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GIC Private Ltd

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
UBS AG UBSCommon247,335,932247,335,9323,836,180,3053,836,180,305   Hist 12/31/2009
STATE STREET CORP STTCommon19,638,08719,638,0871,334,407,9531,334,407,953   Hist 08/05/2016
DOLLAR GENERAL CORP DGCOM12,389,68412,389,6841,152,364,5091,152,364,509   Hist 12/31/2017
PPD, Inc. PPDCOM21,561,49621,561,496819,336,848819,336,848   Hist 02/12/2021
BORGWARNER INC BWACommon11,076,03811,076,038335,493,202335,493,202   Hist 07/01/2016
Safehold Inc. SAFECOM4,248,4354,248,435307,969,053307,969,053   Hist 12/31/2020
Luminar Technologies, Inc./DE LAZRStock11,450,91211,450,912268,638,396268,638,396   Hist 03/04/2021
Paramount Group, Inc. PGRECOM11,425,00011,425,000181,086,250181,086,250   Hist 12/31/2017
Revance Therapeutics, Inc. RVNCCommon3,830,9513,830,951110,982,650110,982,650   Hist 02/12/2021
WMS INDUSTRIES INC /DE/ WMSCommon3,236,3633,236,363101,783,616101,783,616   Hist 04/15/2011
Hyatt Hotels Corp HCOM CL A2,997,9122,997,91289,367,75789,367,757   Hist 12/31/2009
ACM Research, Inc. ACMRCOM CL A653,020653,02088,307,89588,307,895   Hist 02/12/2021
STRATEGIC HOTELS & RESORTS, INC BEECOM10,798,84610,798,84670,300,48770,300,487   Hist 06/24/2011
FirstCash Holdings, Inc. FCFSCommon1,433,6051,433,60560,455,12060,455,120   Hist 02/29/2016
Shanda Games Ltd GAMESP ADR5,442,2055,442,20555,456,06955,456,069   Hist 12/31/2009
Safehold Inc. SAFECommon2,125,0002,125,00037,400,00037,400,000   Hist 12/31/2017
BMC SOFTWARE INC BMCCommon753,314753,31434,336,05234,336,052   Hist 07/24/2013
Zymergen Inc. ZYCommon5,078,9025,078,90233,977,85433,977,854   Hist 12/31/2021
BELLRING BRANDS, INC. BRBRCommon460,200460,20011,284,10411,284,104   Hist 02/12/2021
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