HoldingsChannel.com
Mirae Asset Global Investments Co. Ltd. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 2,365,143 -148,924 $481,330
     MSFT2,365,143-148,924$481,330
APPLE INC 1,261,969 +31,340 $460,367
     AAPL1,261,969+31,340$460,367
AMAZON COM INC 155,330 -22,580 $428,529
     AMZN155,330-22,580$428,529
NVIDIA CORPORATION 966,892 -71,710 $367,333
     NVDA966,892-71,710$367,333
VANGUARD INDEX FDS (VOO) 1,262,125 -154,560 $357,724
     VOO1,262,125-154,560$357,724
ISHARES TR (IVV) 963,156 +38,081 $298,280
     IVV963,156+38,081$298,280
ALIBABA GROUP HLDG LTD 1,244,699 -254,715 $268,482
     BABA1,244,699-254,715$268,482
FACEBOOK INC 936,665 +159,327 $212,689
     FB936,665+159,327$212,689
VANGUARD TAX MANAGED FDS (VEA) 5,313,698 UNCH $206,118
     VEA5,313,698UNCH$206,118
ALPHABET INC 124,412 -20,031 $176,422
     GOOGL124,412-20,031$176,422
NEW ORIENTAL ED & TECHNOLOGY 1,301,915 -71,855 $169,548
     EDU1,301,915-71,855$169,548
ISHARES TR (LQD) 1,254,160 +881,895 $168,684
     LQD1,254,160+881,895$168,684
WHEATON PRECIOUS METALS CORP 3,398,855 -394,139 $149,720
     WPM3,398,855-394,139$149,720
VANGUARD CHARLOTTE FDS (BNDX) 2,571,020 +139,380 $148,425
     BNDX2,571,020+139,380$148,425
GLOBAL X FDS 6,581,650 -326,950 $140,979
     CLOU6,581,650-326,950$140,979
VISA INC 698,522 -127,243 $134,934
     V698,522-127,243$134,934
INTUITIVE SURGICAL INC 236,676 +31,303 $134,865
     ISRG236,676+31,303$134,865
ISHARES TR (AGG) 1,113,766 +61,913 $131,658
     AGG1,113,766+61,913$131,658
PAYPAL HLDGS INC 742,821 +16,256 $129,422
     PYPL742,821+16,256$129,422
ISHARES TR (IEFA) 2,261,998 +65,700 $129,296
     IEFA2,261,998+65,700$129,296
TAL EDUCATION GROUP 1,825,381 -407,266 $124,819
     TAL1,825,381-407,266$124,819
SELECT SECTOR SPDR TR (XLK) 1,183,510 -65,030 $123,665
     XLK1,183,510-65,030$123,665
SPDR S&P 500 ETF TR (SPY) 400,182 +48,856 $123,400
     SPY400,182+48,856$123,400
TESLA INC 108,641 -28,179 $117,311
     TSLA108,641-28,179$117,311
ISHARES INC (IEMG) 2,454,796 -272,350 $116,848
     IEMG2,454,796-272,350$116,848
ADOBE INC 251,528 +4,323 $109,493
     ADBE251,528+4,323$109,493
ENTERPRISE PRODS PARTNERS L 5,685,486 +183,631 $103,305
     EPD5,685,486+183,631$103,305
ALPHABET INC 72,605 +3,749 $102,634
     GOOG72,605+3,749$102,634
ISHARES TR (EMB) 932,684 -727,584 $101,867
     EMB932,684-727,584$101,867
MERCADOLIBRE INC 100,286 -7,325 $98,860
     MELI100,286-7,325$98,860
NETFLIX INC 211,300 -34,718 $96,150
     NFLX211,300-34,718$96,150
ENERGY TRANSFER LP 12,864,671 +2,615,207 $91,596
     ET12,864,671+2,615,207$91,596
SELECT SECTOR SPDR TR (XLV) 864,400 +26,100 $86,500
     XLV864,400+26,100$86,500
MAGELLAN MIDSTREAM PRTNRS LP 1,970,727 +49,819 $85,076
     MMP1,970,727+49,819$85,076
SALESFORCE COM INC 438,722 -188,084 $82,185
     CRM438,722-188,084$82,185
DEXCOM INC 200,538 +137,439 $81,298
     DXCM200,538+137,439$81,298
VANGUARD SCOTTSDALE FDS (VCIT) 852,720 +299,920 $81,127
     VCIT852,720+299,920$81,127
JD.COM INC 1,270,662 +500,977 $76,468
     JD1,270,662+500,977$76,468
MPLX LP 4,326,720 +370,232 $74,766
     MPLX4,326,720+370,232$74,766
ASML HOLDING N V 202,936 -51,869 $74,686
     ASML202,936-51,869$74,686
FISERV INC 757,094 +53,660 $73,908
     FISV757,094+53,660$73,908
CISCO SYS INC 1,576,841 +125,386 $73,543
     CSCO1,576,841+125,386$73,543
INTEL CORP 1,191,602 +68,102 $71,293
     INTC1,191,602+68,102$71,293
PAN AMERN SILVER CORP 2,336,599 +1,073,600 $71,009
     PAAS2,336,599+1,073,600$71,009
BROOKS AUTOMATION INC NEW 1,448,559 +387,863 $64,084
     BRKS1,448,559+387,863$64,084
TWILIO INC 290,680 +121,162 $63,782
     TWLO290,680+121,162$63,782
SHOPIFY INC 65,117 +396 $61,809
     SHOP65,117+396$61,809
ALBEMARLE CORP 793,117 -512,603 $61,237
     ALB793,117-512,603$61,237
PLAINS ALL AMERN PIPELINE L 6,889,665 +1,972,845 $60,905
     PAA6,889,665+1,972,845$60,905
ZOOM VIDEO COMMUNICATIONS IN 232,659 +232,659 $58,989
     ZM232,659+232,659$58,989

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 06/30/2020: $16,587,442
At 03/31/2020: $12,805,995

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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