GIC PRIVATE LTD

SINGAPORE, U0 How do I update this listing?

GIC Private LTD is based out of Singapore. Whalewisdom has at least 19 13D filings, 188 13G filings, and 30 Form 4 filings The firm has no submitted 13F filings and does not appear to be an investment advisor.

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Contact Info

gic private ltd
168 ROBINSON ROAD
SINGAPORE U0    068912

Business Phone: 065-6889-8888
SEC SIC CODE:
7372-SERVICES-PREPACKAGED SOFTWARE
Current 13D/G Holdings
Stock Sector Shares Held Market Value Rank Source Source Date
Tallgrass Energy LP (TGE) ENERGY 124,307,584 2,783,246,805.76 1 13D 2020-04-17
21Vianet Group Inc ADR (VNET) COMMUNICATIONS 62,845,288 1,552,278,613.60 2 13G 2020-08-26
Dell Technologies Inc (DELL) INFORMATION TECHNOLOGY 18,054,541 991,916,482.54 3 13G 2019-12-31
IMS HEALTH HLD (IMS) HEALTH CARE 30,730,378 963,090,046.52 4 13G 2015-12-31
Synchrony Financial (SYF) FINANCE 41,907,795 928,676,737.20 5 13G 2019-12-31
China Petroleum & Chemical Corp., Class H Ordinary Shares (SNPMF) ENERGY 1,647,462,432 708,408,845.76 6 13G 2019-12-31
Churchill Cap III Corp (MPLN) FINANCE 49,612,794 488,189,892.96 7 13G 2020-10-08
Globant S.A. (GLOB) INFORMATION TECHNOLOGY 2,959,177 443,432,673.45 8 13G 2019-12-31
I-MAB ADR (IMAB) HEALTH CARE 11,673,149 438,326,744.95 9 13G 2020-09-11
China Telecom Corporation Ltd. Ordinary (CHJHF) UTILITIES AND TELECOMMUNICATIONS 1,394,433,485 418,330,045.50 10 13G 2020-09-23
Ollies Bargain Outlet Holdings Inc (OLLI) CONSUMER STAPLES 3,302,812 322,519,591.80 11 13G 2020-02-26
Safehold Inc. (SAFE) REAL ESTATE 3,348,435 192,501,528.15 12 13G 2019-11-20
Uxin Ltd (UXIN) INFORMATION TECHNOLOGY 123,757,511 136,133,262.10 13 13G 2020-10-08
Opera Ltd (OPRA) COMMUNICATIONS 11,902,752 107,124,768.00 14 13G 2020-02-18
FGL Holdings (FG) FINANCE 12,694,788 106,509,271.32 15 13G 2019-12-31
Luckin Coffee Inc (LKNCY) CONSUMER STAPLES 42,572,138 99,193,081.54 16 13G 2020-02-28
Macerich Company (The) (MAC) REAL ESTATE 10,884,271 97,631,910.87 17 13G 2019-12-31
Linx SA (LINX) INFORMATION TECHNOLOGY 18,350,442 84,045,024.36 18 13G 2019-12-31
E-House (China) Holdings Limited (EJ) REAL ESTATE 12,299,198 83,511,554.42 19 13G 2015-12-31
REGENXBIO Inc (RGNX) HEALTH CARE 2,080,362 76,619,732.46 20 13G 2020-02-27
Revance Therapeutics Inc (RVNC) HEALTH CARE 2,965,561 72,418,999.62 21 13G 2020-03-04
Huami Corp (HMI) CONSUMER DISCRETIONARY 5,677,138 70,169,425.68 22 13G 2019-12-31
Afya Ltd (AFYA) CONSUMER DISCRETIONARY 2,238,061 52,460,149.84 23 13G 2020-02-07
ACM Research Inc (ACMR) INDUSTRIALS 840,825 52,433,847.00 24 13G 2020-05-12
BellRing Brands, Inc. Class A Common (BRBR) CONSUMER STAPLES 2,100,810 41,890,151.40 25 13G 2019-12-31
Vasta Platform Ltd. (VSTA) INFORMATION TECHNOLOGY 1,586,721 29,909,690.85 26 13G 2020-07-31
Atento SA (ATTO) CONSUMER DISCRETIONARY 3,262,838 19,445,194.15 27 13D 2020-06-24
Fly Leasing Ltd ADR (FLY) TRANSPORTS 1,567,854 12,872,081.34 28 13G 2020-03-12
Netshoes Cayman Ltd (NETS) CONSUMER DISCRETIONARY 2,506,526 9,274,146.20 29 13G 2018-12-31

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Insider Transactions in the past year

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**EXPERIMENTAL** Current Hong Kong Exchange Long Positions

Updated daily

Holder Issuer Transaction Date Transaction Type Avg PPS Shares Involved Shares Owned % Capital Origin
GIC Private Limited AAC Technologies Holdings Inc. 2020-04-15 Long 39.889 909,000 60,148,500 4.98% Hong Kong
GIC Private Limited Archosaur Games Inc. 2020-11-24 Long 19.833 210,000 65,369,000 8.02% Hong Kong
GIC Private Limited Ascletis Pharma Inc. - B 2019-03-18 Long 7.058 136,000 55,970,000 4.99% Hong Kong
GIC Private Limited ASM Pacific Technology Ltd. 2017-12-29 Long 0.0 0 20,458,036 5.0% Hong Kong
GIC Private Limited AviChina Industry & Technology Co. Ltd. - H Shares 2018-04-09 Long 5.723 9,455,000 114,498,000 4.86% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2020-10-28 Long 3.009 628,000 125,479,500 4.98% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2020-11-16 Long 6.004 2,324,000 92,027,402 4.9% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2020-05-21 Long 6.999 820,000 252,287,983 5.0% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2019-10-25 Long 8.764 1,302,000 352,080,528 6.98% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2020-05-27 Long 6.796 1,200,000 251,087,983 4.98% Hong Kong
GIC Private Limited China Everbright International Ltd. 2018-11-05 Long 6.915 1,968,000 308,395,324 5.02% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2018-05-14 Long 17.06 35,500,000 152,887,835 8.85% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2019-02-14 Long 15.5 117,085,435 14,946,000 0.87% Hong Kong
GIC Private Limited China Jinmao Holdings Group Ltd. 2018-02-20 Long 5.004 2,618,000 578,004,839 4.99% Hong Kong
GIC Private Limited China Machinery Engineering Corporation - H Shares 2018-02-20 Long 4.707 1,971,000 44,062,000 4.85% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2020-09-29 Long 2.771 3,231,000 356,032,541 9.05% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-11-19 Long 5.976 3,322,000 90,105,884 4.98% Hong Kong
GIC Private Limited China Pacific Insurance (Group) Co., Ltd. - H Shares 2019-12-19 Long 30.689 2,306,600 137,419,800 4.95% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2020-11-10 Long 3.518 1,262,000 1,531,058,022 6.0% Hong Kong
GIC Private Limited China State Construction International Holdings Ltd. 2020-09-10 Long 6.142 1,430,000 252,367,313 4.99% Hong Kong
GIC Private Limited China State Construction International Holdings Ltd. 2019-05-22 Long 7.537 946,000 253,305,313 5.02% Hong Kong
GIC Private Limited China Suntien Green Energy Corporation Ltd. - H Shares 2020-04-29 Long 1.774 1,500,000 127,386,000 6.93% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2020-09-23 Long 2.344 13,500,000 1,394,433,475 10.05% Hong Kong
GIC Private Limited China Tower Corporation Ltd. - H Shares 2020-11-30 Long 1.22 99,748,000 3,167,164,000 6.79% Hong Kong
GIC Private Limited China Traditional Chinese Medicine Holdings Co. Ltd. 2018-05-02 Long 6.768 3,552,000 220,478,000 4.98% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-11-25 Long 28.801 1,305,700 189,460,237 10.01% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2020-10-15 Long 17.63 1,501,000 112,954,763 4.96% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-11-30 Long 3.41 9,746,000 100,156,500 7.73% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2018-02-07 Long 4.286 3,180,000 118,742,000 9.16% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2019-03-21 Long 2.1 58,500 31,909,500 5.99% Hong Kong
GIC Private Limited CStone Pharmaceuticals - B 2019-02-26 Long 0.0 61,470,472 61,470,472 6.25% Hong Kong
GIC Private Limited CStone Pharmaceuticals - B 2020-05-25 Long 7.106 205,500 72,226,472 7.01% Hong Kong
GIC Private Limited CStone Pharmaceuticals - B 2020-08-05 Long 0.0 0 72,338,472 6.92% Hong Kong
GIC Special Investments Private Limited CT Environmental Group Ltd. 2018-07-31 Long 1.0 50,600,000 266,761,836 4.22% Hong Kong
GIC Private Limited FriendTimes Inc. 2020-09-02 Long 2.85 2,392,000 132,963,000 6.08% Hong Kong
GIC Private Limited HKBN Ltd. 2019-04-30 Long 0.0 0 87,284,797 6.65% Hong Kong
GIC Private Limited Lonking Holdings Ltd. 2018-01-05 Long 3.465 2,128,000 212,673,916 4.97% Hong Kong
GIC Special Investments Private Limited MicroPort Scientific Corporation 2018-07-30 Long 8.8 97,528,508 25,803,418 1.76% Hong Kong
GIC Private Limited Poly Property Development Co., Ltd. - H Shares 2020-01-17 Long 0.0 0 18,931,000 12.35% Hong Kong
GIC Private Limited Regal International Airport Group Co. Ltd. - H Shares 2019-09-29 Long 4.69 200,000,000 200,000,000 88.14% Hong Kong
GIC Private Limited West China Cement Ltd. 2018-12-24 Long 0.995 2,498,000 326,784,000 6.01% Hong Kong
GIC Private Limited Zhuzhou CRRC Times Electric Co., Ltd. - H Shares 2017-07-24 Long 37.7 397,400 27,203,400 4.97% Hong Kong

Position History

Holder Issuer Transaction Date Transaction Type Avg PPS Shares Involved Shares Owned % Capital Origin
GIC Private Limited AAC Technologies Holdings Inc. 2020-01-21 Long 62.371 549,000 72,366,000 5.99% Hong Kong
GIC Private Limited AAC Technologies Holdings Inc. 2019-11-26 Long 54.422 1,886,500 84,481,000 6.99% Hong Kong
GIC Private Limited AAC Technologies Holdings Inc. 2019-08-20 Long 38.89 795,000 84,746,000 7.01% Hong Kong
GIC Private Limited AAC Technologies Holdings Inc. 2019-05-10 Long 47.028 2,596,000 72,886,500 6.01% Hong Kong
GIC Private Limited AAC Technologies Holdings Inc. 2019-04-29 Long 52.688 642,000 60,856,500 5.02% Hong Kong
GIC Private Limited Archosaur Games Inc. 2020-09-08 Long 25.59 555,000 57,415,000 7.04% Hong Kong
GIC Private Limited Archosaur Games Inc. 2020-07-15 Long 0.0 53,793,000 53,793,000 6.83% Hong Kong
GIC Private Limited Ascletis Pharma Inc. - B 2018-10-24 Long 6.222 211,000 56,103,000 5.01% Hong Kong
GIC Private Limited AviChina Industry & Technology Co. Ltd. - H Shares 2018-03-06 Long 4.97 6,315,000 120,979,000 5.13% Hong Kong
GIC Private Limited AviChina Industry & Technology Co. Ltd. - H Shares 2017-07-31 Long 4.77 309,000 117,740,000 4.99% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2020-08-31 Long 3.732 3,941,000 150,639,500 5.98% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2019-03-14 Long 4.622 2,138,500 176,273,500 6.99% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2018-11-02 Long 4.508 8,934,500 177,339,500 7.04% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2018-05-08 Long 7.571 2,076,500 127,012,500 5.04% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2018-05-03 Long 0.0 0 123,419,000 4.9% Hong Kong
GIC Private Limited BAIC Motor Corporation Ltd. - H Shares 2018-04-26 Long 7.261 7,681,000 107,681,000 5.13% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2020-10-27 Long 5.029 1,700,000 94,227,402 5.01% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2020-08-31 Long 5.473 5,068,000 93,663,027 4.98% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2020-05-29 Long 4.83 3,830,000 94,828,233 5.05% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2020-04-23 Long 5.19 420,000 93,928,514 4.99% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2019-08-01 Long 6.269 1,380,000 95,072,914 5.06% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2019-07-10 Long 6.762 172,000 93,910,914 4.99% Hong Kong
GIC Private Limited Beijing Capital International Airport Co. Ltd. - H Shares 2019-06-19 Long 6.733 60,000 93,996,914 5.0% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2020-04-21 Long 6.771 728,000 251,817,983 4.99% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2019-05-31 Long 7.922 1,668,000 354,138,000 7.02% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2018-11-08 Long 6.954 7,628,000 309,904,000 6.14% Hong Kong
GIC Private Limited Brilliance China Automotive Holdings Ltd. 2018-10-26 Long 6.457 8,570,000 256,320,000 5.08% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2019-02-01 Long 15.762 2,470,000 137,537,835 7.96% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2019-01-18 Long 15.13 1,970,400 155,143,035 8.98% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2018-03-23 Long 0.0 0 188,297,835 10.9% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2018-01-10 Long 17.0 30,000,000 188,297,835 12.39% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2017-11-08 Long 16.46 23,000,000 218,297,835 14.36% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2017-09-21 Long 18.087 4,334,000 241,297,835 15.87% Hong Kong
GIC Private Limited China International Capital Corporation Ltd. - H Shares 2017-08-28 Long 14.35 27,000,000 245,631,835 16.16% Hong Kong
GIC Private Limited China Jinmao Holdings Group Ltd. 2018-02-06 Long 4.915 7,948,000 580,798,839 5.02% Hong Kong
GIC Private Limited China Jinmao Holdings Group Ltd. 2018-01-24 Long 0.0 0 571,742,839 4.94% Hong Kong
GIC Private Limited China Jinmao Holdings Group Ltd. 2017-08-01 Long 3.595 15,000,000 630,676,839 5.91% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2020-09-10 Long 2.985 3,681,000 316,927,541 8.06% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2020-09-04 Long 3.077 7,020,000 313,246,541 7.96% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2020-07-27 Long 3.046 7,797,000 351,430,920 8.93% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2019-08-16 Long 2.234 1,879,447 314,770,447 8.0% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2019-07-11 Long 2.307 5,250,000 275,631,000 7.01% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2019-04-30 Long 2.934 4,980,000 238,593,000 6.07% Hong Kong
GIC Private Limited China Molybdenum Co., Ltd. - H Shares 2019-04-17 Long 3.428 8,661,000 203,520,000 5.17% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-11-06 Long 4.762 594,000 108,652,009 5.99% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-10-20 Long 5.296 806,000 126,260,009 6.97% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-09-14 Long 5.489 1,712,000 143,868,009 7.94% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-06-08 Long 8.246 734,000 162,300,000 8.96% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-05-29 Long 6.74 2,820,000 163,170,000 9.01% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-04-20 Long 6.042 2,934,000 161,844,000 8.94% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-04-14 Long 6.178 4,200,000 178,130,000 9.84% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2020-02-07 Long 11.822 782,000 180,554,000 9.97% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2019-10-30 Long 10.412 2,012,000 197,624,000 10.91% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2018-12-17 Long 7.226 4,600,000 199,890,000 11.04% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2018-11-30 Long 7.276 3,122,000 183,414,000 10.13% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2018-11-14 Long 6.998 2,982,000 164,310,000 9.07% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2018-11-01 Long 7.293 4,010,000 145,852,000 8.05% Hong Kong
GIC Private Limited China Oilfield Services Ltd. - H Shares 2018-10-23 Long 7.246 1,662,000 127,654,000 7.05% Hong Kong
GIC Private Limited China Pacific Insurance (Group) Co., Ltd. - H Shares 2018-03-06 Long 38.062 3,062,000 165,674,000 5.97% Hong Kong
GIC Private Limited China Pacific Insurance (Group) Co., Ltd. - H Shares 2017-09-01 Long 37.18 7,784,400 188,732,000 6.8% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2020-11-06 Long 3.176 10,660,400 1,530,048,022 5.99% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2020-04-28 Long 3.828 22,000,000 1,769,346,422 6.93% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2020-01-23 Long 4.491 9,828,000 1,793,054,422 7.03% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2019-11-05 Long 4.642 10,770,000 1,532,082,422 6.01% Hong Kong
GIC Private Limited China Petroleum & Chemical Corporation - H Shares 2019-08-09 Long 4.695 7,156,000 1,281,632,422 5.02% Hong Kong
GIC Private Limited China Suntien Green Energy Corporation Ltd. - H Shares 2020-04-09 Long 1.643 2,000,000 145,627,000 7.92% Hong Kong
GIC Private Limited China Suntien Green Energy Corporation Ltd. - H Shares 2020-02-21 Long 2.032 1,000,000 201,857,000 10.98% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2020-01-31 Long 3.044 9,120,000 1,113,826,320 8.03% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2019-12-18 Long 3.088 14,200,000 971,432,320 7.0% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2019-12-03 Long 2.983 6,038,000 834,398,320 6.01% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2019-09-24 Long 3.543 7,500,000 699,788,320 5.04% Hong Kong
GIC Private Limited China Telecom Corporation Ltd. - H Shares 2018-12-06 Long 4.008 24,410,000 684,228,320 4.93% Hong Kong
GIC Private Limited China Tower Corporation Ltd. - H Shares 2020-06-09 Long 1.54 68,236,000 3,310,539,876 7.09% Hong Kong
GIC Private Limited China Tower Corporation Ltd. - H Shares 2019-08-15 Long 1.811 108,940,000 2,868,241,866 6.15% Hong Kong
GIC Private Limited China Tower Corporation Ltd. - H Shares 2019-01-16 Long 1.546 88,820,000 2,779,836,778 5.96% Hong Kong
GIC Private Limited China Tower Corporation Ltd. - H Shares 2018-10-31 Long 1.19 1,166,000 2,800,680,778 6.0% Hong Kong
GIC Private Limited China Traditional Chinese Medicine Holdings Co. Ltd. 2018-01-03 Long 4.306 2,942,000 265,598,000 5.99% Hong Kong
GIC Private Limited China Traditional Chinese Medicine Holdings Co. Ltd. 2017-12-05 Long 4.087 4,000,000 306,260,000 6.91% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-06-15 Long 24.63 1,293,900 188,066,600 9.93% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-06-11 Long 0.0 0 191,486,400 10.11% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-06-04 Long 25.0 32,550,000 190,587,300 12.08% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-06-02 Long 26.215 488,200 158,034,500 10.02% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-02-04 Long 28.482 1,059,700 142,230,001 9.01% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2020-01-03 Long 33.571 1,035,600 141,586,201 8.97% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-12-06 Long 29.56 1,006,000 157,446,901 9.98% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-07-03 Long 30.84 812,400 158,579,701 10.05% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-04-26 Long 30.243 88,000 142,018,301 9.0% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-04-24 Long 30.85 1,079,800 141,834,901 8.99% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-04-04 Long 0.0 0 148,146,901 9.39% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-03-28 Long 29.685 34,694,200 147,678,201 11.23% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-02-28 Long 29.921 2,007,800 105,547,961 8.03% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-02-20 Long 29.91 1,813,300 93,469,161 7.11% Hong Kong
GIC Private Limited China Vanke Co., Ltd. - H Shares 2019-02-01 Long 30.847 2,161,300 78,966,461 6.01% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2019-07-05 Long 15.512 1,761,000 136,486,873 5.99% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2019-05-28 Long 14.661 5,953,500 157,341,873 6.91% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2019-05-08 Long 15.911 3,458,000 161,749,373 7.1% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2019-04-16 Long 18.042 2,808,000 157,514,873 6.91% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-11-19 Long 15.205 2,115,500 181,979,873 7.99% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-10-30 Long 13.776 389,000 182,429,373 8.01% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-03-08 Long 18.009 1,194,500 160,236,873 7.03% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-02-14 Long 17.558 2,566,000 158,425,873 6.95% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-02-07 Long 18.782 2,445,500 160,467,873 7.04% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-01-26 Long 21.926 3,413,500 157,547,373 6.92% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2018-01-23 Long 20.557 2,355,500 161,220,576 7.08% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2017-10-17 Long 18.199 4,437,000 138,342,500 6.07% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2017-09-12 Long 17.353 2,334,000 115,998,500 5.09% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2017-09-05 Long 17.063 532,000 113,414,500 4.98% Hong Kong
GIC Private Limited CITIC Securities Co. Ltd. - H Shares 2017-08-28 Long 17.051 4,460,000 115,070,000 5.05% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-11-12 Long 3.368 1,004,000 115,723,500 8.93% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-11-02 Long 2.966 1,530,000 128,227,500 9.89% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-10-15 Long 3.206 1,090,000 141,683,500 10.93% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-05-25 Long 3.71 2,400,000 143,934,000 11.11% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2020-01-31 Long 3.373 4,920,000 128,110,000 9.89% Hong Kong
GIC Private Limited COSCO SHIPPING Energy Transportation Co., Ltd. - H Shares 2018-01-04 Long 4.354 3,912,000 116,578,000 8.99% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2019-01-07 Long 1.588 389,500 37,179,000 6.99% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2018-04-13 Long 1.602 117,000 47,855,500 8.99% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2018-03-20 Long 1.789 178,500 53,045,000 9.97% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2017-07-20 Long 2.841 1,433,000 53,501,000 10.06% Hong Kong
GIC Private Limited CRCC High-Tech Equipment Corporation Ltd. - H Shares 2017-07-17 Long 2.885 5,775,000 51,172,000 9.62% Hong Kong
GIC Private Limited FriendTimes Inc. 2020-08-06 Long 3.0 20,000,000 129,071,000 5.9% Hong Kong
GIC Private Limited HKBN Ltd. 2018-01-18 Long 9.817 44,000 90,497,297 8.99% Hong Kong
GIC Private Limited Lonking Holdings Ltd. 2017-08-04 Long 2.624 5,994,000 254,303,916 5.94% Hong Kong
GIC Private Limited Poly Property Development Co., Ltd. - H Shares 2019-12-19 Long 0.0 18,931,000 18,931,000 14.2% Hong Kong

**EXPERIMENTAL** Current UK Positions

Updated daily

Contains transactions from January 1st, 2015 on.

Holder Issuer Transaction Date Number of Voting Rights % of Voting Rights
GIC PRIVATE LTD PORTS HOLDING PLC ORD GBP5.00 2017-06-20 3,154,260 5.021%
GIC PRIVATE LTD ENERGY HOLDINGS PLC ORD 5P 2017-04-13 18,543,818 8.991%
GIC PRIVATE LTD Allied Minds plc 2017-04-05 19,382,360 8.274%
GIC PRIVATE LTD Spice PLC 2016-11-11 12,176,033 3.036%
GIC PRIVATE LTD MERLIN ENTMTS 2016-09-27 30,583,647 3.011%
GIC PRIVATE LTD Tesco PLC 2016-07-01 251,669,495 3.079%
GIC PRIVATE LTD British Land Co PLC 2016-06-09 41,121,137 3.995%
GIC PRIVATE LTD ASSURANCE GROUP PLC ORD 10P 2015-09-29 16,582,676 3.769%
GIC PRIVATE LTD Debenhams Plc 2015-05-07 35,999,143 0%
GIC PRIVATE LTD Royal Mail Plc Ordinary 2015-04-09 28,476,123 2.848%
GIC PRIVATE LTD STOCK SPIRITS 2015-01-16 5,642,832 2.821%

Position History

Holder Issuer Transaction Date Number of Voting Rights % of Voting Rights
GIC PRIVATE LTD PORTS HOLDING PLC ORD GBP5.00 2017-05-17 3,000,000 4.775%
GIC PRIVATE LTD ENERGY HOLDINGS PLC ORD 5P 2017-03-30 20,173,527 9.782%
GIC PRIVATE LTD Allied Minds plc 2017-03-14 16,643,813 7.106%
GIC PRIVATE LTD Allied Minds plc 2016-12-02 14,913,843 6.38%
GIC PRIVATE LTD JIMMY CHOO PLC ORD 100P 2016-09-28 0 0%
GIC PRIVATE LTD JIMMY CHOO PLC ORD 100P 2016-08-25 15,071,686 3.99%
GIC PRIVATE LTD MERLIN ENTMTS 2016-07-29 30,480,971 3.006%
GIC PRIVATE LTD MERLIN ENTMTS 2016-07-01 0 0%
GIC PRIVATE LTD Tesco PLC 2016-06-30 245,669,495 3.005%
GIC PRIVATE LTD ENERGY HOLDINGS PLC ORD 5P 2016-06-29 21,784,928 10.649%
GIC PRIVATE LTD MERLIN ENTMTS 2016-06-23 38,196,959 3.767%
GIC PRIVATE LTD MERLIN ENTMTS 2016-06-20 41,679,459 4.111%
GIC PRIVATE LTD MERLIN ENTMTS 2016-06-06 50,692,005 5.0%
GIC PRIVATE LTD PETS AT HOME GR 2016-05-26 19,195,648 3.839%
GIC PRIVATE LTD Avanti Communications Group PLC 2016-05-13 5,071,346 3.441%
GIC PRIVATE LTD Avanti Communications Group PLC 2016-05-09 6,831,346 4.635%
GIC PRIVATE LTD British Land Co PLC 2016-04-25 41,226,746 4.005%
GIC PRIVATE LTD MERLIN ENTMTS 2016-04-25 50,718,291 5.002%
GIC PRIVATE LTD Serco Group plc ADR 2016-04-12 43,062,864 3.92%
GIC PRIVATE LTD British Land Co PLC 2016-02-18 41,042,589 3.99%
GIC PRIVATE LTD Serco Group plc ADR 2016-02-17 52,833,260 4.809%
GIC PRIVATE LTD British Land Co PLC 2016-02-04 41,193,379 4.004%
GIC PRIVATE LTD JIMMY CHOO PLC ORD 100P 2015-09-01 24,028,926 6.165%
GIC PRIVATE LTD British Land Co PLC 2015-08-28 40,760,450 3.978%
GIC PRIVATE LTD Serco Group plc ADR 2015-08-18 64,967,452 5.914%
GIC PRIVATE LTD British Land Co PLC 2015-08-14 40,982,269 4.015%
GIC PRIVATE LTD PETS AT HOME GR 2015-07-21 24,966,634 4.993%
GIC PRIVATE LTD MERLIN ENTMTS 2015-07-08 50,406,840 4.972%
GIC PRIVATE LTD JIMMY CHOO PLC ORD 100P 2015-06-16 21,365,213 5.482%
GIC PRIVATE LTD British Land Co PLC 2015-06-03 40,776,737 3.995%
GIC PRIVATE LTD Debenhams Plc 2015-04-22 47,553,598 0%
GIC PRIVATE LTD MERLIN ENTMTS 2015-03-03 52,562,329 5.185%
GIC PRIVATE LTD Avanti Communications Group PLC 2015-02-25 8,274,056 5.835%
GIC PRIVATE LTD Royal Mail Plc Ordinary 2015-01-21 39,343,389 3.934%
GIC PRIVATE LTD British Land Co PLC 2015-01-14 40,803,984 4.004%

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