has never been raised, so the filer population now runs to several thousand.

The four things it does not tell you

Why the biggest filers are not the interesting ones

The largest managers by reported value are index providers — they hold nearly everything, in proportion to the indices they track, because clients asked them to. Reading their filings for conviction is a category error. The filings worth attention are concentrated ones, where a small number of positions make up most of the portfolio, since that reflects a decision rather than a mandate.

The share-of-portfolio column is the one to read for this. A position that is 15% of a fund says something; the same dollar amount at 0.2% of an index tracker does not.

Where this comes from

The SEC's own quarterly Form 13F structured data sets, parsed here rather than bought from a vendor. Holdings are identified in the filings by CUSIP, and the mapping from CUSIP to ticker is the awkward part — that identifier is licensed rather than public, so the mapping is resolved through OpenFIGI and built up over time. Around 95% of reported value currently sits on a resolved ticker; the rest shows its CUSIP.

The rest of the section is on the Markets overview — including insider transactions, which are the same idea at the individual level, and the correlation finder, where each ticker's page carries its institutional ownership.