21Vianet Group Inc

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21Vianet Group Inc
TickerVNET
CIK #0001508475
CUSIP90138A103
SectorTechnology - Services-Computer Programming, Data Processing, Etc.
AddressM5, 1Jiuxianqiao East Road Chaoyang District, Beijing, 100016
Source [EDGAR]
CIK Filing 2011 - 2025
[0001508475] 6-K
[0001508475] SC 13D
[0001508475] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
FIL Ltd VNET Group Inc [2023-02-09] 0.0
Samarra Co Ltd VNET Group Inc [2022-11-25] 8.4
Chen Sheng VNET Group Inc [2022-04-08] 8.9
Ares Management GP LLC VNET Group Inc [2022-03-23] 8.6
Majara Investment Ltd VNET Group Inc [2022-03-03] 6.4
Sumitomo Mitsui Financial Group Inc VNET Group Inc [2022-02-14] 0.1
Blackstone Tactital Opportunities Management Associates Cayman - NQ LP 21Vianet Group Inc [2020-07-02] 0.1
GIC Private Ltd 21Vianet Group Inc [2020-05-28] 5.32
Morgan Stanley 21Vianet Group Inc [2019-03-27] 6.0
FIL Ltd 21Vianet Group Inc [2019-02-13] 0.0
Tuspark Innovation Venture Ltd 21Vianet Group Inc [2016-07-13] 21.4
China Reinsurance Group Co 21Vianet Group Inc [2016-07-08] 5.4
Oz Management LP 21Vianet Group Inc [2015-11-23] 5.6
Wellington Management Group LLP 21Vianet Group Inc [2015-02-12] 5.45
King Venture Holdings Ltd 21Vianet Group Inc [2015-01-20] 13.5
GIC Private Ltd 21Vianet Group Inc [2014-09-16] 5.15
FIL Ltd 21Vianet Group Inc [2014-06-10] 0.0
FMR LLC 21Vianet Group Inc [2014-03-10] 0.0
Kylin Management LLC 21Vianet Group Inc [2014-01-30] 3.9
Temasek Holdings Private Ltd 21Vianet Group Inc [2013-10-25] 11.75
FMR LLC 21Vianet Group Inc [2012-10-10] 0.0
Pendragon Securities Ltd 21Vianet Group Inc [2012-08-31] 5.0
Joho Capital LLC 21Vianet Group Inc [2012-03-08] 5.37
Purple Communications Ltd 21Vianet Group Inc [2012-02-14] 8.4
[2012-02-14] None
[2012-02-14] None
Cisco Systems International BV 21Vianet Group Inc [2012-02-13] 6.0
Matrix Partners China I GP GP 21Vianet Group Inc [2012-02-06] 5.3
Form 13F Holdings
Firm Period DFND Voting Shares
FIL Ltd [2023-03-31] DFND 13,413,651.0 14,284,512.0
Blackstone Inc. [2023-03-31] OTR 0.0 10,402,130.0
MY.Alpha Management HK Advisors Ltd [2023-03-31] SOLE 7,005,700.0 7,005,700.0
Vanguard Group Inc [2023-03-31] SOLE 0.0 3,810,872.0
Anson Funds Management LP [2023-03-31] DFND 1,889,453.0 3,778,906.0
Jane Street Group LLC [2023-03-31] DFND 3,467,230.0 3,467,230.0
Oasis Management Co Ltd. [2023-03-31] SOLE 3,405,400.0 3,405,400.0
Millennium Management LLC [2023-03-31] SOLE 3,114,900.0 3,114,900.0
Aspex Management (HK) Ltd [2023-03-31] SOLE 2,964,552.0 2,964,552.0
Bank of America Corp /DE/ [2023-03-31] DFND 1,482.0 2,938,640.0
Verition Fund Management LLC [2023-03-31] OTR 0.0 2,720,705.0
FMR LLC [2023-03-31] DFND 2,587,477.0 2,587,477.0
BlackRock Inc. [2023-03-31] SOLE 2,096,549.0 2,157,553.0
Goldman Sachs Group Inc [2023-03-31] DFND 1,901,006.0 1,901,006.0
Bloom Tree Partners LLC [2023-03-31] SOLE 1,813,294.0 1,813,294.0
Farallon Capital Management LLC [2023-03-31] OTR 1,775,000.0 1,775,000.0
Dimensional Fund Advisors LP [2023-03-31] SOLE 1,529,724.0 1,681,898.0
Mirae Asset Global Investments Co., Ltd. [2023-03-31] DFND 1,335,130.0 1,335,130.0
Maso Capital Partners Ltd [2023-03-31] SOLE 1,279,834.0 1,279,834.0
Citadel Advisors LLC [2023-03-31] DFND 1,236,353.0 1,236,353.0
Marshall Wace LLP [2023-03-31] OTR 0.0 1,051,210.0
Cushing Asset Management LP [2023-03-31] SOLE 922,091.0 922,091.0
State Street Corp [2023-03-31] DFND 777,260.0 915,594.0
Loomis Sayles & Co L P [2023-03-31] DFND 850,136.0 850,136.0
Vanguard Group Inc [2023-03-31] DFND 0.0 850,045.0
UBS Group AG [2023-03-31] SOLE 813,840.0 813,840.0
Morgan Stanley [2023-03-31] DFND 423,698.0 616,295.0
Citigroup Inc [2023-03-31] DFND 514,963.0 514,963.0
Davidson Kempner Partners [2023-03-31] SOLE 2,549,934.0 424,989.0
Davidson Kempner Capital Management LP [2023-03-31] SOLE 2,549,934.0 424,989.0
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