Institutions
Mirae Asset Global Investments
13F filer
13F holdings
06/30 holdings · reported 07/22
- Portfolio value
- $52.4B
- Stocks
- 1,664
- Quarters on file
- 2
| Stock | ||
|---|---|---|
| Space Exploration Technologies SPCX | $4.5B8.5% | New position |
| Nvidia NVDA | $3.2B6.1% | Added +8.0% |
| Apple AAPL | $2.3B4.3% | Added +4.7% |
| Alphabet GOOGL | $1.5B2.9% | Trimmed −29.2% |
| Micron Technology MU | $1.5B2.9% | Added +16.7% |
| Microsoft MSFT | $1.5B2.9% | Added +6.0% |
| Amazon AMZN | $1.4B2.6% | Added +5.7% |
| Broadcom AVGO | $1.3B2.6% | Added +5.7% |
| Advanced Micro Devices AMD | $1.2B2.2% | Added +32.9% |
| Tesla TSLA | $908.6M1.7% | Added +0.2% |
| Vanguard Index FDSNot in the listed company registry | $855.2M1.6% | Added +9.3% |
| Meta Platforms META | $789.2M1.5% | Added +5.0% |
| Alphabet GOOG | $709.8M1.4% | Added +19088.4% |
| Applied Materials AMAT | $705M1.3% | Added +24.2% |
| Intel INTC | $650.4M1.2% | Added +2.2% |
| Lam Research LRCX | $645.8M1.2% | Added +18.2% |
| Kla KLAC | $551.9M1.1% | Added +1116.2% |
| Taiwan Semiconductor Manufacturing TSM | $517M1.0% | Added +805.2% |
| Texas Instruments TXN | $439.6M0.8% | Added +4.0% |
| Marvell Technology MRVL | $428.8M0.8% | Added +2.8% |
Recent moves
- Mirae Asset Global Investments
SellAlphabet
SellAlphabet
GOOGL
est. $636M
1,779,649 sh
est. $636M
Reported 07/22
06/30 holdings
- Mirae Asset Global Investments
BuySpace Exploration Technologies
BuySpace Exploration Technologies
SPCX
est. $4.5B
26,056,048 sh
est. $4.5B
Reported 07/22
06/30 holdings
- Mirae Asset Global Investments
BuyApplied Materials
BuyApplied Materials
AMAT
est. $137.2M
189,775 sh
est. $137.2M
Reported 07/22
06/30 holdings
- Mirae Asset Global Investments
BuyAdvanced Micro Devices
BuyAdvanced Micro Devices
AMD
est. $289.8M
498,842 sh
est. $289.8M
Reported 07/22
06/30 holdings
- Mirae Asset Global Investments
BuyAlphabet
BuyAlphabet
GOOG
est. $706.2M
1,998,557 sh
est. $706.2M
Reported 07/22
06/30 holdings
- Buy
Kla
KLAC
est. $506.5M
1,678,705 sh
est. $506.5M
Reported 07/22
06/30 holdings
