- New Purchases: TLRY, WES, ETRN, VOX, AM, IEUR, PLAN, COUP, XLF, PAYC, RAMP, IIPR, DBX, RP, PCTY, LOGM, CSOD, SHV, EVBG, BOX, VIS, SITC, SWM, AYR, OPI, TWOU, VOD, SPSC, CAPL, RC, CRBP, WK, ZYNE, XXII, CVRS, CONE, VFH, PYX, SNY, UN, GORO, YGYI, COR, VNET, NTEC, BNFT, LK, CQQQ, KWEB, AFG, ASB, BHC, CRL, TCF, TGNA, EQC, IBKC, MAN, NFG, STL, SNE, WRI, AXU, QTS, BHF, VICI, NIO, ELAN, ALC, CTVA, EPOL, ERUS, EUFN, LIT, PHB, RWO, TBF, UNG, VCLT, VTI, ABB, AVX, ALNY, AIV, ARWR, ATO, AN, SAN, BTI, CPL, CAJ, CHT, CCU, DEO, RDY, FICO, FRT, FNF, ORAN, GHDX, ASR, HRB, HSBC, HCSG, MTG, MUR, NGG, QGEN, RJF, STE, STRA, SUI, TM, WW, ZIOP, OMAB, BIP, SRNE, DISCK, BUD, OIBR.C, PACB, ZG, SXC, PTCT, CHGG, RARE, KN, TRUE, ONCE, BPMC, TTD, LAUR, BTU, CARG, SE, SJIU, TW, FDD, IGF, XOP,
- Added Positions: EMB, GWPH, XLK, SMG, NFLX, HUYA, C, BNDX, XLP, VT, EWJ, HYG, XLY, AGG, DLR, AMD, BVN, DPZ, EXAS, MOMO, QSR, SHOP, TWLO, ZS, VGK, AKAM, ALB, PFPT, MRVL, CRM, VEA, XLI, CEQP, ZEN, MSFT, QLYS, MIME, GLD, JNK, VCIT, ZTS, GLOP, EWL, IBB, INTU, DIS, SQM, NGL, NRZ, IEMG, PYPL, VNQ, XLU, DUK, FAST, LMT, MCD, TCP, VZ, WDAY, MPLX, RSX, ALXN, AU, NLY, FIS, COST, DRI, ENS, JNJ, MFA, NYMT, OKE, TOT, ET, EDU, VMW, CIM, TWO, ARR, IVR, PMT, ARI, SSNC, TSLA, TRGP, FB, BKI, FDC, SQ, TME, BND, LQD, VTWO, VWO, XBI, T, ATVI, ABR, BSX, BXMT, CMCSA, DHR, GRMN, GEL, HL, HON, HPT, MIC, NEM, NVS, OHI, PPL, PAAS, PAYX, QCOM, RWT, RGLD, SFL, WM, WEC, EBAY, AWK, GPL, TREE, WFCPL.PFD, STWD, HTHT, PBA, VER, GWRE, GLOG, SPLK, PSXP, IRT, PEGI, BURL, GLPI, LADR, HQY, BZUN, APLE, GNL, OKTA, GPMT, RLJPA.PFD, PAGS, CLNC, BWX, EPP, EWA, EWZ, IAGG, IEF, IXN, LEMB, SCZ, SHY, XLRE, ACN, A, ALGN, MO, DOX, APU, AAPL, AMAT, BHP, BP, BIIB, EPAY, BMY, BKE, CSX, CVS, FUN, CNC, CHS, CTAS, CSGP, CXW, CVA, CY, DVA, DXCM, DKS, ENB, EXC, FFIV, FISV, GILD, HE, HEP, IBM, IBN, BCOR, INFY, KLAC, KEY, KMB, MDLZ, JEF, MKC, MPW, TAP, MCO, NUE, ORCL, PEP, O, SBAC, SWKS, SO, SBUX, SYK, SYMC, SNPS, TSM, TXN, TNP, UTX, UVV, NS, VGR, VRSN, WPC, WAT, ANTM, WMB, CODI, IPHS, NCMI, CQP, CPLP, TMUS, EDN, BGS, MSCI, BACPL.PFD, KDP, CLDT, SIX, QUAD, ENV, CMRE, GM, SBRA, FRC, ANDX, DKL, USAC, APAM, COTY, AMC, NEWM, ENBL, LPG, PBFX, WPG, LC, LBRDK, VIRT, FTAI, GCI, PK, KREF, BDXA.PFD, CCIPA.PFD, SAIL, SREPB.PFD, LTHM, BKLN, EEMA, FEZ, FLOT, IHI, INDA, IVE, PCY, SCHF, USO, VIG, VTV, XLE, CB, AKS, PLD, ASML, SRPT, ABMD, AYI, AAP, ALK, ARE, ATI, ADS, ARLP, ALL, AMX, ACC, AXP, AMP, AME, IVZ, AXE, ANSS, AINV, ARCC, AGX, ARRY, AJG, AHT, ASTE, AVB, BBAR, BMI, BIDU, BBD, BAC, OZK, BDC, BRK.B, BMRN, BWA, BXP, BG, CBRE, CBS, CMS, CEO, CALM, CPT, KMX, CAH, CCL, CRI, CE, CENX, CHKP, CHL, CHH, CTXS, CLF, TPR, CCEP, CL, CMCO, CMC, CIG, SID, VALE, ABEV, SBS, DXC, ED, COO, CR, BAP, CRESY, CMI, DTE, DVN, DRE, DY, EOG, EXP, EMN, ETN, EA, EME, EMR, EFX, EQIX, ELS, EQR, EXPO, FNB, FITB, PACW, FHN, FLR, F, GME, IT, GWR, GPC, ROCK, GIL, GPN, GT, GRC, GVA, GBX, HDB, HAIN, HOG, HIG, HAS, HCP, HSIC, HLF, HSY, HFC, HOLX, HRL, HUBB, HBAN, INFO, IRS, IDXX, AEGN, IIIN, IDCC, ISBC, IONS, ITRI, TRQ, JKHY, JEC, JCI, JLL, JNPR, KSU, K, KIM, KRG, KSS, LKQ, LRCX, LAZ, LEN, LBTYA, LB, LECO, LFUS, LYV, LOW, MTB, MDU, MTW, MAR, MLM, MTZ, MAS, MTRX, SPGI, MCK, MET, MTD, MCHP, MU, MAA, MTX, MITK, MUFG, MS, MLI, NTGR, NTAP, NYCB, JWN, NSC, ES, NUS, OGE, ON, ORI, OTEX, PCAR, PNC, PPG, PKG, PTC, PBCT, TPC, PKI, PBR, PHG, PNFP, PNW, RL, POWL, PSA, PWR, DGX, ROLL, RPM, RMBS, RHT, REG, RF, RS, WRK, ROK, ROL, RYAAY, SLM, SPXC, SAFM, SA, SHW, SWIR, SLAB, SPG, SIRI, SNA, SON, RBBN, LUV, TRV, STT, STRL, SPH, STI, TJX, TTWO, TISI, TFX, TEX, TTEK, GEO, TMO, TRI, TOL, TD, TSCO, TRMB, UAL, USB, ULBI, UMPQ, UAA, UBSI, UDR, URI, X, UNM, VFC, VLY, VMI, OSPN, VTR, VIAB, VNO, GWW, WNC, WAB, WMT, WBA, WCG, WCC, EVRG, WDC, WLK, WHR, WLTW, WTFC, WIT, WYNN, XEL, YUM, ZIXI, BGCP, HEES, CMG, HAYN, TEI, BKT, EMD, NFJ, IGD, ETV, ETW, MWA, HTGC, WU, ORBC, PRIM, FSLR, SPR, WLDN, AIMC, HSBCPA, PNNT, DAL, ACM, EDD, BKCC, TEL, ETJ, G, MAIN, ULTA, TITN, AGI, MYRG, RGA, PBR.A, CYOU, LAC, SLRC, NYCBPU.PFD, JLS, VRSK, DG, LEA, DMO, ST, CALX, GBDC, VEON, VUZI, EDF, USCR, FLT, NLSN, HCA, AL, MITT, RLJ, NMFC, GRPN, PFLT, ANGI, APTV, ZNGA, TRIP, CPRI, RXN, TCPC, MRC, TGLS, PNR, SRC, SUN, BERY, AMBA, TRCO, BFAM, BRSS, BLUE, HDS, CDW, SFM, FEYE, BRX, AAL, ALLY, ATEN, TSLX, GRUB, NAVI, DNOW, ANET, MOBL, GPRO, TMST, SAGE, WMS, SYF, W, ZAYO, KEYS, ONDK, SENS, GSBD, ETSY, FIT, ENR, ALRM, KHC, RPD, PLNT, CSWI, RACE, YRD, SUPV, ATKR, HRI, FTV, PI, VST, FRTA, AA, LW, ATH, TRVG, RA, ARNC, SNAP, VERI, SWP, CGBD, BHGE, DESP, FSCT, ADT, CAAP, CEPU, SPOT, BILI, QTSPB.PFD, FTVPA.PFD, TENB, ARLO, FTCH, IFFT, CWB, DFE, DFJ, EPI, EWU, EWW, EWY, FPE, FXI, GDX, GLDM, ITA, IXP, JXI, KXI, LTPZ, MBB, MOAT, SDIV, SH, SOXX, USMV, VNM, VPU, VUG,
- Reduced Positions: BKNG, FMC, AMZN, EEM, APD, VOO, BABA, GOOGL, ACWI, ITW, QQQ, IVV, CME, LLY, IEFA, UNH, WP, EMLC, XLV, CTSH, NEE, IR, REGN, ISRG, WPM, PANW, STZ, TAL, MNST, V, NOW, SCHW, CTRP, JPM, NVDA, SCHB, HUM, ZBRA, TGE, GIS, PAC, MELI, PAGP, HD, MRK, EZU, VNQI, ADBE, CTL, XOM, ORLY, PG, ASHR, DXJ, BPL, CDNS, NTES, AROC, SREPA.PFD, VCSH, VPL, BA, CI, INTC, RTN, TRP, PM, AGNC, SEMG, AZO, CAT, FMX, SSRM, XLNX, EWC, EWN, HEDJ, ABT, AZN, AVA, CIB, CNP, CCI, DLTR, EPR, EXPE, GGAL, INCY, SAP, VMC, AGN, WFC, MA, EC, FTNT, PAM, CHTR, HLT, YUMC, AAXJ, EWQ, Y, AEP, ADSK, BCH, BLK, CCJ, CPB, CELG, CX, CERN, CVX, CSCO, KO, ENLC, DD, EL, RE, BEN, ICE, MKTX, MMC, MDT, MYL, NKE, NBL, NOC, TLK, PFE, PSEC, RSG, ROST, SYY, TGT, TEO, UNP, YPF, IRBT, L, S, LBTYK, MAG, AG, FSM, SVM, AVGO, KMI, YNDX, VIPS, PSX, EQM, TWTR, ALLE, GOOG, AVAL, HPE, AZUL, AIZP.PFD, NBRPA.PFD, STNE, DELL, BOND, EWD, EWH, HYLB, MCHI, PFF, SCIF, SPY, URTH, USL, MMM, JOBS, AES, AGCO, AFL, LNT, HES, AEE, AIG, IEP, AMT, AMTD, APH, APC, ADI, AON, APA, ADM, AGO, ALV, ADP, BBT, BLL, BK, BNS, GOLD, BAX, BDX, BBY, BF.B, CF, CHRW, COG, COF, TRXC, CHD, CINF, CLX, KOF, CGNX, COLM, CMA, CBD, CMP, CAG, COP, CPRT, INGR, GLW, XRAY, D, DOV, ECL, EIX, EW, EGO, ECA, ENIA, ETR, EXPD, EXR, FDS, FDX, M, FE, FL, GD, GE, GGB, GSS, GS, GHM, TV, HAL, LHX, WELL, HPQ, HST, IDA, IPG, SJM, KR, LLL, LH, LTM, LSCC, LNC, MGM, MANT, MRO, MKL, MBT, MSI, NRG, NDAQ, NOV, NKTR, NBIX, NGD, NI, NTRS, NWE, NG, OXY, OMC, PH, BRFS, PXD, NTR, PFG, PGR, PRU, PEG, MEET, RDWR, RMD, ROP, RCL, RDS.A, R, SINA, SKM, SLG, STX, SGEN, XPO, SRE, SCCO, SWK, STLD, SU, TROW, VIV, TDS, TXT, TIF, TKR, GL, TSS, TGS, TRN, TSN, MUX, UGI, UGP, UPS, UHS, VLO, WY, ZBH, ZION, USAS, TDG, QRTEA, TECK, LDOS, GLUU, EXK, BR, DNN, BX, DFS, CXO, UEC, HBM, MAXR, UUUU, BTG, AQN, IPI, URG, KL, BSBR, KKR, LYB, NXPI, NOAH, BAH, INXN, AGRO, ARCO, UAN, MOS, MPC, PVG, FBHS, EPAM, POST, YELP, FANG, YY, ABBV, NCLH, HASI, DATA, NXE, VEDL, VEEV, ATHM, VRNS, WB, AY, NEP, GLOB, TERP, CTLT, CFG, CYBR, HUBS, ASND, SUM, OLLI, SILV, MTCH, SCWX, SITE, ZTO, GDS, LOMA, IQ, CBLK, EQH, ESTA, FOXA, FOX, DOW, BOTZ, DEM, DIV, EWT, FM, IAU, INDY, IWM, PPLT, SHYG, SRLN, STIP, TIP, TLT, XLB,
- Sold Out: 1WG, ITOT, PRGO, 5711, LXP, UNIT, CNSL, ELLI, SNH, MMLP, CWEN, SXCP, GOKA, SMLP, TUP, IWD, ULTI, WTM, IWB, COHR, CZR, CLNY, IRDMB.PFD, ACA, DSSI, IEI, PSK, XLC, ARRS, HOLI, AIZ, DK, HP, HUN, USG, OLN, NXST, XEC, GPS, IRM, KT, BEST, MGRC, CVNA, HCM, BGNE, RAD, TGB, PBF, UTHR, LRN, AKG, KEYW, AIV1,
For the details of Mirae Asset Global Investments Co., Ltd.'s stock buys and sells, go to https://www.gurufocus.com/guru/mirae+asset+global+investments+co.%2C+ltd./current-portfolio/portfolioportfolio
These are the top 5 holdings of Mirae Asset Global Investments Co., Ltd.- Alibaba Group Holding Ltd (BABA) - 2,395,979 shares, 2.83% of the total portfolio. Shares reduced by 8.74%
- iShares Core S&P 500 ETF (IVV) - 1,269,270 shares, 2.60% of the total portfolio. Shares reduced by 7.09%
- Vanguard S&P 500 ETF (VOO) - 1,210,111 shares, 2.27% of the total portfolio. Shares reduced by 12.84%
- Microsoft Corp (MSFT) - 2,043,396 shares, 1.91% of the total portfolio. Shares added by 4.19%
- Amazon.com Inc (AMZN) - 142,439 shares, 1.88% of the total portfolio. Shares reduced by 22.81%
Mirae Asset Global Investments Co., Ltd. initiated holding in Tilray Inc. The purchase prices were between $34.66 and $63.73, with an estimated average price of $47.74. The stock is now traded at around $40.05. The impact to a portfolio due to this purchase was 0.85%. The holding were 2,624,692 shares as of .
New Purchase: Western Midstream Partners LP (WES)Mirae Asset Global Investments Co., Ltd. initiated holding in Western Midstream Partners LP. The purchase prices were between $28.26 and $34.93, with an estimated average price of $30.85. The stock is now traded at around $23.57. The impact to a portfolio due to this purchase was 0.38%. The holding were 1,778,478 shares as of .
New Purchase: Equitrans Midstream Corp (ETRN)Mirae Asset Global Investments Co., Ltd. initiated holding in Equitrans Midstream Corp. The purchase prices were between $19.24 and $22.04, with an estimated average price of $20.79. The stock is now traded at around $13.25. The impact to a portfolio due to this purchase was 0.21%. The holding were 1,518,394 shares as of .
New Purchase: Vanguard Telecommunication Services ETF (VOX)Mirae Asset Global Investments Co., Ltd. initiated holding in Vanguard Telecommunication Services ETF. The purchase prices were between $81.39 and $90.49, with an estimated average price of $86.49. The stock is now traded at around $85.86. The impact to a portfolio due to this purchase was 0.21%. The holding were 355,900 shares as of .
New Purchase: Antero Midstream Corp (AM)Mirae Asset Global Investments Co., Ltd. initiated holding in Antero Midstream Corp. The purchase prices were between $11 and $14.31, with an estimated average price of $12.82. The stock is now traded at around $6.91. The impact to a portfolio due to this purchase was 0.17%. The holding were 2,085,801 shares as of .
New Purchase: iShares Core MSCI Europe ETF (IEUR)Mirae Asset Global Investments Co., Ltd. initiated holding in iShares Core MSCI Europe ETF. The purchase prices were between $43.78 and $46.6, with an estimated average price of $45.52. The stock is now traded at around $43.46. The impact to a portfolio due to this purchase was 0.17%. The holding were 510,800 shares as of .
Added: iShares J.P. Morgan USD Emerging Markets Bond ETF (EMB)Mirae Asset Global Investments Co., Ltd. added to a holding in iShares J.P. Morgan USD Emerging Markets Bond ETF by 803.07%. The purchase prices were between $107.18 and $113.08, with an estimated average price of $108.94. The stock is now traded at around $113.06. The impact to a portfolio due to this purchase was 1.29%. The holding were 1,839,540 shares as of .
Added: GW Pharmaceuticals PLC (GWPH)Mirae Asset Global Investments Co., Ltd. added to a holding in GW Pharmaceuticals PLC by 4268.71%. The purchase prices were between $155.74 and $187.21, with an estimated average price of $172.86. The stock is now traded at around $155.61. The impact to a portfolio due to this purchase was 0.67%. The holding were 574,179 shares as of .
Added: Technology Select Sector SPDR Fund (XLK)Mirae Asset Global Investments Co., Ltd. added to a holding in Technology Select Sector SPDR Fund by 4059.92%. The purchase prices were between $70.63 and $78.96, with an estimated average price of $76.22. The stock is now traded at around $78.02. The impact to a portfolio due to this purchase was 0.46%. The holding were 857,900 shares as of .
Added: The Scotts Miracle Gro Co (SMG)Mirae Asset Global Investments Co., Ltd. added to a holding in The Scotts Miracle Gro Co by 7177.00%. The purchase prices were between $79.68 and $98.5, with an estimated average price of $88.85. The stock is now traded at around $110.26. The impact to a portfolio due to this purchase was 0.44%. The holding were 653,475 shares as of .
Added: Netflix Inc (NFLX)Mirae Asset Global Investments Co., Ltd. added to a holding in Netflix Inc by 51.74%. The purchase prices were between $336.63 and $385.03, with an estimated average price of $360.67. The stock is now traded at around $304.17. The impact to a portfolio due to this purchase was 0.29%. The holding were 336,270 shares as of .
Added: HUYA Inc (HUYA)Mirae Asset Global Investments Co., Ltd. added to a holding in HUYA Inc by 92.43%. The purchase prices were between $19.6 and $29.3, with an estimated average price of $22.96. The stock is now traded at around $21.90. The impact to a portfolio due to this purchase was 0.28%. The holding were 3,345,719 shares as of .
Sold Out: Western Midstream Partners LP (1WG)Mirae Asset Global Investments Co., Ltd. sold out a holding in Western Midstream Partners LP. The sale prices were between $24.96 and $30.52, with an estimated average price of $27.25.
Sold Out: iShares Core S&P Total U.S. Stock Market ETF (ITOT)Mirae Asset Global Investments Co., Ltd. sold out a holding in iShares Core S&P Total U.S. Stock Market ETF. The sale prices were between $62.13 and $66.91, with an estimated average price of $65.23.
Sold Out: Perrigo Co PLC (PRGO)Mirae Asset Global Investments Co., Ltd. sold out a holding in Perrigo Co PLC. The sale prices were between $42.02 and $52.62, with an estimated average price of $47.64.
Sold Out: Antero Midstream Corp (5711)Mirae Asset Global Investments Co., Ltd. sold out a holding in Antero Midstream Corp. The sale prices were between $9.66 and $12.52, with an estimated average price of $11.33.
Sold Out: Lexington Realty Trust (LXP)Mirae Asset Global Investments Co., Ltd. sold out a holding in Lexington Realty Trust. The sale prices were between $8.87 and $9.8, with an estimated average price of $9.23.
Sold Out: Uniti Group Inc (UNIT)Mirae Asset Global Investments Co., Ltd. sold out a holding in Uniti Group Inc. The sale prices were between $9.38 and $12.37, with an estimated average price of $10.93.
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