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