HoldingsChannel.com
Blackstone Group Inc Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
CHENIERE ENERGY PARTNERS LP 203,360,965 UNCH $8,095,800
     CQP203,360,965UNCH$8,095,800
GATES INDUSTRIAL CORPRATIN P 245,264,191 UNCH $3,374,836
     GTES245,264,191UNCH$3,374,836
CHANGE HEALTHCARE INC 59,620,253 UNCH $977,176
     CHNG59,620,253UNCH$977,176
VIVINT SOLAR INC 74,359,374 UNCH $539,849
     VSLR74,359,374UNCH$539,849
TALLGRASS ENERGY LP 23,652,463 UNCH $523,192
     TGE23,652,463UNCH$523,192
FGL HLDGS 45,289,666 +12,488 $482,335
     FG45,289,666+12,488$482,335
BLACKSTONE MTG TR INC 5,740,206 +234,331 $213,650
     BXMT5,740,206+234,331$213,650
COREPOINT LODGING INC 17,586,537 UNCH $187,824
     CPLG17,586,537UNCH$187,824
MICHAELS COS INC 20,393,531 UNCH $164,984
     MIK20,393,531UNCH$164,984
FORTY SEVEN INC 3,816,951 UNCH $150,273
     FTSV3,816,951UNCH$150,273
AVANTOR INC      $62,118
     AVTR3,144,790+2,008,745$57,078
     AVTR.PRA80,000UNCH$5,040
CENTRIC BRANDS INC 26,219,501 UNCH $56,896
     CTRC26,219,501UNCH$56,896
RANPAK HLDGS CORP      $34,880
     PACK4,000,000UNCH$32,600
     PACK.WT2,000,000UNCH$2,280
ELLINGTON RESIDENTIAL MTG RE 3,103,257 UNCH $32,708
     EARN3,103,257UNCH$32,708
VICI PPTYS INC 980,000 +230,000 $25,039
     VICI980,000+230,000$25,039
SIENTRA INC 2,730,765 UNCH $24,413
     SIEN2,730,765UNCH$24,413
GRITSTONE ONCOLOGY INC 2,567,445 UNCH $23,030
     GRTS2,567,445UNCH$23,030
ALGONQUIN PWR UTILS CORP 1,571,026 +1,571,026 $22,230
     AQN1,571,026+1,571,026$22,230
GALERA THERAPEUTICS INC 1,678,984 +1,678,984 $22,095
     GRTX1,678,984+1,678,984$22,095
HEALTHCARE TR AMER INC 725,000 +725,000 $21,953
     HTA725,000+725,000$21,953
NEXTIER OILFIELD SOLUTIONS I 3,263,123 +3,263,123 $21,863
     NEX3,263,123+3,263,123$21,863
CLARIVATE ANALYTICS PLC 1,200,000 +1,200,000 $20,160
     CCC1,200,000+1,200,000$20,160
SSGA ACTIVE ETF TR (SRLN) 415,275 +108,000 $19,344
     SRLN415,275+108,000$19,344
ESSA PHARMA INC 3,373,053 UNCH $18,552
     EPIX3,373,053UNCH$18,552
VISTRA ENERGY CORP 800,000 +800,000 $18,392
     VST800,000+800,000$18,392
PALOMAR HLDGS INC 285,085 +100,085 $14,394
     PLMR285,085+100,085$14,394
PACIFIC BIOSCIENCES CALIF IN 2,411,556 UNCH $12,395
     PACB2,411,556UNCH$12,395
CROWDSTRIKE HLDGS INC 213,875 +213,875 $10,666
     CRWD213,875+213,875$10,666
TARGA RES CORP 258,302 -194,100 $10,376
     TRGP258,302-194,100$10,376
CIIG MERGER CORP 800,000 +800,000 $8,096
     CIICU800,000+800,000$8,096
ENTASIS THERAPEUTICS HLDGS I 1,623,405 UNCH $8,068
     ETTX1,623,405UNCH$8,068
AMERICOLD RLTY TR 225,700 UNCH $7,913
     COLD225,700UNCH$7,913
THUNDER BRDG ACQUISTION II L 700,000 UNCH $7,315
     THBRU700,000UNCH$7,315
DYNATRACE INC 275,000 +275,000 $6,958
     DT275,000+275,000$6,958
UBER TECHNOLOGIES INC 200,000 +200,000 $5,948
     UBER200,000+200,000$5,948
XP INC 150,350 +150,350 $5,791
     XP150,350+150,350$5,791
DTE ENERGY CO 100,000 +100,000 $5,126
     DTP100,000+100,000$5,126
DATADOG INC 125,000 +70,000 $4,723
     DDOG125,000+70,000$4,723
CHP MERGER CORP 450,000 +450,000 $4,577
     CHPMU450,000+450,000$4,577
SPROUT SOCIAL INC 274,945 +274,945 $4,413
     SPT274,945+274,945$4,413
OPORTUN FINL CORP 185,000 UNCH $4,403
     OPRT185,000UNCH$4,403
PING IDENTITY HLDG CORP 160,000 UNCH $3,888
     PING160,000UNCH$3,888
CANNAE HLDGS INC 100,000 +100,000 $3,719
     CNNE100,000+100,000$3,719
XERIS PHARMACEUTICALS INC 450,000 +450,000 $3,173
     XERS450,000+450,000$3,173
TUFIN SOFTWARE TECHNOLOGIS L 175,000 +175,000 $3,078
     TUFN175,000+175,000$3,078
HOVNANIAN ENTERPRISES INC 135,193 UNCH $2,821
     HOV135,193UNCH$2,821
LGL SYS ACQUISITION CORP 275,000 +275,000 $2,802
     DFNSU275,000+275,000$2,802
HEALTH CATALYST INC 77,900 UNCH $2,703
     HCAT77,900UNCH$2,703
CHENIERE ENERGY INC 35,604 UNCH $2,174
     LNG35,604UNCH$2,174
MONTAGE RES CORP 227,334 UNCH $1,805
     MR227,334UNCH$1,805

See Full List: All Stocks Held By Blackstone Group Inc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Blackstone Group Inc

Size ($ in 1000's)
At 12/31/2019: $15,395,843
At 09/30/2019: $17,376,627

Combined Holding Report Includes:
Blackstone Group Inc
GSO Capital Partners LP
Blackstone Management Partners L.L.C.
Clarus Ventures LLC
Blackstone Alternative Solutions L.L.C.

Blackstone Group Inc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Blackstone Group Inc 13F filings. Link to 13F filings: SEC filings

Blackstone Group Inc Top Holdings 13F Filings | www.HoldingsChannel.com

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