Get all premium features to the best stock analysis tool

Finranks

Finranks

Company

  • About us

Contact us

  • [email protected]

Follow us

  • Instagram
  • Telegram
  • LinkedIn

All rights reserved.

Privacy PolicyTerms of Conditions
  • Home
  • Markets
  • Screener
  • News
  • About
  1. Home
  2. GRAB

(GRAB)

0.00

0.00 (0.00%)

  • Summary
  • News
  • Chart
  • Financial
  • Dividends
  • Forecast
  • Ownership
  • Profile

Ownership

Major Holders

Breakdown
22.21%% of Shares Held by All Insider
66.04%% of Shares Held by Institutions
84.89%% of Float Held by Institutions
860Number of Institutions Holding Shares

Top Institutional Holders

HolderSharesDate Reported% OutValue
Uber Technologies, Inc535.90M2025-12-3113.50%$1.91B
SB Investment Advisers (UK) LTD401.80M2025-12-3110.12%$1.43B
TOYOTA MOTOR CORP/222.91M2025-12-315.62%$795.77M
MUFG Bank Ltd142.91M2025-12-313.60%$510.20M
Blackrock Inc.129.41M2025-12-313.26%$461.98M
Morgan Stanley112.49M2025-12-312.83%$401.58M
Tiger Global Management, LLC92.92M2025-12-312.34%$331.74M
Invesco Ltd.78.16M2025-12-311.97%$279.03M
Marshall Wace LLP72.45M2025-12-311.83%$258.66M
JPMORGAN CHASE & CO56.67M2025-12-311.43%$202.31M

Top Mutual Fund Holders

HolderSharesDate Reported% OutValue
Artisan Partners Funds Inc.-Artisan Developing World Fund25.23M2025-12-310.64%$90.07M
iShares Trust-iShares Core MSCI EAFE ETF16.54M2026-01-310.42%$59.06M
JPMorgan Trust I-JPMorgan Emerging Markets Equity Fund14.46M2025-10-310.36%$51.62M
AIM Investment Fd.s -Invesco Developing Markets Fd.13.35M2025-10-310.34%$47.65M
Principal Funds, Inc-Global Emerging Markets Fund9.96M2025-10-310.25%$35.55M
VANGUARD HORIZON FUNDS-Vanguard International Core Stock Fund9.80M2025-12-310.25%$34.98M
Fidelity Concord Street Trust-Fidelity International Index Fund8.55M2026-01-310.22%$30.53M
ALLSPRING FUNDS TRUST-Allspring Emerging Markets Equity Fund8.43M2026-01-310.21%$30.08M
iShares Trust-iShares MSCI EAFE ETF8.19M2026-01-310.21%$29.25M
College Retirement Equities Fund-Growth Account8.05M2025-12-310.20%$28.74M