Goldpac Group Ltd. | Mutual Funds

Mutual Funds that own Goldpac Group Ltd.

Name
Shares Held
% Shares Out
Change In Shares
% of Assets
As of Date
40,488,000
4.86%
5,000,000
1.38%
12/31/2016
11,027,000
1.32%
-453,000
0.07%
06/30/2017
6,370,000
0.76%
6,370,000
0.11%
12/31/2017
Allianz Global Investors Fund - China Equity
5,569,000
0.67%
0
0.33%
05/31/2018
China Fund
4,970,000
0.6%
0
0.37%
04/30/2018
British Columbia Inv Management Corp.
4,861,000
0.57%
-500,000
0%
03/31/2017
Asia Pacific Fund
4,168,000
0.5%
1,049,000
0.72%
03/31/2018
Templeton Global Growth Fund Ltd.
3,051,000
0.37%
0
0.27%
06/30/2017
DFA Emerging Markets Small Cap Series
2,369,000
0.28%
0
0.01%
01/31/2018
Nomura Asset Asia Brand Equity Mother Fund
1,844,044
0.22%
253,217
0.62%
06/07/2017

About Goldpac Group

View Profile
Address
Room 1301, Harbour View Center
Hong Kong
Hong Kong
Employees -
Website http://www.goldpac.com
Updated 07/08/2019
Goldpac Group Ltd. is an investment holding company, which engages in the provision of solutions which addresses the divers' needs of secure payment systems, data management services, card issuance systems, multi-function terminals, and custom turn-key solutions. It operates through the Embedded Software and Secure Payment Products, and Platform and Services segments. The Embedded Software and Secure Payment Products segment covers smart secure payment.