Blackstone Group 13F filings
Company
Investment Type
Change
Value (x$1000)
increase or decrease
COREBRIDGE FINL INC COM
61,962,123 sh
$1,804,337
FIRSTENERGY CORP COM
28,832,099 sh
$1,103,404
SPDR S&P 500 ETF TR TR UNIT
Put options for 1,800,000 sh
-320,000 sh
-15%
-15%
$979,596
-$129,312
PG&E CORP COM
40,629,871 sh
-7,849,074 sh
-16%
-16%
$709,398
-$103,109
WESTERN MIDSTREAM PARTNERS L COM UNIT LP INT
14,690,250 sh
1,709,526 sh
13%
13%
$583,644
$122,179
PEMBINA PIPELINE CORP COM
7,745,931 sh
-23,700 sh
0%
0%
$287,219
$12,640
INVESCO QQQ TR UNIT SER 1
Put options for 500,000 sh
-150,000 sh
-23%
-23%
$239,555
-$49,052
PAYSAFE LIMITED SHS
10,914,696 sh
$192,972
ISHARES TR IBOXX HI YD ETF
Put options for 2,000,000 sh
-60,000 sh
-3%
-3%
$154,280
-$5,844
BLACKSTONE MTG TR INC COM CL A
7,948,955 sh
$138,471
HESS MIDSTREAM LP CL A SHS
2,827,739 sh
2,206,446 sh
355%
355%
$103,043
$80,596
Blackstone Secured Lending Fun COM
3,206,530 sh
$98,184
SUNOCO LP COM UT REP LP
1,606,133 sh
427,210 sh
36%
36%
$90,811
$19,734
ALTUS POWER INC COM CL A
21,116,125 sh
$82,775
AUTOLUS THERAPEUTICS PLC SPON ADS
20,485,611 sh
$71,290
LOAR HOLDINGS INC COM
1,233,552 sh
1,233,552 sh
NEW
NEW
$65,884
$65,884
AERCAP HOLDINGS NV SHS
575,000 sh
$53,590
NEXTERA ENERGY INC COM
752,267 sh
-3,762 sh
0%
0%
$53,268
$4,950
PLAINS GP HLDGS L P LTD PARTNR INT A
2,767,928 sh
-13,586 sh
0%
0%
$52,092
$1,329
REDDIT INC COM
750,000 sh
$47,918
TRANSUNION COM
540,000 sh
540,000 sh
NEW
NEW
$40,046
$40,046
OATLY GROUP AB SPONSORED ADS
39,778,182 sh
$37,391
KENVUE INC COM
2,000,000 sh
2,000,000 sh
NEW
NEW
$36,360
$36,360
BRIDGER AEROSPACE GRP HLDGS COM
9,624,610 sh
$35,996
CRH PLC ORD COMMON STOCK
460,000 sh
170,000 sh
59%
59%
$34,491
$9,476
SPDR SERIES TRUST S&P REGL BKG
600,000 sh
600,000 sh
NEW
NEW
$29,460
$29,460
TC ENERGY CORP COM
681,283 sh
75,086 sh
12%
12%
$25,821
$1,452
Abivax SA F Sponsored ADR Stock
1,862,037 sh
-255,573 sh
-12%
-12%
$24,616
-$5,666
ENBRIDGE INC COM
686,067 sh
$24,417
USA COMPRESSION PARTNERS LP COMUNIT LTDPAR
1,017,475 sh
4,787 sh
0%
0%
$24,145
-$2,863
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
300,000 sh
-50,000 sh
-14%
-14%
$23,376
-$8,443
21VIANET GROUP INC SPONSORED ADS A
10,402,130 sh
$21,844
GENEDX HOLDINGS CORP COMM STK
835,062 sh
$21,829
ARRAY TECHNOLOGIES INC COM SHS
1,799,900 sh
$18,467
Finance Of America Cos. Inc. COM CL A
31,922,852 sh
-172,491 sh
-1%
-1%
$15,738
-$7,852
SUNNOVA ENERGY INTL INC. NOTE 2.625\% 2/1
$38,025,000 in bonds
$13,791
MIND MEDICINE MINDMED INC COM NEW Stock
1,898,325 sh
648,450 sh
52%
52%
$13,687
$1,938
LEXEO THERAPEUTICS INC COM
805,757 sh
109,647 sh
16%
16%
$12,924
$2,009
Equitrans Midstream Corp COM
946,624 sh
-4,254,635 sh
-82%
-82%
$12,287
-$52,677
UL SOLUTIONS INC COM CL A
225,000 sh
225,000 sh
NEW
NEW
$9,493
$9,493
SPDR SERIES TRUST S&P BIOTECH
102,030 sh
$9,459
KODIAK GAS SVCS INC COM
331,028 sh
-313,203 sh
-49%
-49%
$9,024
-$8,589
ASTERA LABS INC COM
139,000 sh
15,000 sh
12%
12%
$8,411
-$789
COMPASS THERAPEUTICS INC COM Stock
7,691,561 sh
1,502,010 sh
24%
24%
$7,692
-$4,563
SUNNOVA ENERGY INTL INC. NOTE 0.250\%12/0
$15,677,000 in bonds
$7,679
OKTA INC NOTE 0.375\% 6/
$8,291,000 in bonds
$7,613
ENLIVEN THERAPEUTICS INC COM
321,180 sh
295,989 sh
1175%
1175%
$7,506
$7,063
Rezolute Inc. COM NEW
1,744,640 sh
206,956 sh
13%
13%
$7,502
$3,581
RINGCENTRAL INC NOTE 3/1 ADDED
$8,000,000 in bonds
$7,282
BRIGHTSPRING HEALTH SVCS INC UNIT 02/01/2027
150,000 sh
$7,061
SUBURBAN PROPANE PARTNERS L UNIT LTD PARTN
362,800 sh
24,519 sh
7%
7%
$6,890
-$21
AEGLEA BIOTHERAPEUTICS INC cs
292,995 sh
273,004 sh
1366%
1366%
$6,888
$6,130
VIKING HOLDINGS LTD ORD SHS
200,000 sh
200,000 sh
NEW
NEW
$6,788
$6,788
DIGITALOCEAN HLDGS INC NOTE 12/0
$8,000,000 in bonds
$6,780
GLOBAL PARTNERS LP COM UNITS
137,175 sh
$6,259
RUBRIK INC. CL A
200,000 sh
200,000 sh
NEW
NEW
$6,132
$6,132
BRIGHTSPRING HEALTH SVCS INC COM
500,000 sh
$5,680
BIRKENSTOCK HOLDING PLC COM
100,000 sh
100,000 sh
NEW
NEW
$5,441
$5,441
SSGA ACTIVE ETF TR BLKSTN GSOSRLN
126,117 sh
-240,250 sh
-66%
-66%
$5,272
-$10,156
CONFLUENT INC NOTE 1/1
$6,000,000 in bonds
$5,196
MAPLEBEAR INC COM
150,000 sh
$4,821
ISHARES TR CHINA LG-CAP ETF
155,800 sh
-1,695,300 sh
-92%
-92%
$4,049
-$40,507
CONTEXT THERAPEUTICS INC COM COM
1,838,709 sh
1,838,709 sh
NEW
NEW
$3,687
$3,687
MARTIN MIDSTREAM PRTNRS L P UNIT L P INT
1,017,948 sh
-50,000 sh
-5%
-5%
$3,288
$554
APOGEE THERAPEUTICS INC COM
80,000 sh
-150,000 sh
-65%
-65%
$3,148
-$12,136
DELEK LOGISTICS PARTNERS LP COM UNT RP INT
65,893 sh
24,906 sh
61%
61%
$2,667
$987
BP PLC SPONSORED ADR
66,828 sh
2,000 sh
3%
3%
$2,412
-$31
LANDBRIDGE COMPANY LLC CL A
100,000 sh
100,000 sh
NEW
NEW
$2,315
$2,315
SUMMIT MIDSTREAM PAR COM UNIT LTD
60,928 sh
2,924 sh
5%
5%
$2,167
$539
CROSSAMERICA PARTNERS LP UT LTD PTN INT
90,129 sh
14,966 sh
20%
20%
$1,789
$76
PELOTON INTERACTIVE INC CONVERTIBLE BOND
$2,000,000 in bonds
-$8,000,000
-80%
-80%
$1,770
-$6,704
TEMPUS AI INC CL A
50,000 sh
50,000 sh
NEW
NEW
$1,750
$1,750
WEBTOON ENTMT INC COM
70,000 sh
70,000 sh
NEW
NEW
$1,598
$1,598
STAR GROUP L P UNIT LTD PARTNR
143,892 sh
27,208 sh
23%
23%
$1,531
$362
Adicet Bio Inc. COM
1,236,453 sh
$1,496
CENTURI HOLDINGS INC COM SHS
75,000 sh
75,000 sh
NEW
NEW
$1,461
$1,461
Nkarta, Inc. COM
236,190 sh
236,190 sh
NEW
NEW
$1,396
$1,396
IBOTTA INC CLASS A COM SHS
15,000 sh
15,000 sh
NEW
NEW
$1,127
$1,127
ABACUS LIFE INC CL A
125,000 sh
125,000 sh
NEW
NEW
$1,081
$1,081
ENDEAVOR GROUP HLDGS INC CL A COM
32,711 sh
32,711 sh
NEW
NEW
$884
$884
NUVEI CORPORATION COM
26,608 sh
26,608 sh
NEW
NEW
$862
$862
ALLETE INC COM NEW
13,623 sh
13,623 sh
NEW
NEW
$849
$849
Cerevel Therapeutics Holdings Inc. COM
20,651 sh
-14,545 sh
-41%
-41%
$844
-$644
ATLANTICA YIELD PLC SHS
32,208 sh
32,208 sh
NEW
NEW
$707
$707
AssetMark Financial Holdings Inc. COM
19,809 sh
19,809 sh
NEW
NEW
$684
$684
AMER SPORTS INC COM
50,000 sh
50,000 sh
NEW
NEW
$629
$629
National Western Life Group Inc. CL A
1,178 sh
-830 sh
-41%
-41%
$585
-$403
INDEPENDENT BANK GROUP INC Com
12,100 sh
12,100 sh
NEW
NEW
$551
$551
NEXTDECADE CORP COM
60,437 sh
32,000 sh
113%
113%
$480
$318
KAYNE ANDERSN MLP MIDS INVT COM
43,000 sh
$444
Everbridge Inc COM
11,653 sh
-8,165 sh
-41%
-41%
$408
-$282
BOWHEAD SPECIALTY HLDGS INC COM SHS
15,000 sh
15,000 sh
NEW
NEW
$380
$380
10X Genomics Inc Cl A COM
16,485 sh
$321
OLINK HLDG AB SPONSORED ADS
11,408 sh
$291
ZEEKR INTELLIGENT TECHNOLOGY SPON ADS
15,000 sh
15,000 sh
NEW
NEW
$283
$283
Silk Road Medical Inc COM
9,560 sh
9,560 sh
NEW
NEW
$259
$259
Bright Health Group Inc.
45,916 sh
$250
Pliant Therapeutics Inc. COM
22,206 sh
$239
Relay Therapeutics, Inc. Stock
35,618 sh
$232
Arcutis Biotherapeutics, Inc. Common Stock
24,144 sh
$225
IONQ INC PIPE COM
28,739 sh
$202
REPARE THERAPEUTICS INC COM COMMON STOCK
25,957 sh
$86
ALLAKOS INC COM
14,943 sh
$15
eFFECTOR Therapeutics Inc. Stock
52,343 sh
$15
Callon Petroleum Co. Common Stock
0 sh
-5,832,824 sh
-100%
-100%
$0
-$208,582
NuStar Energy LP UNIT COM
0 sh
-6,031,480 sh
-100%
-100%
$0
-$140,353
VANECK VECTORS ETF TRUST GOLD MINERS ETF
0 sh
-1,300,000 sh
-100%
-100%
$0
-$41,106
KASPI REP 1 SHS REG GDR-EMG MKT
0 sh
-100,000 sh
-100%
-100%
$0
-$12,864
CEMEX SAB DE CV SPON ADR NEW
0 sh
-850,000 sh
-100%
-100%
$0
-$7,659
BBB Foods Inc common
0 sh
-250,000 sh
-100%
-100%
$0
-$5,945
HOLLYSYS AUTOMATION TECHNOLO SHS
0 sh
-150,000 sh
-100%
-100%
$0
-$3,837
Kyverna Therapeutics, Inc. Common Stock
0 sh
-100,000 sh
-100%
-100%
$0
-$2,484
Pioneer Natural Resources Co. COM
0 sh
-8,303 sh
-100%
-100%
$0
-$2,180
Masonite International Corp COM
0 sh
-10,044 sh
-100%
-100%
$0
-$1,320
American Equity Investment Life Holding Co. COM
0 sh
-20,224 sh
-100%
-100%
$0
-$1,137
CG ONCOLOGY INC COM
0 sh
-25,000 sh
-100%
-100%
$0
-$1,098
CSI COMPRESSCO LP COM UNIT
0 sh
-391,812 sh
-100%
-100%
$0
-$913
CRISPR THERAPEUTICS AG NAMEN AKT
0 sh
-12,196 sh
-100%
-100%
$0
-$831
CABALETTA BIO INC COM
0 sh
-46,780 sh
-100%
-100%
$0
-$798
Kaman Corp COM
0 sh
-13,416 sh
-100%
-100%
$0
-$616
Voyager Therapeutics Inc COM
0 sh
-50,848 sh
-100%
-100%
$0
-$473
ARRIVENT BIOPHARMA INC COM
0 sh
-25,000 sh
-100%
-100%
$0
-$447
undefined
0 sh
-30,000 sh
-100%
-100%
$0
-$428
Nurix Therapeutics Inc. COM
0 sh
-27,119 sh
-100%
-100%
$0
-$399
GALERA THERAPEUTICS INC COM
0 sh
-1,678,984 sh
-100%
-100%
$0
-$235
LUMOS PHARMA INC COMMON STOCK
0 sh
-78,624 sh
-100%
-100%
$0
-$222
ACLARIS THERAPEUTICS INC COM
0 sh
-13,033 sh
-100%
-100%
$0
-$16
Desktop Metal Inc. COM CLA A
0 sh
-15,294 sh
-100%
-100%
$0
-$13