Mirae Asset Global Etfs Holdings Ltd. Portfolio Stock Holdings

According to the SEC 13F filed on August 14, 2026, Mirae Asset Global Etfs Holdings Ltd. disclosed 2789 stock positions valued at approximately $83.85B as of quarter-end June 30, 2026. The largest holdings include NVIDIA CORPORATION, MICRON TECHNOLOGY INC, and APPLE INC.

Report Period
June 30, 2026
No. of Stocks
2789
Portfolio Value
$83.85B
Holdings by Sector
Mirae Asset Global Etfs Holdings Ltd. Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
NVIDIA CORPORATIONNVDATechnology2.70%11,345,300-563,532-4.73%$2,264,251,715
MICRON TECHNOLOGY INCMUTechnology2.32%1,688,116-59,600-3.41%$1,946,520,634
APPLE INCAAPLTechnology2.02%5,853,299-201,821-3.33%$1,690,104,053
CAMECO CORPCCJEnergy1.89%15,550,064+176,858+1.15%$1,584,525,321
ADVANCED MICRO DEVICES INCAMDTechnology1.64%2,380,922-15,508-0.65%$1,375,632,138
INTEL CORPINTCTechnology1.42%8,526,683-80,214-0.93%$1,186,834,334
MICROSOFT CORPMSFTTechnology1.39%3,127,167-203,437-6.11%$1,164,672,493
AMAZON COM INCAMZNConsumer Cyclical1.36%4,779,420-211,409-4.24%$1,139,292,987
WHEATON PRECIOUS METALS CORPWPMBasic Materials1.33%9,945,280-681,674-6.41%$1,116,952,817
ALPHABET INCGOOGLCommunication Services1.32%3,110,906-173,807-5.29%$1,110,367,414
BROADCOM INCAVGOTechnology1.32%2,934,259-2,602-0.09%$1,105,604,515
PALANTIR TECHNOLOGIES INCPLTRTechnology1.18%8,501,122+1,050,312+14.10%$990,845,179
TESLA INCTSLAConsumer Cyclical1.13%2,263,678-23,133-1.01%$950,753,405
META PLATFORMS INCMETACommunication Services0.93%1,385,960-62,779-4.33%$780,535,913
RTX CORPORATIONRTXIndustrials0.85%3,776,716-25,279-0.66%$716,556,326
CISCO SYS INCCSCOTechnology0.85%6,051,039-221,872-3.54%$710,774,152
PAN AMERN SILVER CORPPAASBasic Materials0.83%15,588,063+228,921+1.49%$698,176,976
GENERAL DYNAMICS CORPGDIndustrials0.81%1,911,371-147,904-7.18%$677,078,721
LOCKHEED MARTIN CORPLMTIndustrials0.80%1,320,995-122,284-8.47%$672,899,415
QUANTA SVCS INCPWRIndustrials0.79%919,209+69,146+8.13%$661,831,389
COEUR MNG INCCDEBasic Materials0.77%39,643,023+10,748,653+37.20%$646,976,651
CSX CORPCSXIndustrials0.74%13,094,273+1,445,105+12.41%$622,378,544
NORTHROP GRUMMAN CORPNOCIndustrials0.72%1,180,299+487,434+70.35%$601,138,083
MARVELL TECHNOLOGY INCMRVLTechnology0.70%1,981,185+295,946+17.56%$587,643,823
GLOBAL X FDSCOPXOther0.70%7,719,745+1,289,583+20.06%$584,894,642
ALPHABET INCGOOGCommunication Services0.67%1,594,027-5,325-0.33%$562,593,583
EATON CORP PLCETNOther0.67%1,315,571+109,988+9.12%$560,333,038
TRANE TECHNOLOGIES PLCTTOther0.63%1,072,144+84,322+8.54%$526,487,942
NETFLIX INC.NFLXCommunication Services0.61%7,142,388+272,239+3.96%$513,949,233
DEERE & CODEIndustrials0.61%809,233+62,393+8.35%$513,271,528
Showing 30 of 2,789 holdings in the latest reporting period.