HoldingsChannel.com
Brookfield Public Securities Group LLC Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
ENTERPRISE PRODS PARTNERS L 14,133,062 +14,133,062 $403,923
     EPD14,133,062+14,133,062$403,923
WILLIAMS COS INC DEL 16,316,679 +16,316,679 $392,579
     WMB16,316,679+16,316,679$392,579
ENERGY TRANSFER LP 29,015,514 +29,015,514 $379,531
     ET29,015,514+29,015,514$379,531
AMERICAN TOWER CORP NEW 1,480,314 +1,480,314 $327,342
     AMT1,480,314+1,480,314$327,342
MPLX LP 10,580,070 +10,580,070 $296,348
     MPLX10,580,070+10,580,070$296,348
KINDER MORGAN INC DEL 12,956,770 +12,956,770 $267,039
     KMI12,956,770+12,956,770$267,039
PLAINS ALL AMERN PIPELINE L 12,776,541 +12,776,541 $265,113
     PAA12,776,541+12,776,541$265,113
TARGA RES CORP 6,533,191 +6,533,191 $262,438
     TRGP6,533,191+6,533,191$262,438
AVALONBAY CMNTYS INC 1,040,284 +1,040,284 $224,004
     AVB1,040,284+1,040,284$224,004
KILROY RLTY CORP 2,819,408 +2,819,408 $219,604
     KRC2,819,408+2,819,408$219,604
MAGELLAN MIDSTREAM PRTNRS LP 3,004,950 +3,004,950 $199,138
     MMP3,004,950+3,004,950$199,138
VENTAS INC 2,637,055 +2,637,055 $192,584
     VTR2,637,055+2,637,055$192,584
PUBLIC STORAGE 772,211 +772,211 $189,400
     PSA772,211+772,211$189,400
MID AMER APT CMNTYS INC 1,418,671 +1,418,671 $184,441
     MAA1,418,671+1,418,671$184,441
ENTERGY CORP NEW 1,485,708 +1,485,708 $174,363
     ETR1,485,708+1,485,708$174,363
AMERICAN ELEC PWR CO INC 1,817,815 +1,817,815 $170,311
     AEP1,817,815+1,817,815$170,311
PEMBINA PIPELINE CORP 4,374,774 +4,374,774 $162,228
     PBA4,374,774+4,374,774$162,228
WELLTOWER INC 1,767,079 +1,767,079 $160,186
     WELL1,767,079+1,767,079$160,186
ONEOK INC NEW 2,149,418 +2,149,418 $158,391
     OKE2,149,418+2,149,418$158,391
FIRSTENERGY CORP 3,282,606 +3,282,606 $158,320
     FE3,282,606+3,282,606$158,320
ENLINK MIDSTREAM LLC 18,417,570 +18,417,570 $156,549
     ENLC18,417,570+18,417,570$156,549
Aqua America Inc 3,362,825 +3,362,825 $150,755
     WTR3,362,825+3,362,825$150,755
HCP INC 4,182,929 +4,182,929 $149,038
     HCP4,182,929+4,182,929$149,038
TC ENERGY CORP 2,815,526 +2,815,526 $145,864
     TRP2,815,526+2,815,526$145,864
VEREIT INC 14,737,986 +14,737,986 $144,138
     VER14,737,986+14,737,986$144,138
HIGHWOODS PPTYS INC 3,191,654 +3,191,654 $143,433
     HIW3,191,654+3,191,654$143,433
PHYSICIANS RLTY TR 8,010,375 +8,010,375 $142,184
     DOC8,010,375+8,010,375$142,184
EQUITY RESIDENTIAL 1,640,802 +1,640,802 $141,536
     EQR1,640,802+1,640,802$141,536
SEMPRA ENERGY 957,779 +957,779 $141,378
     SRE957,779+957,779$141,378
Ameren Corp 1,697,488 +1,697,488 $135,884
     AEE1,697,488+1,697,488$135,884
OMEGA HEALTHCARE INVS INC 3,240,908 +3,240,908 $135,438
     OHI3,240,908+3,240,908$135,438
AMERICOLD RLTY TR 3,651,874 +3,651,874 $135,375
     COLD3,651,874+3,651,874$135,375
ESSEX PPTY TR INC 411,791 +411,791 $134,512
     ESS411,791+411,791$134,512
VICI PPTYS INC 5,752,936 +5,752,936 $130,304
     VICI5,752,936+5,752,936$130,304
PROLOGIS INC 1,511,879 +1,511,879 $128,842
     PLD1,511,879+1,511,879$128,842
NOBLE ENERGY INC 4,243,535 +4,243,535 $126,967
     NI4,243,535+4,243,535$126,967
DIGITAL RLTY TR INC 967,576 +967,576 $125,601
     DLR967,576+967,576$125,601
REGENCY CTRS CORP 1,774,171 +1,774,171 $123,287
     REG1,774,171+1,774,171$123,287
CROWN CASTLE INTL CORP NEW 872,069 +872,069 $121,226
     CCI872,069+872,069$121,226
GRANITE REAL ESTATE INVT TR      $117,428
     GRP.U2,423,789+2,423,789$117,428
ENBRIDGE INC 3,338,596 +3,338,596 $117,245
     ENB3,338,596+3,338,596$117,245
EQM MIDSTREAM PARTNERS LP 3,488,618 +3,488,618 $114,078
     EQM3,488,618+3,488,618$114,078
CHENIERE ENERGY INC 1,787,596 +1,787,596 $112,726
     LNG1,787,596+1,787,596$112,726
WESTERN MIDSTREAM PARTNERS LP 4,218,565 +4,218,565 $105,000
     WES4,218,565+4,218,565$105,000
NUSTAR ENERGY LP 3,511,266 +3,511,266 $99,439
     NS3,511,266+3,511,266$99,439
MGM GROWTH PPTYS LLC 3,286,286 +3,286,286 $98,753
     MGP3,286,286+3,286,286$98,753
NEXTERA ENERGY INC 387,801 +387,801 $90,354
     NEE387,801+387,801$90,354
ALEXANDRIA REAL ESTATE EQ IN 574,956 +574,956 $88,566
     ARE574,956+574,956$88,566
SIMON PPTY GROUP INC NEW 552,851 +552,851 $86,051
     SPG552,851+552,851$86,051
PARK HOTELS RESORTS INC 3,443,330 +3,443,330 $85,980
     PK3,443,330+3,443,330$85,980

See Full List: All Stocks Held By Brookfield Public Securities Group LLC
— Including:
     • Biggest new positions
     • Biggest exits

See Details: Top 10 Stocks Held By Brookfield Public Securities Group LLC

Size ($ in 1000's)
At 09/30/2019: $10,096,656
At 06/30/2019: $0

Combined Holding Report Includes:
Brookfield Public Securities Group LLC
Brookfield Asset Management Inc.

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

Brookfield Public Securities Group LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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