Blackstone Group 13F filings
Company
Investment Type
Change
Value (x$1000)
increase or decrease
COREBRIDGE FINL INC COM
61,962,123 sh
$1,956,144
FIRSTENERGY CORP COM
28,832,099 sh
$1,165,393
SPDR S&P 500 ETF TR TR UNIT
Put options for 1,950,000 sh
1,950,000 sh
NEW
NEW
$1,090,811
$1,090,811
LOAR HOLDINGS INC COM
12,475,962 sh
-335,487 sh
-3%
-3%
$881,427
-$74,179
Chesapeake Energy Corp COM
5,708,333 sh
-6,978,666 sh
-55%
-55%
$635,451
-$408,054
ENBRIDGE INC COM
9,638,105 sh
8,876,395 sh
1165%
1165%
$427,064
$396,131
WESTERN MIDSTREAM PARTNERS L COM UNIT LP INT
10,410,565 sh
-6,365,318 sh
-38%
-38%
$426,417
-$215,428
TC ENERGY CORP COM
6,829,049 sh
2,674,454 sh
64%
64%
$322,399
$124,848
HESS MIDSTREAM LP CL A SHS
6,170,253 sh
3,307,463 sh
116%
116%
$260,940
$159,969
COREWEAVE INC COM CL A
6,396,616 sh
6,396,616 sh
NEW
NEW
$237,187
$237,187
PAYSAFE LIMITED SHS
11,331,364 sh
416,668 sh
4%
4%
$177,789
-$67,028
BLACKSTONE MTG TR INC COM CL A
8,601,492 sh
652,537 sh
8%
8%
$172,030
$20,920
ISHARES TR IBOXX HI YD ETF
Put options for 2,000,000 sh
$157,780
ALTUS POWER INC COM CL A
21,116,125 sh
$104,525
Blackstone Secured Lending Fun COM
3,206,530 sh
$103,763
SUNOCO LP COM UT REP LP
1,754,583 sh
325,273 sh
23%
23%
$101,871
$25,146
SOUTH BOW CORP COM Common Stock
3,972,031 sh
3,972,031 sh
NEW
NEW
$101,366
$101,366
21VIANET GROUP INC SPONSORED ADS A
10,402,130 sh
$85,297
NEXTERA ENERGY INC COM
1,146,690 sh
-742,832 sh
-39%
-39%
$81,289
-$78,432
SEMPRA ENERGY COM
999,737 sh
900,685 sh
909%
909%
$71,341
$63,057
undefined
3,192,284 sh
$67,868
Capital One Financial COM
370,000 sh
370,000 sh
NEW
NEW
$66,341
$66,341
Crescent Capital BDC Inc COM
3,796,246 sh
3,796,246 sh
NEW
NEW
$64,992
$64,992
REDDIT INC COM
500,000 sh
-250,000 sh
-33%
-33%
$52,450
$3,010
KRANESHARES TR CSI CHI INTERNET
1,500,000 sh
1,500,000 sh
NEW
NEW
$52,365
$52,365
CRH PLC ORD COMMON STOCK
580,000 sh
-20,000 sh
-3%
-3%
$51,023
-$4,621
FLUTTER ENTERTAINMENT PLC COM
200,000 sh
200,000 sh
NEW
NEW
$44,310
$44,310
PLAINS GP HLDGS L P LTD PARTNR INT A
2,065,374 sh
-1,449,849 sh
-41%
-41%
$44,116
-$20,916
PEMBINA PIPELINE CORP COM
941,967 sh
-6,681,487 sh
-88%
-88%
$37,707
-$276,684
AUTOLUS THERAPEUTICS PLC SPON ADS
20,485,611 sh
$31,753
TRANSUNION COM
360,000 sh
110,000 sh
44%
44%
$29,876
$3,701
MIND MEDICINE MINDMED INC COM NEW Stock
3,587,479 sh
-325,000 sh
-8%
-8%
$20,987
-$1,275
SSGA ACTIVE ETF TR BLKSTN GSOSRLN
492,591 sh
383,927 sh
353%
353%
$20,260
$15,722
OATLY GROUP AB COM
1,988,909 sh
1,988,909 sh
NEW
NEW
$19,551
$19,551
SPDR SERIES TRUST S&P BIOTECH
236,760 sh
134,730 sh
132%
132%
$19,201
$9,120
COMPASS THERAPEUTICS INC COM Stock
10,025,151 sh
$19,048
ZYMEWORKS INC COM
1,382,587 sh
1,357,505 sh
5412%
5412%
$16,467
$16,152
ENLIVEN THERAPEUTICS INC COM
762,307 sh
388,984 sh
104%
104%
$15,002
$5,467
undefined
2,000,000 sh
1,000,000 sh
100%
100%
$14,480
$2,620
USA COMPRESSION PARTNERS LP COMUNIT LTDPAR
506,319 sh
-555,472 sh
-52%
-52%
$13,660
-$10,676
BICARA THERAPEUTICS INC COM
1,028,294 sh
378,294 sh
58%
58%
$13,399
-$3,157
FS GLOBAL CR OPPORTUNITIE FDA LP
1,662,945 sh
1,662,945 sh
NEW
NEW
$11,724
$11,724
BRIDGER AEROSPACE GRP HLDGS COM
9,624,610 sh
$10,876
Standardaero Inc EQTY
400,000 sh
400,000 sh
NEW
NEW
$10,656
$10,656
Talen Energy Corp COM
46,456 sh
46,456 sh
NEW
NEW
$9,276
$9,276
ISHARES TR MSCI INDIA ETF
174,600 sh
174,600 sh
NEW
NEW
$8,988
$8,988
PRIMO BRAND CORP-A COM
250,000 sh
250,000 sh
NEW
NEW
$8,873
$8,873
ARRAY TECHNOLOGIES INC COM SHS
1,799,900 sh
$8,766
SUBURBAN PROPANE PARTNERS L UNIT LTD PARTN
412,061 sh
-18,434 sh
-4%
-4%
$8,657
$934
GLOBAL PARTNERS LP COM UNITS
152,104 sh
-6,805 sh
-4%
-4%
$8,119
$720
ORUKA THERAPEUTICS INC COM
783,653 sh
783,653 sh
NEW
NEW
$8,040
$8,040
AEGLEA BIOTHERAPEUTICS INC cs
489,248 sh
196,253 sh
67%
67%
$7,894
-$723
PROTARA THERAPEUTICS INC Common Stock
1,744,042 sh
1,744,042 sh
NEW
NEW
$7,430
$7,430
VENTURE GLOBAL INC COM CL A
701,603 sh
701,603 sh
NEW
NEW
$7,227
$7,227
ALBEMARLE CORP PREF CONV
200,000 sh
200,000 sh
NEW
NEW
$7,130
$7,130
VIKING HOLDINGS LTD ORD SHS
175,000 sh
-25,000 sh
-12%
-12%
$6,956
-$22
SUNNOVA ENERGY INTL INC. NOTE 2.625\% 2/1
$77,105,000 in bonds
$41,605,000 in bonds
$6,940
-$16,376
APOGEE THERAPEUTICS INC COM
183,747 sh
103,747 sh
130%
130%
$6,865
$2,166
NEXTRACKER INC COM CL A
139,188 sh
139,188 sh
NEW
NEW
$5,865
$5,865
SAILPOINT INC COM
300,000 sh
300,000 sh
NEW
NEW
$5,625
$5,625
WAYSTAR HOLDING CORP COMMON STOCK
150,000 sh
150,000 sh
NEW
NEW
$5,604
$5,604
KARMAN HLDGS INC COMMON STOCK
165,000 sh
165,000 sh
NEW
NEW
$5,514
$5,514
Rezolute Inc. COM NEW
1,744,740 sh
$5,060
INHIBIKASE THERAPEUTICS INC COM
2,070,684 sh
2,070,684 sh
NEW
NEW
$4,535
$4,535
LANDBRIDGE COMPANY LLC CL A
61,000 sh
-39,000 sh
-39%
-39%
$4,388
$476
LEXEO THERAPEUTICS INC COM
1,158,617 sh
$4,020
DELEK LOGISTICS PARTNERS LP COM UNT RP INT
91,077 sh
-6,085 sh
-6%
-6%
$3,940
-$308
SUNNOVA ENERGY INTL INC. NOTE 0.250\%12/0
$36,000,000 in bonds
$32,500,000 in bonds
$3,600
$927
MARTIN MIDSTREAM PRTNRS L P UNIT L P INT
986,244 sh
-31,704 sh
-3%
-3%
$3,550
-$166
ISHARES TR CHINA LG-CAP ETF
87,237 sh
-1,818,563 sh
-95%
-95%
$3,127
-$57,439
CROSSAMERICA PARTNERS LP UT LTD PTN INT
111,772 sh
-1,500 sh
-1%
-1%
$2,746
$399
Aerovate Therapeutics Inc. COM
955,125 sh
955,125 sh
NEW
NEW
$2,397
$2,397
ONESTREAM INC CL A
100,000 sh
-70,000 sh
-41%
-41%
$2,134
-$3,629
SUNNOVA ENERGY INTL INC COM
5,500,000 sh
5,500,000 sh
NEW
NEW
$2,046
$2,046
STAR GROUP L P UNIT LTD PARTNR
153,090 sh
-1,200 sh
-1%
-1%
$2,018
$207
CONTEXT THERAPEUTICS INC COM COM
2,440,330 sh
$1,493
SERVICETITAN INC SHS CL A
15,000 sh
15,000 sh
NEW
NEW
$1,427
$1,427
Nkarta, Inc. COM
747,044 sh
256,001 sh
52%
52%
$1,375
-$845
BRIGHTSPRING HEALTH SVCS INC COM
75,000 sh
75,000 sh
NEW
NEW
$1,357
$1,357
SPDR S&P 500 ETF TR TR UNIT
1,947 sh
-648,053 sh
-100%
-100%
$1,089
-$371,855
Adicet Bio Inc. COM
1,236,453 sh
$934
INTRA CELLULAR THERAPIES INC COM
6,211 sh
6,211 sh
NEW
NEW
$819
$819
DUN & BRADSTREET HLDGS INC COM
89,640 sh
89,640 sh
NEW
NEW
$801
$801
ALLETE INC COM NEW
11,353 sh
$746
AMPRIUS TECHNOLOGIES INC COMMON STOCK
257,923 sh
257,923 sh
NEW
NEW
$691
$691
IONQ INC PIPE COM
28,739 sh
$634
Pactiv Evergreen Inc. Stock
35,071 sh
35,071 sh
NEW
NEW
$632
$632
ISHARES TR RUSSELL 2000 ETF
2,089 sh
2,089 sh
NEW
NEW
$417
$417
NEXTDECADE CORP COM
50,311 sh
-6,952 sh
-12%
-12%
$391
$121
Arcutis Biotherapeutics, Inc. Common Stock
24,144 sh
$378
VERONA PHARMA PLC SPONSORED ADS
5,758 sh
5,758 sh
NEW
NEW
$366
$366
Air Transport Services Group Inc COM
15,703 sh
15,703 sh
NEW
NEW
$352
$352
Bright Health Group Inc.
45,916 sh
$310
BKV CORP COM
12,400 sh
-67,600 sh
-84%
-84%
$260
-$1,203
10X Genomics Inc Cl A COM
16,485 sh
$144
FRACTYL HEALTH INC COM
102,750 sh
102,750 sh
NEW
NEW
$122
$122
Relay Therapeutics, Inc. Stock
35,618 sh
$93
Pliant Therapeutics Inc. COM
22,206 sh
$30
REPARE THERAPEUTICS INC COM COMMON STOCK
25,957 sh
$26
ALLAKOS INC COM
14,943 sh
$3
INVESCO QQQ TR UNIT SER 1
Put options for 0 sh
-750,000 sh
-100%
-100%
$0
-$366,053
PG&E CORP COM
0 sh
-3,192,322 sh
-100%
-100%
$0
-$63,112
EnLink Midstream, LLC COM UNIT REP LTD
0 sh
-3,195,746 sh
-100%
-100%
$0
-$46,370
CEMEX SAB DE CV SPON ADR NEW
0 sh
-6,200,000 sh
-100%
-100%
$0
-$37,820
GE HEALTHCARE TECHNOLOGIES I COMMON STOCK
0 sh
-400,000 sh
-100%
-100%
$0
-$37,540
OATLY GROUP AB SPONSORED ADS
0 sh
-39,778,182 sh
-100%
-100%
$0
-$33,971
VANECK VECTORS ETF TRUST SEMICONDUCTOR ET
0 sh
-135,500 sh
-100%
-100%
$0
-$33,258
JD.COM INC SPON ADR CL A
0 sh
-750,000 sh
-100%
-100%
$0
-$30,000
VANECK VECTORS ETF TRUST GOLD MINERS ETF
0 sh
-600,000 sh
-100%
-100%
$0
-$23,892
GENEDX HOLDINGS CORP COMM STK
0 sh
-420,715 sh
-100%
-100%
$0
-$17,855
LINEAGE INC COM
0 sh
-227,500 sh
-100%
-100%
$0
-$17,831
Abivax SA F Sponsored ADR Stock
0 sh
-1,522,434 sh
-100%
-100%
$0
-$17,538
UL SOLUTIONS INC COM CL A
0 sh
-225,000 sh
-100%
-100%
$0
-$11,093
ASTERA LABS INC COM
0 sh
-150,000 sh
-100%
-100%
$0
-$7,859
OKTA INC NOTE 0.375\% 6/
$0 in bonds
-$8,291,000
-100%
-100%
$0
-$7,682
RINGCENTRAL INC NOTE 3/1 ADDED
$0 in bonds
-$8,000,000
-100%
-100%
$0
-$7,360
DIGITALOCEAN HLDGS INC NOTE 12/0
$0 in bonds
-$8,000,000
-100%
-100%
$0
-$7,104
RUBRIK INC. CL A
0 sh
-200,000 sh
-100%
-100%
$0
-$6,430
TEMPUS AI INC CL A
0 sh
-100,000 sh
-100%
-100%
$0
-$5,660
CONFLUENT INC NOTE 1/1
$0 in bonds
-$6,000,000
-100%
-100%
$0
-$5,328
TRIP COM GROUP LTD ADS
0 sh
-70,000 sh
-100%
-100%
$0
-$4,160
Marathon Oil Corp COM
0 sh
-99,349 sh
-100%
-100%
$0
-$2,646
SUMMIT MIDSTREAM CORPORATION COM Stock
0 sh
-70,006 sh
-100%
-100%
$0
-$2,452
BP PLC SPONSORED ADR
0 sh
-66,828 sh
-100%
-100%
$0
-$2,098
IBOTTA INC CLASS A COM SHS
0 sh
-15,000 sh
-100%
-100%
$0
-$924
ENDEAVOR GROUP HLDGS INC CL A COM
0 sh
-27,259 sh
-100%
-100%
$0
-$779
NUVEI CORPORATION COM
0 sh
-22,173 sh
-100%
-100%
$0
-$739
Catalent Inc COM
0 sh
-11,929 sh
-100%
-100%
$0
-$723
Axonics Inc. COM
0 sh
-10,303 sh
-100%
-100%
$0
-$717
HashiCorp Inc. COM
0 sh
-20,672 sh
-100%
-100%
$0
-$700
Envestnet Inc COM
0 sh
-11,152 sh
-100%
-100%
$0
-$698
Perficient Inc COM
0 sh
-8,463 sh
-100%
-100%
$0
-$639
Stericycle Inc COM
0 sh
-10,477 sh
-100%
-100%
$0
-$639
ATLANTICA YIELD PLC SHS
0 sh
-26,840 sh
-100%
-100%
$0
-$590
INDEPENDENT BANK GROUP INC Com
0 sh
-10,083 sh
-100%
-100%
$0
-$581
Vizio Holding Corp. CL A COM
0 sh
-44,224 sh
-100%
-100%
$0
-$494
Sterling Check Corp. COM
0 sh
-11,381 sh
-100%
-100%
$0
-$190
eFFECTOR Therapeutics Inc. Stock
0 sh
-52,343 sh
-100%
-100%
$0
-$2