HoldingsChannel.com
Reaves W H & Co. Inc. Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
NEXTERA ENERGY INC COM 709,027 -592 $171,698
     NEE709,027-592$171,698
SEMPRA ENERGY COM 931,823 -191,379 $141,153
     SRE931,823-191,379$141,153
CHARTER COMMUNICATIONS INC 282,811 -12,516 $137,186
     CHTR282,811-12,516$137,186
DTE ENERGY CO COM 987,047 -331,005 $128,188
     DTE987,047-331,005$128,188
ALTICE USA INC. CL A 4,571,309 +51,659 $124,980
     ATUS4,571,309+51,659$124,980
TELUS CORP COM 2,957,386 -117,347 $114,646
     TU2,957,386-117,347$114,646
UNION PAC CORP COM 619,663 -4,100 $112,029
     UNP619,663-4,100$112,029
BCE INC COM NEW 2,403,433 -61,020 $111,399
     BCE2,403,433-61,020$111,399
ONEOK INC NEW COM 1,377,122 -14,746 $104,207
     OKE1,377,122-14,746$104,207
NEXTERA ENERGY PARTNERS LP 1,941,987 -76,562 $102,246
     NEP1,941,987-76,562$102,246
PUBLIC SVC ENTERPRISE GROUP IN 1,620,620 +693 $95,697
     PEG1,620,620+693$95,697
VERIZON COMMUNICATIONS COM 1,505,958 -453,912 $92,466
     VZ1,505,958-453,912$92,466
EDISON INTL COM 1,195,575 +29,000 $90,158
     EIX1,195,575+29,000$90,158
EQUINIX INC COM NEW 143,509 -2,486 $83,766
     EQIX143,509-2,486$83,766
WEC ENERGY GROUP INC COM 906,566 +2,247 $83,613
     WEC906,566+2,247$83,613
ROYAL DUTCH SHELL PLC SPONS AD      $81,912
     RDS.A1,388,818-71,365$81,912
DOMINION ENERGY INC. 950,799 +1,388 $78,746
     D950,799+1,388$78,746
SOUTHERN CO COM 1,081,000 UNCH $68,860
     SO1,081,000UNCH$68,860
COMCAST CORP CLASS A 1,486,775 UNCH $66,860
     CMCSA1,486,775UNCH$66,860
NISOURCE INC COM 2,397,528 +469,026 $66,747
     NI2,397,528+469,026$66,747
CROWN CASTLE INTL CORP NEW 467,522 -20,767 $66,458
     CCI467,522-20,767$66,458
AMERICAN WATER WORKS 532,053 -33,077 $65,363
     AWK532,053-33,077$65,363
EVERSOURCE ENERGY 709,253 +143 $60,336
     ES709,253+143$60,336
ENTERPRISE PRODUCTS PARTNERS L 2,137,650 +74,550 $60,196
     EPD2,137,650+74,550$60,196
FORTIS INC 1,302,839 +3,973 $54,093
     FTS1,302,839+3,973$54,093
ATMOS ENERGY CORP COM 457,025 +137,067 $51,123
     ATO457,025+137,067$51,123
DELTA AIRLINES INC 866,564 +20,455 $50,677
     DAL866,564+20,455$50,677
CMS ENERGY CORP COM 800,022 +6,403 $50,273
     CMS800,022+6,403$50,273
MARATHON PETROLEUM CORP 780,766 -221,871 $47,041
     MPC780,766-221,871$47,041
CORESITE REALTY CORP 406,087 +154,085 $45,530
     COR406,087+154,085$45,530
SOUTHWEST GAS CORP COM 583,341 +265,691 $44,316
     SWX583,341+265,691$44,316
SOUTH JERSEY IND 1,288,996 +217,676 $42,511
     SJI1,288,996+217,676$42,511
FIRSTENERGY CORP COM 864,680 -49,365 $42,023
     FE864,680-49,365$42,023
CANADIAN NATL RY CO COM 421,662 +240,090 $38,139
     CNI421,662+240,090$38,139
BP PLC SPONS ADR 1,007,795 -10,605 $38,034
     BP1,007,795-10,605$38,034
TC ENERGY 660,408 +226,325 $35,206
     TRP660,408+226,325$35,206
PPL CORP COM 980,008 -145,552 $35,162
     PPL980,008-145,552$35,162
EXXON MOBIL CORP 489,940 UNCH $34,188
     XOM489,940UNCH$34,188
SBA COMMUNICATIONS COR CL A 114,414 +29,161 $27,573
     SBAC114,414+29,161$27,573
VISTRA ENERGY CORP. 1,155,972 +284,424 $26,576
     VST1,155,972+284,424$26,576
AT & T INC. NEW 613,234 UNCH $23,965
     T613,234UNCH$23,965
NEW JERSEY RES COM 447,194 +447,194 $19,931
     NJR447,194+447,194$19,931
CLEARWAY ENERGY INC. CL C 909,420 -77,000 $18,143
     CWEN909,420-77,000$18,143
VIACOMCBS INC. CL B 424,718 -36,161 $17,825
     CBS424,718-36,161$17,825
NRG ENERGY INC COM 440,523 -7,122 $17,510
     NRG440,523-7,122$17,510
ALPHABET INC 12,565 -680 $16,800
     GOOG12,565-680$16,800
CHEVRON CORPORATION COM 122,762 -7,862 $14,794
     CVX122,762-7,862$14,794
OCCIDENTAL PETE CP DEL COM 295,840 -450 $12,192
     OXY295,840-450$12,192
ALPHABET INC. CLASS A 8,812 -58 $11,803
     GOOGL8,812-58$11,803
TARGA RESOURCES CORP 270,750 +255 $11,055
     TRGP270,750+255$11,055

See Full List: All Stocks Held By Reaves W H & Co. Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Reaves W H & Co. Inc.

Size ($ in 1000's)
At 12/31/2019: $3,192,506
At 09/30/2019: $3,254,774

Combined Holding Report Includes:
REAVES W H & CO INC
Virtus ETF Advisers LLC

Reaves W H & Co. Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Reaves W H & Co. Inc. 13F filings. Link to 13F filings: SEC filings

Reaves W H & Co. Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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