Mirae-Asset-Global-Etfs-Holdings

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-15
Total Holdings
4,260
Total Value
46947974925
Accession Number
0000905148-25-001700
Form Type
13F-HR
Manager Name
Mirae-Asset-Global-Etfs-Holdings
Data Enrichment
97% identified
4,118 identified142 unidentified

Holdings

4,260 positions • $46.9B total value
Manager:
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Page 111 of 153
Krispy Kreme, Inc.
Shares:50.9K
Value:$250.3K
% of Portfolio:0.0% ($250.3K/$46.9B)
CAPRICOR THERAPEUTICS, INC.
Shares:25.6K
Value:$250.2K
% of Portfolio:0.0% ($250.2K/$46.9B)
Cloudflare, Inc.
Shares:2.2K
Value:$249.9K
% of Portfolio:0.0% ($249.9K/$46.9B)
SURMODICS INC
Shares:8.2K
Value:$249.6K
% of Portfolio:0.0% ($249.6K/$46.9B)
Consensus Cloud Solutions, Inc.
Shares:10.8K
Value:$249.5K
% of Portfolio:0.0% ($249.5K/$46.9B)
Evolv Technologies Holdings, Inc.
Shares:79.9K
Value:$249.4K
% of Portfolio:0.0% ($249.4K/$46.9B)
CONDUENT Inc
Shares:92.3K
Value:$249.1K
% of Portfolio:0.0% ($249.1K/$46.9B)
ODP Corp
Shares:17.4K
Value:$249.0K
% of Portfolio:0.0% ($249.0K/$46.9B)
Rumble Inc.
Shares:35.2K
Value:$248.8K
% of Portfolio:0.0% ($248.8K/$46.9B)
ONE LIBERTY PROPERTIES INC
Shares:9.5K
Value:$248.7K
% of Portfolio:0.0% ($248.7K/$46.9B)
LINCOLN EDUCATIONAL SERVICES CORP
Shares:15.7K
Value:$248.5K
% of Portfolio:0.0% ($248.5K/$46.9B)
59267L107
Shares:9.1K
Value:$248.4K
% of Portfolio:0.0% ($248.4K/$46.9B)
MGP INGREDIENTS INC
Shares:8.4K
Value:$248.1K
% of Portfolio:0.0% ($248.1K/$46.9B)
ALERUS FINANCIAL CORP
Shares:13.4K
Value:$247.7K
% of Portfolio:0.0% ($247.7K/$46.9B)
Red Violet, Inc.
Shares:6.6K
Value:$247.6K
% of Portfolio:0.0% ($247.6K/$46.9B)
SHORE BANCSHARES INC
Shares:18.2K
Value:$246.8K
% of Portfolio:0.0% ($246.8K/$46.9B)
Altimmune, Inc.
Shares:48.9K
Value:$246.6K
% of Portfolio:0.0% ($246.6K/$46.9B)
Real Brokerage Inc
Shares:60.7K
Value:$246.3K
% of Portfolio:0.0% ($246.3K/$46.9B)
ORTHOPEDIATRICS CORP
Shares:10.0K
Value:$246.2K
% of Portfolio:0.0% ($246.2K/$46.9B)
Columbia Financial, Inc.
Shares:16.4K
Value:$245.8K
% of Portfolio:0.0% ($245.8K/$46.9B)