Arkolith/Funds/Mirae Asset Global Investments Co., Ltd.

Mirae Asset Global Investments Co., Ltd.

CIK 1569395Asset manager
Holdings as of Mar 31, 2026·disclosed May 4, 2026·~34-day 13F lag·13F-HR
Inactive

Mirae Asset Global Investments Co., Ltd. holds a concentrated book of 1568 stocks worth $299.3B as of Q1 2026 (disclosed May 4, 2026, a ~45-day 13F lag). This quarter they opened Berkshire Hathaway Inc-CL A and trimmed Vanguard S&P 500 ETF. Their largest long position is Berkshire Hathaway Inc-CL A at 88% of the equity book. They also disclosed $231K in put options (a bearish bet) and $12K in call options (bullish), shown separately below and excluded from the equity book.

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Use Arkolith to show Mirae Asset Global Investments Co., Ltd.'s latest
holdings, largest changes, and filing provenance.
Opened
119
new positions
Added to
898
existing
Trimmed
518
reduced
Sold out
161
exited

Concentration

Top-heavy: concentrated book

Top 5 holdings
91%
Top 10 holdings
92%
Top 20 holdings
93%

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

Direct sector allocation

98% mapped to company sectors

Financials
89%
Information Technology
5%
ETF / fund or unclassified
2%
Consumer Discretionary
1%
Health Care
1%
Industrials
1%
Communication Services
0%
Consumer Staples
0%

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.

1,568 positions
#SecurityValueShares% PortLast moveHistory
1Berkshire Hathaway Inc Del
CL A
$264.6B368.5K
88.4%
New
New position
2Nvidia Corporation
COM
$2.6B14.90M
0.9%
+4.3%
Added · +619K sh
3Apple Inc
COM
$1.9B7.51M
0.6%
+3.9%
Added · +279K sh
4Alphabet Inc
CAP STK CL A
$1.8B6.10M
0.6%
+36%
Added · +1.6M sh
5Microsoft Corp
COM
$1.4B3.87M
0.5%
+3.6%
Added · +134K sh
6Amazon Com Inc
COM
$1.1B5.40M
0.4%
+5.7%
Added · +291K sh
7Broadcom Inc
COM
$1.0B3.36M
0.3%
+4.8%
Added · +155K sh
8Tesla Inc
COM
$801.4M2.16M
0.3%
+12%
Added · +227K sh
9Meta Platforms Inc
CL A
$763.3M1.33M
0.3%
+0.7%
Added · +9K sh
10Vanguard Index FDS
S&P 500 ETF SHS
$680.8M1.14M
0.2%
−28%
Reduced · −440K sh
11Micron Technology Inc
COM
$383.7M1.14M
0.1%
−9.5%
Reduced · −120K sh
12Netflix Inc.
COM
$371.9M3.87M
0.1%
+21%
Added · +672K sh
13Walmart Inc
COM
$337.6M2.72M
0.1%
+186%
Added · +1.8M sh
14Advanced Micro Devices Inc
COM
$308.8M1.52M
0.1%
−15%
Reduced · −261K sh
15Texas Instrs Inc
COM
$275.4M1.42M
0.1%
+4.2%
Added · +57K sh
16Lam Research Corp
COM NEW
$269.3M1.26M
0.1%
−8.1%
Reduced · −111K sh
17Qualcomm Inc
COM
$268.8M2.09M
0.1%
+74%
Added · +885K sh
18Applied Matls Inc
COM
$268.4M785.3K
0.1%
−1.8%
Reduced · −14K sh
19Ishares TR
CORE S&P500 ETF
$264.9M405.5K
0.1%
−17%
Reduced · −86K sh
20Palantir Technologies Inc
CL A
$262.6M1.79M
0.1%
+4.8%
Added · +82K sh
21Eli Lilly & Co
COM
$250.6M272.5K
0.1%
−1.9%
Reduced · −5K sh
22Costco Wholesale Corporation
COM
$246.9M247.8K
0.1%
+13%
Added · +29K sh
23SPDR Series Trust
STATE STREET SPD
$238.0M3.11M
0.1%
+7.8%
Added · +224K sh
24Pepsico Inc
COM
$236.3M1.52M
0.1%
+11%
Added · +156K sh
25JPMorgan Chase & Co
COM
$232.8M791.3K
0.1%
−4.6%
Reduced · −38K sh
26Amgen Inc
COM
$221.8M630.3K
0.1%
+11%
Added · +60K sh
27Kla Corp
COM NEW
$221.5M150.4K
0.1%
−1.8%
Reduced · −3K sh
28Merck & Co Inc
COM
$215.0M1.79M
0.1%
−5.0%
Reduced · −94K sh
29Chevron Corporation
COM
$214.4M1.04M
0.1%
+7.5%
Added · +73K sh
30Ishares Inc
CORE MSCI EMKT
$204.5M2.93M
0.1%
+19%
Added · +471K sh
31Intel Corp
COM
$201.1M4.56M
0.1%
+8.6%
Added · +360K sh
32Verizon Communications Inc
COM
$200.0M3.98M
0.1%
−11%
Reduced · −482K sh
33Coca Cola Co
COM
$180.5M2.37M
0.1%
+16%
Added · +319K sh
34Cisco Sys Inc
COM
$179.5M2.31M
0.1%
−29%
Reduced · −960K sh
35Ishares TR
20 YR TR BD ETF
$179.0M2.06M
0.1%
−17%
Reduced · −437K sh
36Home Depot Inc
COM
$178.1M541.5K
0.1%
+18%
Added · +81K sh
37ConocoPhillips
COM
$173.1M1.31M
0.1%
+7.8%
Added · +95K sh
38Procter & Gamble Co
COM
$172.7M1.20M
0.1%
+177%
Added · +763K sh
39Exxon Mobil Corp
COM
$160.2M944.2K
0.1%
+14%
Added · +116K sh
40Analog Devices Inc
COM
$159.6M501.7K
0.1%
−3.8%
Reduced · −20K sh
41Unitedhealth Group Inc
COM
$159.4M589.2K
0.1%
+139%
Added · +343K sh
42Linde PLC
SHS
$159.1M321.0K
0.1%
+32%
Added · +77K sh
43Johnson & Johnson
COM
$157.4M643.8K
0.1%
+8.3%
Added · +50K sh
44Visa Inc
COM CL A
$153.8M508.8K
0.1%
+3.4%
Added · +17K sh
45Abbott Laboratories
COM
$141.0M1.37M
0.0%
+276%
Added · +1.0M sh
46Marvell Technology Inc
COM
$138.7M1.40M
0.0%
+11%
Added · +143K sh
47Comcast Corp New
CL A
$135.2M4.71M
0.0%
+134%
Added · +2.7M sh
48SPDR Series Trust
STATE STREET SPD
$134.4M5.11M
0.0%
−16%
Reduced · −962K sh
49Intuitive Surgical Inc
COM NEW
$133.5M289.6K
0.0%
+5.7%
Added · +16K sh
50Vanguard Scottsdale FDS
LONG TERM TREAS
$131.5M2.38M
0.0%
−11%
Reduced · −306K sh
Showing 50 of 1,568 positions

Largest options & derivatives disclosed

Put / call positions from the 13F — totals include every disclosed option leg

Put notional (bearish)$231K
Call notional (bullish)$12K
TypeUnderlyingNotional valueUnderlying shares
PUT · bearishINVESCO QQQ TRUST SERIES 1QQQ$231K400
CALL · bullishECHOSTAR CORP-ASATS$12K100

13F filers disclose option positions at the market value of the underlying the contracts reference, not the premium paid. A put is a bearish bet (it gains if the stock falls); a call is bullish. “Underlying shares” is the share count the contracts control, not a share holding. These legs are excluded from the equity book, weighting, concentration and sector figures above.

Filing history

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

QuarterAs ofFiledPositionsValueForm
Q1 2026Mar 31, 2026May 4, 20262,356$299.3B13F-HR
Q4 2025Dec 31, 2025Jan 26, 20262,364$36.0B13F-HR
Q3 2025Sep 30, 2025Nov 3, 20252,355$31.9B13F-HR
Q2 2025Jun 30, 2025Jul 21, 20251,816$28.7B13F-HR
Q1 2025Mar 31, 2025Apr 24, 20251,871$24.5B13F-HR
Q4 2024Dec 31, 2024Jan 27, 20251,854$24.6B13F-HR
Q3 2024Sep 30, 2024Oct 23, 20241,772$22.6B13F-HR
Q2 2024Jun 30, 2024Jul 30, 20241,784$20.1B13F-HR
Q1 2024Mar 31, 2024May 1, 20244,618$46.1B13F-HR
Q4 2023Dec 31, 2023Jan 24, 20244,763$49.2B13F-HR
Q3 2023Sep 30, 2023Oct 26, 20234,836$45.4B13F-HR
Q2 2023Jun 30, 2023Aug 10, 20234,827$46.8B13F-HR
Q1 2023Mar 31, 2023May 4, 20234,700$42.9B13F-HR
Q4 2022Dec 31, 2022Feb 9, 20234,318$38.4B13F-HR
Q3 2022Sep 30, 2022Nov 10, 20224,402$37.2B13F-HR
Q2 2022Jun 30, 2022Aug 15, 20224,239$39.3B13F-HR/A
Q1 2022Mar 31, 2022Jun 2, 20223,233$47.7B13F-HR/A
Q4 2021Dec 31, 2021Feb 8, 20223,191$46.7B13F-HR
Q3 2021Sep 30, 2021Nov 15, 20213,419$39.5B13F-HR/A
Q2 2021Jun 30, 2021Aug 11, 20213,287$35.8B13F-HR
Q1 2021Mar 31, 2021May 13, 20212,986$28.8B13F-HR
Amended / restated
  • Q2 2022 · filed Jul 26, 202213F-HR · superseded
  • Q1 2022 · filed May 10, 202213F-HR · superseded
  • Q3 2021 · filed Nov 5, 202113F-HR · superseded

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.