0000950123-20-002544.txt : 20200214
0000950123-20-002544.hdr.sgml : 20200214
20200214163934
ACCESSION NUMBER: 0000950123-20-002544
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20191231
FILED AS OF DATE: 20200214
DATE AS OF CHANGE: 20200214
EFFECTIVENESS DATE: 20200214
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Blackstone Group Inc
CENTRAL INDEX KEY: 0001393818
STANDARD INDUSTRIAL CLASSIFICATION: INVESTMENT ADVICE [6282]
IRS NUMBER: 000000000
STATE OF INCORPORATION: DE
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-13114
FILM NUMBER: 20621071
BUSINESS ADDRESS:
STREET 1: 345 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10154
BUSINESS PHONE: (212) 583-5000
MAIL ADDRESS:
STREET 1: 345 PARK AVENUE
CITY: NEW YORK
STATE: NY
ZIP: 10154
FORMER COMPANY:
FORMER CONFORMED NAME: Blackstone Group L.P.
DATE OF NAME CHANGE: 20070320
13F-HR
1
primary_doc.xml
13F-HR
LIVE
false
true
false
0001393818
XXXXXXXX
12-31-2019
12-31-2019
Blackstone Group Inc
345 PARK AVENUE
NEW YORK
NY
10154
13F HOLDINGS REPORT
028-13114
Y
The following information corresponds to the securities indicated in the attached Information Table: (A) Includes 520,940 shares of MICHAELS COS INC that are not under the investment discretion of The Blackstone Group Inc. but are under the investment discretion of Blackstone Family GP L.L.C., of which Mr. Stephen A. Schwarzman is a controlling person. (B) The Blackstone Group Inc. and its affiliates ("Blackstone") may be deemed to ultimately have shared control over First Eagle Investment Management, LLC ("First Eagle") with Corsair Capital LLC and its affiliates ("Corsair"). Blackstone and Corsair have an information barrier in place with First Eagle. However, under Section 13(f) of the Securities Exchange Act of 1934, as amended, and the rules promulgated thereunder, each of Blackstone and Corsair may be deemed to have shared investment discretion with First Eagle over the securities managed by First Eagle. (C) Harvest Fund Advisors LLC ("HFA") is an indirect subsidiary of The Blackstone Group Inc. The Blackstone Group Inc. has an information barrier in place with HFA. However, under Section 13(f) of the Securities Exchange Act of 1934, as amended, and the rules promulgated thereunder, The Blackstone Group Inc. may be deemed to have shared investment discretion with HFA over the securities managed by HFA. (D) Options reported in this Form 13F may include more than one series of call or put options, as applicable, with respect to such issuer.
John G. Finley
Authorized Person
212-583-5000
/s/ John G. Finley
New York
NY
02-14-2020
4
72
15395843
false
1
28-12332
GSO Capital Partners LP
2
28-17363
Blackstone Management Partners L.L.C.
3
28-16028
Clarus Ventures, LLC
4
28-19316
Blackstone Alternative Solutions L.L.C.
INFORMATION TABLE
2
form13fInfoTable.xml
INFORMATION TABLE FOR FORM 13F
ALGONQUIN PWR UTILS CORP
COM
015857105
22230
1571026
SH
OTR
4
0
1571026
0
AMERICOLD RLTY TR
COM
03064D108
7913
225700
SH
OTR
4
0
225700
0
AVANTOR INC
6.25 PFD CNV SR
05352A209
5040
80000
SH
OTR
4
0
80000
0
AVANTOR INC
COM
05352A100
55467
3056055
SH
OTR
4
0
3056055
0
AVANTOR INC
COM
05352A100
1611
88735
SH
OTR
1
0
88735
0
BILL COM HLDGS INC
COM
090043100
1522
40000
SH
OTR
4
0
40000
0
BLACKSTONE MTG TR INC
COM CL A
09257W100
213650
5740206
SH
SOLE
6757347
0
0
CANNAE HLDGS INC
COM
13765N107
3719
100000
SH
OTR
4
0
100000
0
CATABASIS PHARMACEUTICALS IN
COM NEW
14875P206
1187
200819
SH
OTR
3
0
200819
0
CENTRIC BRANDS INC
COM
15644G104
16279
7502001
SH
SOLE
7502001
0
0
CENTRIC BRANDS INC
COM
15644G104
40617
18717500
SH
OTR
1
0
18717500
0
CHANGE HEALTHCARE INC
COM
15912K100
967766
59046102
SH
OTR
2
0
59046102
0
CHANGE HEALTHCARE INC
COM
15912K100
9410
574151
SH
OTR
1
0
574151
0
CHENIERE ENERGY INC
COM NEW
16411R208
2174
35604
SH
SOLE
35604
0
0
CHENIERE ENERGY PARTNERS LP
COM UNIT
16411Q101
8001425
200990333
SH
OTR
2
0
200990333
0
CHENIERE ENERGY PARTNERS LP
COM UNIT
16411Q101
94375
2370632
SH
OTR
1
0
2370632
0
CHP MERGER CORP
UNIT 11/22/2024
12558Y205
4577
450000
SH
OTR
4
0
450000
0
CIIG MERGER CORP
UNIT 12/31/2026
12559C202
8096
800000
SH
OTR
4
0
800000
0
CIM COML TR CORP
COM NEW
125525584
1136
78357
SH
SOLE
78357
0
0
CLARIVATE ANALYTICS PLC
COM
G21810109
20160
1200000
SH
OTR
4
0
1200000
0
COREPOINT LODGING INC
COM
21872L104
187824
17586537
SH
SOLE
17586537
0
0
CROWDSTRIKE HLDGS INC
CL A
22788C105
10666
213875
SH
OTR
4
0
213875
0
DATADOG INC
CL A COM
23804L103
4723
125000
SH
OTR
4
0
125000
0
DTE ENERGY CO
UNIT 11/01/2022S
233331842
5126
100000
SH
OTR
4
0
100000
0
DYNATRACE INC
COM
268150109
6958
275000
SH
OTR
4
0
275000
0
ELLINGTON RESIDENTIAL MTG RE
COM SHS BEN INT
288578107
32708
3103257
SH
SOLE
3103257
0
0
ENTASIS THERAPEUTICS HLDGS I
COM
293614103
8068
1623405
SH
OTR
3
0
1623405
0
ESSA PHARMA INC
COM NEW
29668H708
18552
3373053
SH
OTR
3
0
3373053
0
FGL HLDGS
ORD SHS
G3402M102
416965
39151666
SH
SOLE
39151666
0
0
FGL HLDGS
ORD SHS
G3402M102
65370
6138000
SH
OTR
1
0
6138000
0
FORTY SEVEN INC
COM
34983P104
150273
3816951
SH
OTR
3
0
3816951
0
FS KKR CAPITAL CORP
COM
302635107
674
110007
SH
SOLE
110007
0
0
GALERA THERAPEUTICS INC
COM
36338D108
22095
1678984
SH
OTR
3
0
1678984
0
GATES INDUSTRIAL CORPRATIN P
ORD SHS
G39108108
3059898
222376291
SH
OTR
2
0
222376291
0
GATES INDUSTRIAL CORPRATIN P
ORD SHS
G39108108
314938
22887900
SH
SOLE
22887900
0
0
GRITSTONE ONCOLOGY INC
COM
39868T105
23030
2567445
SH
OTR
3
0
2567445
0
HBT FINL INC
COM
404111106
1424
75000
SH
OTR
4
0
75000
0
HEALTH CATALYST INC
COM
42225T107
2703
77900
SH
OTR
4
0
77900
0
HEALTHCARE TR AMER INC
CL A NEW
42225P501
21953
725000
SH
OTR
4
0
725000
0
HOVNANIAN ENTERPRISES INC
CL A NEW
442487401
2821
135193
SH
OTR
1
0
135193
0
ISHARES TR IBOXX HI YD ETF
HYG US 01/17/20 P84
464288953
29020
330000
SH
Put
SOLE
330000
0
0
LGL SYS ACQUISITION CORP
UNIT 10/24/2024
50201G205
2802
275000
SH
OTR
4
0
275000
0
LIVONGO HEALTH INC
COM
539183103
1253
50000
SH
OTR
4
0
50000
0
MICHAELS COS INC
COM
59408Q106
164984
20393531
SH
OTR
2
0
20393531
0
MONTAGE RES CORP
COM
61179L100
1805
227334
SH
OTR
1
0
227334
0
NEXTIER OILFIELD SOLUTIONS I
COM
65290C105
21863
3263123
SH
OTR
1
0
3263123
0
OPORTUN FINL CORP
COM
68376D104
4403
185000
SH
OTR
4
0
185000
0
ORCHID IS CAP INC
COM
68571X103
1170
200000
SH
OTR
4
0
200000
0
PACIFIC BIOSCIENCES CALIF IN
COM
69404D108
12395
2411556
SH
OTR
2
0
2411556
0
PALOMAR HLDGS INC
COM
69753M105
14394
285085
SH
OTR
4
0
285085
0
PING IDENTITY HLDG CORP
COM
72341T103
3888
160000
SH
OTR
4
0
160000
0
RANPAK HLDGS CORP
*W EXP 06/03/202
75321W111
2280
2000000
SH
OTR
4
0
2000000
0
RANPAK HLDGS CORP
COM CL A
75321W103
32600
4000000
SH
OTR
4
0
4000000
0
READY CAP CORP
COM
75574U101
1542
100000
SH
OTR
4
0
100000
0
SANDRIDGE ENERGY INC
COM NEW
80007P869
734
172996
SH
OTR
1
0
172996
0
SIENTRA INC
COM
82621J105
24413
2730765
SH
OTR
3
0
2730765
0
SILVERGATE CAP CORP
CL A
82837P408
796
50000
SH
OTR
4
0
50000
0
SPDR S&P 500 ETF TR
TR UNIT
78462F103
25749
80000
SH
Put
SOLE
80000
0
0
SPDR S&P 500 ETF TR
TR UNIT
78462F103
48279
150000
SH
Put
OTR
4
0
150000
0
SPROUT SOCIAL INC
COM CL A
85209W109
4413
274945
SH
OTR
4
0
274945
0
SSGA ACTIVE ETF TR
BLKSTN GSOSRLN
78467V608
19344
415275
SH
OTR
1
0
415275
0
TALLGRASS ENERGY LP
CLASS A SHS
874696107
523192
23652463
SH
OTR
0
23652463
0
TARGA RES CORP
COM
87612G101
10376
258302
SH
SOLE
258302
0
0
THUNDER BRDG ACQUISTION II L
UNIT 99/99/9999
G8857S124
7315
700000
SH
OTR
4
0
700000
0
TUFIN SOFTWARE TECHNOLOGIS L
SHS
M8893U102
3078
175000
SH
OTR
4
0
175000
0
UBER TECHNOLOGIES INC
COM
90353T100
5948
200000
SH
OTR
4
0
200000
0
VICI PPTYS INC
COM
925652109
25039
980000
SH
OTR
4
0
980000
0
VIR BIOTECHNOLOGY INC
COM
92764N102
440
35000
SH
OTR
4
0
35000
0
VISTRA ENERGY CORP
COM
92840M102
18392
800000
SH
OTR
4
0
800000
0
VIVINT SOLAR INC
COM
92854Q106
539849
74359374
SH
OTR
2
0
74359374
0
XERIS PHARMACEUTICALS INC
COM
98422L107
3173
450000
SH
OTR
4
0
450000
0
XP INC
CL A
G98239109
5791
150350
SH
OTR
4
0
150350
0