Mirae Asset Global Investments
INTU icon

Mirae Asset Global Investments’s Intuit INTU Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$102M Sell
129,740
-71,319
-35% -$56.2M 0.36% 55
2025
Q1
$71M Buy
201,059
+91,595
+84% +$32.4M 0.29% 68
2024
Q4
$69.6M Sell
109,464
-33,345
-23% -$21.2M 0.28% 70
2024
Q3
$88.4M Buy
142,809
+9,606
+7% +$5.95M 0.39% 48
2024
Q2
$86.8M Sell
133,203
-302,118
-69% -$197M 0.43% 42
2024
Q1
$222M Sell
435,321
-51,202
-11% -$26.1M 0.48% 28
2023
Q4
$304M Sell
486,523
-20,332
-4% -$12.7M 0.62% 22
2023
Q3
$258M Buy
506,855
+73,845
+17% +$37.6M 0.57% 24
2023
Q2
$198M Buy
433,010
+14,646
+4% +$6.7M 0.42% 31
2023
Q1
$186M Sell
418,364
-29,301
-7% -$13M 0.43% 33
2022
Q4
$174M Sell
447,665
-73,246
-14% -$28.5M 0.45% 31
2022
Q3
$203M Sell
520,911
-18,884
-3% -$7.35M 0.55% 22
2022
Q2
$208M Buy
539,795
+35,486
+7% +$13.7M 0.53% 26
2022
Q1
$242M Buy
504,309
+48,196
+11% +$23.2M 0.51% 23
2021
Q4
$293M Buy
456,113
+136,426
+43% +$87.8M 0.63% 16
2021
Q3
$172M Buy
319,687
+20,272
+7% +$10.9M 0.44% 33
2021
Q2
$147M Buy
299,415
+32,818
+12% +$16.1M 0.41% 33
2021
Q1
$102M Sell
266,597
-15,875
-6% -$6.08M 0.35% 51
2020
Q4
$107M Buy
282,472
+35,948
+15% +$13.7M 0.4% 49
2020
Q3
$80.4M Buy
246,524
+49,319
+25% +$16.1M 0.4% 45
2020
Q2
$58.4M Buy
197,205
+14,442
+8% +$4.28M 0.35% 51
2020
Q1
$42M Buy
182,763
+2,242
+1% +$516K 0.33% 57
2019
Q4
$47.3M Buy
180,521
+17,667
+11% +$4.63M 0.29% 71
2019
Q3
$43.3M Sell
162,854
-9,193
-5% -$2.44M 0.3% 71
2019
Q2
$44.9M Buy
172,047
+31,360
+22% +$8.18M 0.31% 71
2019
Q1
$36.7M Buy
140,687
+5,210
+4% +$1.36M 0.27% 85
2018
Q4
$26.7M Sell
135,477
-11,382
-8% -$2.24M 0.24% 96
2018
Q3
$33.3M Buy
146,859
+121,940
+489% +$27.7M 0.25% 91
2018
Q2
$5.09M Buy
24,919
+4,398
+21% +$898K 0.07% 177
2018
Q1
$3.56M Buy
20,521
+2,320
+13% +$402K 0.05% 250
2017
Q4
$2.87M Buy
18,201
+2,898
+19% +$457K 0.04% 286
2017
Q3
$2.18M Buy
15,303
+4,018
+36% +$571K 0.04% 313
2017
Q2
$1.5M Buy
11,285
+2,854
+34% +$379K 0.03% 357
2017
Q1
$978K Buy
+8,431
New +$978K 0.02% 373
2014
Q1
Sell
-8,621
Closed -$658K 426
2013
Q4
$658K Buy
8,621
+397
+5% +$30.3K 0.03% 331
2013
Q3
$546K Buy
8,224
+54
+0.7% +$3.59K 0.02% 328
2013
Q2
$498K Buy
+8,170
New +$498K 0.03% 348