Microvast Holdings, Inc.

MVST

Individual Beneficiary

Name of reporting person Citizenship or organization Sole voting power Shared voting power Sole dispositive power Shared dispositive power Amount beneficially owned Percent of class Accepted date
CDH Griffin Holdings Company Limited VIRGIN ISLANDS, BRITISH 0 0 0 0 37073227 11.3 % 13/02/2026
(1) BlackRock, Inc. Delaware 16303656 0 16668819 0 16668819 5.3 % 02/02/2024
IFC granted in the Articles of Agreement establishing IFC, international conventions, or applicable International Organization established by Articles of Agreement among its Member Countries. 13154320 0 13154320 0 13154320 4.25 % 14/07/2023
IFC granted in the Articles of Agreement establishing IFC, international conventions, or applicable International Organization established by Articles of Agreement among its Member Countries. 13154320 0 13154320 0 13154320 4.25 % 14/07/2023
conventions, or applicable law. International Organization established by Articles of Agreement among its Member Countries. 15832638 0 15832638 0 15832638 5.12 % 24/02/2023
conventions, or applicable law. International Organization established by Articles of Agreement among its Member Countries. 15832638 0 15832638 0 15832638 5.12 % 24/02/2023
Hangzhou CDH New Trend Equity Investment Partnership (Limited Partnership) People’s Republic of China 3255266 0 3255266 0 3255266 1.1 % 15/02/2022
Dinghui Equity Investment Management (Tianjin) Company Limited People’s Republic of China 3255266 0 3255266 0 3255266 1.1 % 15/02/2022
CDH Griffin Holdings Company Limited British Virgin Islands 40435753 0 40435753 0 40435753 13.5 % 15/02/2022
CDH Shanghai Baifu Wealth Management Company Limited People’s Republic of China 5734018 0 5734018 0 5734018 1.9 % 15/02/2022
Shanghai Dinghui Pingxun Investment Partnership (LLP) People’s Republic of China 5734018 0 5734018 0 5734018 1.9 % 15/02/2022
Piccadilly, L.P. Cayman Islands 31446469 0 31446469 0 31446469 10.5 % 15/02/2022
CDH China HF Holdings Company Limited Cayman Islands 31446469 0 31446469 0 31446469 10.5 % 15/02/2022
Aurora Sheen Limited British Virgin Islands 5734018 0 5734018 0 5734018 1.9 % 15/02/2022
Evergreen Ever Limited British Virgin Islands 31446469 0 31446469 0 31446469 10.5 % 15/02/2022
CDH Investment Management Company Limited Cayman Islands 40435753 0 40435753 0 40435753 13.5 % 15/02/2022
Alpine Global Management, LLC Delaware, USA 15416 0 15416 0 15416 0 % 14/01/2022
Ashmore Global Special Situations Fund 4 (GP) Limited Guernsey 0 13588103 0 10 13588103 4.5 % 02/08/2021
Ashmore Global Special Situations Fund 4 Limited Partnership Guernsey 0 13588103 0 10 13588103 4.5 % 02/08/2021
Ashmore Group plc England and Wales 0 23503434 0 10 23503434 7.8 % 02/08/2021
Ashmore Investment Management Limited 0 15678679 0 11 15678679 5.2 % 02/08/2021
Ashmore Global Special Situations Fund 5 Limited Partnership 0 2090576 0 11 2090576 0.7 % 02/08/2021
Liquid Investment Portfolio 0 7824755 0 11 7824755 2.6 % 02/08/2021
Ashmore Emerging Markets Debt Fund 0 7824755 0 11 7824755 2.6 % 02/08/2021
Ashmore Emerging Markets Debt and Currency Fund Limited 0 7824755 0 11 7824755 2.6 % 02/08/2021
Ashmore Global Special Situations Fund 5 (GP) Limited 0 2090576 0 11 2090576 0.7 % 02/08/2021
Ashmore Investment Management Limited England and Wales 0 15678679 0 10 15678679 5.2 % 02/08/2021
Ashmore Group plc 0 23503434 0 11 23503434 7.8 % 02/08/2021
Ashmore Investment Advisors Limited England and Wales 0 7824755 0 10 7824755 2.6 % 02/08/2021
Liquid Investment Portfolio Guernsey 0 7824755 0 10 7824755 2.6 % 02/08/2021
Ashmore Emerging Markets Debt Fund Cayman Islands 0 7824755 0 10 7824755 2.6 % 02/08/2021
Ashmore Emerging Markets Debt and Currency Fund Limited Guernsey 0 7824755 0 10 7824755 2.6 % 02/08/2021
Ashmore Cayman SPC Limited Cayman Islands 0 7824755 0 10 7824755 2.6 % 02/08/2021
Ashmore Global Special Situations Fund 5 (GP) Limited Guernsey 0 2090576 0 10 2090576 0.7 % 02/08/2021
Ashmore Global Special Situations Fund 5 Limited Partnership Guernsey 0 2090576 0 10 2090576 0.7 % 02/08/2021
Ashmore Investment Advisors Limited 0 7824755 0 11 7824755 2.6 % 02/08/2021
Ashmore Cayman SPC Limited 0 7824755 0 11 7824755 2.6 % 02/08/2021
Ashmore Global Special Situations Fund 4 (GP) Limited 0 13588103 0 11 13588103 4.5 % 02/08/2021
Ashmore Global Special Situations Fund 4 Limited Partnership 0 13588103 0 11 13588103 4.5 % 02/08/2021
Yang Wu 85036953 0 85036953 11 85036953 28.3 % 26/07/2021
Yang Wu United States of America 85036953 0 85036953 10 85036953 28.3 % 26/07/2021
Alpine Global Management, LLC Delaware, USA 2036308 0 2036308 0 2036308 5.7 % 24/02/2021
Alpine Global Management, LLC Delaware, USA 2036308 0 2036308 0 2036308 5.7 % 24/02/2021
Notes). 0 0 0 0 0 0 % 11/02/2021
Notes). DELAWARE 0 0 0 0 0 0 % 11/02/2021
Polar Asset Management Partners Inc. Canada 0 0 0 0 0 0 % 11/02/2021
Alpine Global Management, LLC Delaware 2091014 0 2091014 0 2091014 5.9 % 03/02/2021
Alpine Global Management, LLC Delaware 2091014 0 2091014 0 2091014 5.9 % 03/02/2021
Notes). USA 0 2666049 0 1934 2666049 7.51 % 10/07/2020
Notes). DELAWARE 0 2666049 0 2666049 2666049 7.51 % 10/07/2020
Polar Asset Management Partners Inc. Canada 2697287 0 2697287 0 2697287 7.6 % 10/07/2020
Polar Asset Management Partners Inc. Canada 2697287 0 2697287 0 2697287 7.6 % 10/07/2020
Polar Asset Management Partners Inc. Canada 4497287 0 4497287 0 4497287 12.67 % 08/05/2020
Polar Asset Management Partners Inc. Canada 4497287 0 4497287 0 4497287 12.67 % 08/05/2020
Notes). USA 0 100000 0 100000 100000 0.28 % 13/02/2020
Notes). USA 0 100000 0 100000 100000 0.28 % 13/02/2020
Polar Asset Management Partners Inc. Citizenship or Place of Organization 1934600 0 1934600 0 1934600 5.45 % 13/02/2020
Polar Asset Management Partners Inc. Canada 1934600 0 1934600 0 1934600 5.45 % 13/02/2020
Stephen A. Vogel 7308589 0 7308589 0 7308589 20.6 % 13/02/2020
Tuscan Holdings Acquisition LLC 7308589 0 7308589 0 7308589 20.6 % 13/02/2020
Stephen A. Vogel United States 7308589 0 7308589 0 7308589 20.6 % 13/02/2020
Tuscan Holdings Acquisition LLC United States 7308589 0 7308589 0 7308589 20.6 % 13/02/2020
Notes). USA 0 2303668 0 2303668 2303668 6.49 % 29/03/2019

Senat trading

Bureau Date de la transaction Date de réception Type Amount Commentaire

Senat Divulgation

Représentant Date de la transaction Date de divulgation Type Amount District