HoldingsChannel.com
Partners Group Holding AG Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
Clarivate Analytics PLC 5,437,037 -1,168,994 $91,723
     CCC5,437,037-1,168,994$91,723
Crown Castle International Cor 359,395 +51,678 $49,959
     CCI359,395+51,678$49,959
Atmos Energy Corp 402,033 +4,887 $45,788
     ATO402,033+4,887$45,788
Enbridge Inc 1,298,518 +190,752 $45,343
     ENB1,298,518+190,752$45,343
ADT Inc 7,082,238 +78,070 $44,406
     ADT7,082,238+78,070$44,406
American Water Works Co Inc 344,106 +1,432 $42,748
     AWK344,106+1,432$42,748
Union Pacific Corp 260,542 +6,158 $42,203
     UNP260,542+6,158$42,203
Republic Services Inc 484,948 +4,839 $41,972
     RSG484,948+4,839$41,972
Canadian National Railway Co 454,954 +33,110 $40,642
     CNI454,954+33,110$40,642
Ceridian HCM Holding Inc 681,062 -431,827 $33,624
     CDAY681,062-431,827$33,624
American Tower Corp 147,876 +4,521 $32,700
     AMT147,876+4,521$32,700
KKR & Co Inc 1,115,598 +6,342 $29,954
     KKR1,115,598+6,342$29,954
Williams Cos Inc The 1,153,200 +169,761 $27,746
     WMB1,153,200+169,761$27,746
Fortis Inc Canada 616,361 +3,283 $25,924
     FTS616,361+3,283$25,924
Blackstone Group Inc The 504,786 +504,786 $24,654
     BX504,786+504,786$24,654
Ares Capital Corp 1,238,663 -18,447 $23,082
     ARCC1,238,663-18,447$23,082
CMS Energy Corp 333,048 +5,995 $21,298
     CMS333,048+5,995$21,298
Apollo Global Management Inc 515,204 -11,985 $19,485
     APO515,204-11,985$19,485
TC Energy Corp 353,395 +6,504 $18,205
     TRP353,395+6,504$18,205
Solar Capital Ltd 748,137 +116,570 $15,449
     SLRC748,137+116,570$15,449
Ares Management Corp 549,422 -31,683 $14,730
     ARES549,422-31,683$14,730
Evoqua Water Technologies Corp 762,704 UNCH $12,981
     AQUA762,704UNCH$12,981
New Mountain Finance Corp 908,506 +116,963 $12,383
     NMFC908,506+116,963$12,383
Edison International 139,488 -131,245 $10,520
     EIX139,488-131,245$10,520
Smartsheet Inc 283,561 +283,561 $10,217
     SMAR283,561+283,561$10,217
Univar Solutions Inc 427,878 UNCH $8,883
     UNVR427,878UNCH$8,883
Kinder Morgan Inc DE 425,957 UNCH $8,779
     KMI425,957UNCH$8,779
At Home Group Inc 895,087 UNCH $8,611
     HOME895,087UNCH$8,611
Brookfield Business Partners L 162,212 +20,998 $6,322
     BBU162,212+20,998$6,322
Elastic NV 69,594 +56,996 $5,730
     ESTC69,594+56,996$5,730
Carlyle Group LP The 191,401 -13,096 $4,892
     CG191,401-13,096$4,892
Oaktree Specialty Lending Corp 798,638 +135,158 $4,137
     OCSL798,638+135,158$4,137
WideOpenWest Inc 609,958 +609,958 $3,757
     WOW609,958+609,958$3,757
Mid America Apartment Communit 26,843 +2,293 $3,490
     MAA26,843+2,293$3,490
Bloom Energy Corp 907,260 +7,334 $2,949
     BE907,260+7,334$2,949
Bain Capital Specialty Finance 149,051 +35,639 $2,827
     BCSF149,051+35,639$2,827
Spotify Technology SA 24,789 UNCH $2,826
     SPOT24,789UNCH$2,826
Enterprise Products Partners L 97,504 UNCH $2,787
     EPD97,504UNCH$2,787
BJ s Wholesale Club Holdings I 107,325 +107,325 $2,776
     BJ107,325+107,325$2,776
Annaly Capital Management Inc 308,050 +41,600 $2,711
     NLY308,050+41,600$2,711
STAG Industrial Inc 84,097 +7,713 $2,479
     STAG84,097+7,713$2,479
Energy Transfer LP 121,635 UNCH $1,591
     ET121,635UNCH$1,591
Senior Housing Properties Trus 123,083 UNCH $1,139
     SNH123,083UNCH$1,139
Highwoods Properties Inc 24,970 +1,175 $1,122
     HIW24,970+1,175$1,122
Antero Resources Corp 358,979 UNCH $1,084
     AR358,979UNCH$1,084
Lyft Inc 19,489 +19,489 $796
     LYFT19,489+19,489$796
Magellan Midstream Partners LP 11,114 UNCH $737
     MMP11,114UNCH$737
Plains All American Pipeline L 28,078 UNCH $583
     PAA28,078UNCH$583
ONEOK Inc 6,700 UNCH $494
     OKE6,700UNCH$494
Zuora Inc 31,270 +31,270 $471
     ZUO31,270+31,270$471

See Full List: All Stocks Held By Partners Group Holding AG
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Partners Group Holding AG

Size ($ in 1000's)
At 09/30/2019: $860,775
At 06/30/2019: $815,677

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

Partners Group Holding AG Top Holdings 13F Filings | www.HoldingsChannel.com

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