Global Data Centre Group (gdc) Logo

Global Data Centre Group (GDC)

___:___ · Financial Services
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VOLUME
DIV YIELD
PE RATIO
1 YR RETURN
52 WEEK RANGE

GDC Chart

Snapshot

GDC's Principal Activity is the investing in a pool of digital infrastructure assets not usually available to retail investors.

Share Price Activity

Last (Price)
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Bid / Ask -
Volume
Volume (4w avg)
Turnover
Open
Day Range -
VWAP
Prev Close
Last Trade

Performance

1 Week
1 Month
2021 YTD
1 Year
vs Sector (1yr) -
vs ASX 200 (1yr) -9.69%

Size

Market Capitalisation
ASX Rank 877 of 2,313
Sector Rank 150 of 284

Key Fundamentals

Shares Issued
Sector Financial Services
Similar Companies EAI / PGL / RZI
EPS $0.143
DPS $0.012
NTA per share $1.63

Broker Consensus

GDC is not covered by a major broker, or data from most recent compilation was omitted due to not meeting QA guidelines.

Announcements

Date Heading Pages File Size Time

Corporate Overview

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.

Incorporation Details

No incorporation details available.

Corporate Details

Head Office Sydney NSW 2000
Website www.globaldatacentres.com.au/globaldatacentregroup
Registry BoardRoom
Auditor Ernst & Young
Date Listed 31 Oct 2019

Upcoming Calendar (Forecasted)

Date Event
25/02/2022 Report (Interim)
24/08/2022 Report (Prelim)
24/08/2022 Report (Annual)

Dividend History

DPS and Yield calculations use the Pay Date.

Ex-Date Amount Franking Gross Type Payable
29/06/2021 $0.012 0% $0.012 Final 28/07/2021

See Upcoming Dividends for all ASX companies.

Key Data
DPS(TTM) $0.012
Gross DPS(TTM) $0.012
Dividend yield
Gross yield
Payout Ratio 8%
DRP No
DRP Features -

Directors & Management

Directors & Management

Name Title Since Bio
Mr Kimberley Child Joint Company Secretary Aug 2020
Mr Glenn Butterworth Chief Financial Officer,Company Secretary Dec 2019
Mr Tony Robert Pitt Managing Director Sep 2019 Director Bio icon

Mr Tony Robert Pitt

Managing Director

Mr Pitt is a founding Director of 360 Capital Group and has worked in the property and property funds management industries for over 20 years. As Managing Director, he is responsible for the Group's investments, strategic direction and overall Group strategy. He has overseen the IPO on the ASX of three AREITs since 2012 as well as the creation of various unlisted funds, undertaken various corporate acquisitions and disposals, mergers and acquisitions and the ASX listing of 360 Capital Group. He has formerly held numerous senior roles and directorships at Mirvac Group, James Fielding Group and Paladin Australia. He also held positions at Jones Lang LaSalle and CB Richard Ellis.

Mr Andrew Graeme Moffat Non-Executive Director Dec 2016 Director Bio icon

Mr Andrew Graeme Moffat

Non-Executive Director

Mr Moffat has in more than 23 years of corporate and investment banking experience, including serving as a director of Equity Capital markets and Advisory for BNP Paribas Equities (Australia) Limited. He is the sole principal of Cowoso Capital Pty Ltd, a company providing corporate advisory services. He is also a Director of Pacific Star Network Limited and a Director of ICP Funding Pty Ltd. His past public company directorships include Rubik Financial limited, Keybridge Capital Limited, CCK Financial Solutions Limited, itX Group Limited and Infomedia Limited.

Mr David van Aanholt Non-Executive Chairman,Non-Executive Director Feb 2016 Director Bio icon

Mr David van Aanholt

Non-Executive Chairman,Non-Executive Director

Mr van Aanholt has over 30 years of experience in the property and funds management industry. Prior to establishing his own property group in 2007, he worked for the ASX listed Goodman Group where he was the Chief Executive Officer (Asia Pacific) and was responsible for Goodman's operations in Australia, New Zealand, Hong Kong and Singapore. Prior to working for Goodman he held senior roles at Paladin Australia and CDH Properties (acquired by KPMG). He is a non-executive Director and Chair of Kennard's Self Storage Group and a Councillor at the University of New England where he sits on the Audit and Risk, Finance and Infrastructure, Innovation and Remuneration Committees.

Mr William John Ballhausen Non-Executive Director Feb 2016 Director Bio icon

Mr William John Ballhausen

Non-Executive Director

Mr Ballhausen is a financial services professional with over 35 years of experience. He is a founder of Quay Fund Services Limited providing trustee and responsible entity services to fund managers. He is also a non-executive director of Arctic Intelligence. John founded Rimcorp Property Limited and became its Managing Director. Before 2002 he held the position of Chief Investment Officer with HIH Insurance.

Director Transactions

GDC directors must report any change in shareholding to the ASX within 5 business days.

See Director Transactions for all ASX companies.

Date Director Type Amount Price Value Notes
14/09/21 David van Aanholt Sell +38,108 $2.025 ($77,168) On-market trade
09/09/21 Andrew Moffat Sell +25,000 $2.02 ($50,500) On-market trade
07/09/21 Tony Pitt Sell +21,831,811 $1.93 ($42,140,295) On-market trade

Director Interests

The current holdings of GDC directors.

Director Last Notice Direct Shares Indirect Shares Options Convertibles
David van Aanholt 14/09/2021 N/A 0 N/A N/A
Andrew Moffat 09/09/2021 0 0 N/A N/A
Tony Pitt 07/09/2021 N/A 0 N/A N/A
William Ballhausen 30/06/2021 N/A 20,000 N/A N/A

Shareholder Info

Top 20 Shareholders

Data supplied by Morningstar and accurate on Aug 20, 2021.

It's not possible to publish a real-time Top 20 Shareholder list. Companies are not obliged to report this data (with the exception of Substantial Shareholders above 5%). If a company chooses to publish the data, it's usually once a year in their Annual Report.

All data is manually compiled so there might be a delay between the Annual Report being published and the data appearing on Market Index (<7 days for ASX 300 and up to 30 days for micro-caps).

Name Shares Capital
360 Capital Fm Limited 12,875,001 19.62%
360 Capital Fm Limited <360 Capital Dip A/C> 8,886,810 13.54%
Citicorp Nominees Pty Limited 4,932,987 7.52%
National Nominees Limited 2,284,542 3.48%
HSBC Custody Nominees (Australia) Limited 2,094,227 3.19%
Cs Third Nominees Pty Limited <Hsbc Cust Nom Au Ltd 13 A/C> 1,300,580 1.98%
Brispot Nominees Pty Ltd <House Head Nominee A/C> 1,077,444 1.64%
Venti Seven Pty Ltd 916,526 1.40%
J & H Macculloch Pty Ltd <J & H Macculloch A/C> 864,416 1.32%
J P Morgan Nominees Australia Pty Limited 581,969 0.89%
Mr David Stuart Yuile & Mrs Carole Yuile <Fourys A/C> 559,557 0.85%
Cs Fourth Nominees Pty Limited <HSBC Cust Nom Au Ltd 11 A/C> 541,178 0.82%
Lily Investments Pty Ltd 500,000 0.76%
Horrie Pty Ltd <Horrie Superannuation A/C> 491,722 0.75%
Investment Management Co Pty Ltd <Vantage Investment Funda/C> 430,000 0.66%
BNP Paribas Nominees Pty Ltd <Agency Lending DRP A/C> 384,963 0.59%
One Managed Invt Funds Ltd <Sandon Capital Inv Ltd A/C> 322,871 0.49%
Geat Incorporated <Geat Preservation Fund A/C> 313,320 0.48%
Paramon Holdings Pty Ltd <Paramon A/C> 257,500 0.39%
Hillmorton Custodians Pty Ltd <The Lennox Unit A/C> 240,608 0.37%

Shareholder Distribution

As reported in the most recent Annual Report.

Holding Size 1 - 1,000 1,001 - 5,000 5,001 - 10,000 10,001 - 100,000 100,001+ Total
No. of Shareholders 355 1,131 539 641 36 2,702

Substantial Shareholders

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
Tribeca Investment Partners Pty Ltd 07/09/2021 3,649,445 5.56
Regal Funds Management Pty Ltd 07/09/2021 6,358,085 9.69

Shareholders Buying

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
03-12-20 Macquarie Group Limited and its controlled bodies 3,639,568 -- 5.54

Shareholders Selling

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 --

Historical Data

Share Price History

Date Close Change %Chg Open High Low Volume Turnover

Historical Data

Year Closing Price Last Trade
No Financial Year End data available
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GDC Historical Price Data (CSV)
Up to 20 years of EOD share price history
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