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Mirae Asset Global Etfs Holdings LTD.
Mirae Asset Global ETFs Holdings Ltd. is a subsidiary of Mirae Asset Global Investments, a leading global asset manager headquartered in New York, NY, United States. The firm specializes in exchange-traded funds (ETFs), growth equity, venture capital, and traditional fixed income and equity products. It is part of a multinational financial group founded in 1997, with a broad global footprint covering 19 markets and over 15,000 employees worldwide. The firm serves institutional and retail investors by providing innovative, flexible, and transparent investment solutions through its ETF platforms and actively managed funds.
Investment Strategy
Mirae Asset Global ETFs Holdings Ltd. emphasizes broad-based diversification within its ETF portfolios, investing across major global equities, fixed income, and thematic sectors. The fund's strategy combines passive exposure through index-tracking ETFs and active portfolio management to capture opportunities in technology, growth stocks, and global innovation. The firm leans into scalable, transparent, and liquid products, prioritizing value creation, risk management, and global reach by leveraging proprietary research and market expertise.
Latest 13F Filing Activity
Mirae Asset Global Etfs Holdings LTD. filed their most recent 13F report on Jun 30, 2025 disclosing 2,942 equity positions with a total 13F market value of $52B. The fund increased holdings in Nvidia Corporation, Cameco Corp., Broadcom Inc. among other positions. Mirae Asset Global Etfs Holdings LTD. reduced exposure to Western Midstream Partners L, Hess Midstream LP, Apple Inc. among others.
Top Holdings
Equity Positions (2,942)
| Ticker | Security | Weight | Market Value | Shares | Avg Cost | Price | Change (QoQ) |
|---|---|---|---|---|---|---|---|
N NVDA | NVIDIA CORPORATION | 3.76% | $1.94B | 12,291,526 | $124.62 | $157.99 | +$532.7M |
M MSFT | MICROSOFT CORP | 3.08% | $1.59B | 3,199,040 | $447.91 | $497.41 | +$300.0M |
R RSSL | GLOBAL X FDS | 2.69% | $1.39B | 16,297,741 | $80.36 | $85.12 | -$42.2M |
A AAPL | APPLE INC | 2.53% | $1.31B | 6,373,462 | $218.34 | $205.17 | -$199.4M |
A AMZN | AMAZON COM INC | 1.93% | $996.7M | 4,535,959 | $197.92 | $219.39 | +$113.3M |
Industry Allocation
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