Mirae Asset Global Investments

Mirae Asset Global Investments Portfolio holdings

AUM $28.7B
1-Year Return 20.96%
This Quarter Return
-2.55%
1 Year Return
+20.96%
3 Year Return
+114.88%
5 Year Return
+202.83%
10 Year Return
+496.23%
AUM
$47.7B
AUM Growth
+$941M
Cap. Flow
+$3.6B
Cap. Flow %
7.54%
Top 10 Hldgs %
23.13%
Holding
1,684
New
117
Increased
808
Reduced
612
Closed
109

Sector Composition

1 Technology 27%
2 Industrials 10.47%
3 Consumer Discretionary 8.7%
4 Materials 8.46%
5 Energy 6.77%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
THC icon
1351
Tenet Healthcare
THC
$17.3B
$905K ﹤0.01%
10,527
-2,822
-21% -$243K
IPAC icon
1352
iShares Core MSCI Pacific ETF
IPAC
$1.88B
$901K ﹤0.01%
14,793
-955
-6% -$58.2K
CEPU
1353
Central Puerto
CEPU
$1.52B
$900K ﹤0.01%
223,209
-21,910
-9% -$88.3K
PTON icon
1354
Peloton Interactive
PTON
$3.27B
$883K ﹤0.01%
33,400
-156,843
-82% -$4.15M
SDC
1355
DELISTED
SmileDirectClub, Inc. Class A Common Stock
SDC
$880K ﹤0.01%
339,678
-49,755
-13% -$129K
SUZ icon
1356
Suzano
SUZ
$11.9B
$879K ﹤0.01%
75,669
+3,864
+5% +$44.9K
BZUN
1357
Baozun
BZUN
$207M
$863K ﹤0.01%
100,577
+26,616
+36% +$228K
OCSL icon
1358
Oaktree Specialty Lending
OCSL
$1.23B
$857K ﹤0.01%
38,769
+3,217
+9% +$71.1K
GRVY
1359
GRAVITY
GRVY
$444M
$849K ﹤0.01%
16,773
+1,398
+9% +$70.8K
AAC.U
1360
DELISTED
Ares Acquisition Corporation Units, each consisting of one Class A ordinary share, and one-fifth of one redeemable warrant
AAC.U
$846K ﹤0.01%
85,487
SEE icon
1361
Sealed Air
SEE
$4.82B
$844K ﹤0.01%
+12,601
New +$844K
VSTO
1362
DELISTED
Vista Outdoor Inc.
VSTO
$843K ﹤0.01%
+23,622
New +$843K
HIGA
1363
DELISTED
H.I.G. Acquisition Corp.
HIGA
$837K ﹤0.01%
85,000
SNP
1364
DELISTED
CHINA PETROLEUM & CHEMICAL CORPORATION ADS (REP 100 ORDINARY H SHARES)
SNP
$832K ﹤0.01%
16,808
+2,337
+16% +$116K
CHGG icon
1365
Chegg
CHGG
$185M
$830K ﹤0.01%
22,891
-2,712
-11% -$98.3K
BEPC icon
1366
Brookfield Renewable
BEPC
$5.96B
$827K ﹤0.01%
18,921
+7,109
+60% +$311K
OLPX icon
1367
Olaplex Holdings
OLPX
$994M
$824K ﹤0.01%
52,706
+5,049
+11% +$78.9K
BERY
1368
DELISTED
Berry Global Group, Inc.
BERY
$807K ﹤0.01%
+15,169
New +$807K
ENVX icon
1369
Enovix
ENVX
$1.81B
$795K ﹤0.01%
63,680
+29,274
+85% +$365K
CYXT
1370
DELISTED
Cyxtera Technologies, Inc. Class A Common Stock
CYXT
$795K ﹤0.01%
+65,025
New +$795K
JEF icon
1371
Jefferies Financial Group
JEF
$13.1B
$792K ﹤0.01%
+25,216
New +$792K
PBCT
1372
DELISTED
People's United Financial Inc
PBCT
$792K ﹤0.01%
39,650
-2,161
-5% -$43.2K
BHC icon
1373
Bausch Health
BHC
$2.72B
$791K ﹤0.01%
34,616
-5,426
-14% -$124K
Z icon
1374
Zillow
Z
$21.3B
$791K ﹤0.01%
16,064
-3,501
-18% -$172K
LW icon
1375
Lamb Weston
LW
$8.08B
$780K ﹤0.01%
+13,035
New +$780K