Mirae Asset Global Investments

Mirae Asset Global Investments Portfolio holdings

AUM $28.7B
1-Year Return 20.96%
This Quarter Return
+8.77%
1 Year Return
+20.96%
3 Year Return
+114.88%
5 Year Return
+202.83%
10 Year Return
+496.23%
AUM
$35.8B
AUM Growth
+$7B
Cap. Flow
+$5.04B
Cap. Flow %
14.06%
Top 10 Hldgs %
15.21%
Holding
1,769
New
246
Increased
1,010
Reduced
412
Closed
75

Sector Composition

1 Technology 23.86%
2 Industrials 10.39%
3 Consumer Discretionary 9.46%
4 Materials 8.16%
5 Healthcare 7.77%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
NVS icon
526
Novartis
NVS
$245B
$13.4M 0.04%
146,627
-205
-0.1% -$18.7K
CONE
527
DELISTED
CyrusOne Inc Common Stock
CONE
$13.4M 0.04%
186,951
+14,581
+8% +$1.04M
EWT icon
528
iShares MSCI Taiwan ETF
EWT
$6.49B
$13.4M 0.04%
208,800
-82,810
-28% -$5.3M
EXPD icon
529
Expeditors International
EXPD
$16.5B
$13.4M 0.04%
105,466
-1,425
-1% -$180K
BGS icon
530
B&G Foods
BGS
$368M
$13.3M 0.04%
405,706
+15,192
+4% +$498K
BAB icon
531
Invesco Taxable Municipal Bond ETF
BAB
$923M
$13.3M 0.04%
400,700
-26,100
-6% -$866K
MSM icon
532
MSC Industrial Direct
MSM
$5.1B
$13.3M 0.04%
148,019
+6,325
+4% +$568K
VRSK icon
533
Verisk Analytics
VRSK
$36.7B
$13.3M 0.04%
75,948
+64,575
+568% +$11.3M
SPTN icon
534
SpartanNash
SPTN
$900M
$13.3M 0.04%
686,912
+25,593
+4% +$494K
TITN icon
535
Titan Machinery
TITN
$464M
$13.2M 0.04%
427,683
+150,740
+54% +$4.66M
BWA icon
536
BorgWarner
BWA
$9.34B
$13.2M 0.04%
309,182
+7,201
+2% +$308K
FLG
537
Flagstar Financial, Inc.
FLG
$5.24B
$13.2M 0.04%
398,734
+15,570
+4% +$515K
XOM icon
538
Exxon Mobil
XOM
$480B
$13.2M 0.04%
208,711
+41,106
+25% +$2.59M
CAPL icon
539
CrossAmerica Partners
CAPL
$780M
$13.1M 0.04%
686,776
+25,489
+4% +$486K
PLUG icon
540
Plug Power
PLUG
$1.66B
$13.1M 0.04%
382,079
+4,179
+1% +$143K
BB icon
541
BlackBerry
BB
$2.25B
$13.1M 0.04%
1,068,127
+80,808
+8% +$988K
TGB
542
Taseko Mines
TGB
$1.08B
$13.1M 0.04%
6,155,678
+3,227,412
+110% +$6.84M
CALX icon
543
Calix
CALX
$4.11B
$13M 0.04%
274,368
+95,632
+54% +$4.54M
TRN icon
544
Trinity Industries
TRN
$2.28B
$13M 0.04%
482,817
+170,752
+55% +$4.59M
CMG icon
545
Chipotle Mexican Grill
CMG
$51.9B
$12.9M 0.04%
417,600
+52,300
+14% +$1.62M
TEAM icon
546
Atlassian
TEAM
$45.7B
$12.9M 0.04%
50,154
+6,039
+14% +$1.55M
EMLC icon
547
VanEck JP Morgan EM Local Currency Bond ETF
EMLC
$3.7B
$12.8M 0.04%
409,114
+201,518
+97% +$6.32M
VGR
548
DELISTED
Vector Group Ltd.
VGR
$12.8M 0.04%
+1,275,703
New +$12.8M
MUX icon
549
McEwen Inc.
MUX
$742M
$12.8M 0.04%
925,186
+176,910
+24% +$2.44M
ALX
550
Alexander's
ALX
$1.22B
$12.8M 0.04%
47,619
+1,826
+4% +$489K