Mirae Asset Global Investments (USA) LLC

Corporate ventureSEC-registered adviserRaisingClassification probable· New York, New Yorkinvestments.miraeasset.us

Corporate venture, based in New York, New York, reporting $2.0B of fund assets on its funds' Form ADV filings.

Composed from this organization's classification, location and filed figures.

Reported fund assets
$2.0B
sum of its funds' Form ADV filings, last 30 months
New companies, 12 mo
2
Investment team
3
Latest vintage
2026
As of · the latest observation of this organization; filed figures are as of its latest Form ADV

8 additional team members, 18 additional co-investors and affiliates, 21 additional investments, funds and LPs, 32 events, 1 verified contact (1 firm phone)

Every relationship, signal and contact on this record, with the source on each.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

What matters now

  1. 1 vehicle
    on Form D, 18 months

    $691M reported sold so far.

    A Form D is filed when a vehicle takes its first money, so these are open to LPs now.

    FactSEC Form D filingsFor LPs, fund-of-funds, placement agentsVehicles →
  2. 2 companies
    new in 12 months

    2 new companies in the last 12 months. Latest round Higgsfield Series B ($400M round) on 17 Aug 2026.

    A firm writing cheques this quarter is one a founder can pitch now.

    Factfunding announcements, Form D, the firm's portfolio pageFor Founders, co-investorsInvestments →

People to know

View all people
  • Shareholder
    Why: Named with investment responsibility
    No route on file yet

Relationship network

53 connected entities2 observed roundsrounds 2026

From financing rounds and every investor named in them, Form ADV and Form D filings, the firm's funds and team, and disclosed LP commitments in the venture capital graph. A round's amount is the size of the round, not money that moved between two investors.

Some relationships on this record are counted rather than named here. They open with the full profile.

Click any name or line for the rounds and sources behind it. Line weight is rounds together; dashed lines are inferred.

Reading the network
  • Sponsor
  • Company
  • Fund or vehicle
  • Person
›How strength and recency are read

Co-investors are read from the rounds: three or more shared rounds is a strong observed relationship, two a repeat co-investor, one a single round. Funds and people are structural. Nothing is scored that a reader cannot check.

Darker lines were active in the last 24 months or are current; lighter lines are older or undated.

How am I connected?

Name your firm, a company or a person, and DFX finds the published routes to Mirae Asset Global Investments (USA) LLC: a shared portfolio company or board, a prior employer, a co-investor, a shared LP or service provider. Every step is a filed or published record with its source; none is a guess about who knows whom.

See how you connect to Mirae Asset Global Investments (USA) LLC

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

Investing

3 companies on record, 2 new in 12 months

Investments on record

3 companies, 0 partner-attributed
CompanyRoundRolePartnerRound sizeThis investorDateSource
Sonomaportfolio listingunknownunknownunknownunknownSep 29, 2026Fact Company website
Higgsfield Inc.Series B · Series Bparticipantunknown$400MunknownAug 17, 2026Fact Press release
GIGR(Playad.ai)Pre-Seed · Pre-seedleadunknown$5.4MunknownJan 22, 2026Fact Press release

Stated thesis versus observed behaviour

3 observed deals
Stated (the firm’s website)
Sectors
ai, crypto
Stages
growth
Geography
australia, canada, europe, germany, global, globally, india, japan
Check size
not stated; DFX does not estimate checks from round sizes
Self-described
venture capital
Observed (from deals on record)
Stage at participation
pre seed 50%series b 50%
Stage at first entry
pre seed 50%series b 50%
Sectors
unknown 67%Other 33%
lead rate 50%follow-on rate 0%new companies, 12 months 2

Team

9 current, 9 departed

Decision makers

who to call first, and why; then everyone else by function
  • Hyeon Joo Park · Shareholder
    Why this person: Named with investment responsibility
Who else at this firm · 2 people, grouped by function
Finance, operations and compliance (1)
  • Armand Aponte · Head Of Legal/ Chief Compliance Officer
    Why this person: Head Of Legal/ Chief Compliance Officer at the firm
Also on record (1)
  • Stephen Wong · Head Of Finance
    Why this person: Head Of Finance at the firm

Ranked by the role the firm or its filing states, a route on file and deals led. Every reason is read from the record, never inferred. Routes are published by the person or the firm (their bio, the team page or a filing) and are revealed on a plan; data bought from a provider is never shown, and a route printed at a firm the person has since left is held back.

Investment team

9 current, 9 departed
9 departed (kept with end dates)
  • Hyeon Joo Park · Founder & Global Strategy Officer · ? to Oct 1, 2026 Inference
  • Joon Kwun · President & Ceo · Aug 1, 2011 to Mar 28, 2013 Inference
  • Peter Graham · Chief Executive Officer · Mar 1, 2013 to Aug 22, 2016 Inference

Contacts

1 firm phone

1 firm phone on record, each with its source. Values open with the complete profile.

Funds and LPs

24 vehicles, 0 LPs disclosed

Funds and vehicles

24 reported
VehicleTypeVintageLifecycleReported GAVOwnersForm D soldLatest Form D
Mirae Asset Gaia Fund III, LPFund2026 form d first saleNewly closed$102M
May 6, 2026
5$111M
of $111M
Mar 2, 2026
Mirae Asset Apex Fund, LPFund2026 form d first saleNewly closedunknownunknown$376M
of $376M
Jun 25, 2026
Mirae Asset Pathseeker Fund II, LPFund2025 form d first saleFundraising$67.3M
May 6, 2026
3$60.0MAug 20, 2025

Limited partners

0 LPs, 0 disclosed commitments
No LP commitment on record. An LP edge needs a public disclosure with a quote: a pension report (see Limited partners for the plans read), a fund announcement naming the LP, or a Form ADV owner. The fund page carries the LP’s reported performance.

Known LPs and allocators

0 relationships across the firm's funds, from public pensions and the allocator graph
No allocator names this firm or its funds in a public disclosure DFX holds.

Relationships across DFX

21 co-investors · on 1 other DFX graph

Co-investors

21 counted from shared deals, for the whole firm
Across DFX and the capital chainon 1 other DFX graph Show
Across DFX
  • The same institution is held on RIA and Wealth, matched by identifier. See which records
Across the graphs

Mirae Asset Global Investments (USA) LLC is the same institution as 1 record in RIA and Wealth.

RIA and Wealth1

The joined record opens with the product, beside every other relationship on this page.

Checking your plan…

Evidence and history

37 dated events, 96 observations from 3 sources

Timeline

37 dated events
  1. May 6, 2026
    Mirae Asset Pathseeker Fund II, LP first reported on Form ADV by Mirae Asset Global Investments (USA) LLC (Venture Capital Fund), GAV $67,263,310
    Fund first reported on Form ADVFundsInferenceMirae Asset Pathseeker Fund II, LPForm ADV
  2. May 6, 2026
    Mirae Asset Gaia Fund III, LP first reported on Form ADV by Mirae Asset Global Investments (USA) LLC (Venture Capital Fund), GAV $101,731,572
    Fund first reported on Form ADVFundsInferenceMirae Asset Gaia Fund III, LPForm ADV
  3. May 6, 2026
    Mirae Asset Gaia Fund I LP first reported on Form ADV by Mirae Asset Global Investments (USA) LLC (Venture Capital Fund), GAV $568,114,568
    Fund first reported on Form ADVFundsInferenceMirae Asset Gaia Fund I, LPForm ADV
  4. May 6, 2026
    Mirae Asset Rw Co-Invest LP first reported on Form ADV by Mirae Asset Global Investments (USA) LLC (Venture Capital Fund), GAV $20,300,880
    Fund first reported on Form ADVFundsInferenceMirae Asset Rw Co-Invest LPForm ADV
  5. May 6, 2026
    Mirae Asset Pathseeker Fund LP first reported on Form ADV by Mirae Asset Global Investments (USA) LLC (Venture Capital Fund), GAV $35,677,281
    Fund first reported on Form ADVFundsInferenceMirae Asset Pathseeker Fund LPForm ADV

Identity and regulatory footprint

Address, phone, Form ADV filing and ownersForm ADV filed May 6, 2026 · 19 private fundsShow
Headquarters
New York, NYadviserinfo.sec.gov
Office address
unknownadviserinfo.sec.gov
Business phone
unknownadviserinfo.sec.gov
SEC adviser type
Registered investment adviseradviserinfo.sec.gov
SEC exemption claimed
unknown
Latest Form ADV
May 6, 2026
Private funds reported
19 (19 venture capital funds)adviserinfo.sec.gov
Private fund gross assets, adviser total
$2.0Badviserinfo.sec.govreported GAV of the funds, the adviser's own number; not fund size, not dry powder
Regulatory AUM
$5.8Bthe adviser's RAUM, a regulatory measure, never a fund size
Employees
25
Owners on Schedule A
Mirae Asset Global Investments (hong Kong) Limited (Shareholder), owns 25% to 50%; Mirae Asset Global Investments (USA) Inc. (Member), owns 75% or more; Mirae Asset Global Investments Co., Ltd. (Shareholder), owns 50% to 75%

Classification history

Every classification this record has carried1 on recordShow
  1. Sep 12, 2026
    Corporate venture (probable, 80%)

Evidence

97 observations from 3 sources
Every observation behind this profile, with its source, date and class
FactValueEffectiveClassSource
Why admittedVC funds reportedMay 6, 2026FactForm ADV
SEC adviser typeRegistered investment adviserMay 6, 2026FactForm ADV
SEC adviser typeRegistered investment adviserMay 6, 2026FactForm ADV
SEC adviser typeRegistered investment adviserMay 6, 2024FactForm ADV
First Form ADV filing2012-03-30May 6, 2026FactForm ADV
First Form ADV filing2012-03-30May 6, 2024FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-30Oct 1, 2026FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-29Sep 30, 2026FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-25Sep 26, 2026FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-23Sep 24, 2026FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-21Sep 23, 2026FactForm ADV
Adv history loadedadv-hist-1+panel:2026-09-22Sep 23, 2026FactForm ADV
Adv history loadedadv-hist-1Sep 12, 2026FactForm ADV
Latest Form ADV filing2026-05-06May 6, 2026FactForm ADV
Latest Form ADV filing2026-05-06May 6, 2026FactForm ADV
Latest Form ADV filing2024-05-06May 6, 2024FactForm ADV
SEC statusApprovedMay 6, 2026FactForm ADV
SEC status effective2008-08-20May 6, 2026FactForm ADV
Venture share of reported funds1May 6, 2026FactForm ADV
Venture share of reported funds1May 6, 2024FactForm ADV
Business phoneMay 6, 2026FactForm ADV
Business phoneMay 6, 2024FactForm ADV
Contact page urlOct 1, 2026Fact
Contact page urlSep 16, 2026Fact
Employees25May 6, 2026FactForm ADV
Employees30May 6, 2024FactForm ADV
HeadquartersNew York, NYMay 6, 2026FactForm ADV
HeadquartersNew York, NYMay 6, 2024FactForm ADV
Office addressMay 6, 2026FactForm ADV
Office addressMay 6, 2024FactForm ADV
Self-described typeVenture capitalOct 1, 2026Fact
Self-described typeVenture capitalSep 16, 2026Fact
Self-described typeVenture capitalSep 13, 2026Fact
Legal formLimited Liability CompanyMay 6, 2026FactForm ADV
Private funds reported19May 6, 2026FactForm ADV
Private funds reported19May 6, 2026FactForm ADV
Private funds reported14May 6, 2024FactForm ADV
Private fund gross assets (reported)$2.0BMay 6, 2026FactForm ADV
Private fund gross assets (reported)$2.0BMay 6, 2026FactForm ADV
Private fund gross assets (reported)$843MMay 6, 2024FactForm ADV
Regulatory AUM (adviser, not fund size)$5.8BMay 6, 2026FactForm ADV
Regulatory AUM (adviser, not fund size)$4.2BMay 6, 2024FactForm ADV
Schedule a diffsadiff-1Sep 29, 2026FactForm ADV
Stated geographyAustralia, canada, europe, germany, global, globally, india, japan
“geography words on the home page”
Oct 1, 2026Fact
Stated geographyAustralia, canada, europe, germany, global, globally, india, japan
“geography words on the home page”
Sep 16, 2026Fact
Stated geographyAustralia, canada, europe, germany, global, globally, india, japan
“geography words on the home page”
Sep 13, 2026Fact
Stated sectorsAI, crypto
“sector words on the home page”
Oct 1, 2026Fact
Stated sectorsAI, crypto
“sector words on the home page”
Sep 16, 2026Fact
Stated sectorsAI, crypto
“sector words on the home page”
Sep 13, 2026Fact
Stated stagesgrowth
“stage words on the home page”
Oct 1, 2026Fact
Stated stagesgrowth
“stage words on the home page”
Sep 16, 2026Fact
Stated stagesgrowth
“stage words on the home page”
Sep 13, 2026Fact
Team pageOct 1, 2026Fact
Team pageSep 16, 2026Fact
Team pageSep 13, 2026Fact
Venture funds reported19May 6, 2026FactForm ADV
Venture funds reported19May 6, 2026FactForm ADV
Venture funds reported14May 6, 2024FactForm ADV
WebsiteMay 6, 2026FactForm ADV
WebsiteMay 6, 2024FactForm ADV
Site titleOct 1, 2026Fact
Site titleSep 16, 2026Fact
Site titleSep 13, 2026Fact
How this is scored
Scores, classification basis and filing advisersCorporate venture, probable · 2 filing advisers share this firmShow
Importance
52
elevated
Active deployment
68
high
Emerging
0
low
Freshness
100
high
Corporate venture · probableSEC registered investment adviser

Corporate parent: Mirae Asset Global Investments (USA) Inc.

This firm files as 2 advisers on investments.miraeasset.us: Mirae Asset Capital Life Science, Inc.. Each keeps its own CRD, funds and filings; the grouping is the website each swore to on Form ADV and is recomputed every pass.

The inputs behind each score
importance
gav: 0.7 · funds: 1 · people: 0.04 · investments: 0.18 · co investors: 0.53
active deployment
investments 12m: 0.25 · fund raising 18m: 1 · people joined 12m: 0 · vintage within 3y: 1 · latest investment at: 2026-08-17
emerging manager
fund count: 24 · reported gav: $2.0B · first adv filing: 2012-03-30 · years since first filing: 14.5

Fits, record history and connections

scored matches for this investor, every identity change, every edge

Fits

18 scored matches, best firstas of
  • score 44.1confidence 100%
    Why: sector fit; geography fit; activity; analogous
    Watch: adjacent portfolio
  • score 44.1confidence 100%
    Why: sector fit; geography fit; activity; analogous
    Watch: adjacent portfolio
  • score 44.1confidence 100%
    Why: sector fit; geography fit; activity; analogous
    Watch: adjacent portfolio

+15 more scored matches

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

Scored by DFX match engines from the record's observed portfolio, stage, geography and recent activity. A fit is a reason to look, not a mandate; the blockers say what the model could not confirm. Names and the evidence sentences show with the names on this page.

Record history

2 identity changes, 1 dated event on the change ledger, latest event first
  • Merged in
    2026-09-13
  • Merged in
    2026-09-13
  • Adviser's first ADV filing
    2012-03-30source on record

The ledger records every merge, rename and reclassification this record went through and the dated filings observed on it, so the identity on this page can be traced to the records it was built from. The ledger's own sentences name other records, so they show with the names.