Institutional manager
Mirae Asset Global Investments Co., Ltd.
Holds positions in 488 of the S&P 500, worth $293.3bn as reported for the quarter ended 31-mar-2026.
Positions held488of 488 index companies covered
Reported value$293.3bnS&P 500 positions only
Top ten weight94%how concentrated the book is
Filing entities1single filer
Largest positions
The 60 biggest by reported value, of 488 held. The rest are smaller than every one of these.
Berkshire HathawayBRK.B368,743$264.6bnFinancialsNvidiaNVDA14.9m$2.60bnInformation TechnologyApple Inc.AAPL7.5m$1.91bnInformation TechnologyAlphabet Inc. (Class A)GOOGL6.1m$1.76bnCommunication ServicesMicrosoftMSFT3.9m$1.43bnInformation TechnologyAmazonAMZN5.4m$1.12bnConsumer DiscretionaryBroadcomAVGO3.4m$1.04bnInformation TechnologyState Street CorporationSTT15.1m$849mFinancialsTesla, Inc.TSLA2.2m$801mConsumer DiscretionaryMeta PlatformsMETA1.3m$763mCommunication ServicesMicron TechnologyMU1.1m$384mInformation TechnologyNetflixNFLX3.9m$372mCommunication ServicesWalmartWMT2.7m$338mConsumer StaplesAdvanced Micro DevicesAMD1.5m$309mInformation TechnologyTexas InstrumentsTXN1.4m$275mInformation TechnologyLam ResearchLRCX1.3m$269mInformation TechnologyQualcommQCOM2.1m$269mInformation TechnologyApplied MaterialsAMAT785,337$268mInformation TechnologyPalantir TechnologiesPLTR1.8m$263mInformation TechnologyLilly (Eli)LLY272,496$251mHealth CareCostcoCOST247,827$247mConsumer StaplesPepsiCoPEP1.5m$236mConsumer StaplesJPMorgan ChaseJPM791,281$233mFinancialsAmgenAMGN630,304$222mHealth CareKLA CorporationKLAC150,400$221mInformation TechnologyMerck & Co.MRK1.8m$215mHealth CareChevron CorporationCVX1.0m$214mEnergyIntelINTC4.6m$201mInformation TechnologyVerizonVZ4.0m$200mCommunication ServicesCoca-Cola Company (The)KO2.4m$180mConsumer StaplesCiscoCSCO2.3m$180mInformation TechnologyHome Depot (The)HD541,495$178mConsumer DiscretionaryConocoPhillipsCOP1.3m$173mEnergyProcter & GamblePG1.2m$173mConsumer StaplesExxonMobilXOM944,207$160mEnergyAnalog DevicesADI501,671$160mInformation TechnologyUnitedHealth GroupUNH589,203$159mHealth CareLinde plcLIN320,993$159mMaterialsJohnson & JohnsonJNJ643,785$157mHealth CareVisa Inc.V508,831$154mFinancialsAbbott LaboratoriesABT1.4m$141mHealth CareMarvell TechnologyMRVL1.4m$139mInformation TechnologyComcastCMCSA4.7m$135mCommunication ServicesIntuitive SurgicalISRG289,633$134mHealth CareLockheed MartinLMT206,531$125mIndustrialsGE VernovaGEV137,366$120mIndustrialsBristol Myers SquibbBMY1.9m$116mHealth CareGilead SciencesGILD835,044$116mHealth CareAccentureACN582,457$115mInformation TechnologyAutomatic Data ProcessingADP543,264$110mIndustrialsAltriaMO1.6m$103mConsumer StaplesMastercardMA206,769$103mFinancialsAbbVieABBV467,766$102mHealth CareT-Mobile USTMUS482,983$101mCommunication ServicesGoldman SachsGS717,642$98mFinancialsCaterpillar Inc.CAT130,043$92mIndustrialsMonolithic Power SystemsMPWR83,263$91mInformation TechnologyNXP SemiconductorsNXPI432,740$85mInformation TechnologyVertex PharmaceuticalsVRTX188,064$84mHealth CareOracle CorporationORCL564,064$83mInformation Technology
What this page is not
Positions in S&P 500 constituents only, from 13F filings, which report US listed, long, US custodied holdings. A manager's real book is larger than this in every case: anything outside the index, outside US custody, held through derivatives, or below its reporting obligation is not here.
