Mirae Asset Global Investments
YUMC icon

Mirae Asset Global Investments’s Yum China YUMC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$6.9M Sell
154,339
-11,371,687
-99% -$508M 0.02% 412
2025
Q1
$2.18M Buy
11,526,026
+11,346,069
+6,305% +$2.14M 0.01% 650
2024
Q4
$8.66M Sell
179,957
-72,149
-29% -$3.47M 0.04% 335
2024
Q3
$11.4M Buy
252,106
+7,714
+3% +$348K 0.05% 258
2024
Q2
$7.56M Sell
244,392
-203,891
-45% -$6.31M 0.04% 304
2024
Q1
$23.9M Sell
448,283
-23,955
-5% -$1.28M 0.05% 359
2023
Q4
$20M Buy
472,238
+115,057
+32% +$4.88M 0.04% 424
2023
Q3
$19.9M Sell
357,181
-104,101
-23% -$5.8M 0.04% 416
2023
Q2
$26.1M Sell
461,282
-4,204
-0.9% -$238K 0.06% 347
2023
Q1
$29.5M Buy
465,486
+101,150
+28% +$6.41M 0.07% 305
2022
Q4
$19.9M Sell
364,336
-32,393
-8% -$1.77M 0.05% 377
2022
Q3
$18.8M Sell
396,729
-37,986
-9% -$1.8M 0.05% 376
2022
Q2
$21.1M Sell
434,715
-6,502
-1% -$315K 0.05% 374
2022
Q1
$18.3M Sell
441,217
-101,510
-19% -$4.22M 0.04% 465
2021
Q4
$27.1M Sell
542,727
-82,798
-13% -$4.13M 0.06% 377
2021
Q3
$36.3M Sell
625,525
-157,035
-20% -$9.13M 0.09% 256
2021
Q2
$51.8M Buy
782,560
+488,526
+166% +$32.4M 0.14% 184
2021
Q1
$17.4M Sell
294,034
-243,220
-45% -$14.4M 0.06% 361
2020
Q4
$30.7M Sell
537,254
-397,837
-43% -$22.7M 0.11% 217
2020
Q3
$49M Buy
935,091
+141,000
+18% +$7.39M 0.24% 83
2020
Q2
$38.2M Sell
794,091
-4,263
-0.5% -$205K 0.23% 98
2020
Q1
$34M Sell
798,354
-30,565
-4% -$1.3M 0.27% 76
2019
Q4
$39.8M Buy
828,919
+12,038
+1% +$578K 0.25% 90
2019
Q3
$37.1M Buy
816,881
+525,967
+181% +$23.9M 0.26% 87
2019
Q2
$13.4M Sell
290,914
-64,309
-18% -$2.97M 0.09% 242
2019
Q1
$16M Buy
355,223
+79,397
+29% +$3.57M 0.12% 191
2018
Q4
$9.25M Sell
275,826
-108,015
-28% -$3.62M 0.08% 251
2018
Q3
$13.5M Sell
383,841
-469,481
-55% -$16.5M 0.1% 209
2018
Q2
$32.8M Sell
853,322
-208,315
-20% -$8.01M 0.45% 51
2018
Q1
$44.1M Buy
1,061,637
+604,588
+132% +$25.1M 0.58% 43
2017
Q4
$18.3M Buy
457,049
+391,980
+602% +$15.7M 0.24% 75
2017
Q3
$2.6M Sell
65,069
-164,390
-72% -$6.57M 0.05% 288
2017
Q2
$9.05M Buy
229,459
+201,402
+718% +$7.94M 0.16% 105
2017
Q1
$764K Sell
28,057
-608
-2% -$16.6K 0.01% 400
2016
Q4
$749K Buy
+28,665
New +$749K 0.02% 357