HoldingsChannel.com
Duff & Phelps Investment Management Co. Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
NEXTERA ENERGY INC 765,775 -183,980 $148,040
     NEE765,775-183,980$148,040
PUBLIC SVC ENTERPR 2,340,723 -2,145 $139,062
     PEG2,340,723-2,145$139,062
CMS ENERGY CORP 2,493,262 -255,550 $138,476
     CMS2,493,262-255,550$138,476
AMERN ELEC PWR INC 1,590,583 +61,440 $133,211
     AEP1,590,583+61,440$133,211
DTE ENERGY CO 1,063,270 -138,980 $132,632
     DTE1,063,270-138,980$132,632
CROWN CASTLE INTL 1,020,443 -2,110 $130,617
     CCI1,020,443-2,110$130,617
EVERSOURCE ENERGY 1,824,600 +105,200 $129,455
     ES1,824,600+105,200$129,455
EVERGY INC 2,169,887 -38,580 $125,962
     EVRG2,169,887-38,580$125,962
SEMPRA ENERGY 987,174 -1,760 $124,246
     SRE987,174-1,760$124,246
PROLOGIS INC 1,596,255 -528,317 $114,851
     PLD1,596,255-528,317$114,851
CENTERPOINT ENERGY 3,737,300 -97,000 $114,735
     CNP3,737,300-97,000$114,735
XCEL ENERGY INC 1,924,841 -177,950 $108,195
     XEL1,924,841-177,950$108,195
WEC ENERGY GROUP INC 1,367,000 -133,000 $108,102
     WEC1,367,000-133,000$108,102
ALLIANT ENERGY CORP 2,239,240 -177,000 $105,535
     LNT2,239,240-177,000$105,535
AMERICAN WTR WKS CO 1,012,186 -53,175 $105,531
     AWK1,012,186-53,175$105,531
SOUTHERN CO 2,003,140 UNCH $103,522
     SO2,003,140UNCH$103,522
AMEREN CORPORATION 1,403,000 -285,000 $103,191
     AEE1,403,000-285,000$103,191
DIGITAL RLTY TR INC 845,614 -47,330 $100,628
     DLR845,614-47,330$100,628
OGE ENERGY CORP 2,300,000 UNCH $99,176
     OGE2,300,000UNCH$99,176
DOMINION ENERGY INC 1,274,152 +142,390 $97,676
     D1,274,152+142,390$97,676
PINNACLE WEST CAP 1,000,000 UNCH $95,580
     PNW1,000,000UNCH$95,580
WILLIAMS COS INC 3,303,963 -22,570 $94,890
     WMB3,303,963-22,570$94,890
ENERGY TRANSFER LP 6,099,064 +118,125 $93,743
     ETE6,099,064+118,125$93,743
TRANSCANADA CORP 2,085,816 -48,090 $93,729
     TRP2,085,816-48,090$93,729
VERIZON COMMUNICATIO 1,546,769 +1,000 $91,460
     VZ1,546,769+1,000$91,460
AVALONBAY COMMUNTIES 449,791 +8,945 $90,287
     AVB449,791+8,945$90,287
SIMON PPTY INC 478,510 -100,160 $87,189
     SPG478,510-100,160$87,189
ALEXANDRIA REAL ESTA 599,892 -73,266 $85,521
     ARE599,892-73,266$85,521
HCP INC 2,608,700 +2,608,700 $81,652
     HCP2,608,700+2,608,700$81,652
ATMOS ENERGY CORP 792,633 -2,135 $81,586
     ATO792,633-2,135$81,586
NISOURCE INC 2,814,911 -3,190 $80,675
     NI2,814,911-3,190$80,675
ENTERPRISE PRODS 2,722,275 +10,575 $79,218
     EPD2,722,275+10,575$79,218
SPIRE INC 930,470 -810 $76,568
     SR930,470-810$76,568
AMERICAN TOWER CORP 387,230 +89,020 $76,308
     AMT387,230+89,020$76,308
ENBRIDGE INC 1,939,477 -590,260 $70,316
     ENB1,939,477-590,260$70,316
AT&T INC 2,208,215 +1,500 $69,250
     T2,208,215+1,500$69,250
BCE INC 1,550,515 UNCH $68,827
     BCE1,550,515UNCH$68,827
SUN COMMUNITIES 570,868 -55,574 $67,659
     SUI570,868-55,574$67,659
REGENCY CENTERS CORP 987,428 -17,890 $66,642
     REG987,428-17,890$66,642
KINDER MORGAN INC 3,320,814 +3,165 $66,449
     KMI3,320,814+3,165$66,449
COUSINS PPTYS INC 6,669,918 +696,705 $64,431
     CUZ6,669,918+696,705$64,431
DUKE REALTY CORP 2,103,782 -369,346 $64,334
     DRE2,103,782-369,346$64,334
TARGA RESOURCES IN 1,539,049 +43,532 $63,947
     TRGP1,539,049+43,532$63,947
PEMBINA PIPELINE 1,729,118 +509,060 $63,537
     PBA1,729,118+509,060$63,537
ISHARES TRUST CORE (ITOT) 978,630 UNCH $63,024
     ITOT978,630UNCH$63,024
MPLX LP 1,909,120 +100,790 $62,791
     MPLX1,909,120+100,790$62,791
EDISON INTL 1,000,000 UNCH $61,920
     EIX1,000,000UNCH$61,920
EQUITY RESIDENTIAL 789,783 +210,690 $59,486
     EQR789,783+210,690$59,486
PLAINS ALL AMERN PIP 2,406,410 +132,110 $58,981
     PAA2,406,410+132,110$58,981
HLTHCARE TR OF AMER 2,023,812 +22,550 $57,861
     HTA2,023,812+22,550$57,861

See Full List: All Stocks Held By Duff & Phelps Investment Management Co.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Duff & Phelps Investment Management Co.

Size ($ in 1000's)
At 03/31/2019: $6,652,808
At 12/31/2018: $5,954,237

Combined Holding Report Includes:
DUFF & PHELPS INVESTMENT MANAGEMENT CO
Virtus Investment Advisers Inc.
VIRTUS ALTERNATIVE INVESTMENT ADVISERS INC.

Duff & Phelps Investment Management Co. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Duff & Phelps Investment Management Co. 13F filings. Link to 13F filings: SEC filings

Duff & Phelps Investment Management Co. Top Holdings 13F Filings | www.HoldingsChannel.com

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