Mirae Asset Global Investments

Mirae Asset Global Investments Portfolio holdings

AUM $28.7B
1-Year Return 20.96%
This Quarter Return
+21.41%
1 Year Return
+20.96%
3 Year Return
+114.88%
5 Year Return
+202.83%
10 Year Return
+496.23%
AUM
$26.9B
AUM Growth
+$6.84B
Cap. Flow
+$3.74B
Cap. Flow %
13.89%
Top 10 Hldgs %
15.73%
Holding
1,614
New
140
Increased
1,057
Reduced
312
Closed
68

Top Buys

1
PDD icon
Pinduoduo
PDD
+$192M
2
UBER icon
Uber
UBER
+$126M
3
ALB icon
Albemarle
ALB
+$110M
4
DIS icon
Walt Disney
DIS
+$94.9M
5
BIDU icon
Baidu
BIDU
+$75.1M

Top Sells

1
AAPL icon
Apple
AAPL
+$90.9M
2
MELI icon
Mercado Libre
MELI
+$58.9M
3
SE icon
Sea Limited
SE
+$52.2M
4
AMZN icon
Amazon
AMZN
+$47.6M
5
ZM icon
Zoom
ZM
+$44.8M

Sector Composition

1 Technology 25.81%
2 Consumer Discretionary 11.21%
3 Healthcare 8.28%
4 Communication Services 7.83%
5 Energy 6.04%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TECK icon
501
Teck Resources
TECK
$19.1B
$9.57M 0.04%
527,911
+144,527
+38% +$2.62M
RGLD icon
502
Royal Gold
RGLD
$12.2B
$9.56M 0.04%
89,902
-4,205
-4% -$447K
ZTO icon
503
ZTO Express
ZTO
$15.3B
$9.49M 0.04%
325,461
+25,520
+9% +$744K
HYG icon
504
iShares iBoxx $ High Yield Corporate Bond ETF
HYG
$17.9B
$9.45M 0.04%
108,213
+37,290
+53% +$3.26M
SUN icon
505
Sunoco
SUN
$6.98B
$9.44M 0.04%
327,975
+39,661
+14% +$1.14M
NHI icon
506
National Health Investors
NHI
$3.73B
$9.39M 0.03%
135,720
-5,725
-4% -$396K
DCUE
507
DELISTED
Dominion Energy, Inc. 2019 Series A Corporate Units
DCUE
$9.39M 0.03%
93,549
+27,319
+41% +$2.74M
CB icon
508
Chubb
CB
$110B
$9.38M 0.03%
60,961
+7,808
+15% +$1.2M
ASHR icon
509
Xtrackers Harvest CSI 300 China A-Shares ETF
ASHR
$2.3B
$9.36M 0.03%
233,530
-39,870
-15% -$1.6M
CSGP icon
510
CoStar Group
CSGP
$37.3B
$9.35M 0.03%
101,130
+23,180
+30% +$2.14M
PLUG icon
511
Plug Power
PLUG
$1.63B
$9.3M 0.03%
274,289
+225,651
+464% +$7.65M
UUUU icon
512
Energy Fuels
UUUU
$3.02B
$9.3M 0.03%
2,193,138
+271,513
+14% +$1.15M
EME icon
513
Emcor
EME
$27.9B
$9.25M 0.03%
101,144
+59,863
+145% +$5.47M
JNPR
514
DELISTED
Juniper Networks
JNPR
$9.18M 0.03%
408,030
+67,328
+20% +$1.52M
WM icon
515
Waste Management
WM
$88.3B
$9.18M 0.03%
77,867
-2,298
-3% -$271K
MDU icon
516
MDU Resources
MDU
$3.28B
$9.05M 0.03%
903,050
+563,287
+166% +$5.64M
LTC
517
LTC Properties
LTC
$1.68B
$9.03M 0.03%
232,004
+11,027
+5% +$429K
MTZ icon
518
MasTec
MTZ
$13.8B
$8.92M 0.03%
130,790
+81,572
+166% +$5.56M
COF icon
519
Capital One
COF
$142B
$8.88M 0.03%
89,837
+2,212
+3% +$219K
IHI icon
520
iShares US Medical Devices ETF
IHI
$4.35B
$8.87M 0.03%
162,600
+136,200
+516% +$7.43M
HBM icon
521
Hudbay
HBM
$5.15B
$8.75M 0.03%
1,250,429
+316,936
+34% +$2.22M
LIT icon
522
Global X Lithium & Battery Tech ETF
LIT
$1.14B
$8.73M 0.03%
141,050
+70,308
+99% +$4.35M
IEP icon
523
Icahn Enterprises
IEP
$4.75B
$8.67M 0.03%
171,089
+24,804
+17% +$1.26M
VMW
524
DELISTED
VMware, Inc
VMW
$8.67M 0.03%
61,790
-154
-0.2% -$21.6K
BMI icon
525
Badger Meter
BMI
$5.29B
$8.63M 0.03%
91,787
+28,741
+46% +$2.7M