HoldingsChannel.com
Mirae Asset Global Investments Co. Ltd. Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
ALIBABA GROUP HLDG LTD 2,395,979 -229,582 $406,033
     BABA2,395,979-229,582$406,033
ISHARES TR (IVV) 1,269,270 -96,850 $373,604
     IVV1,269,270-96,850$373,604
VANGUARD INDEX FDS (VOO) 1,210,111 -178,284 $325,558
     VOO1,210,111-178,284$325,558
MICROSOFT CORP 2,043,396 +82,109 $273,792
     MSFT2,043,396+82,109$273,792
AMAZON COM INC 142,439 -42,082 $269,937
     AMZN142,439-42,082$269,937
VANGUARD TAX MANAGED INTL FD (VEA) 5,742,423 +338,725 $239,516
     VEA5,742,423+338,725$239,516
ISHARES TR (EMB) 1,839,540 +1,635,842 $208,401
     EMB1,839,540+1,635,842$208,401
TAL EDUCATION GROUP 4,775,923 -435,293 $181,962
     TAL4,775,923-435,293$181,962
GLOBAL X FDS 10,578,630 +10,578,630 $167,459
     CLOU10,578,630+10,578,630$167,459
APPLE INC 801,145 +9,326 $158,991
     AAPL801,145+9,326$158,991
VISA INC 908,024 -94,410 $157,449
     V908,024-94,410$157,449
ALPHABET INC 129,142 -31,044 $139,759
     GOOGL129,142-31,044$139,759
VANGUARD CHARLOTTE FDS (BNDX) 2,416,891 +581,081 $138,488
     BNDX2,416,891+581,081$138,488
INTUITIVE SURGICAL INC 262,606 -34,346 $137,661
     ISRG262,606-34,346$137,661
NEW ORIENTAL ED & TECH GRP I 1,421,251 +47,301 $137,265
     EDU1,421,251+47,301$137,265
ENTERPRISE PRODS PARTNERS L 4,615,396 +33,434 $133,247
     EPD4,615,396+33,434$133,247
ISHARES TR (AGG) 1,112,335 +195,590 $123,859
     AGG1,112,335+195,590$123,859
NETFLIX INC 336,270 +114,658 $123,616
     NFLX336,270+114,658$123,616
TILRAY INC 2,624,692 +2,624,692 $122,206
     TLRY2,624,692+2,624,692$122,206
ENERGY TRANSFER LP 8,160,500 +301,852 $114,900
     ET8,160,500+301,852$114,900
FACEBOOK INC 594,275 +24,643 $114,351
     FB594,275+24,643$114,351
ISHARES INC (IEMG) 2,039,216 +171,682 $104,897
     IEMG2,039,216+171,682$104,897
NVIDIA CORP 626,362 -79,520 $102,808
     NVDA626,362-79,520$102,808
MAGELLAN MIDSTREAM PRTNRS LP 1,588,051 -8,060 $101,635
     MMP1,588,051-8,060$101,635
SCHWAB STRATEGIC TR 1,405,936 -195,300 $99,161
     SCHB1,405,936-195,300$99,161
GW PHARMACEUTICALS PLC 574,179 +561,036 $98,984
     GWPH574,179+561,036$98,984
ISHARES TR (IEFA) 1,586,778 -425,920 $97,428
     IEFA1,586,778-425,920$97,428
ALBEMARLE CORP 1,358,371 +233,827 $95,642
     ALB1,358,371+233,827$95,642
SPDR S&P 500 ETF TR (SPY) 309,288 -5,970 $90,621
     SPY309,288-5,970$90,621
VANGUARD INTL EQUITY INDEX F (VWO) 2,002,741 +87,151 $85,176
     VWO2,002,741+87,151$85,176
PLAINS ALL AMERN PIPELINE L 3,396,511 +26,610 $82,705
     PAA3,396,511+26,610$82,705
HUYA INC 3,345,719 +1,607,086 $82,673
     HUYA3,345,719+1,607,086$82,673
JOHN BEAN TECHNOLOGIES CORP 665,608 -2,166 $80,594
     JBT665,608-2,166$80,594
KINDER MORGAN INC DEL 3,773,548 -96,655 $78,779
     KMI3,773,548-96,655$78,779
TC ENERGY CORP 1,568,818 -129,949 $77,688
     TRP1,568,818-129,949$77,688
CISCO SYS INC 1,349,341 -14,268 $74,163
     CSCO1,349,341-14,268$74,163
ENBRIDGE INC 2,040,086 +51,171 $73,606
     ENB2,040,086+51,171$73,606
MPLX LP 2,235,700 +173,220 $71,967
     MPLX2,235,700+173,220$71,967
ADOBE INC 243,545 -32,545 $71,701
     ADBE243,545-32,545$71,701
PAYPAL HLDGS INC 618,825 +60,941 $70,752
     PYPL618,825+60,941$70,752
WILLIAMS COS INC DEL 2,497,236 +59,618 $70,015
     WMB2,497,236+59,618$70,015
VANGUARD INTL EQUITY INDEX F (VT) 899,100 +373,700 $67,576
     VT899,100+373,700$67,576
SELECT SECTOR SPDR TR (XLK) 857,900 +837,277 $66,951
     XLK857,900+837,277$66,951
SCOTTS MIRACLE GRO CO 653,475 +644,495 $64,366
     SMG653,475+644,495$64,366
ONEOK INC NEW 921,265 +52,454 $63,386
     OKE921,265+52,454$63,386
MERCK & CO INC 746,933 -117,435 $62,631
     MRK746,933-117,435$62,631
CTRIP COM INTL LTD 1,604,185 -314,109 $59,216
     CTRP1,604,185-314,109$59,216
PHILLIPS 66 PARTNERS LP 1,177,862 +67,012 $58,127
     PSXP1,177,862+67,012$58,127
BROOKS AUTOMATION INC 1,480,790 +1,355 $57,379
     BRKS1,480,790+1,355$57,379
ISHARES TR (LQD) 456,377 +31,327 $56,760
     LQD456,377+31,327$56,760

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 06/30/2019: $14,613,933
At 03/31/2019: $13,694,092

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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