HoldingsChannel.com
Mirae Asset Global Investments Co. Ltd. Top Holdings
As of  03/31/2020

   EntityAmountChange
 12/31/2019 to 03/31/2020
Position Size
($ in 1000's)
MICROSOFT CORP 2,514,067 +277,373 $396,493
     MSFT2,514,067+277,373$396,493
AMAZON COM INC 177,910 +43,615 $346,875
     AMZN177,910+43,615$346,875
VANGUARD INDEX FDS (VOO) 1,416,685 +277,875 $335,500
     VOO1,416,685+277,875$335,500
APPLE INC 1,230,629 +139,662 $312,937
     AAPL1,230,629+139,662$312,937
ALIBABA GROUP HLDG LTD 1,499,414 -276,424 $291,606
     BABA1,499,414-276,424$291,606
NVIDIA CORP 1,038,602 +100,682 $273,774
     NVDA1,038,602+100,682$273,774
ISHARES TR (IVV) 925,075 +171,169 $239,040
     IVV925,075+171,169$239,040
VANGUARD TAX MANAGED INTL FD (VEA) 5,313,698 -174,900 $177,159
     VEA5,313,698-174,900$177,159
ALPHABET INC 144,443 -6,250 $167,835
     GOOGL144,443-6,250$167,835
ISHARES TR (EMB) 1,660,268 +14,770 $160,515
     EMB1,660,268+14,770$160,515
NEW ORIENTAL ED & TECH GRP I 1,373,770 -16,110 $148,697
     EDU1,373,770-16,110$148,697
VANGUARD CHARLOTTE FDS (BNDX) 2,431,640 +211,530 $136,804
     BNDX2,431,640+211,530$136,804
VISA INC 825,765 +4,033 $133,046
     V825,765+4,033$133,046
FACEBOOK INC 777,338 +79,245 $129,659
     FB777,338+79,245$129,659
ISHARES TR (AGG) 1,051,853 +67,632 $121,352
     AGG1,051,853+67,632$121,352
TAL EDUCATION GROUP 2,232,647 -755,908 $118,911
     TAL2,232,647-755,908$118,911
ISHARES INC (IEMG) 2,727,146 +317,590 $110,368
     IEMG2,727,146+317,590$110,368
ISHARES TR (IEFA) 2,196,298 +609,400 $109,573
     IEFA2,196,298+609,400$109,573
WHEATON PRECIOUS METALS CORP 3,792,994 -421,774 $104,421
     WPM3,792,994-421,774$104,421
INTUITIVE SURGICAL INC 205,373 -19,888 $101,704
     ISRG205,373-19,888$101,704
GLOBAL X FDS 6,908,600 +20,050 $100,865
     CLOU6,908,600+20,050$100,865
SELECT SECTOR SPDR TR (XLK) 1,248,540 +86,260 $100,345
     XLK1,248,540+86,260$100,345
NETFLIX INC 246,018 +53,512 $92,379
     NFLX246,018+53,512$92,379
SPDR S&P 500 ETF TR (SPY) 351,326 +33,877 $90,554
     SPY351,326+33,877$90,554
SALESFORCE COM INC 626,806 +415,338 $90,248
     CRM626,806+415,338$90,248
ALPHABET INC 68,856 +9,864 $80,067
     GOOG68,856+9,864$80,067
ENTERPRISE PRODS PARTNERS L 5,501,855 +157,039 $78,677
     EPD5,501,855+157,039$78,677
ADOBE INC 247,205 +71,770 $78,670
     ADBE247,205+71,770$78,670
SELECT SECTOR SPDR TR (XLV) 838,300 +325,400 $74,257
     XLV838,300+325,400$74,257
ALBEMARLE CORP 1,305,720 -4,339 $73,604
     ALB1,305,720-4,339$73,604
TESLA INC 136,820 +18,923 $71,694
     TSLA136,820+18,923$71,694
MAGELLAN MIDSTREAM PRTNRS LP 1,920,908 +87,501 $70,094
     MMP1,920,908+87,501$70,094
PAYPAL HLDGS INC 726,565 +182,365 $69,561
     PYPL726,565+182,365$69,561
UNITEDHEALTH GROUP INC 278,435 -42,327 $69,437
     UNH278,435-42,327$69,437
FISERV INC 703,434 +2,507 $66,818
     FISV703,434+2,507$66,818
ASML HOLDING N V 254,805 +96,057 $66,667
     ASML254,805+96,057$66,667
VERTEX PHARMACEUTICALS INC 264,251 +177,194 $62,879
     VRTX264,251+177,194$62,879
NIKE INC 756,994 -106,401 $62,635
     NKE756,994-106,401$62,635
TC ENERGY CORP 1,407,758 +72,312 $62,364
     TRP1,407,758+72,312$62,364
INTEL CORP 1,123,500 +155,472 $60,805
     INTC1,123,500+155,472$60,805
KINDER MORGAN INC DEL 4,325,744 +840,889 $60,215
     KMI4,325,744+840,889$60,215
CISCO SYS INC 1,451,455 +198,321 $57,057
     CSCO1,451,455+198,321$57,057
ENBRIDGE INC 1,897,967 +125,333 $55,212
     ENB1,897,967+125,333$55,212
SOCIEDAD QUIMICA MINERA DE C 2,444,426 -16,662 $55,122
     SQM2,444,426-16,662$55,122
ISHARES TR (MBB) 494,860 +5,406 $54,652
     MBB494,860+5,406$54,652
MERCADOLIBRE INC 107,611 +56,219 $52,576
     MELI107,611+56,219$52,576
DYNATRACE INC 2,201,158 +1,726,387 $52,475
     DT2,201,158+1,726,387$52,475
VANGUARD SCOTTSDALE FDS (VCIT) 552,800 +92,453 $48,143
     VCIT552,800+92,453$48,143
ENERGY TRANSFER LP 10,249,464 -1,266,804 $47,148
     ET10,249,464-1,266,804$47,148
ADVANCED MICRO DEVICES INC 1,020,565 -55,299 $46,416
     AMD1,020,565-55,299$46,416

See Full List: All Stocks Held By Mirae Asset Global Investments Co. Ltd.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Mirae Asset Global Investments Co. Ltd.

Size ($ in 1000's)
At 03/31/2020: $12,805,995
At 12/31/2019: $16,116,424

Combined Holding Report Includes:
Mirae Asset Global Investments Co. Ltd.
Mirae Asset Global Investments Hong Kong LTD
Mirae Asset Global Investments USA Inc.
Mirae Asset Global Investments USA LLC
Horizons ETFs Management Canada Inc.
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.
GLOBAL X MANAGEMENT COMPANY INC.
Betashares Holdings Pty Ltd.
Betashares Capital Ltd.
Global X Management CO LLC

Mirae Asset Global Investments Co. Ltd. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Mirae Asset Global Investments Co. Ltd. 13F filings. Link to 13F filings: SEC filings

Mirae Asset Global Investments Co. Ltd. Top Holdings 13F Filings | www.HoldingsChannel.com

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