Arkolith/Funds/Mirae Asset Global Etfs Holdings Ltd.

Mirae Asset Global Etfs Holdings Ltd.

CIK 1705339Index / ETF
Holdings as of Mar 31, 2026·disclosed May 15, 2026·~45-day 13F lag·13F-HR
Inactive

Mirae Asset Global Etfs Holdings Ltd. holds a diversified book of 3122 stocks worth $73.7B as of Q1 2026 (disclosed May 15, 2026, a ~45-day 13F lag). This quarter they opened Aurora Innovation Inc and trimmed Wheaton Precious Metals Corp. Their largest long position is Nvidia Corp at 3% of the equity book.

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Use Arkolith to show MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.'s latest
holdings, largest changes, and filing provenance.
Opened
95
new positions
Added to
2,227
existing
Trimmed
786
reduced
Sold out
66
exited

Concentration

Top-heavy: diversified book

Top 5 holdings
11%
Top 10 holdings
18%
Top 20 holdings
28%

Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.

Direct sector allocation

95% mapped to company sectors

Information Technology
28%
Materials
21%
Industrials
19%
Utilities
8%
Consumer Discretionary
6%
ETF / fund or unclassified
5%
Financials
4%
Health Care
3%

Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.

Biggest moves: latest quarter

Estimated $ traded · quarter-end prices, no cost basis

Bought
Trimmed / exited

Holdings: largest first

Bars show each stock's share of the portfolio. Click a row for its position history.

3,122 positions
#SecurityValueShares% PortLast moveHistory
1Nvidia Corporation
COM
$2.1B11.91M
2.8%
+0.9%
Added · +106K sh
2Cameco Corp
COM
$1.7B15.37M
2.3%
+5.8%
Added · +843K sh
3Apple Inc
COM
$1.5B6.06M
2.1%
+0.7%
Added · +44K sh
4Wheaton Precious Metals Corp
COM
$1.4B10.63M
1.9%
−3.4%
Reduced · −376K sh
5Global X FDS
X RUSSELL 2000 E
$1.3B13.88M
1.8%
+0.8%
Added · +115K sh
6Microsoft Corp
COM
$1.2B3.33M
1.7%
+8.6%
Added · +264K sh
7Palantir Technologies Inc
CL A
$1.1B7.45M
1.5%
+25%
Added · +1.5M sh
8Amazon Com Inc
COM
$1.0B4.99M
1.4%
+7.2%
Added · +337K sh
9Alphabet Inc
CAP STK CL A
$940.0M3.28M
1.3%
−5.3%
Reduced · −183K sh
10Broadcom Inc
COM
$901.6M2.94M
1.2%
+9.6%
Added · +258K sh
11Lockheed Martin Corp
COM
$872.2M1.44M
1.2%
+41%
Added · +416K sh
12Tesla Inc
COM
$848.6M2.29M
1.2%
+15%
Added · +295K sh
13Pan Amern Silver Corp
COM
$838.8M15.36M
1.1%
−3.1%
Reduced · −501K sh
14Meta Platforms Inc
CL A
$822.9M1.45M
1.1%
+7.8%
Added · +105K sh
15RTX Corporation
COM
$733.4M3.80M
1.0%
+40%
Added · +1.1M sh
16General Dynamics Corp
COM
$706.4M2.06M
1.0%
+45%
Added · +638K sh
17Netflix Inc.
COM
$657.2M6.87M
0.9%
+23%
Added · +1.3M sh
18Micron Technology Inc
COM
$585.7M1.75M
0.8%
+0.3%
Added · +6K sh
19Coeur MNG Inc
COM NEW
$542.1M28.89M
0.7%
~0%
Added · +6K sh
20Nexgen Energy Ltd
COM
$494.8M42.79M
0.7%
+24%
Added · +8.4M sh
21Cisco Sys Inc
COM
$486.7M6.27M
0.7%
+9.4%
Added · +539K sh
22Advanced Micro Devices Inc
COM
$486.2M2.40M
0.7%
−6.6%
Reduced · −168K sh
23CSX Corp
COM
$478.2M11.65M
0.6%
+18%
Added · +1.8M sh
24Northrop Grumman Corp
COM
$472.7M692.9K
0.6%
+47%
Added · +223K sh
25L3harris Technologies Inc
COM
$471.4M1.37M
0.6%
+43%
Added · +413K sh
26Quanta Svcs Inc
COM
$466.6M850.1K
0.6%
−1.7%
Reduced · −15K sh
27Walmart Inc
COM
$466.0M3.75M
0.6%
+403%
Added · +3.0M sh
28Energy Transfer L P
COM UT LTD PTN
$461.2M23.90M
0.6%
+5.9%
Added · +1.3M sh
29Uranium Energy Corp
COM
$460.3M34.10M
0.6%
+14%
Added · +4.2M sh
30Enterprise Prods Partners L
COM
$458.6M12.12M
0.6%
+5.5%
Added · +636K sh
31Alphabet Inc
CAP STK CL C
$458.5M1.60M
0.6%
−7.2%
Reduced · −124K sh
32Global X FDS
GLOBAL X COPPER
$455.8M6.43M
0.6%
+30%
Added · +1.5M sh
33Freeport McMoran Inc
CL B
$453.8M7.73M
0.6%
+44%
Added · +2.4M sh
34Oklo Inc
COM CL A
$439.2M8.86M
0.6%
+13%
Added · +1.0M sh
35Eaton Corp PLC
SHS
$431.1M1.21M
0.6%
+40%
Added · +344K sh
36Sempra
COM
$428.9M4.41M
0.6%
+23%
Added · +834K sh
37Southern Copper Corp
COM
$422.4M2.46M
0.6%
+46%
Added · +779K sh
38Fastenal Co
COM
$422.1M9.10M
0.6%
+7.2%
Added · +608K sh
39Deere & Co
COM
$420.7M746.8K
0.6%
+16%
Added · +101K sh
40MPLX LP
COM UNIT REP LTD
$417.7M7.32M
0.6%
+5.9%
Added · +411K sh
41Trane Technologies PLC
SHS
$411.6M987.8K
0.6%
+31%
Added · +232K sh
42Howmet Aerospace Inc
COM
$408.3M1.77M
0.6%
−24%
Reduced · −561K sh
43Union Pac Corp
COM
$406.8M1.68M
0.6%
+35%
Added · +438K sh
44Rio Tinto PLC
SPONSORED ADR
$395.3M4.24M
0.5%
+4.8%
Added · +193K sh
45First Majestic Silver Corp
COM
$395.2M18.49M
0.5%
−3.6%
Reduced · −688K sh
46Hecla Mining Company
COM
$384.0M20.62M
0.5%
−2.9%
Reduced · −621K sh
47Plains All Amern Pipeline L
UNIT LTD PARTN
$380.8M17.05M
0.5%
+4.7%
Added · +762K sh
48Intel Corp
COM
$378.7M8.61M
0.5%
+16%
Added · +1.2M sh
49Intuitive Surgical Inc
COM NEW
$377.7M819.4K
0.5%
+22%
Added · +150K sh
50Norfolk Southn Corp
COM
$377.1M1.31M
0.5%
+11%
Added · +133K sh
Showing 50 of 3,122 positions

Filing history

As-of date vs the date the SEC received each filing

QuarterAs ofFiledPositionsValueForm
Q1 2026Mar 31, 2026May 15, 20264,399$73.7B13F-HR
Q4 2025Dec 31, 2025Feb 17, 20264,364$66.9B13F-HR
Q3 2025Sep 30, 2025Nov 14, 20254,341$62.5B13F-HR
Q2 2025Jun 30, 2025Aug 14, 20254,185$51.7B13F-HR
Q1 2025Mar 31, 2025May 15, 20254,260$46.9B13F-HR
Q4 2024Dec 31, 2024Feb 14, 20254,268$47.3B13F-HR
Q3 2024Sep 30, 2024Nov 14, 20244,220$44.5B13F-HR
Q2 2024Jun 30, 2024Aug 14, 20244,147$42.1B13F-HR

Data source

Holdings from SEC EDGAR 13F-HR filings, updated quarterly ~45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.