GDS Holdings Ltd - Class A Ordinary Shares, par value $0.00005 per share (GDS)

Historical Holders from Q4 2016 to Q3 2025

Symbol
GDS on Nasdaq
Type / Class
Equity / Class A Ordinary Shares, par value $0.00005 per share
Shares outstanding
1,551,527,819
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
77,773,027
Holdings value
$3,008,705,101
% of all portfolios
0.04%
Number of holders
200
Number of buys
133
Number of sells
-73
Average buys %
+0.01%
Average sells %
-0.01%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of GDS Holdings Ltd - Class A Ordinary Shares, par value $0.00005 per share (GDS)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SINGAPORE TECHNOLOGIES TELEMEDIA PTE LTD 28.7% -16% $15,104,185,377 -$1,628,160,000 445,288,484 -9.7% Singapore Technologies Telemedia Pte Ltd 10 Sep 2025

Institutional Holders of GDS Holdings Ltd - Class A Ordinary Shares, par value $0.00005 per share (GDS)

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 77,773,027 $3,008,705,101 -$66,727,607 $38.7 200
2025 Q2 81,003,737 $2,474,275,472 +$192,850,984 $30.57 159
2025 Q1 75,721,708 $1,916,948,135 -$191,336,860 $25.33 150
2024 Q4 83,282,283 $1,978,442,209 +$43,283,981 $23.76 133
2024 Q3 80,335,809 $1,638,824,285 +$14,242,489 $20.4 135
2024 Q2 83,240,460 $773,341,354 +$108,846,568 $9.29 102
2024 Q1 71,885,041 $478,034,103 +$38,264,435 $6.65 100
2023 Q4 66,501,225 $606,490,246 +$31,936,771 $9.12 103
2023 Q3 62,984,312 $689,677,103 -$12,121,083 $10.95 98
2023 Q2 64,384,162 $707,588,491 -$131,869,903 $10.99 114
2023 Q1 71,327,236 $1,331,072,991 -$18,649,406 $18.66 129
2022 Q4 72,452,489 $1,492,776,749 +$77,122,710 $20.62 139
2022 Q3 68,695,589 $1,213,374,931 -$252,952,146 $17.66 122
2022 Q2 79,717,282 $2,661,648,522 -$354,981,595 $33.39 160
2022 Q1 89,219,696 $3,494,490,263 -$547,321,661 $39.25 199
2021 Q4 102,052,997 $4,811,485,693 -$165,901,187 $47.16 216
2021 Q3 102,077,492 $5,777,865,986 -$344,323,459 $56.61 218
2021 Q2 105,567,323 $8,286,360,681 +$159,910,940 $78.49 253
2021 Q1 103,604,846 $8,401,826,872 -$229,059,856 $81.09 268
2020 Q4 105,522,158 $9,880,488,632 +$33,006,058 $93.64 267
2020 Q3 104,869,417 $8,580,001,237 +$293,228,149 $81.83 254
2020 Q2 100,596,114 $8,013,952,026 +$154,755,458 $79.66 242
2020 Q1 99,524,412 $5,768,622,126 +$308,090,238 $57.97 218
2019 Q4 94,296,956 $4,863,788,331 +$559,196,643 $51.58 204
2019 Q3 84,116,207 $3,371,078,508 +$92,870,132 $40.08 183
2019 Q2 81,843,072 $3,072,713,255 +$358,150,193 $37.57 170
2019 Q1 73,500,511 $2,622,976,874 +$666,355,319 $35.69 166
2018 Q4 55,091,881 $1,271,712,144 +$54,914,715 $23.09 141
2018 Q3 50,859,229 $1,786,437,392 +$154,306,673 $35.13 139
2018 Q2 46,046,454 $1,845,640,119 +$396,975,599 $40.09 120
2018 Q1 36,556,906 $1,002,668,000 +$446,416,893 $27.45 87
2017 Q4 20,382,018 $459,207,000 +$105,314,365 $22.53 60
2017 Q3 16,956,888 $190,866,066 +$20,691,883 $11.26 41
2017 Q2 15,249,462 $141,366,000 -$5,016,146 $9.27 34
2017 Q1 16,081,688 $132,837,000 +$4,536,876 $8.27 28
2016 Q4 15,489,670 $132,813,000 +$132,813,000 $8.6 32