HoldingsChannel.com
Blackstone Group Inc Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
CHENIERE ENERGY PARTNERS LP 205,893,147 +281,763 $7,202,143
     CQP205,893,147+281,763$7,202,143
GATES INDUSTRIAL CORPRATIN P 246,387,590 +603,000 $2,532,865
     GTES246,387,590+603,000$2,532,865
VIVINT SMART HOME INC 107,732,396 UNCH $1,867,002
     VVNT107,732,396UNCH$1,867,002
ENTERPRISE PRODS PARTNERS L 76,906,182 +54,149,658 $1,397,385
     EPD76,906,182+54,149,658$1,397,385
ENERGY TRANSFER LP 161,580,105 +79,270,161 $1,150,451
     ET161,580,105+79,270,161$1,150,451
MPLX LP 52,063,318 +29,646,037 $899,655
     MPLX52,063,318+29,646,037$899,655
VIVINT SOLAR INC 69,619,557 UNCH $689,234
     VSLR69,619,557UNCH$689,234
CHANGE HEALTHCARE INC 59,620,253 UNCH $667,746
     CHNGV59,620,253UNCH$667,746
WILLIAMS COS INC 33,253,588 +33,253,588 $632,483
     WMB33,253,588+33,253,588$632,483
TC ENERGY CORP 12,232,865 +12,232,865 $524,301
     TRP12,232,865+12,232,865$524,301
CHENIERE ENERGY INC 8,859,461 +8,823,857 $428,089
     LNG8,859,461+8,823,857$428,089
MAGELLAN MIDSTREAM PRTNRS LP 9,465,487 +9,465,487 $408,626
     MMP9,465,487+9,465,487$408,626
PEMBINA PIPELINE CORP 14,192,577 +14,192,577 $354,814
     PBA14,192,577+14,192,577$354,814
KINDER MORGAN INC DEL 21,994,467 +21,994,467 $333,656
     KMI21,994,467+21,994,467$333,656
PLAINS ALL AMERN PIPELINE L 34,047,449 +34,047,449 $300,979
     PAA34,047,449+34,047,449$300,979
ENBRIDGE INC 9,587,637 +9,587,637 $291,656
     ENB9,587,637+9,587,637$291,656
KILROY RLTY CORP 4,820,473 +1,925,600 $282,962
     KRC4,820,473+1,925,600$282,962
TARGA RES CORP 9,858,217 +9,599,915 $197,854
     TRGP9,858,217+9,599,915$197,854
T MOBILE US INC 1,601,000 +1,601,000 $166,744
     TMUS1,601,000+1,601,000$166,744
BLACKSTONE MTG TR INC 6,829,864 +1,009,170 $164,531
     BXMT6,829,864+1,009,170$164,531
MICHAELS COS INC 20,393,531 UNCH $144,182
     MIK20,393,531UNCH$144,182
AVALONBAY CMNTYS INC 931,240 +931,240 $144,007
     AVB931,240+931,240$144,007
CENTERPOINT ENERGY INC 7,588,888 +7,588,888 $141,685
     CNP7,588,888+7,588,888$141,685
SEMPRA ENERGY 1,179,966 +1,179,966 $138,327
     SRE1,179,966+1,179,966$138,327
ALNYLAM PHARMACEUTICALS INC 924,681 +924,681 $136,954
     ALNY924,681+924,681$136,954
MGM GROWTH PPTYS LLC 4,891,395 UNCH $133,095
     MGP4,891,395UNCH$133,095
EQUITRANS MIDSTREAM CORP 15,521,951 +15,521,951 $128,987
     ETRN15,521,951+15,521,951$128,987
FIDELITY NATIONAL FINANCIAL 3,847,066 +3,847,066 $117,951
     FNF3,847,066+3,847,066$117,951
TC PIPELINES LP 3,053,477 +3,053,477 $94,841
     TCP3,053,477+3,053,477$94,841
ANTERO MIDSTREAM CORP 17,279,866 +17,279,866 $88,127
     AM17,279,866+17,279,866$88,127
PHILLIPS 66 PARTNERS LP 2,359,110 +2,359,110 $85,022
     PSXP2,359,110+2,359,110$85,022
CROWDSTRIKE HLDGS INC 765,139 +765,139 $76,736
     CRWD765,139+765,139$76,736
COREPOINT LODGING INC 17,586,537 UNCH $74,039
     CPLG17,586,537UNCH$74,039
EQUITY RESIDENTIAL 1,073,600 +405,600 $63,149
     EQR1,073,600+405,600$63,149
PG&E CORP 6,900,000 +6,900,000 $61,203
     PCG6,900,000+6,900,000$61,203
COLUMBIA PPTY TR INC 3,706,900 +1,732,900 $48,709
     CXP3,706,900+1,732,900$48,709
PALOMAR HLDGS INC 535,085 +250,000 $45,889
     PLMR535,085+250,000$45,889
REATA PHARMACEUTICALS INC 279,085 +279,085 $43,543
     RETA279,085+279,085$43,543
APARTMENT INVT & MGMT CO 1,085,258 UNCH $40,849
     AIV1,085,258UNCH$40,849
CLOUDFLARE INC 994,400 +994,400 $35,749
     NET994,400+994,400$35,749
ELLINGTON RESIDENTIAL MTG RE 3,303,578 +200,321 $34,027
     EARN3,303,578+200,321$34,027
VORNADO RLTY TR 888,689 -3,853,279 $33,957
     VNO888,689-3,853,279$33,957
RANPAK HLDGS CORP      $32,640
     PACK4,000,000+560,000$29,760
     PACK.WT2,000,000UNCH$2,880
EQUINIX INC 45,000 +45,000 $31,604
     EQIX45,000+45,000$31,604
INGERSOLL RAND INC 950,000 +950,000 $26,714
     IR950,000+950,000$26,714
TENCENT MUSIC ENTMT GROUP 1,915,725 +1,915,725 $25,786
     TME1,915,725+1,915,725$25,786
NUSTAR ENERGY LP 1,574,564 +1,574,564 $22,485
     NS1,574,564+1,574,564$22,485
ALBERTSONS COS INC 1,400,000 +1,400,000 $22,078
     ACI1,400,000+1,400,000$22,078
FOLEY TRASIMENE ACQUISTN COR      $21,340
     WPF.U2,000,000+2,000,000$21,340
GS ACQUISITION HLDGS CORP II      $21,020
     GSAH.U2,000,000+2,000,000$21,020

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 06/30/2020: $23,659,762
At 03/31/2020: $13,783,047

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 Real Estate Advisors L.P.
Havest Fund Advisors LLC

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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