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