Mirae Asset Global Investments Co., Ltd. Q4 2019 Filing

Filed February 12, 2020

Portfolio Value

$16.1B

Holdings

1,469

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (1,469 positions)

StockValue
PCTYPAYLOCITY HLDG CORP
$19.6M
DUKDUKE ENERGY CORP NEW
$19.2M
CODICOMPASS DIVERSIFIED HOLDINGS
$19.1M
VRTXVERTEX PHARMACEUTICALS INC
$19.1M
LOGMEURLOGMEIN INC
$19.0M
KEYSKEYSIGHT TECHNOLOGIES INC
$18.9M
AMATAPPLIED MATLS INC
$18.9M
PLANUSDANAPLAN INC
$18.8M
XLESELECT SECTOR SPDR TR
$18.7M
KOCOCA COLA CO
$18.7M
CMRECOSTAMARE INC
$18.6M
DLTRDOLLAR TREE INC
$18.4M
ARCPEURVEREIT INC
$18.2M
4I1PHILIP MORRIS INTL INC
$18.2M
BKEBUCKLE INC
$18.0M
CSXCSX CORP
$18.0M
COUPEURCOUPA SOFTWARE INC
$18.0M
VTVVANGUARD INDEX FDS
$17.8M
ABBVABBVIE INC
$17.6M
STNESTONECO LTD
$17.5M
GISGENERAL MLS INC
$17.4M
TWLOTWILIO INC
$17.4M
PPLPPL CORP
$17.3M
AROCARCHROCK INC
$17.2M
SCHFSCHWAB STRATEGIC TR
$17.1M
QLYSQUALYS INC
$17.0M
SVMSILVERCORP METALS INC
$17.0M
MDTMEDTRONIC PLC
$17.0M
NTESNETEASE INC
$16.8M
GLPIGAMING & LEISURE PPTYS INC
$16.8M
MOALTRIA GROUP INC
$16.7M
PAGSPAGSEGURO DIGITAL LTD
$16.6M
APLEAPPLE HOSPITALITY REIT INC
$16.5M
WASHINGTON PRIME GROUP NEW
$16.5M
MQ8MAG SILVER CORP
$16.4M
HTHTHUAZHU GROUP LTD
$16.3M
MAXREURMAXAR TECHNOLOGIES INC
$16.3M
HSBC HLDGS PLC
$16.2M
BMYBRISTOL MYERS SQUIBB CO
$16.2M
CORNERSTONE ONDEMAND INC
$16.1M
VMBSVANGUARD SCOTTSDALE FDS
$16.1M
REGNREGENERON PHARMACEUTICALS
$16.0M
SPLKCHFSPLUNK INC
$16.0M
JNJJOHNSON & JOHNSON
$15.9M
FAROFARO TECHNOLOGIES INC
$15.7M
TDAYGANNETT CO INC NEW
$15.7M
UTXZUNITED TECHNOLOGIES CORP
$15.6M
GQ9SPDR GOLD TRUST
$15.6M
FTAIEURFORTRESS TRANS INFRST INVS L
$15.6M
BILSPDR SERIES TRUST
$15.5M
USACUSA COMPRESSION PARTNERS LP
$15.3M
MRVLMARVELL TECHNOLOGY GROUP LTD
$15.1M
DBXDROPBOX INC
$15.1M
ZTSZOETIS INC
$15.0M
BARGRANITESHARES GOLD TR
$15.0M
ORCLORACLE CORP
$14.8M
RPREALPAGE INC
$14.8M
AYRAIRCASTLE LTD
$14.7M
RTN1USDRAYTHEON CO
$14.6M
SHYISHARES TR
$14.5M
CLVTRIP COM GROUP LTD
$14.5M
CVXCHEVRON CORP NEW
$14.5M
ELVANTHEM INC
$14.2M
MCDMCDONALDS CORP
$14.2M
MIMECAST LTD
$14.2M
KLACKLA CORPORATION
$14.2M
IAGGISHARES TR
$14.2M
PFEPFIZER INC
$14.1M
HQYHEALTHEQUITY INC
$13.9M
PKPARK HOTELS RESORTS INC
$13.7M
MNSTMONSTER BEVERAGE CORP NEW
$13.7M
PEOEXELON CORP
$13.7M
AVANTOR INC
$13.7M
ROSTROSS STORES INC
$13.6M
GASLOG PARTNERS LP
$13.4M
BONDPIMCO ETF TR
$13.4M
CLDTCHATHAM LODGING TR
$13.4M
NVSNNOVARTIS A G
$13.3M
EWCISHARES INC
$13.3M
DKLDELEK LOGISTICS PARTNERS LP
$13.3M
SHVISHARES TR
$13.3M
CIBEURBANCOLOMBIA S A
$13.2M
BIIBBIOGEN INC
$13.1M
TMUST MOBILE US INC
$13.1M
ILMNILLUMINA INC
$13.0M
VUGVANGUARD INDEX FDS
$12.9M
FUNCEDAR FAIR L P
$12.9M
MUMICRON TECHNOLOGY INC
$12.9M
APAMARTISAN PARTNERS ASSET MGMT
$12.8M
EEMISHARES TR
$12.7M
SNAPSNAP INC
$12.5M
TWTRUSDTWITTER INC
$12.5M
SBCSABRA HEALTH CARE REIT INC
$12.4M
IPHSEURINNOPHOS HOLDINGS INC
$12.3M
BNDVANGUARD BD INDEX FD INC
$12.3M
KRGKITE RLTY GROUP TR
$12.3M
COTYCOTY INC
$12.3M
FASTFASTENAL CO
$12.2M
T77LENDINGTREE INC NEW
$12.2M
MATVSCHWEITZER-MAUDUIT INTL INC
$12.1M
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