0000950123-23-008123.txt : 20230814 0000950123-23-008123.hdr.sgml : 20230814 20230814161502 ACCESSION NUMBER: 0000950123-23-008123 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230630 FILED AS OF DATE: 20230814 DATE AS OF CHANGE: 20230814 EFFECTIVENESS DATE: 20230814 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Blackstone 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: 231170332 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 Inc DATE OF NAME CHANGE: 20210806 FORMER COMPANY: FORMER CONFORMED NAME: Blackstone Group Inc DATE OF NAME CHANGE: 20190628 FORMER COMPANY: FORMER CONFORMED NAME: Blackstone Group L.P. DATE OF NAME CHANGE: 20070320 13F-HR 1 primary_doc.xml X0202 13F-HR LIVE 0001393818 XXXXXXXX 06-30-2023 06-30-2023 false Blackstone Inc.
345 PARK AVENUE NEW YORK NY 10154
13F HOLDINGS REPORT 028-13114 Y The Oatly Group AB position reported in this filing reflects a holding of Ordinary Shares, which may be redeemed for American Depository Shares on a 1:1 basis. The following information corresponds to the securities indicated in the attached Information Table: (A) Blackstone 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. (B) Options reported in this Form 13F may include more than one series of call or put options, as applicable, with respect to such issuer. (C) The information contained in this Form 13F relating to the investment discretion by certain other reporting managers may reflect information relating to certain of their affiliates.
Tabea Hsi Senior Managing Director 212-583-5000 /s/ Tabea Hsi New York NY 08-14-2023 10 166 23380810519 false 1 28-12332 Blackstone Alternative Credit Advisors 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. 5 28-20287 Blackstone Real Estate Advisors L.P. 6 28-13436 Harvest Fund Advisors LLC 7 28-20994 Blackstone Tactical Opportunities Advisors L.L.C. 8 28-20992 Blackstone Infrastructure Advisors L.L.C. 9 28-22637 Blackstone Alternative Asset Management L.P. 10 28-23081 Blackstone Alternative Investment Advisors LLC
INFORMATION TABLE 2 25566.xml INFORMATION TABLE FOR FORM 13F 10X GENOMICS INC CL A COM 88025U109 920522 16485 SH OTR 5 0 16485 0 4D MOLECULAR THERAPEUTICS IN COM 35104E100 903500 50000 SH OTR 4 0 50000 0 ACELYRIN INC COM 00445A100 3657500 175000 SH OTR 4 0 175000 0 ACLARIS THERAPEUTICS INC COM 00461U105 135152 13033 SH OTR 5 0 13033 0 ALECTOR INC COM 014442107 61819 10286 SH OTR 5 0 10286 0 ALIBABA GROUP HLDG LTD SPONSORED ADS 01609W102 36840700 442000 SH OTR 4 0 442000 0 ALIBABA GROUP HLDG LTD SPONSORED ADS 01609W102 8335000 100000 SH OTR 9 0 100000 0 ALIGHT INC COM CL A 01626W101 288949741 31271617 SH OTR 2 0 31271617 0 ALLAKOS INC COM 01671P100 65151 14943 SH OTR 5 0 14943 0 ALLAKOS INC COM 01671P100 8681261 1991115 SH OTR 9 0 1991115 0 ALPHABET INC CAP STK CL A 02079K305 8379000 70000 SH OTR 9 0 70000 0 ALTUS POWER INC COM CL A 02217A102 114027075 21116125 SH OTR 1 0 21116125 0 AMAZON COM INC COM 023135106 19554000 150000 SH OTR 4 0 150000 0 ANAPTYSBIO INC COM 032724106 6686168 328720 SH OTR 5 0 328720 0 ANNEXON INC COM 03589W102 3204939 910494 SH OTR 3 0 910494 0 ANTERO MIDSTREAM CORP COM 03676B102 8856240 763469 SH OTR 6 0 763469 0 API GROUP CORP COM STK 00187Y100 70838081 2598609 SH OTR 7 0 2598609 0 APPLE HOSPITALITY REIT INC COM NEW 03784Y200 24414738 1615800 SH OTR 5 0 1615800 0 ARCUTIS BIOTHERAPEUTICS INC COM 03969K108 230092 24144 SH OTR 5 0 24144 0 ARRAY TECHNOLOGIES INC COM SHS 04271T100 68811712 3044766 SH OTR 2 0 3044766 0 AUTOLUS THERAPEUTICS PLC SPON ADS 05280R100 48755754 20485611 SH OTR 3 0 20485611 0 BILL HOLDINGS INC COM 090043100 17527500 150000 SH OTR 9 0 150000 0 BLACKSTONE MTG TR INC COM CL A 09257W100 151123760 7262074 SH SOLE 7262074 0 0 BLACKSTONE SECD LENDING FD COMMON STOCK 09261X102 87730661 3206530 SH SOLE 3206530 0 0 BP PLC SPONSORED ADR 055622104 1970170 55828 SH OTR 6 0 55828 0 BRIDGER AEROSPACE GRP HLDGS COM 96812F102 53897816 9624610 SH OTR 7 0 9624610 0 BRIGHT HEALTH GROUP INC COM NEW 10920V404 561094 45916 SH OTR 7 0 45916 0 BUMBLE INC COM CL A 12047B105 368501066 21960731 SH OTR 2 0 21960731 0 BUMBLE INC COM CL A 12047B105 59801403 3563850 SH OTR 4 0 3563850 0 BUMBLE INC COM CL A 12047B105 186475267 11112948 SH OTR 7 0 11112948 0 CABALETTA BIO INC COM 12674W109 6439237 498779 SH OTR 9 0 498779 0 CALLON PETE CO DEL COM 13123X508 204557138 5832824 SH OTR 2 0 5832824 0 CARNIVAL CORP COMMON STOCK 143658300 37471700 1990000 SH OTR 4 0 1990000 0 CHATHAM LODGING TR COM 16208T102 15172560 1621000 SH OTR 5 0 1621000 0 CHENIERE ENERGY INC COM NEW 16411R208 949912645 6234659 SH OTR 6 0 6234659 0 CHENIERE ENERGY PARTNERS LP COM UNIT 16411Q101 12174731 263865 SH OTR 6 0 263865 0 CHENIERE ENERGY PARTNERS LP COM UNIT 16411Q101 4710084981 102082466 SH OTR 8 0 102082466 0 CHESAPEAKE ENERGY CORP COM 165167735 1059882428 12665899 SH OTR 2 0 12665899 0 CHEVRON CORP NEW COM 166764100 1208133 7678 SH OTR 6 0 7678 0 CLARIVATE PLC ORD SHS G21810109 8872430 931000 SH OTR 4 0 931000 0 COMPASS THERAPEUTICS INC COM 20454B104 4788247 1505738 SH OTR 5 0 1505738 0 COMPASS THERAPEUTICS INC COM 20454B104 14294106 4495002 SH OTR 9 0 4495002 0 CONFLUENT INC NOTE 1/1 20717MAB9 5011645 6000000 PRN OTR 4 0 6000000 0 CONOCOPHILLIPS COM 20825C104 12433200 120000 SH OTR 4 0 120000 0 CONOCOPHILLIPS COM 20825C104 984502 9502 SH OTR 6 0 9502 0 CONSTRUCTION PARTNERS INC COM CL A 21044C107 7447780 237266 SH OTR 2 0 237266 0 COREBRIDGE FINL INC COM 21871X109 1106371062 62648418 SH SOLE 62648418 0 0 CRESTWOOD EQUITY PARTNERS LP UNIT LTD PARTNER 226344208 9510080 359142 SH OTR 6 0 359142 0 CRISPR THERAPEUTICS AG NAMEN AKT H17182108 684683 12196 SH OTR 5 0 12196 0 CROSSAMERICA PARTNERS LP UT LTD PTN INT 22758A105 1459002 74061 SH OTR 6 0 74061 0 CRYOPORT INC COM PAR $0.001 229050307 7821081 453396 SH OTR 7 0 453396 0 CSI COMPRESSCO LP COM UNIT 12637A103 380306 301830 SH OTR 6 0 301830 0 DATADOG INC CL A COM 23804L103 8549222 86900 SH OTR 9 0 86900 0 DELEK LOGISTICS PARTNERS LP COM UNT RP INT 24664T103 2237890 40987 SH OTR 6 0 40987 0 DESKTOP METAL INC COM CL A 25058X105 27070 15294 SH OTR 5 0 15294 0 DEVON ENERGY CORP NEW COM 25179M103 1147543 23739 SH OTR 6 0 23739 0 DEXCOM INC COM 252131107 20561600 160000 SH OTR 4 0 160000 0 DIAMONDBACK ENERGY INC COM 25278X109 1042106728 7933212 SH OTR 2 0 7933212 0 DIAMONDBACK ENERGY INC COM 25278X109 2089544 15907 SH OTR 6 0 15907 0 DIGITALOCEAN HLDGS INC NOTE 12/0 25402DAB8 6288696 8000000 PRN OTR 4 0 8000000 0 DISC MEDICINE INC COM 254604101 1814450 40866 SH OTR 4 0 40866 0 DT MIDSTREAM INC COMMON STOCK 23345M107 2934643 59202 SH OTR 6 0 59202 0 EFFECTOR THERAPEUTICS INC COM 28202V108 1086389 1308587 SH OTR 5 0 1308587 0 ENBRIDGE INC COM 29250N105 109434315 2945742 SH OTR 6 0 2945742 0 ENERGY TRANSFER L P COM UT LTD PTN 29273V100 1045336289 82309944 SH OTR 2 0 82309944 0 ENERGY TRANSFER L P COM UT LTD PTN 29273V100 901159513 70957442 SH OTR 6 0 70957442 0 ENLINK MIDSTREAM LLC COM UNIT REP LTD 29336T100 15904982 1500470 SH OTR 6 0 1500470 0 ENTERPRISE PRODS PARTNERS L COM 293792107 544418351 20661038 SH OTR 6 0 20661038 0 EQUITRANS MIDSTREAM CORP COM 294600101 60949847 6375507 SH OTR 6 0 6375507 0 EXXON MOBIL CORP COM 30231G102 859502 8014 SH OTR 6 0 8014 0 FINANCE OF AMERICA COMPAN COM CL A 31738L107 61400848 32147041 SH OTR 7 0 32147041 0 FIRST INDL RLTY TR INC COM 32054K103 263264695 5001229 SH OTR 5 0 5001229 0 FIRSTENERGY CORP COM 337932107 1120992009 28832099 SH OTR 8 0 28832099 0 FULCRUM THERAPEUTICS INC COM 359616109 63413 19216 SH OTR 5 0 19216 0 GALERA THERAPEUTICS INC COM 36338D108 5238430 1678984 SH OTR 3 0 1678984 0 GATES INDL CORP PLC ORD SHS G39108108 1600550806 118735223 SH OTR 2 0 118735223 0 GATES INDL CORP PLC ORD SHS G39108108 162336054 12042734 SH OTR 7 0 12042734 0 GE HEALTHCARE TECHNOLOGIES I COMMON STOCK 36266G107 36558000 450000 SH OTR 4 0 450000 0 GENEDX HOLDINGS CORP COM CL A 81663L200 4976970 835062 SH OTR 7 0 835062 0 GENEDX HOLDINGS CORP CALL 81663L900 900000 80487 SH Call OTR 7 0 80487 0 GENESIS ENERGY L P UNIT LTD PARTN 371927104 5498269 575735 SH OTR 6 0 575735 0 GLOBAL PARTNERS LP COM UNITS 37946R109 3293488 107175 SH OTR 6 0 107175 0 GREEN PLAINS PARTNERS LP COM REP PTR IN 393221106 602525 46563 SH OTR 6 0 46563 0 HESS MIDSTREAM LP CL A SHS 428103105 6780280 221000 SH OTR 6 0 221000 0 HOLLY ENERGY PARTNERS L P COM UT LTD PTN 435763107 55914752 3022419 SH OTR 6 0 3022419 0 HUDSON PAC PPTYS INC COM 444097109 16023762 3797100 SH OTR 5 0 3797100 0 IHS HOLDING LIMITED ORD SHS G4701H109 1249121 127722 SH OTR 2 0 127722 0 IONQ INC COM 46222L108 388839 28739 SH OTR 5 0 28739 0 ISHARES TR IBOXX HI YD ETF 464288513 120112000 1600000 SH Put OTR 4 0 1600000 0 ISHARES TR U.S. MED DVC ETF 464288810 11140000 200000 SH Put OTR 4 0 200000 0 ISHARES TR CHINA LG-CAP ETF 464287184 1359500 50000 SH OTR 9 0 50000 0 KALEYRA INC COM 483379202 1722859 255618 SH OTR 1 0 255617 0 KENVUE INC COM 49177J102 42272000 1600000 SH OTR 4 0 1600000 0 KINDER MORGAN INC DEL COM 49456B101 143115661 8311014 SH OTR 6 0 8311014 0 KINETIK HOLDINGS INC COM NEW CL A 02215L209 267566678 7614305 SH OTR 2 0 7614305 0 KODIAK GAS SVCS INC COM 50012A108 812000 50000 SH OTR 4 0 50000 0 KODIAK GAS SVCS INC COM 50012A108 552160 34000 SH OTR 6 0 34000 0 LUMOS PHARMA INC COM 55028X109 1544879 468145 SH OTR 3 0 468145 0 MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106 365447658 5864051 SH OTR 6 0 5864051 0 MARATHON OIL CORP COM 565849106 1915126 83194 SH OTR 6 0 83194 0 MARTIN MIDSTREAM PRTNRS L P UNIT L P INT 573331105 3982548 1852348 SH OTR 6 0 1852348 0 MID-AMER APT CMNTYS INC COM 59522J103 204503939 1346661 SH OTR 5 0 1346661 0 MOBILEYE GLOBAL INC COMMON CLASS A 60741F104 57630000 1500000 SH OTR 4 0 1500000 0 MPLX LP COM UNIT REP LTD 55336V100 677374656 19958004 SH OTR 2 0 19958004 0 MPLX LP COM UNIT REP LTD 55336V100 848870049 25010903 SH OTR 6 0 25010903 0 MULTIPLAN CORPORATION COM 62548M100 2932204 1389670 SH OTR 4 0 1389670 0 NEXTDECADE CORP COM 65342K105 233468 28437 SH OTR 6 0 28437 0 NEXTERA ENERGY INC COM 65339F101 55390300 746500 SH OTR 6 0 746500 0 NURIX THERAPEUTICS INC COM 67080M103 270919 27119 SH OTR 5 0 27119 0 NUSTAR ENERGY LP UNIT COM 67058H102 9464622 552195 SH OTR 6 0 552195 0 NUTANIX INC NOTE 0.250%10/0 67059NAH1 6805000 8000000 PRN OTR 4 0 8000000 0 OATLY GROUP AB SPONSORED ADS 67421J108 81545273 39778182 SH OTR 7 0 39778182 0 OKTA INC NOTE 0.375% 6/1 679295AF2 7117825 8291000 PRN OTR 4 0 8291000 0 ONEOK INC NEW COM 682680103 6172000 100000 SH OTR 6 0 100000 0 OVINTIV INC COM 69047Q102 353785 9293 SH OTR 6 0 9293 0 PACIFIC BIOSCIENCES CALIF IN COM 69404D108 13300000 1000000 SH OTR 4 0 1000000 0 PAYSAFE LIMITED SHS G6964L206 110129283 10914696 SH OTR 2 0 10914696 0 PDC ENERGY INC COM 69327R101 2482217 34892 SH OTR 6 0 34892 0 PEMBINA PIPELINE CORP COM 706327103 329747813 10488162 SH OTR 6 0 10488162 0 PERMIAN RESOURCES CORP CLASS A COM 71424F105 1074080 98000 SH OTR 6 0 98000 0 PG&E CORP COM 69331C108 822164170 47578945 SH OTR 2 0 47578945 0 PG&E CORP COM 69331C108 8640000 500000 SH OTR 4 0 500000 0 PIONEER NAT RES CO COM 723787107 614289 2965 SH OTR 6 0 2965 0 PLAINS ALL AMERN PIPELINE L UNIT LTD PARTN 726503105 147761472 10479537 SH OTR 6 0 10479537 0 PLAINS GP HLDGS L P LTD PARTNR INT A 72651A207 30781148 2075600 SH OTR 6 0 2075600 0 PLIANT THERAPEUTICS INC COM 729139105 402373 22206 SH OTR 5 0 22206 0 PRAXIS PRECISION MEDICINES I COM 74006W108 1212225 1054109 SH OTR 3 0 1054109 0 PTC THERAPEUTICS INC COM 69366J200 22272722 547645 SH OTR 1 0 547645 0 PTC THERAPEUTICS INC COM 69366J200 22272722 547645 SH OTR 3 0 547645 0 REATA PHARMACEUTICALS INC CL A 75615P103 34747254 340793 SH OTR 3 0 340793 0 RELAY THERAPEUTICS INC COM 75943R102 447362 35618 SH OTR 5 0 35618 0 REPARE THERAPEUTICS INC COM 760273102 239055 22595 SH OTR 5 0 22595 0 REVOLUTION MEDICINES INC COM 76155X100 995020 37197 SH OTR 5 0 37197 0 REZOLUTE INC COM NEW 76200L309 3044614 1537684 SH OTR 9 0 1537684 0 RINGCENTRAL INC NOTE 3/1 76680RAH0 6680000 8000000 PRN OTR 4 0 8000000 0 ROBINHOOD MKTS INC COM CL A 770700102 728650 73011 SH OTR 5 0 73011 0 RWT HLDGS INC NOTE 5.750%10/0 749772AD1 5290863 6117000 SH OTR 5 0 6117000 0 SCHLUMBERGER LTD COM STK 806857108 13016800 265000 SH OTR 4 0 265000 0 SEMPRA COM 816851109 39066747 268334 SH OTR 6 0 268334 0 SENTINELONE INC CL A 81730H109 15709723 1040379 SH OTR 9 0 1040379 0 SERVICENOW INC COM 81762P102 7305610 13000 SH OTR 4 0 13000 0 SERVICENOW INC COM 81762P102 16392665 29170 SH OTR 9 0 29170 0 SIX FLAGS ENTMT CORP NEW COM 83001A102 14418900 555000 SH OTR 4 0 555000 0 SPDR S&P 500 ETF TR TR UNIT 78462F103 316955500 725000 SH Put OTR 4 0 725000 0 SPDR SER TR S&P BIOTECH 78464A870 3619200 43500 SH OTR 9 0 43500 0 SSGA ACTIVE ETF TR BLACKSTONE SENR 78467V608 5685527 135790 SH OTR 1 0 135790 0 STAR GROUP L P UNIT LTD PARTNR 85512C105 1167711 85484 SH OTR 6 0 85484 0 SUBURBAN PROPANE PARTNERS L UNIT LTD PARTN 864482104 3822559 258281 SH OTR 6 0 258281 0 SUMMIT MIDSTREAM PARTNERS LP COM UNIT LTD 866142409 942565 58004 SH OTR 6 0 58004 0 SUNOCO LP/SUNOCO FIN CORP COM UT REP LP 86765K109 67233423 1543467 SH OTR 6 0 1543467 0 SUNSTONE HOTEL INVS INC NEW COM 867892101 87487400 8645000 SH OTR 5 0 8645000 0 TALARIS THERAPEUTICS INC COM 87410C104 24591518 8089315 SH OTR 3 0 8089315 0 TARGA RES CORP COM 87612G101 475247620 6245041 SH OTR 6 0 6245041 0 TC ENERGY CORP COM 87807B107 19667830 486707 SH OTR 6 0 486707 0 TRISTAR ACQUISITION I CORP CL A ORD SHS G9074V106 913710 87311 SH OTR 10 0 87311 0 UBER TECHNOLOGIES INC COM 90353T100 545885 12645 SH OTR 5 0 12645 0 USA COMPRESSION PARTNERS LP COMUNIT LTDPAR 90290N109 51640097 2616013 SH OTR 6 0 2616013 0 USD PARTNERS LP COM UT REP LTD 903318103 52420 52949 SH OTR 6 0 52949 0 VALVOLINE INC COM 92047W101 18379900 490000 SH OTR 4 0 490000 0 VESTA REAL ESTATE CORPORATIO ADS 92540K109 1739880 54000 SH OTR 4 0 54000 0 VIPER ENERGY PARTNERS LP COM UNT RP INT 92763M105 187872970 7002347 SH OTR 2 0 7002347 0 VIVID SEATS INC COM CL A 92854T100 3060858 386472 SH OTR 4 0 386472 0 VNET GROUP INC SPONSORED ADS A 90138A103 30166177 10402130 SH OTR 7 0 10402130 0 VOYAGER THERAPEUTICS INC COM 92915B106 582210 50848 SH OTR 5 0 50848 0 WESTERN MIDSTREAM PARTNERS L COM UNIT LP INT 958669103 464923738 17531061 SH OTR 6 0 17531061 0 WILLIAMS COS INC COM 969457100 83569541 2561126 SH OTR 6 0 2561126 0