Mirae Asset Global Investments Co., Ltd. Q2 2020 Filing

Filed August 11, 2020

Portfolio Value

$16.6B

Holdings

1,449

Report Date

Q2 2020

Filing Type

13F-HR

All Holdings (1,449 positions)

StockValue
TMTOYOTA MOTOR CORP
$405K
FIXXEURHOMOLOGY MEDICINES INC
$405K
AJGGALLAGHER ARTHUR J & CO
$404K
TGNATEGNA INC
$403K
ATENA10 NETWORKS INC
$401K
LBEURL BRANDS INC
$401K
FANGDIAMONDBACK ENERGY INC
$401K
JLSNUVEEN MORTGAGE AND INCOME F
$399K
SUPVGRUPO SUPERVIELLE S.A.
$399K
DEODIAGEO P L C
$399K
CAJPYCANON INC
$399K
MUFGMITSUBISHI UFJ FINL GROUP IN
$398K
ETWEATON VANCE TXMGD GL BUYWR O
$397K
XEMDXWESTERN ASSET EMERGING MKTS
$396K
HEESEURH & E EQUIPMENT SERVICES INC
$396K
ALLIANZGI DIVIDEND INT & PRM
$396K
ETVEATON VANCE TX MNG BY WRT OP
$396K
XYLDGLOBAL X FDS
$395K
EWQISHARES INC
$394K
LVSLAS VEGAS SANDS CORP
$394K
RABROOKFIELD REAL ASSETS INCOM
$392K
ETJEATON VANCE RISK MNGD DIV EQ
$391K
USCRU S CONCRETE INC
$390K
SHYGISHARES TR
$389K
DMOWESTERN ASSET MTG DEFINED OP
$389K
SF9SANDERSON FARMS INC
$387K
ENEL AMERICAS S A
$385K
TAPMOLSON COORS BEVERAGE CO
$385K
TEITEMPLETON EMERGING MKTS INCO
$384K
ORANYORANGE
$383K
3M4MASIMO CORP
$383K
SPEMSPDR INDEX SHS FDS
$383K
EDFSTONE HBR EMERGING MKTS INCO
$382K
XIGDXVOYA GLBL EQTY DIV & PREM OP
$382K
TYLTYLER TECHNOLOGIES INC
$381K
EDDMORGAN STANLEY EMERGING MKTS
$378K
BKTBLACKROCK INCOME TR INC
$376K
MOHMOLINA HEALTHCARE INC
$374K
ANETEURARISTA NETWORKS INC
$373K
LNTALLIANT ENERGY CORP
$372K
HAINHAIN CELESTIAL GROUP INC
$368K
CMPCOMPASS MINERALS INTL INC
$367K
POWLPOWELL INDS INC
$367K
HBC2HSBC HLDGS PLC
$366K
JBHTHUNT J B TRANS SVCS INC
$366K
NDAQNASDAQ INC
$365K
PKGPACKAGING CORP AMER
$364K
LSCCLATTICE SEMICONDUCTOR CORP
$361K
UREUR-ENERGY INC
$360K
AIQGLOBAL X FDS
$358K
AKERNA CORP
$356K
EWNISHARES INC
$355K
MTUSTIMKENSTEEL CORP
$354K
FLOTISHARES TR
$354K
ACADACADIA PHARMACEUTICALS INC
$352K
ARLOARLO TECHNOLOGIES INC
$350K
FMXFOMENTO ECONOMICO MEXICANO S
$349K
ACCUSDAMERICAN CAMPUS CMNTYS INC
$344K
GILGILDAN ACTIVEWEAR INC
$344K
ESGUISHARES TR
$343K
AXTAAXALTA COATING SYS LTD
$335K
BBBYEURBED BATH & BEYOND INC
$335K
GOEXGLOBAL X FDS
$334K
AMCRAMCOR PLC
$325K
NTRNUTRIEN LTD
$324K
REEVEREST RE GROUP LTD
$321K
REGREGENCY CTRS CORP
$321K
G9NGRUPO AEROPUERTO DEL PACIFIC
$319K
RDYDR REDDYS LABS LTD
$319K
BSBRBANCO SANTANDER BRASIL S A
$318K
GPCGENUINE PARTS CO
$317K
P5YBRF SA
$317K
LWLAMB WESTON HLDGS INC
$313K
RYIRYERSON HLDG CORP
$312K
DRIDARDEN RESTAURANTS INC
$310K
FBINFORTUNE BRANDS HOME & SEC IN
$310K
REZIRESIDEO TECHNOLOGIES INC
$310K
BLDPBALLARD PWR SYS INC NEW
$310K
PACBPACIFIC BIOSCIENCES CALIF IN
$309K
BSMBLACK STONE MINERALS L P
$305K
GPROGOPRO INC
$303K
ASRGRUPO AEROPORTUARIO DEL SURE
$302K
ISIIONIS PHARMACEUTICALS INC
$299K
CUCAAVIS BUDGET GROUP
$296K
CD8CRESUD S A C I F Y A
$295K
CGCARLYLE GROUP INC
$293K
37MMRC GLOBAL INC
$290K
AMEDAMEDISYS INC
$287K
PLCECHILDRENS PL INC
$287K
FSKFS KKR CAPITAL CORP
$283K
EWUISHARES TR
$281K
PTCPTC INC
$280K
ETRAE TRADE FINANCIAL CORP
$280K
MTRXMATRIX SVC CO
$279K
LOGMEURLOGMEIN INC
$278K
CARGCARGURUS INC
$278K
ROKUROKU INC
$277K
COHRII-VI INC
$277K
CALMCAL MAINE FOODS INC
$276K
CINFCINCINNATI FINL CORP
$276K
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