Titelia

Holdings of Mirae Asset Global Investments Co., Ltd.

1414 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 92.8 % of the equity sleeve

Sector breakdown

  • Financials 89.3 %
  • Technology 3.9 %
  • Communication 1.2 %
  • Consumer discretionary 1.0 %
  • Health care 0.8 %
  • Industrials 0.6 %
  • Consumer staples 0.5 %
  • Funds 0.4 %
  • Energy 0.2 %
  • Utilities 0.2 %
  • Real estate 0.1 %
  • Materials 0.1 %
  • Unattributed 1.7 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.9 %
  • KY 0.0 %
  • GB 0.0 %
  • TW 0.0 %
  • HK 0.0 %
  • IN 0.0 %
  • NL 0.0 %
  • DK 0.0 %
  • SG 0.0 %
  • CN 0.0 %
  • KZ 0.0 %
  • DE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,361298B $99.94 %
2KY3161.1M $0.02 %
3GB557.7M $0.02 %
4TW140.4M $0.01 %
5HK110.6M $0.00 %
6IN18.8M $0.00 %
7NL24.1M $0.00 %
8DK22.1M $0.00 %
9SG12M $0.00 %
10CN41.7M $0.00 %
11KZ11.7M $0.00 %
12DE2565.6K $0.00 %

Positions

RankCompanySharesValueWeight
1Berkshire Hathaway Inc 368,452264.6B $
2NVIDIA Corp 14,898,8452.6B $
3Apple Inc 7,506,4351.9B $
4Alphabet Inc 6,102,8391.8B $
5Microsoft Corp 3,866,6111.4B $
6Amazon.com Inc 5,398,0901.1B $
7Broadcom Inc 3,363,1371B $
8Tesla Inc 2,155,869801.4M $
9Meta Platforms Inc 1,334,144763.3M $
10Vanguard S&P 500 ETF 1,139,295680.8M $
11Micron Technology Inc 1,135,832383.7M $
12Netflix Inc 3,868,279371.9M $
13Walmart Inc 2,716,655337.6M $
14Advanced Micro Devices Inc 1,517,871308.8M $
15Texas Instruments Inc 1,418,558275.4M $
16Lam Research Corp 1,260,406269.3M $
17QUALCOMM Inc 2,087,274268.8M $
18Applied Materials Inc 785,337268.4M $
19iShares Core S&P 500 ETF 405,514264.9M $
20Palantir Technologies Inc 1,794,926262.6M $
21Eli Lilly & Co 272,496250.6M $
22Costco Wholesale Corp 247,827246.9M $
23SPDR Series Trust 3,109,441238M $
24PepsiCo Inc 1,521,362236.3M $
25JPMorgan Chase & Co 791,281232.8M $
26Amgen Inc 630,304221.8M $
27KLA Corp 150,400221.5M $
28Merck & Co Inc 1,787,407215M $
29Chevron Corp 1,036,287214.4M $
30iShares Core MSCI Emerging Markets ETF 2,932,074204.5M $
31Intel Corp 4,556,907201.1M $
32Verizon Communications Inc 3,984,560200M $
33Coca-Cola Co/The 2,373,163180.5M $
34Cisco Systems, Inc. 2,313,698179.5M $
35iShares Trust 2,064,549179M $
36Home Depot Inc/The 541,495178.1M $
37ConocoPhillips 1,310,997173.1M $
38Procter & Gamble Co/The 1,195,421172.7M $
39Exxon Mobil Corp 944,207160.2M $
40Analog Devices Inc 501,671159.6M $
41UnitedHealth Group Inc 589,203159.4M $
42Johnson & Johnson 643,785157.4M $
43Visa Inc 508,831153.8M $
44Abbott Laboratories 1,372,906141M $
45Marvell Technology Inc 1,400,559138.7M $
46Comcast Corp 4,709,717135.2M $
47State Street SPDR Portfolio Long Term Treasury ETF 5,111,695134.4M $
48Intuitive Surgical Inc 289,633133.5M $
49Vanguard Scottsdale Funds 2,376,266131.5M $
50Lockheed Martin Corp 206,531124.8M $
51State Street SPDR S&P 500 ETF Trust 185,168120.4M $
52GE Vernova Inc 137,366119.9M $
53SPDR Index Shares Funds 3,261,220119.3M $
54Bristol-Myers Squibb Co 1,919,528116.4M $
55Gilead Sciences Inc 835,044116.4M $
56iShares Core MSCI EAFE ETF 1,224,205110.8M $
57Automatic Data Processing Inc 543,264110.4M $
58Altria Group, Inc. 1,565,875103.3M $
59Mastercard Inc 206,769103.3M $
60AbbVie Inc 467,766101.7M $
61T-Mobile US Inc 482,983101.4M $
62Caterpillar Inc 130,04392.1M $
63Monolithic Power Systems Inc 83,26391M $
64iShares Trust 651,11090.1M $
65iShares MBS ETF 933,88388.7M $
66Honeywell International Inc 382,78186.5M $
67iShares Core MSCI Europe ETF 1,214,09785.3M $
68Vertex Pharmaceuticals Inc 188,06484M $
69Vanguard Charlotte Funds 1,734,39283.3M $
70Oracle Corp 564,06483M $
71iShares Core U.S. Aggregate Bond ETF 835,02182.9M $
72Constellation Energy Corp. 291,89681.5M $
73VanEck Semiconductor ETF 210,66080.8M $
74Blackstone Inc 691,97279.6M $
75Coherent Corp 332,42579.2M $
76General Electric Co 271,06576.9M $
77EOG Resources Inc 522,64875.6M $
78Palo Alto Networks Inc 470,74475.5M $
79AppLovin Corp 187,94774.8M $
80Teradyne Inc 245,10272.7M $
81Intuit Inc 166,53172M $
82Boeing Co/The 356,28670.9M $
83Crowdstrike Holdings Inc 180,43270.4M $
84Invesco QQQ Trust Series 1 118,91268.6M $
85Vanguard World Fund 1,055,70168.6M $
86Goldman Sachs Group Inc/The 81,04268.6M $
87United Parcel Service Inc 695,32668.4M $
88Fastenal Co 1,449,26167.2M $
89iShares Trust 656,00066M $
90Regeneron Pharmaceuticals, Inc. 84,60865.4M $
91Bank of America Corp 1,326,75164.7M $
92Vertiv Holdings Co 254,20363.7M $
93SPDR Series Trust 691,00063.3M $
94RTX Corp 323,87662.5M $
95INVESCO OPTIMUM YIELD DIVERSIF INVESCO OPTIMUM YIELD DIVERS 3,574,46661.9M $
96Western Digital Corp 227,95761.7M $
97Starbucks Corp 686,36261.5M $
98Quanta Services Inc 111,17561M $
99Synopsys Inc 152,29460.4M $
100Microchip Technology Inc 909,30458.8M $