Mirae Asset Global Investments
ASML icon

Mirae Asset Global Investments’s ASML ASML Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$109M Sell
135,434
-21,239
-14% -$17M 0.38% 49
2025
Q1
$94.1M Buy
156,673
+35,991
+30% +$21.6M 0.38% 49
2024
Q4
$86.1M Buy
120,682
+12,972
+12% +$9.25M 0.35% 49
2024
Q3
$90.6M Buy
107,710
+11,279
+12% +$9.49M 0.4% 46
2024
Q2
$99.1M Sell
96,431
-64,760
-40% -$66.6M 0.49% 34
2024
Q1
$140M Buy
161,191
+9,766
+6% +$8.47M 0.3% 57
2023
Q4
$115M Sell
151,425
-7,855
-5% -$5.95M 0.23% 88
2023
Q3
$93.8M Buy
159,280
+18,816
+13% +$11.1M 0.21% 100
2023
Q2
$102M Sell
140,464
-9,651
-6% -$6.99M 0.22% 87
2023
Q1
$102M Sell
150,115
-108,197
-42% -$73.7M 0.24% 80
2022
Q4
$142M Sell
258,312
-12,746
-5% -$6.99M 0.37% 43
2022
Q3
$114M Buy
271,058
+101,461
+60% +$42.6M 0.31% 54
2022
Q2
$80.7M Sell
169,597
-60,326
-26% -$28.7M 0.21% 105
2022
Q1
$154M Buy
229,923
+29,290
+15% +$19.6M 0.32% 47
2021
Q4
$160M Buy
200,633
+11,866
+6% +$9.47M 0.34% 51
2021
Q3
$141M Buy
188,767
+5,262
+3% +$3.92M 0.36% 45
2021
Q2
$127M Sell
183,505
-195
-0.1% -$135K 0.35% 47
2021
Q1
$113M Sell
183,700
-48,979
-21% -$30.2M 0.39% 44
2020
Q4
$113M Sell
232,679
-31,212
-12% -$15.2M 0.42% 44
2020
Q3
$97.9M Buy
263,891
+60,955
+30% +$22.6M 0.49% 35
2020
Q2
$74.7M Sell
202,936
-51,869
-20% -$19.1M 0.45% 40
2020
Q1
$66.7M Buy
254,805
+96,057
+61% +$25.1M 0.52% 36
2019
Q4
$47M Buy
158,748
+23,819
+18% +$7.05M 0.29% 72
2019
Q3
$33.5M Buy
134,929
+126,178
+1,442% +$31.3M 0.23% 100
2019
Q2
$1.81M Buy
8,751
+1,064
+14% +$220K 0.01% 733
2019
Q1
$1.43M Buy
7,687
+664
+9% +$124K 0.01% 724
2018
Q4
$1.09M Buy
7,023
+466
+7% +$72.5K 0.01% 743
2018
Q3
$1.23M Buy
6,557
+1,334
+26% +$251K 0.01% 779
2018
Q2
$1.02M Sell
5,223
-7,904
-60% -$1.55M 0.01% 505
2018
Q1
$2.61M Buy
13,127
+2,819
+27% +$560K 0.03% 313
2017
Q4
$1.79M Buy
10,308
+5,204
+102% +$905K 0.02% 373
2017
Q3
$870K Buy
5,104
+1,649
+48% +$281K 0.02% 446
2017
Q2
$447K Buy
3,455
+1,355
+65% +$175K 0.01% 523
2017
Q1
$279K Buy
+2,100
New +$279K 0.01% 572