Mirae Asset Global Investments Co., Ltd. quarter change: USA Stocks, Reduced
In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, Mirae Asset Global Investments Co., Ltd. opened 117 positions, added to 668, reduced 476, sold out of 50 and left 54 unchanged. The largest increase in value was MU (+$1,146,138,780); the largest decrease was GOOGL (-$209,953,972).
- GOOGL: Country of operation United States; Class CAP STK CL A; Shares 2026-03-31 6,102,839; Shares 2026-06-30 4,323,190.
- NFLX: Country of operation United States; Class COM; Shares 2026-03-31 3,868,279; Shares 2026-06-30 3,620,401.
- QCOM: Country of operation United States; Class COM; Shares 2026-03-31 2,087,274; Shares 2026-06-30 1,915,867.
- PLTR: Country of operation United States; Class CL A; Shares 2026-03-31 1,794,926; Shares 2026-06-30 1,577,606.
Two Form 13F-HR filings compared (SEC CIK 1569395): 2026-03-31 (filed 2026-08-12) and 2026-06-30 (filed 2026-07-22). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.
| Stock | Country of operation | Class | Shares 2026-03-31 | Shares 2026-06-30 | Share change | Value 2026-03-31 | Value 2026-06-30 | Value change |
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GOOGL ALPHABET INC | United States | CAP STK CL A | 6,102,839 | 4,323,190 | -1,779,649 | $1,754,932,383 | $1,544,978,411 | -$209,953,972 |
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NFLX NETFLIX INC. | United States | COM | 3,868,279 | 3,620,401 | -247,878 | $371,935,026 | $258,496,631 | -$113,438,395 |
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QCOM QUALCOMM INC | United States | COM | 2,087,274 | 1,915,867 | -171,407 | $268,799,146 | $354,033,063 | +$85,233,917 |
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PLTR PALANTIR TECHNOLOGIES INC | United States | CL A | 1,794,926 | 1,577,606 | -217,320 | $262,561,776 | $184,059,292 | -$78,502,484 |
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BE BLOOM ENERGY CORP | United States | COM CL A | 424,377 | 347,192 | -77,185 | $57,498,840 | $105,095,018 | +$47,596,178 |
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IAU ISHARES GOLD TR | United States | ISHARES NEW | 589,772 | 283,701 | -306,071 | $51,994,300 | $21,422,263 | -$30,572,037 |
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CPER UNITED STS COMMODITY INDEX F | United States | CM REP COPP FD | 758,100 | 13,500 | -744,600 | $26,101,383 | $509,355 | -$25,592,028 |
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GLW CORNING INC | United States | COM | 197,841 | 194,224 | -3,617 | $26,900,440 | $49,610,636 | +$22,710,196 |
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GEV GE VERNOVA INC | United States | COM | 137,366 | 120,959 | -16,407 | $119,906,781 | $142,109,891 | +$22,203,110 |
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CEG CONSTELLATION ENERGY CORP | United States | COM | 291,896 | 256,004 | -35,892 | $81,511,958 | $63,583,714 | -$17,928,244 |
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COIN COINBASE GLOBAL INC | United States | COM CL A | 141,892 | 56,110 | -85,782 | $24,775,762 | $8,202,721 | -$16,573,041 |
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MTSI MACOM TECH SOLUTIONS HLDGS I | United States | COM | 106,529 | 101,677 | -4,852 | $23,656,895 | $38,674,880 | +$15,017,985 |
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DELL DELL TECHNOLOGIES INC | United States | CL C | 87,549 | 67,949 | -19,600 | $14,369,417 | $29,317,275 | +$14,947,858 |
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INSM INSMED INC | United States | COM PAR $.01 | 92,080 | 18,791 | -73,289 | $15,056,922 | $2,003,496 | -$13,053,426 |
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CTSH COGNIZANT TECHNOLOGY SOLUTIO | United States | CL A | 261,125 | 109,147 | -151,978 | $16,020,018 | $4,227,264 | -$11,792,754 |
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CHTR CHARTER COMMUNICATIONS INC | United States | CL A | 60,571 | 19,094 | -41,477 | $13,076,067 | $2,715,358 | -$10,360,709 |
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STRL STERLING INFRASTRUCTURE INC | United States | COM | 32,880 | 27,568 | -5,312 | $13,391,038 | $23,139,476 | +$9,748,438 |
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GLDM WORLD GOLD TR | United States | SPDR GLD MINIS | 332,700 | 269,700 | -63,000 | $30,837,963 | $21,419,574 | -$9,418,389 |
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VST VISTRA CORP | United States | COM | 259,718 | 187,691 | -72,027 | $39,043,407 | $29,773,423 | -$9,269,984 |
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AAAU GOLDMAN SACHS PHYSICAL GOLD | United States | UNIT | 636,600 | 511,600 | -125,000 | $29,404,554 | $20,244,012 | -$9,160,542 |
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GLD SPDR GOLD TR | United States | GOLD SHS | 70,753 | 57,937 | -12,816 | $30,444,308 | $21,342,832 | -$9,101,476 |
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CME CME GROUP INC | United States | COM | 99,404 | 91,851 | -7,553 | $29,358,972 | $20,283,456 | -$9,075,516 |
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VRSK VERISK ANALYTICS INC | United States | COM | 75,707 | 30,678 | -45,029 | $14,365,404 | $5,507,621 | -$8,857,783 |
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CIEN CIENA CORP | United States | COM NEW | 98,030 | 60,306 | -37,724 | $38,058,187 | $29,583,711 | -$8,474,476 |
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BWXT BWX TECHNOLOGIES INC | United States | COM | 71,613 | 32,367 | -39,246 | $14,644,142 | $6,300,237 | -$8,343,905 |
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ZS ZSCALER INC | United States | COM | 70,167 | 12,078 | -58,089 | $9,843,729 | $1,704,810 | -$8,138,919 |
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SGOL ETFS GOLD TR | United States | PHYSCL GOLD SHS | 754,550 | 669,550 | -85,000 | $33,668,021 | $25,596,897 | -$8,071,124 |
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TLN TALEN ENERGY CORP | United States | COM | 26,884 | 1,566 | -25,318 | $8,582,179 | $601,751 | -$7,980,428 |
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LNG CHENIERE ENERGY INC | United States | COM NEW | 98,141 | 87,012 | -11,129 | $27,848,490 | $20,796,738 | -$7,051,752 |
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HEI HEICO CORP NEW | United States | COM | 25,396 | 192 | -25,204 | $6,963,583 | $68,388 | -$6,895,195 |
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NOC NORTHROP GRUMMAN CORP | United States | COM | 38,283 | 38,253 | -30 | $26,118,194 | $19,482,636 | -$6,635,558 |
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CSGP COSTAR GROUP INC | United States | COM | 227,680 | 92,612 | -135,068 | $9,184,611 | $2,622,771 | -$6,561,840 |
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NET CLOUDFLARE INC | United States | CL A COM | 48,798 | 15,404 | -33,394 | $10,068,979 | $3,778,293 | -$6,290,686 |
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TWLO TWILIO INC | United States | CL A | 54,161 | 5,169 | -48,992 | $6,814,538 | $1,066,520 | -$5,748,018 |
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ETN EATON CORP PLC | | SHS | 127,549 | 120,129 | -7,420 | $45,620,450 | $51,189,369 | +$5,568,919 |
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UEC URANIUM ENERGY CORP | | COM | 502,752 | 123,924 | -378,828 | $6,787,153 | $1,321,030 | -$5,466,123 |
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MCK MCKESSON CORP | United States | COM | 34,138 | 32,189 | -1,949 | $29,541,660 | $24,322,009 | -$5,219,651 |
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SMR NUSCALE PWR CORP | United States | CL A COM | 1,607,540 | 1,221,183 | -386,357 | $17,425,734 | $12,248,465 | -$5,177,269 |
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VSXY VICTORIAS SECRET AND CO | United States | COMMON STOCK | 242,671 | 189,796 | -52,875 | $11,250,227 | $15,844,170 | +$4,593,943 |
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FOXA FOX CORP | United States | CL A COM | 120,625 | 54,974 | -65,651 | $7,044,500 | $2,867,444 | -$4,177,056 |
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AKAM AKAMAI TECHNOLOGIES INC | United States | COM | 102,996 | 65,635 | -37,361 | $11,829,091 | $7,758,714 | -$4,070,377 |
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MTZ MASTEC INC | United States | COM | 55,490 | 52,350 | -3,140 | $17,853,353 | $21,780,741 | +$3,927,388 |
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RDDT REDDIT INC | United States | CL A | 29,687 | 780 | -28,907 | $3,997,354 | $135,392 | -$3,861,962 |
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TEAM ATLASSIAN CORPORATION | | CL A | 62,441 | 7,312 | -55,129 | $4,261,598 | $568,800 | -$3,692,798 |
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LGN LEGENCE CORP | United States | CL A | 94,250 | 20,290 | -73,960 | $5,321,355 | $1,729,317 | -$3,592,038 |
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MDGL MADRIGAL PHARMACEUTICALS INC | United States | COM | 40,926 | 33,420 | -7,506 | $21,423,533 | $17,944,869 | -$3,478,664 |
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ECL ECOLAB INC | United States | COM | 79,470 | 63,736 | -15,734 | $21,140,610 | $17,757,487 | -$3,383,123 |
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O REALTY INCOME CORP | United States | COM | 373,594 | 316,662 | -56,932 | $22,856,480 | $19,620,377 | -$3,236,103 |
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LHX L3HARRIS TECHNOLOGIES INC | United States | COM | 50,034 | 49,357 | -677 | $17,269,235 | $14,342,651 | -$2,926,584 |
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FWONA LIBERTY MEDIA CORP DEL | United States | COM LBTY ONE S A | 36,518 | 72 | -36,446 | $2,851,325 | $6,303 | -$2,845,022 |
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MDB MONGODB INC | United States | CL A | 22,114 | 8,760 | -13,354 | $5,412,844 | $2,942,484 | -$2,470,360 |
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KEYS KEYSIGHT TECHNOLOGIES INC | United States | COM | 63,945 | 58,541 | -5,404 | $18,056,150 | $20,493,447 | +$2,437,297 |
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WM WASTE MGMT INC DEL | United States | COM | 88,243 | 81,103 | -7,140 | $20,277,359 | $18,076,237 | -$2,201,122 |
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FSLY FASTLY INC | United States | CL A | 110,508 | 56,152 | -54,356 | $3,211,362 | $1,030,951 | -$2,180,411 |
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PTC PTC INC | United States | COM | 38,126 | 28,829 | -9,297 | $5,432,573 | $3,275,263 | -$2,157,310 |
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HII HUNTINGTON INGALLS INDS INC | United States | COM | 16,393 | 14,748 | -1,645 | $6,227,701 | $4,127,817 | -$2,099,884 |
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WELL WELLTOWER INC | United States | COM | 279,332 | 252,078 | -27,254 | $55,226,730 | $57,214,143 | +$1,987,413 |
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NTRA NATERA INC | United States | COM | 35,486 | 33,196 | -2,290 | $7,096,845 | $9,011,054 | +$1,914,209 |
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FROG JFROG LTD | United States | ORD SHS | 42,946 | 42,713 | -233 | $2,015,456 | $3,881,757 | +$1,866,301 |
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VMI VALMONT INDS INC | United States | COM | 11,720 | 11,320 | -400 | $4,682,960 | $6,538,432 | +$1,855,472 |
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WING WINGSTOP INC | United States | COM | 13,907 | 1,745 | -12,162 | $2,155,168 | $302,600 | -$1,852,568 |
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PH PARKER-HANNIFIN CORP | United States | COM | 31,413 | 30,574 | -839 | $28,122,175 | $29,905,041 | +$1,782,866 |
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CBOE CBOE GLOBAL MKTS INC | United States | COM | 36,797 | 35,503 | -1,294 | $10,342,533 | $8,615,513 | -$1,727,020 |
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CRCL CIRCLE INTERNET GROUP INC | United States | COM CL A | 24,884 | 10,934 | -13,950 | $2,374,182 | $684,797 | -$1,689,385 |
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EBAY EBAY INC. | United States | COM | 157,475 | 143,110 | -14,365 | $14,333,374 | $15,992,543 | +$1,659,169 |
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FN FABRINET | | SHS | 7,335 | 3,895 | -3,440 | $3,825,349 | $2,189,302 | -$1,636,047 |
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RVMD REVOLUTION MEDICINES INC | United States | COM | 21,104 | 19,618 | -1,486 | $2,052,364 | $3,674,059 | +$1,621,695 |
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CAG CONAGRA BRANDS INC | United States | COM | 103,416 | 3,194 | -100,222 | $1,625,699 | $42,991 | -$1,582,708 |
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EPAM EPAM SYS INC | United States | COM | 11,761 | 511 | -11,250 | $1,592,439 | $40,548 | -$1,551,891 |
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DBO INVESCO DB MULTI-SECTOR COMM | United States | OIL FD | 90,100 | 13,701 | -76,399 | $1,772,267 | $241,823 | -$1,530,444 |
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USL UNITED STS 12 MONTH OIL FD L | United States | UNIT BEN INT | 30,700 | 1 | -30,699 | $1,479,740 | $45 | -$1,479,695 |
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POOL POOL CORP | United States | COM | 6,858 | 73 | -6,785 | $1,387,579 | $15,688 | -$1,371,891 |
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EL LAUDER ESTEE COS INC | United States | CL A | 96,024 | 70,290 | -25,734 | $6,891,642 | $5,549,396 | -$1,342,246 |
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NXT NEXTPOWER INC | United States | CLASS A COM | 65,371 | 55,433 | -9,938 | $7,880,474 | $6,604,288 | -$1,276,186 |
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DOCN DIGITALOCEAN HLDGS INC | United States | COM | 55,755 | 22,551 | -33,204 | $4,782,664 | $3,541,184 | -$1,241,480 |
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SCCO SOUTHERN COPPER CORP | United States | COM | 18,728 | 12,215 | -6,513 | $3,222,340 | $2,128,585 | -$1,093,755 |
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AZN ASTRAZENECA PLC | | ORD | 19,596 | 14,842 | -4,754 | $3,864,723 | $2,814,340 | -$1,050,383 |
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CPB THE CAMPBELLS COMPANY | United States | COM | 43,643 | 450 | -43,193 | $971,930 | $10,022 | -$961,908 |
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INOD INNODATA INC | United States | COM NEW | 44,898 | 35,373 | -9,525 | $1,733,961 | $2,673,491 | +$939,530 |
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YUMC YUM CHINA HLDGS INC | United States | COM | 26,549 | 10,456 | -16,093 | $1,295,060 | $427,337 | -$867,723 |
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JKHY HENRY JACK & ASSOC INC | United States | COM | 19,431 | 16,386 | -3,045 | $3,070,875 | $2,257,008 | -$813,867 |
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LSCC LATTICE SEMICONDUCTOR CORP | United States | COM | 14,498 | 14,029 | -469 | $1,344,834 | $2,145,876 | +$801,042 |
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PWR QUANTA SVCS INC | United States | COM | 111,175 | 83,658 | -27,517 | $61,037,299 | $60,237,106 | -$800,193 |
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PKG PACKAGING CORP AMER | United States | COM | 25,494 | 19,418 | -6,076 | $5,410,336 | $4,626,921 | -$783,415 |
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MOD MODINE MFG CO | United States | COM | 20,180 | 19,220 | -960 | $4,373,208 | $5,132,124 | +$758,916 |
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LYV LIVE NATION ENTERTAINMENT IN | United States | COM | 36,947 | 34,862 | -2,085 | $5,634,787 | $6,383,580 | +$748,793 |
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DOX AMDOCS LTD | | SHS | 11,554 | 553 | -11,001 | $754,014 | $27,949 | -$726,065 |
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INVH INVITATION HOMES INC | United States | COM | 130,592 | 130,340 | -252 | $3,245,212 | $3,937,571 | +$692,359 |
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DOC HEALTHPEAK PROPERTIES INC | United States | COM | 161,503 | 156,095 | -5,408 | $2,653,494 | $3,340,433 | +$686,939 |
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MMYT MAKEMYTRIP LIMITED MAURITIUS | | SHS | 95,362 | 78,927 | -16,435 | $3,556,049 | $4,206,020 | +$649,971 |
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UTHR UNITED THERAPEUTICS CORP DEL | United States | COM | 4,828 | 4,119 | -709 | $2,862,907 | $2,231,798 | -$631,109 |
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NYT NEW YORK TIMES CO MTN BE | United States | CL A | 18,793 | 13,701 | -5,092 | $1,573,538 | $958,796 | -$614,742 |
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IT GARTNER INC | United States | COM | 16,547 | 15,671 | -876 | $2,620,052 | $2,031,275 | -$588,777 |
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FLUT FLUTTER ENTMT PLC | | SHS | 6,597 | 932 | -5,665 | $672,564 | $95,222 | -$577,342 |
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ALGM ALLEGRO MICROSYSTEMS INC | United States | COM | 15,232 | 14,339 | -893 | $480,265 | $998,281 | +$518,016 |
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FTI TECHNIPFMC PLC | United Kingdom | COM | 21,923 | 15,125 | -6,798 | $1,515,537 | $1,002,788 | -$512,749 |
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CEVA CEVA INC | United States | COM | 19,621 | 18,471 | -1,150 | $366,520 | $871,092 | +$504,572 |
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SITM SITIME CORP | United States | COM | 1,375 | 1,294 | -81 | $474,856 | $964,755 | +$489,899 |
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SMCI SUPER MICRO COMPUTER INC | United States | COM NEW | 141,929 | 125,053 | -16,876 | $3,231,724 | $3,667,804 | +$436,080 |
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NWSA NEWS CORP NEW | United States | CL A | 100,655 | 83,809 | -16,846 | $2,509,329 | $2,080,977 | -$428,352 |
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