HoldingsChannel.com
Mirae Asset Global Investments Co. Ltd. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
ALIBABA GROUP HLDG LTD 2,504,752 +108,773 $418,868
     BABA2,504,752+108,773$418,868
ISHARES TR (IVV) 1,124,562 -144,708 $335,704
     IVV1,124,562-144,708$335,704
MICROSOFT CORP 2,156,191 +112,795 $299,776
     MSFT2,156,191+112,795$299,776
VANGUARD INDEX FDS (VOO) 1,060,756 -149,355 $289,162
     VOO1,060,756-149,355$289,162
ISHARES TR (EMB) 2,327,965 +488,425 $263,874
     EMB2,327,965+488,425$263,874
AMAZON COM INC 139,012 -3,427 $241,312
     AMZN139,012-3,427$241,312
VANGUARD TAX MANAGED INTL FD (VEA) 5,618,498 -123,925 $230,808
     VEA5,618,498-123,925$230,808
APPLE INC 869,789 +68,644 $194,807
     AAPL869,789+68,644$194,807
VANGUARD CHARLOTTE FDS (BNDX) 2,858,951 +442,060 $168,192
     BNDX2,858,951+442,060$168,192
ALPHABET INC 132,231 +3,089 $161,471
     GOOGL132,231+3,089$161,471
NEW ORIENTAL ED & TECH GRP I 1,373,958 -47,293 $152,180
     EDU1,373,958-47,293$152,180
NVIDIA CORP 840,809 +214,447 $146,359
     NVDA840,809+214,447$146,359
ISHARES TR (AGG) 1,264,628 +152,293 $143,118
     AGG1,264,628+152,293$143,118
VISA INC 810,746 -97,278 $139,457
     V810,746-97,278$139,457
ENTERPRISE PRODS PARTNERS L 4,311,319 -304,077 $123,218
     EPD4,311,319-304,077$123,218
INTUITIVE SURGICAL INC 226,769 -35,837 $122,439
     ISRG226,769-35,837$122,439
FACEBOOK INC 658,370 +64,095 $117,243
     FB658,370+64,095$117,243
GLOBAL X FDS 7,443,200 -3,135,430 $109,043
     CLOU7,443,200-3,135,430$109,043
ENERGY TRANSFER LP 8,202,161 +41,661 $107,284
     ET8,202,161+41,661$107,284
TAL EDUCATION GROUP 3,024,869 -1,751,054 $103,571
     TAL3,024,869-1,751,054$103,571
ISHARES TR (IEFA) 1,585,578 -1,200 $96,831
     IEFA1,585,578-1,200$96,831
ISHARES INC (IEMG) 1,952,401 -86,815 $95,707
     IEMG1,952,401-86,815$95,707
SELECT SECTOR SPDR TR (XLK) 1,176,280 +318,380 $94,726
     XLK1,176,280+318,380$94,726
MAGELLAN MIDSTREAM PRTNRS LP 1,414,533 -173,518 $93,741
     MMP1,414,533-173,518$93,741
SPDR S&P 500 ETF TR (SPY) 312,323 +3,035 $92,689
     SPY312,323+3,035$92,689
ALBEMARLE CORP 1,291,700 -66,671 $89,799
     ALB1,291,700-66,671$89,799
MPLX LP 2,927,192 +691,492 $81,991
     MPLX2,927,192+691,492$81,991
NETFLIX INC 272,647 -63,623 $72,965
     NFLX272,647-63,623$72,965
UNITEDHEALTH GROUP INC 332,558 +103,981 $72,271
     UNH332,558+103,981$72,271
VANGUARD INTL EQUITY INDEX F (VWO) 1,791,115 -211,626 $72,110
     VWO1,791,115-211,626$72,110
GW PHARMACEUTICALS PLC 597,404 +23,225 $68,719
     GWPH597,404+23,225$68,719
TILRAY INC 2,731,184 +106,492 $67,570
     TLRY2,731,184+106,492$67,570
FISERV INC 648,722 +284,230 $67,201
     FISV648,722+284,230$67,201
ALPHABET INC 54,803 +3,792 $66,805
     GOOG54,803+3,792$66,805
PAN AMERICAN SILVER CORP 4,258,948 +1,059,959 $66,779
     PAAS4,258,948+1,059,959$66,779
PLAINS ALL AMERN PIPELINE L 3,166,098 -230,413 $65,697
     PAA3,166,098-230,413$65,697
PHILLIPS 66 PARTNERS LP 1,143,426 -34,436 $64,741
     PSXP1,143,426-34,436$64,741
PROCTER & GAMBLE CO 511,888 +4,227 $63,668
     PG511,888+4,227$63,668
WHEATON PRECIOUS METALS CORP 2,356,897 +633,140 $61,845
     WPM2,356,897+633,140$61,845
SELECT SECTOR SPDR TR (XLV) 677,340 +246,540 $61,049
     XLV677,340+246,540$61,049
SELECT SECTOR SPDR TR (XLP) 991,640 +328,700 $60,906
     XLP991,640+328,700$60,906
MERCK & CO INC 710,680 -36,253 $59,825
     MRK710,680-36,253$59,825
JOHN BEAN TECHNOLOGIES CORP 589,744 -75,864 $58,638
     JBT589,744-75,864$58,638
BUCKEYE PARTNERS L P 1,341,212 -34,204 $55,110
     BPL1,341,212-34,204$55,110
KINDER MORGAN INC DEL 2,668,487 -1,105,061 $54,998
     KMI2,668,487-1,105,061$54,998
TC ENERGY CORP 1,056,113 -512,705 $54,696
     TRP1,056,113-512,705$54,696
HUYA INC 2,313,195 -1,032,524 $54,684
     HUYA2,313,195-1,032,524$54,684
WESTERN MIDSTREAM PARTNERS L 2,193,746 +415,268 $54,602
     WES2,193,746+415,268$54,602
ADOBE INC 193,580 -49,965 $53,475
     ADBE193,580-49,965$53,475
ONEOK INC NEW 724,732 -196,533 $53,406
     OKE724,732-196,533$53,406

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 09/30/2019: $14,380,784
At 06/30/2019: $14,613,933

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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