Mirae-Asset-Global-Investments-Co

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-04-24
Total Holdings
1,827
Total Value
23729973945
Accession Number
0000905148-25-001297
Form Type
13F-HR
Manager Name
Mirae-Asset-Global-Investments-Co
Data Enrichment
87% identified
1,585 identified242 unidentified

Holdings

1,827 positions • $23.7B total value
Manager:
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Page 2 of 80
CISCO SYSTEMS, INC.
Shares:2.7M
Value:$166.8M
% of Portfolio:0.7% ($166.8M/$23.7B)
Merck & Co., Inc.
Shares:1.8M
Value:$160.9M
% of Portfolio:0.7% ($160.9M/$23.7B)
PEPSICO INC
Shares:1.0M
Value:$154.1M
% of Portfolio:0.6% ($154.1M/$23.7B)
VISA INC.
Shares:444.0K
Value:$152.6M
% of Portfolio:0.6% ($152.6M/$23.7B)
AMGEN INC
Shares:487.8K
Value:$149.7M
% of Portfolio:0.6% ($149.7M/$23.7B)
92206C847
Shares:2.8M
Value:$146.9M
% of Portfolio:0.6% ($146.9M/$23.7B)
QUALCOMM INC/DE
Shares:978.1K
Value:$145.6M
% of Portfolio:0.6% ($145.6M/$23.7B)
AbbVie Inc.
Shares:713.0K
Value:$144.6M
% of Portfolio:0.6% ($144.6M/$23.7B)
ELI LILLY & Co
Shares:728.7K
Value:$141.5M
% of Portfolio:0.6% ($141.5M/$23.7B)
COSTCO WHOLESALE CORP /NEW
Shares:150.2K
Value:$139.7M
% of Portfolio:0.6% ($139.7M/$23.7B)
ADVANCED MICRO DEVICES INC
Shares:1.3M
Value:$134.6M
% of Portfolio:0.6% ($134.6M/$23.7B)
HOME DEPOT, INC.
Shares:370.3K
Value:$132.7M
% of Portfolio:0.6% ($132.7M/$23.7B)
CHEVRON CORP
Shares:792.3K
Value:$131.4M
% of Portfolio:0.6% ($131.4M/$23.7B)
72201R882
Shares:1.9M
Value:$130.9M
% of Portfolio:0.6% ($130.9M/$23.7B)
COCA COLA CO
Shares:1.8M
Value:$124.9M
% of Portfolio:0.5% ($124.9M/$23.7B)
MICRON TECHNOLOGY INC
Shares:1.4M
Value:$124.5M
% of Portfolio:0.5% ($124.5M/$23.7B)
46434G103
Shares:2.2M
Value:$117.7M
% of Portfolio:0.5% ($117.7M/$23.7B)
CONOCOPHILLIPS
Shares:1.1M
Value:$116.1M
% of Portfolio:0.5% ($116.1M/$23.7B)
464287242
Shares:1.0M
Value:$110.1M
% of Portfolio:0.5% ($110.1M/$23.7B)
T-Mobile US, Inc.
Shares:406.3K
Value:$107.6M
% of Portfolio:0.5% ($107.6M/$23.7B)