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Mirae Asset Global Investments Co., Ltd. 13F 持仓明细(2026-03-31) · 小隐寺数据中心
Mirae Asset Global Investments Co., Ltd.
报告期 2026-03-31 · CIK 0001569395
持仓数
1,570
前50大市值合计
$285.22B
报告期
2026-03-31
当前持仓
调仓
前 50 大持仓
标的
类型
市值
股数
占比*
BRK/A
BERKSHIRE HATHAWAY INC DEL
CL A
$264.60B
368,452
92.8%
NVDA
NVIDIA CORPORATION
COM
$2.60B
14,898,845
0.9%
AAPL
APPLE INC
COM
$1.91B
7,506,435
0.7%
GOOGL
ALPHABET INC
CAP STK CL A
$1.75B
6,102,839
0.6%
MSFT
MICROSOFT CORP
COM
$1.43B
3,866,611
0.5%
AMZN
AMAZON COM INC
COM
$1.12B
5,398,090
0.4%
AVGO
BROADCOM INC
COM
$1.04B
3,363,137
0.4%
TSLA
TESLA INC
COM
$801.4M
2,155,869
0.3%
META
META PLATFORMS INC
CL A
$763.3M
1,334,144
0.3%
VOO
VANGUARD INDEX FDS
S&P 500 ETF SHS
$680.8M
1,139,295
0.2%
MU
MICRON TECHNOLOGY INC
COM
$383.7M
1,135,832
0.1%
NFLX
NETFLIX INC.
COM
$371.9M
3,868,279
0.1%
WMT
WALMART INC
COM
$337.6M
2,716,655
0.1%
AMD
ADVANCED MICRO DEVICES INC
COM
$308.8M
1,517,871
0.1%
TXN
TEXAS INSTRS INC
COM
$275.4M
1,418,558
0.1%
LRCX
LAM RESEARCH CORP
COM NEW
$269.3M
1,260,406
0.1%
QCOM
QUALCOMM INC
COM
$268.8M
2,087,274
0.1%
AMAT
APPLIED MATLS INC
COM
$268.4M
785,337
0.1%
IVV
ISHARES TR
CORE S&P500 ETF
$264.9M
405,514
0.1%
PLTR
PALANTIR TECHNOLOGIES INC
CL A
$262.6M
1,794,926
0.1%
LLY
ELI LILLY & CO
COM
$250.6M
272,496
0.1%
COST
COSTCO WHOLESALE CORPORATION
COM
$246.9M
247,827
0.1%
SPYM
SPDR SERIES TRUST
STATE STREET SPD
$238.0M
3,109,441
0.1%
PEP
PEPSICO INC
COM
$236.3M
1,521,362
0.1%
JPM
JPMORGAN CHASE & CO
COM
$232.8M
791,281
0.1%
AMGN
AMGEN INC
COM
$221.8M
630,304
0.1%
KLAC
KLA CORP
COM NEW
$221.5M
150,400
0.1%
MRK
MERCK & CO INC
COM
$215.0M
1,787,407
0.1%
CVX
CHEVRON CORPORATION
COM
$214.4M
1,036,287
0.1%
IEMG
ISHARES INC
CORE MSCI EMKT
$204.5M
2,932,074
0.1%
INTC
INTEL CORP
COM
$201.1M
4,556,907
0.1%
VZ
VERIZON COMMUNICATIONS INC
COM
$200.0M
3,984,560
0.1%
KO
COCA COLA CO
COM
$180.5M
2,373,163
0.1%
CSCO
CISCO SYS INC
COM
$179.5M
2,313,698
0.1%
TLT
ISHARES TR
20 YR TR BD ETF
$179.0M
2,064,549
0.1%
HD
HOME DEPOT INC
COM
$178.1M
541,495
0.1%
COP
CONOCOPHILLIPS
COM
$173.1M
1,310,997
0.1%
PG
PROCTER & GAMBLE CO
COM
$172.7M
1,195,421
0.1%
—
EXXON MOBIL CORP
COM
$160.2M
944,207
0.1%
ADI
ANALOG DEVICES INC
COM
$159.6M
501,671
0.1%
UNH
UNITEDHEALTH GROUP INC
COM
$159.4M
589,203
0.1%
—
LINDE PLC
SHS
$159.1M
320,993
0.1%
JNJ
JOHNSON & JOHNSON
COM
$157.4M
643,785
0.1%
V
VISA INC
COM CL A
$153.8M
508,831
0.1%
ABT
ABBOTT LABORATORIES
COM
$141.0M
1,372,906
0.0%
MRVL
MARVELL TECHNOLOGY INC
COM
$138.7M
1,400,559
0.0%
CMCSA
COMCAST CORP NEW
CL A
$135.2M
4,709,717
0.0%
SPTL
SPDR SERIES TRUST
STATE STREET SPD
$134.4M
5,111,695
0.0%
ISRG
INTUITIVE SURGICAL INC
COM NEW
$133.5M
289,633
0.0%
VGLT
VANGUARD SCOTTSDALE FDS
LONG TERM TREAS
$131.5M
2,376,266
0.0%
* 占比按本页前 50 大持仓市值合计计算
持仓集中度
按前 50 大市值
96%
前 6 大占比
BRK/A
92.8%
NVDA
0.9%
AAPL
0.7%
GOOGL
0.6%
MSFT
0.5%
AMZN
0.4%
其他
4.1%