Mirae Asset Global Investments
VEA icon

Mirae Asset Global Investments’s Vanguard FTSE Developed Markets ETF VEA Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$1.51M Sell
26,513
-7,642
-22% -$436K 0.01% 759
2025
Q1
$1.75M Buy
+34,155
New +$1.75M 0.01% 712
2024
Q4
Sell
-42,020
Closed -$2.23M 1682
2024
Q3
$2.23M Buy
42,020
+12,379
+42% +$656K 0.01% 600
2024
Q2
$1.46M Hold
29,641
0.01% 657
2024
Q1
$1.49M Hold
29,641
﹤0.01% 1343
2023
Q4
$1.42M Sell
29,641
-1,020,734
-97% -$48.9M ﹤0.01% 1429
2023
Q3
$45.9M Sell
1,050,375
-586,800
-36% -$25.7M 0.1% 195
2023
Q2
$75.6M Sell
1,637,175
-1,438,500
-47% -$66.4M 0.16% 135
2023
Q1
$139M Sell
3,075,675
-908,534
-23% -$41M 0.32% 51
2022
Q4
$167M Sell
3,984,209
-323,500
-8% -$13.6M 0.44% 33
2022
Q3
$157M Sell
4,307,709
-871,189
-17% -$31.7M 0.42% 35
2022
Q2
$211M Sell
5,178,898
-7,607
-0.1% -$310K 0.54% 24
2022
Q1
$249M Buy
5,186,505
+152,648
+3% +$7.33M 0.52% 22
2021
Q4
$257M Sell
5,033,857
-25,181
-0.5% -$1.29M 0.55% 20
2021
Q3
$255M Sell
5,059,038
-27,594
-0.5% -$1.39M 0.65% 16
2021
Q2
$262M Sell
5,086,632
-196,504
-4% -$10.1M 0.73% 14
2021
Q1
$259M Sell
5,283,136
-6,792
-0.1% -$334K 0.9% 11
2020
Q4
$250M Buy
5,289,928
+7,830
+0.1% +$370K 0.93% 12
2020
Q3
$216M Sell
5,282,098
-31,600
-0.6% -$1.29M 1.08% 11
2020
Q2
$206M Hold
5,313,698
1.24% 9
2020
Q1
$177M Sell
5,313,698
-174,900
-3% -$5.83M 1.38% 8
2019
Q4
$242M Sell
5,488,598
-129,900
-2% -$5.72M 1.5% 7
2019
Q3
$231M Sell
5,618,498
-123,925
-2% -$5.09M 1.61% 7
2019
Q2
$240M Buy
5,742,423
+338,725
+6% +$14.1M 1.64% 6
2019
Q1
$221M Sell
5,403,698
-375,200
-6% -$15.3M 1.61% 7
2018
Q4
$214M Sell
5,778,898
-117,300
-2% -$4.35M 1.94% 5
2018
Q3
$255M Buy
5,896,198
+90,600
+2% +$3.92M 1.88% 5
2018
Q2
$249M Sell
5,805,598
-51,600
-0.9% -$2.21M 3.39% 5
2018
Q1
$259M Hold
5,857,198
3.39% 5
2017
Q4
$263M Buy
5,857,198
+423,700
+8% +$19M 3.52% 4
2017
Q3
$236M Buy
5,433,498
+216,858
+4% +$9.41M 4.29% 3
2017
Q2
$216M Buy
5,216,640
+189,174
+4% +$7.82M 3.74% 3
2017
Q1
$198M Buy
5,027,466
+1,621,457
+48% +$63.7M 3.69% 3
2016
Q4
$124M Sell
3,406,009
-239,700
-7% -$8.76M 2.78% 6
2016
Q3
$136M Buy
3,645,709
+240,695
+7% +$9M 2.82% 8
2016
Q2
$120M Sell
3,405,014
-246,100
-7% -$8.7M 3.11% 6
2016
Q1
$131M Buy
+3,651,114
New +$131M 3.55% 3