Mirae Asset Global Investments Co.2026-Q1
Mirae Asset Global Investments 于 2026 年第一季度将 88.4% 的投资组合集中到伯克希尔哈撒韦 A 股(BRK-A),这笔新买入价值达 $264.60B。基金的赫芬达尔指数从 0.02 升至 0.78,持股数从 1,643 降至 1,568,周转率从 0.18 飙升至 1.64。
| 代码 | 操作 | 价值(美元) | 占投资组合比重 |
|---|---|---|---|
| BRK-A | 新建仓 | $264.60B | 88.40% |
| AMCR | 清仓 | — | — |
投资组合的极端转变仅从这笔新买入与唯一一笔清仓即可看出。
| 代码 | 操作 | 价值变动 | 权重变动(百分点) |
|---|---|---|---|
| GOOG | 减持 | -$484.3M | -1.35pts |
| MSFT | 增持 | -$373.8M | -4.53pts |
| GOOGL | 增持 | +$350.5M | -3.31pts |
| TSM | 减持 | -$334.7M | -1.03pts |
| VOO | 减持 | -$309.9M | -2.52pts |
| WMT | 增持 | +$231.7M | -0.18pts |
| ASML | 减持 | -$162.8M | -0.46pts |
| BRK-B | 减持 | -$150.0M | -0.42pts |
| QQQM | 减持 | -$141.0M | -0.50pts |
| META | 增持 | -$111.5M | -2.17pts |
| PG | 增持 | +$110.7M | -0.11pts |
| ABT | 增持 | +$95.2M | -0.08pts |
| BKNG | 增持 | -$87.4M | -0.25pts |
| ABBV | 减持 | -$87.2M | -0.49pts |
| SHOP | 减持 | -$84.6M | -0.24pts |
| XLC | 减持 | -$83.6M | -0.23pts |
| ACN | 增持 | +$82.3M | -0.05pts |
| LQD | 减持 | -$81.7M | -0.33pts |
| CMCSA | 增持 | +$78.8M | -0.11pts |
| UNH | 增持 | +$78.0M | -0.18pts |
| CWI | 增持 | +$74.9M | -0.08pts |
| CSCO | 减持 | -$72.7M | -0.64pts |
| AMD | 减持 | -$72.3M | -0.96pts |
| NFLX | 增持 | +$72.2M | -0.71pts |
| IVV | 减持 | -$71.5M | -0.84pts |
| AVGO | 增持 | -$69.4M | -2.73pts |
| SMH | 增持 | +$69.1M | +0.00pts |
| CVX | 增持 | +$67.5M | -0.34pts |
| TSLA | 增持 | -$66.1M | -2.14pts |
| NVDA | 增持 | -$64.9M | -6.52pts |
| QCOM | 增持 | +$63.1M | -0.48pts |
| AMAT | 减持 | +$63.0M | -0.48pts |
| XOM | 增持 | +$60.5M | -0.23pts |
| AAPL | 增持 | -$59.7M | -4.81pts |
| COP | 增持 | +$59.3M | -0.26pts |
| COST | 增持 | +$58.6M | -0.44pts |
| MBB | 减持 | -$57.8M | -0.38pts |
| BX | 增持 | +$57.3M | -0.03pts |
| APP | 减持 | -$56.8M | -0.35pts |
| PDBC | 增持 | +$56.4M | +0.00pts |
| LIN | 增持 | +$55.1M | -0.24pts |
| AMZN | 增持 | -$54.6M | -2.89pts |
| ORCL | 减持 | -$53.3M | -0.35pts |
| ADP | 增持 | +$50.1M | -0.13pts |
| LLY | 减持 | -$47.9M | -0.75pts |
| INTC | 增持 | +$46.2M | -0.36pts |
| TTWO | 减持 | -$43.3M | -0.22pts |
| CRWD | 减持 | -$42.5M | -0.29pts |
价值方向说明:以下标的的股份虽为增持(真实买入),但美元价值却因股价跌幅超过加码额度而下跌——并非卖出:MSFT (-$373.8M)、META (-$111.5M)、AVGO (-$69.4M)、TSLA (-$66.1M)、NVDA (-$64.9M)、AAPL (-$59.7M)、AMZN (-$54.6M)、BKNG (-$87.4M)。对于 AMAT,股份虽为减持(真实卖出),但美元价值因股价涨幅超过减码额度而上升——并非买入 (+$63.0M)。
总体数据确认了这些变动的重要性。
| 指标 | 当季 | 前一季 |
|---|---|---|
| HHI | 0.781654 | 0.018568 |
| 持股数 | 1568 | 1643 |
| 周转率 | 1.637972 | 0.181062 |
| 映射价值比率 | 0.097535 | 0.820459 |
| 动能倾斜(百分点) | -0.671287 | 0.06856 |
| 变异系数 | 35.005923 | 5.433766 |
| 行业 - 能源 | 0.0362 | 0.028 |
| 行业 - 原材料 | 0.0122 | 0.0104 |
| 行业 - 公用事业 | 0.0168 | 0.0157 |
| 行业 - 金融 | 0.0621 | 0.0673 |
| 行业 - 医疗保健 | 0.083 | 0.0794 |
| 行业 - 工业 | 0.0686 | 0.0546 |
| 行业 - 房地产 | 0.0106 | 0.0098 |
| 行业 - 必需消费 | 0.0577 | 0.041 |
| 行业 - 通讯服务 | 0.124 | 0.1275 |
| 行业 - 非必需消费 | 0.1045 | 0.1156 |
| 行业 - 信息技术 | 0.4243 | 0.4508 |
基金略微削减信息技术行业的超额配置,但全面降低风险暴露,同时大举买入 BRK-A。
Mirae Asset 的 2026 年第一季度申报文件记录了一次近乎全组合转为单一持股的转型。1.64 的周转率与 HHI 从 0.02 升至 0.78,凸显了重组的规模。股价波动造成数只主要持股的交易动作与价值变动出现分歧。基金目前承受极端的集中风险,BRK-A 占资产的 88.40%。