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.
Top-heavy: concentrated book
Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.
98% mapped to company sectors
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.
Estimated $ traded · quarter-end prices, no cost basis
Bars show each stock's share of the portfolio. Click a row for its position history.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Berkshire Hathaway Inc Del CL A | $264.6B | 368.5K | 88.4% | ▲New New position | |
| 2 | Nvidia Corporation COM | $2.6B | 14.90M | 0.9% | ▲+4.3% Added · +619K sh | |
| 3 | Apple Inc COM | $1.9B | 7.51M | 0.6% | ▲+3.9% Added · +279K sh | |
| 4 | Alphabet Inc CAP STK CL A | $1.8B | 6.10M | 0.6% | ▲+36% Added · +1.6M sh | |
| 5 | Microsoft Corp COM | $1.4B | 3.87M | 0.5% | ▲+3.6% Added · +134K sh | |
| 6 | Amazon Com Inc COM | $1.1B | 5.40M | 0.4% | ▲+5.7% Added · +291K sh | |
| 7 | Broadcom Inc COM | $1.0B | 3.36M | 0.3% | ▲+4.8% Added · +155K sh | |
| 8 | Tesla Inc COM | $801.4M | 2.16M | 0.3% | ▲+12% Added · +227K sh | |
| 9 | Meta Platforms Inc CL A | $763.3M | 1.33M | 0.3% | ▲+0.7% Added · +9K sh | |
| 10 | Vanguard Index FDS S&P 500 ETF SHS | $680.8M | 1.14M | 0.2% | ▼−28% Reduced · −440K sh | |
| 11 | Micron Technology Inc COM | $383.7M | 1.14M | 0.1% | ▼−9.5% Reduced · −120K sh | |
| 12 | Netflix Inc. COM | $371.9M | 3.87M | 0.1% | ▲+21% Added · +672K sh | |
| 13 | Walmart Inc COM | $337.6M | 2.72M | 0.1% | ▲+186% Added · +1.8M sh | |
| 14 | Advanced Micro Devices Inc COM | $308.8M | 1.52M | 0.1% | ▼−15% Reduced · −261K sh | |
| 15 | Texas Instrs Inc COM | $275.4M | 1.42M | 0.1% | ▲+4.2% Added · +57K sh | |
| 16 | Lam Research Corp COM NEW | $269.3M | 1.26M | 0.1% | ▼−8.1% Reduced · −111K sh | |
| 17 | Qualcomm Inc COM | $268.8M | 2.09M | 0.1% | ▲+74% Added · +885K sh | |
| 18 | Applied Matls Inc COM | $268.4M | 785.3K | 0.1% | ▼−1.8% Reduced · −14K sh | |
| 19 | Ishares TR CORE S&P500 ETF | $264.9M | 405.5K | 0.1% | ▼−17% Reduced · −86K sh | |
| 20 | Palantir Technologies Inc CL A | $262.6M | 1.79M | 0.1% | ▲+4.8% Added · +82K sh | |
| 21 | Eli Lilly & Co COM | $250.6M | 272.5K | 0.1% | ▼−1.9% Reduced · −5K sh | |
| 22 | Costco Wholesale Corporation COM | $246.9M | 247.8K | 0.1% | ▲+13% Added · +29K sh | |
| 23 | SPDR Series Trust STATE STREET SPD | $238.0M | 3.11M | 0.1% | ▲+7.8% Added · +224K sh | |
| 24 | Pepsico Inc COM | $236.3M | 1.52M | 0.1% | ▲+11% Added · +156K sh | |
| 25 | JPMorgan Chase & Co COM | $232.8M | 791.3K | 0.1% | ▼−4.6% Reduced · −38K sh | |
| 26 | Amgen Inc COM | $221.8M | 630.3K | 0.1% | ▲+11% Added · +60K sh | |
| 27 | Kla Corp COM NEW | $221.5M | 150.4K | 0.1% | ▼−1.8% Reduced · −3K sh | |
| 28 | Merck & Co Inc COM | $215.0M | 1.79M | 0.1% | ▼−5.0% Reduced · −94K sh | |
| 29 | Chevron Corporation COM | $214.4M | 1.04M | 0.1% | ▲+7.5% Added · +73K sh | |
| 30 | Ishares Inc CORE MSCI EMKT | $204.5M | 2.93M | 0.1% | ▲+19% Added · +471K sh | |
| 31 | Intel Corp COM | $201.1M | 4.56M | 0.1% | ▲+8.6% Added · +360K sh | |
| 32 | Verizon Communications Inc COM | $200.0M | 3.98M | 0.1% | ▼−11% Reduced · −482K sh | |
| 33 | Coca Cola Co COM | $180.5M | 2.37M | 0.1% | ▲+16% Added · +319K sh | |
| 34 | Cisco Sys Inc COM | $179.5M | 2.31M | 0.1% | ▼−29% Reduced · −960K sh | |
| 35 | Ishares TR 20 YR TR BD ETF | $179.0M | 2.06M | 0.1% | ▼−17% Reduced · −437K sh | |
| 36 | Home Depot Inc COM | $178.1M | 541.5K | 0.1% | ▲+18% Added · +81K sh | |
| 37 | ConocoPhillips COM | $173.1M | 1.31M | 0.1% | ▲+7.8% Added · +95K sh | |
| 38 | Procter & Gamble Co COM | $172.7M | 1.20M | 0.1% | ▲+177% Added · +763K sh | |
| 39 | Exxon Mobil Corp COM | $160.2M | 944.2K | 0.1% | ▲+14% Added · +116K sh | |
| 40 | Analog Devices Inc COM | $159.6M | 501.7K | 0.1% | ▼−3.8% Reduced · −20K sh | |
| 41 | Unitedhealth Group Inc COM | $159.4M | 589.2K | 0.1% | ▲+139% Added · +343K sh | |
| 42 | Linde PLC SHS | $159.1M | 321.0K | 0.1% | ▲+32% Added · +77K sh | |
| 43 | Johnson & Johnson COM | $157.4M | 643.8K | 0.1% | ▲+8.3% Added · +50K sh | |
| 44 | Visa Inc COM CL A | $153.8M | 508.8K | 0.1% | ▲+3.4% Added · +17K sh | |
| 45 | Abbott Laboratories COM | $141.0M | 1.37M | 0.0% | ▲+276% Added · +1.0M sh | |
| 46 | Marvell Technology Inc COM | $138.7M | 1.40M | 0.0% | ▲+11% Added · +143K sh | |
| 47 | Comcast Corp New CL A | $135.2M | 4.71M | 0.0% | ▲+134% Added · +2.7M sh | |
| 48 | SPDR Series Trust STATE STREET SPD | $134.4M | 5.11M | 0.0% | ▼−16% Reduced · −962K sh | |
| 49 | Intuitive Surgical Inc COM NEW | $133.5M | 289.6K | 0.0% | ▲+5.7% Added · +16K sh | |
| 50 | Vanguard Scottsdale FDS LONG TERM TREAS | $131.5M | 2.38M | 0.0% | ▼−11% Reduced · −306K sh |
Put / call positions from the 13F — totals include every disclosed option leg
| Type | Underlying | Notional value | Underlying shares |
|---|---|---|---|
| PUT · bearish | INVESCO QQQ TRUST SERIES 1QQQ | $231K | 400 |
| CALL · bullish | ECHOSTAR CORP-ASATS | $12K | 100 |
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.
As-of date vs the date the SEC received each filing
| Quarter | As of | Filed | Positions | Value | Form |
|---|---|---|---|---|---|
| Q1 2026 | Mar 31, 2026 | May 4, 2026 | 2,356 | $299.3B | 13F-HR |
| Q4 2025 | Dec 31, 2025 | Jan 26, 2026 | 2,364 | $36.0B | 13F-HR |
| Q3 2025 | Sep 30, 2025 | Nov 3, 2025 | 2,355 | $31.9B | 13F-HR |
| Q2 2025 | Jun 30, 2025 | Jul 21, 2025 | 1,816 | $28.7B | 13F-HR |
| Q1 2025 | Mar 31, 2025 | Apr 24, 2025 | 1,871 | $24.5B | 13F-HR |
| Q4 2024 | Dec 31, 2024 | Jan 27, 2025 | 1,854 | $24.6B | 13F-HR |
| Q3 2024 | Sep 30, 2024 | Oct 23, 2024 | 1,772 | $22.6B | 13F-HR |
| Q2 2024 | Jun 30, 2024 | Jul 30, 2024 | 1,784 | $20.1B | 13F-HR |
| Q1 2024 | Mar 31, 2024 | May 1, 2024 | 4,618 | $46.1B | 13F-HR |
| Q4 2023 | Dec 31, 2023 | Jan 24, 2024 | 4,763 | $49.2B | 13F-HR |
| Q3 2023 | Sep 30, 2023 | Oct 26, 2023 | 4,836 | $45.4B | 13F-HR |
| Q2 2023 | Jun 30, 2023 | Aug 10, 2023 | 4,827 | $46.8B | 13F-HR |
| Q1 2023 | Mar 31, 2023 | May 4, 2023 | 4,700 | $42.9B | 13F-HR |
| Q4 2022 | Dec 31, 2022 | Feb 9, 2023 | 4,318 | $38.4B | 13F-HR |
| Q3 2022 | Sep 30, 2022 | Nov 10, 2022 | 4,402 | $37.2B | 13F-HR |
| Q2 2022 | Jun 30, 2022 | Aug 15, 2022 | 4,239 | $39.3B | 13F-HR/A |
| Q1 2022 | Mar 31, 2022 | Jun 2, 2022 | 3,233 | $47.7B | 13F-HR/A |
| Q4 2021 | Dec 31, 2021 | Feb 8, 2022 | 3,191 | $46.7B | 13F-HR |
| Q3 2021 | Sep 30, 2021 | Nov 15, 2021 | 3,419 | $39.5B | 13F-HR/A |
| Q2 2021 | Jun 30, 2021 | Aug 11, 2021 | 3,287 | $35.8B | 13F-HR |
| Q1 2021 | Mar 31, 2021 | May 13, 2021 | 2,986 | $28.8B | 13F-HR |
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.