HoldingsChannel.com
Reaves W H & Co. Inc. Top Holdings
As of  09/30/2019

   EntityAmountChange
 06/30/2019 to 09/30/2019
Position Size
($ in 1000's)
DTE ENERGY CO COM 1,318,052 +3,315 $175,249
     DTE1,318,052+3,315$175,249
SEMPRA ENERGY COM 1,123,202 -9,342 $165,796
     SRE1,123,202-9,342$165,796
NEXTERA ENERGY INC COM 709,619 -12,583 $165,335
     NEE709,619-12,583$165,335
ALTICE USA INC. CL A 4,519,650 -145,845 $129,624
     ATUS4,519,650-145,845$129,624
CHARTER COMMUNICATIONS INC 295,327 -3,422 $121,710
     CHTR295,327-3,422$121,710
BCE INC COM NEW 2,464,453 -30,017 $119,304
     BCE2,464,453-30,017$119,304
VERIZON COMMUNICATIONS COM 1,959,870 -67,885 $118,298
     VZ1,959,870-67,885$118,298
TELUS CORP COM 3,074,733 +195,850 $109,502
     TU3,074,733+195,850$109,502
NEXTERA ENERGY PARTNERS LP 2,018,549 -92,967 $106,660
     NEP2,018,549-92,967$106,660
ONEOK INC NEW COM 1,391,868 -115,869 $102,567
     OKE1,391,868-115,869$102,567
UNION PAC CORP COM 623,763 -575 $101,037
     UNP623,763-575$101,037
PUBLIC SVC ENTERPRISE GROUP IN 1,619,927 +277,871 $100,565
     PEG1,619,927+277,871$100,565
EDISON INTL COM 1,166,575 +350,525 $87,984
     EIX1,166,575+350,525$87,984
WEC ENERGY GROUP INC COM 904,319 -12,486 $86,001
     WEC904,319-12,486$86,001
ROYAL DUTCH SHELL PLC SPONS AD      $85,932
     RDS.A1,460,183-167,390$85,932
EQUINIX INC COM NEW 145,995 -8,922 $84,210
     EQIX145,995-8,922$84,210
DOMINION ENERGY INC. 949,411 +347 $76,941
     D949,411+347$76,941
AMERICAN WATER WORKS 565,130 +2,576 $70,206
     AWK565,130+2,576$70,206
CROWN CASTLE INTL CORP NEW 488,289 +1,449 $67,877
     CCI488,289+1,449$67,877
COMCAST CORP CLASS A 1,486,775 +1,550 $67,024
     CMCSA1,486,775+1,550$67,024
SOUTHERN CO COM 1,081,000 -329,348 $66,773
     SO1,081,000-329,348$66,773
MARATHON PETROLEUM CORP 1,002,637 -69,879 $60,910
     MPC1,002,637-69,879$60,910
EVERSOURCE ENERGY 709,110 +2,371 $60,608
     ES709,110+2,371$60,608
ENTERPRISE PRODUCTS PARTNERS L 2,063,100 UNCH $58,963
     EPD2,063,100UNCH$58,963
NISOURCE INC COM 1,928,502 +41,691 $57,701
     NI1,928,502+41,691$57,701
FORTIS INC 1,298,866 +2,631 $54,981
     FTS1,298,866+2,631$54,981
CMS ENERGY CORP COM 793,619 -25,006 $50,752
     CMS793,619-25,006$50,752
DELTA AIRLINES INC 846,109 +16,707 $48,736
     DAL846,109+16,707$48,736
FIRSTENERGY CORP COM 914,045 -113,181 $44,085
     FE914,045-113,181$44,085
BP PLC SPONS ADR 1,018,400 -18,000 $38,689
     BP1,018,400-18,000$38,689
PINNACLE WEST CAP CORP COM 377,104 -2,040 $36,606
     PNW377,104-2,040$36,606
ATMOS ENERGY CORP COM 319,958 +2,712 $36,440
     ATO319,958+2,712$36,440
PPL CORP COM 1,125,560 +151,112 $35,444
     PPL1,125,560+151,112$35,444
SOUTH JERSEY IND 1,071,320 +9,431 $35,257
     SJI1,071,320+9,431$35,257
EXXON MOBIL CORP 489,940 -100,000 $34,595
     XOM489,940-100,000$34,595
WILLIAMS COS INC COM 1,279,290 -66,700 $30,780
     WMB1,279,290-66,700$30,780
CORESITE REALTY CORP 252,002 +65,117 $30,706
     COR252,002+65,117$30,706
SOUTHWEST GAS CORP COM 317,650 +11,390 $28,919
     SWX317,650+11,390$28,919
VISTRA ENERGY CORP. 871,548 +153,550 $23,296
     VST871,548+153,550$23,296
AT & T INC. NEW 613,234 UNCH $23,205
     T613,234UNCH$23,205
TC ENERGY 434,083 +102,196 $22,481
     TRP434,083+102,196$22,481
SBA COMMUNICATIONS COR CL A 85,253 -835 $20,559
     SBAC85,253-835$20,559
CBS CORP COM 460,879 +278,429 $18,606
     CBS460,879+278,429$18,606
CLEARWAY ENERGY INC. CL C 986,420 -100,000 $18,002
     CWEN986,420-100,000$18,002
NRG ENERGY INC COM 447,645 +1,307 $17,727
     NRG447,645+1,307$17,727
CONSOLIDATED EDISON INC 175,450 -9,300 $16,574
     ED175,450-9,300$16,574
CANADIAN NATL RY CO COM 181,572 +58,898 $16,316
     CNI181,572+58,898$16,316
ALPHABET INC 13,245 +830 $16,146
     GOOG13,245+830$16,146
CHEVRON CORPORATION COM 130,624 -48,790 $15,492
     CVX130,624-48,790$15,492
OCCIDENTAL PETE CP DEL COM 296,290 UNCH $13,176
     OXY296,290UNCH$13,176

See Full List: All Stocks Held By Reaves W H & Co. Inc.
Including:
     • 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 09/30/2019: $3,254,774
At 06/30/2019: $3,131,451

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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