GDC's Principal Activity is the investing in a pool of digital infrastructure assets not usually available to retail investors.
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Date | Heading | Pages | File Size | Time |
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Global Data Centre Group (GDC, formerly 360 Capital Digital Infrastructure Fund) is an Australian managed investment scheme. The Fund provides Unitholders with the ability to gain exposure to digital infrastructure assets, seeking to capitalise on the growth of the global digital economy. The Fund will seek to invest initially in digital infrastructure assets in the Asia Pacific region, with ability to broaden the investment mandate globally. The Fund comprises the stapled entities Global Data Centre Investment Fund and Global Data Centre Operations Fund.
No incorporation details available.
Head Office | Sydney NSW 2000 |
Website | www.globaldatacentres.com.au/globaldatacentregroup |
Registry | BoardRoom |
Auditor | Ernst & Young |
Date Listed | 31 Oct 2019 |
Date | Event |
---|---|
24/08/2022 | Report (Prelim) |
24/08/2022 | Report (Annual) |
24/02/2023 | Report (Interim) |
DPS and Yield calculations use the Pay Date.
See Upcoming Dividends for all ASX companies.
Key Data | |
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DPS(TTM) | $0.012 |
Gross DPS(TTM) | $0.012 |
Dividend yield |
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Gross yield |
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Payout Ratio | 8% |
DRP | No |
DRP Features | - |
GDC directors must report any change in shareholding to the ASX within 5 business days.
See Director Transactions for all ASX companies.
The current holdings of GDC directors.
A substantial shareholder is a person or entity that owns 5% or more of the voting shares in a company. Shares can be held through multiple entities, so the Substantial Shareholders list differs from the Top 20 Shareholders list.
Shareholding changes less than 1% do not require notification to the market. When all “Last Notice” dates are identical, it suggests that no (or minimal) change has occurred since the most recent Annual Report.
Name | Last Notice | Total Shares | Shares Held (%) |
---|---|---|---|
Macquarie Investment Management Ltd | 20/08/2021 | 3,639,568 | 5.54 |
Regal Funds Management Pty Ltd | 07/09/2021 | 6,358,085 | 9.69 |
Tribeca Investment Partners Pty Ltd | 07/09/2021 | 3,649,445 | 5.56 |
12 month transaction history compiled from ASX announcements.
Date | Name | Bought | Previous % | New % |
---|---|---|---|---|
07-09-21 | Tribeca Investment Partners Pty Ltd | 3,649,445 | -- | 5.56 |
07-09-21 | Regal Funds Management Pty Ltd | 6,358,085 | -- | 9.69 |
12 month transaction history compiled from ASX announcements.
Date | Name | Sold | Previous % | New % |
---|---|---|---|---|
17-09-21 | Macquarie Group Limited and its controlled bodies | 3,639,568 | 5.54 | -- |
07-09-21 | 360 Capital FM Limited | 22,299,368 | 39.08 | -- |
Date | Close | Change | %Chg | Open | High | Low | Volume | Turnover |
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Year | Closing Price | Last Trade |
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2021 | $1.735 | 30 June |
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