StockScan > Holders > Blackstone Group

Blackstone Group's Portfolio and 13F Filing

Value: $35.32B
CIK: 0001393818
Phone: 212-583-5000
Address: 345 Park Avenue, New York, NY (10154)
Latest 13F Filing:
Blackstone Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1 Cheniere Energy Partners, LP Ch CQP $48.27 205,893,147

206,032,121

up arrow 138,974

$9,945,170,481 28.16%
2 Gates Industrial Corporation pl GTES $17.39 246,387,590

246,387,590

up arrow 0

$4,284,680,190 12.13%
3 MPLX LP Common Units Representi MPLX $40.39 52,063,318

67,919,543

up arrow 15,856,225

$2,743,270,342 7.77%
4 Energy Transfer LP Common Units ET $15.89 161,580,105

133,615,682

up arrow -27,964,423

$2,122,538,555 6.01%
5 Enterprise Products Partners L. EPD $28.79 76,906,182

73,300,654

up arrow -3,605,528

$2,110,325,829 5.98%
6 Cheniere Energy, Inc. LNG $157.82 8,859,461

9,020,267

up arrow 160,806

$1,423,578,538 4.03%
7 Change Healthcare Inc CHNG $23.55 59,620,253

59,620,253

up arrow 0

$1,404,056,958 3.98%
8 Targa Resources, Inc. TRGP $116.78 9,858,217

11,131,084

up arrow 1,272,867

$1,299,887,990 3.68%
9 Williams Companies, Inc. (The) WMB $40.86 33,253,588

23,199,654

up arrow -10,053,934

$947,937,862 2.68%
10 Pacific Gas & Electric Co. PCG $18.45 6,900,000

47,578,945

up arrow 40,678,945

$877,593,641 2.48%
11 Vivint Smart Home Inc VVNT $6.31 107,732,396

117,366,254

up arrow 9,633,858

$740,581,063 2.10%
12 ONEOK, Inc. OKE $82.49 397,162

7,419,245

up arrow 7,022,083

$612,013,520 1.73%
13 SPDR S&P 500 SPY $529.67 1,000,000

1,150,000

up arrow 150,000

$609,120,500 1.72%
14 Plains All American Pipeline, L PAA $17.24 34,047,449

34,879,302

up arrow 831,853

$601,319,166 1.70%
15 Pembina Pipeline Corp. Ordinary PBA $37.17 14,192,577

14,772,325

up arrow 579,748

$549,087,320 1.55%
16 Enbridge Inc ENB $36.75 9,587,637

13,812,743

up arrow 4,225,106

$507,549,242 1.44%
17 CenterPoint Energy, Inc (Holdin CNP $30.06 7,588,888

16,200,172

up arrow 8,611,284

$486,896,169 1.38%
18 Kinder Morgan, Inc. KMI $19.67 21,994,467

17,078,686

up arrow -4,915,781

$335,937,754 0.95%
19 T-Mobile US, Inc. TMUS $163.29 N/A 1,601,000 $261,427,290 0.74%
20 Invesco QQQ Trust QQQ $453.11 N/A 498,600 $225,920,646 0.64%