0000950123-24-011779.txt : 20241114
0000950123-24-011779.hdr.sgml : 20241114
20241114160505
ACCESSION NUMBER: 0000950123-24-011779
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20240930
FILED AS OF DATE: 20241114
DATE AS OF CHANGE: 20241114
EFFECTIVENESS DATE: 20241114
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Blackstone Inc.
CENTRAL INDEX KEY: 0001393818
STANDARD INDUSTRIAL CLASSIFICATION: INVESTMENT ADVICE [6282]
ORGANIZATION NAME: 02 Finance
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: 241461764
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
09-30-2024
09-30-2024
false
Blackstone Inc.
345 PARK AVENUE
NEW YORK
NY
10154
13F HOLDINGS REPORT
028-13114
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
11-14-2024
10
174
22927663719
false
1
28-12332
000137519
Blackstone Alternative Credit Advisors LP
2
28-17363
000136978
Blackstone Management Partners L.L.C.
3
28-16028
Clarus Ventures, LLC
4
28-19316
000158784
Blackstone Alternative Solutions L.L.C.
5
28-20287
000142979
Blackstone Real Estate Advisors L.P.
6
28-13436
000154425
Harvest Fund Advisors LLC
7
28-20994
000160157
Blackstone Tactical Opportunities Advisors L.L.C.
8
28-20992
000289751
Blackstone Infrastructure Advisors L.L.C.
9
28-22637
000107580
Blackstone Alternative Asset Management L.P.
10
28-23081
000165782
Blackstone Alternative Investment Advisors LLC
INFORMATION TABLE
2
37131.xml
INFORMATION TABLE FOR FORM 13F
10X GENOMICS INC
CL A COM
88025U109
372231
16485
SH
OTR
5
0
16485
0
ABIVAX SA
SPONSORED ADS
00370M103
17538440
1522434
SH
OTR
9
0
1522434
0
ADICET BIO INC
COM
007002108
1780492
1236453
SH
OTR
9
0
1236453
0
ALBERTSONS COS INC
COMMON STOCK
013091103
644656
34884
SH
OTR
10
0
34884
0
ALECTOR INC
COM
014442107
119832
25715
SH
OTR
5
0
25715
0
ALLAKOS INC
COM
01671P100
9761
14943
SH
OTR
5
0
14943
0
ALLETE INC
COM NEW
018522300
728749
11353
SH
OTR
10
0
11353
0
ALTUS POWER INC
COM CL A
02217A102
67149278
21116125
SH
OTR
1
0
21116125
0
AMAZON COM INC
COM
023135106
66147150
355000
SH
OTR
4
0
355000
0
AMICUS THERAPEUTICS INC
COM
03152W109
13174335
1233552
SH
OTR
3
0
1233552
0
AMICUS THERAPEUTICS INC
COM
03152W109
13174335
1233552
SH
OTR
1
0
1233552
0
ANSYS INC
COM
03662Q105
762482
2393
SH
OTR
10
0
2393
0
ANTERO MIDSTREAM CORP
COM
03676B102
25974645
1725890
SH
OTR
6
0
1725890
0
APA CORPORATION
COM
03743Q108
148734362
6080718
SH
OTR
2
0
6080718
0
APOGEE THERAPEUTICS INC
COM
03770N101
4699200
80000
SH
OTR
9
0
80000
0
APPLE HOSPITALITY REIT INC
COM NEW
03784Y200
6636465
446900
SH
OTR
5
0
446900
0
ARCHROCK INC
COM
03957W106
15984803
789763
SH
OTR
6
0
789763
0
ARCUTIS BIOTHERAPEUTICS INC
COM
03969K108
224539
24144
SH
OTR
5
0
24144
0
ARIS WATER SOLUTIONS INC
CLASS A COM
04041L106
3506514
207855
SH
OTR
6
0
207855
0
ARRAY TECHNOLOGIES INC
COM SHS
04271T100
11879340
1799900
SH
OTR
2
0
1799900
0
ASTERA LABS INC
COM
04626A103
7858500
150000
SH
OTR
4
0
150000
0
ATLANTICA SUSTAINABLE INFR P
SHS
G0751N103
589943
26840
SH
OTR
10
0
26840
0
AUTOLUS THERAPEUTICS PLC
SPON ADS
05280R100
74362768
20485611
SH
OTR
3
0
20485611
0
AXONICS INC
COM
05465P101
717089
10303
SH
OTR
10
0
10303
0
BICARA THERAPEUTICS INC
COM
055477103
1467530
57618
SH
OTR
4
0
57618
0
BICARA THERAPEUTICS INC
COM
055477103
15087970
592382
SH
OTR
9
0
592382
0
BKV CORP
COM
05603J108
1463200
80000
SH
OTR
4
0
80000
0
BLACKSTONE MTG TR INC
COM CL A
09257W100
151109635
7948955
SH
SOLE
7948955
0
0
BLACKSTONE SECD LENDING FD
COMMON STOCK
09261X102
93919264
3206530
SH
SOLE
3206530
0
0
BP PLC
SPONSORED ADR
055622104
2097731
66828
SH
OTR
6
0
66828
0
BRIDGER AEROSPACE GRP HLDGS
COM
96812F102
21366634
9624610
SH
OTR
7
0
9624610
0
BUMBLE INC
COM CL A
12047B105
18690153
2929491
SH
OTR
4
0
2929491
0
BUMBLE INC
COM CL A
12047B105
58280400
9134859
SH
OTR
7
0
9134859
0
BUMBLE INC
COM CL A
12047B105
115170229
18051760
SH
OTR
2
0
18051760
0
CAPRI HOLDINGS LIMITED
SHS
G1890L107
565046
13314
SH
OTR
10
0
13314
0
CATALENT INC
COM
148806102
722540
11929
SH
OTR
10
0
11929
0
CEMEX SAB DE CV
SPON ADR NEW
151290889
37820000
6200000
SH
OTR
4
0
6200000
0
CHAMPIONX CORPORATION
COM
15872M104
550991
18275
SH
OTR
10
0
18275
0
CHATHAM LODGING TR
COM
16208T102
13810920
1621000
SH
OTR
5
0
1621000
0
CHENIERE ENERGY INC
COM NEW
16411R208
809416499
4500759
SH
OTR
6
0
4500759
0
CHENIERE ENERGY PARTNERS LP
COM UNIT
16411Q101
4973457744
102082466
SH
OTR
8
0
102082466
0
CHENIERE ENERGY PARTNERS LP
COM UNIT
16411Q101
12855503
263865
SH
OTR
6
0
263865
0
CHESAPEAKE ENERGY CORP
COM
165167735
1735475
21100
SH
OTR
6
0
21100
0
CHESAPEAKE ENERGY CORP
COM
165167735
1041770193
12665899
SH
OTR
2
0
12665899
0
CHEVRON CORP NEW
COM
166764100
1557969
10579
SH
OTR
6
0
10579
0
COMFORT SYS USA INC
COM
199908104
13662250
35000
SH
OTR
4
0
35000
0
COMPASS THERAPEUTICS INC
COM
20454B104
2770558
1505738
SH
OTR
5
0
1505738
0
COMPASS THERAPEUTICS INC
COM
20454B104
15675720
8519413
SH
OTR
9
0
8519413
0
CONFLUENT INC
NOTE 1/1
20717MAB9
5328000
6000000
PRN
OTR
4
0
6000000
0
CONOCOPHILLIPS
COM
20825C104
1010899
9602
SH
OTR
6
0
9602
0
CONTEXT THERAPEUTICS INC
COM
21077P108
4783047
2440330
SH
OTR
9
0
2440330
0
CORE SCIENTIFIC INC NEW
COM
21874A106
11860000
1000000
SH
OTR
4
0
1000000
0
COREBRIDGE FINL INC
COM
21871X109
1806815507
61962123
SH
SOLE
61962123
0
0
CRH PLC
ORD
G25508105
55644000
600000
SH
OTR
4
0
600000
0
CROSSAMERICA PARTNERS LP
UT LTD PTN INT
22758A105
2346996
113272
SH
OTR
6
0
113272
0
CRYOPORT INC
COM PAR $0.001
229050307
3677042
453396
SH
OTR
7
0
453396
0
DELEK LOGISTICS PARTNERS LP
COM UNT RP INT
24664T103
4247923
97162
SH
OTR
6
0
97162
0
DEVON ENERGY CORP NEW
COM
25179M103
2063150
52739
SH
OTR
6
0
52739
0
DIAMONDBACK ENERGY INC
COM
25278X109
1104567
6407
SH
OTR
6
0
6407
0
DIGITALOCEAN HLDGS INC
NOTE 12/0
25402DAB8
7104000
8000000
PRN
OTR
4
0
8000000
0
DT MIDSTREAM INC
COMMON STOCK
23345M107
4450583
56580
SH
OTR
6
0
56580
0
EFFECTOR THERAPEUTICS INC
COM
28202V108
2041
52343
SH
OTR
5
0
52343
0
ENBRIDGE INC
COM
29250N105
30933043
761710
SH
OTR
6
0
761710
0
ENDEAVOR GROUP HLDGS INC
CL A COM
29260Y109
778517
27259
SH
OTR
10
0
27259
0
ENERGY TRANSFER L P
COM UT LTD PTN
29273V100
1140440823
71055503
SH
OTR
2
0
71055503
0
ENERGY TRANSFER LP
COM UT LTD PTN
29273V100
962247945
59953143
SH
OTR
6
0
59953143
0
ENLINK MIDSTREAM LLC
COM UNIT REP LTD
29336T100
46370274
3195746
SH
OTR
6
0
3195746
0
ENLIVEN THERAPEUTICS INC
COM
29337E102
9534669
373323
SH
OTR
9
0
373323
0
ENSTAR GROUP LTD
SHS
G3075P101
640607
1992
SH
OTR
10
0
1992
0
ENTERPRISE PRODS PARTNERS L
COM
293792107
493318903
16946716
SH
OTR
6
0
16946716
0
ENVESTNET INC
COM
29404K106
698338
11152
SH
OTR
10
0
11152
0
EOG RES INC
COM
26875P101
1255484
10213
SH
OTR
6
0
10213
0
EXXON MOBIL CORP
COM
30231G102
1638150
13975
SH
OTR
6
0
13975
0
FINANCE OF AMERICA COMPAN
COM CL A
31738L107
36934726
3192284
SH
OTR
7
0
3192284
0
FIRST INDL RLTY TR INC
COM
32054K103
279968799
5001229
SH
OTR
5
0
5001229
0
FIRSTENERGY CORP
COM
337932107
1278703591
28832099
SH
OTR
8
0
28832099
0
FRONTIER COMMUNICATIONS PARE
COM
35909D109
706052
19872
SH
OTR
10
0
19872
0
GATES INDL CORP PLC
ORD SHS
G39108108
34385662
1959297
SH
OTR
7
0
1959297
0
GATES INDL CORP PLC
ORD SHS
G39108108
340090165
19378357
SH
OTR
2
0
19378357
0
GE HEALTHCARE TECHNOLOGIES I
COMMON STOCK
36266G107
37540000
400000
SH
OTR
4
0
400000
0
GENEDX HOLDINGS CORP
COM CL A
81663L200
17855145
420715
SH
OTR
7
0
420715
0
GENESIS ENERGY L P
UNIT LTD PARTN
371927104
7697577
575735
SH
OTR
6
0
575735
0
GLOBAL PARTNERS LP
COM UNITS
37946R109
7398803
158909
SH
OTR
6
0
158909
0
HASHICORP INC
COM CL A
418100103
699954
20672
SH
OTR
10
0
20672
0
HESS CORP
COM
42809H107
614359
4524
SH
OTR
10
0
4524
0
HESS MIDSTREAM LP
CL A SHS
428103105
100970603
2862790
SH
OTR
6
0
2862790
0
HUDSON PAC PPTYS INC
COM
444097109
18150138
3797100
SH
OTR
5
0
3797100
0
IBOTTA INC
CLASS A COM SHS
451051106
924150
15000
SH
OTR
4
0
15000
0
INDEPENDENT BANK GROUP INC
COM
45384B106
581386
10083
SH
OTR
10
0
10083
0
INVESCO QQQ TR
UNIT SER 1
46090E103
366052500
750000
SH
Put
OTR
4
0
750000
0
IONQ INC
COM
46222L108
251179
28739
SH
OTR
5
0
28739
0
ISHARES TR
IBOXX HI YD ETF
464288513
160600000
2000000
SH
Put
OTR
4
0
2000000
0
ISHARES TR
CHINA LG-CAP ETF
464287184
55615000
1750000
SH
OTR
4
0
1750000
0
ISHARES TR
CHINA LG-CAP ETF
464287184
4951324
155800
SH
OTR
9
0
155800
0
JD.COM INC
SPON ADS CL A
47215P106
30000000
750000
SH
OTR
4
0
750000
0
JUNIPER NETWORKS INC
COM
48203R104
858846
22033
SH
OTR
10
0
22033
0
KELLANOVA
COM
487836108
681192
8440
SH
OTR
10
0
8440
0
KINDER MORGAN INC DEL
COM
49456B101
17994359
814593
SH
OTR
6
0
814593
0
KINETIK HOLDINGS INC
COM NEW CL A
02215L209
204258
4513
SH
OTR
6
0
4513
0
KINETIK HOLDINGS INC
COM NEW CL A
02215L209
539214650
11913713
SH
OTR
2
0
11913713
0
LANDBRIDGE COMPANY LLC
CL A
514952100
3912000
100000
SH
OTR
4
0
100000
0
LEXEO THERAPEUTICS INC
COM
52886X107
10473898
1158617
SH
OTR
9
0
1158617
0
LINEAGE INC
COM
53566V106
17831450
227500
SH
OTR
4
0
227500
0
LOAR HOLDINGS INC
COM SHS
53947R105
955605981
12811449
SH
OTR
1
0
12811449
0
MARATHON OIL CORP
COM
565849106
2047874
76901
SH
OTR
6
0
76901
0
MARATHON OIL CORP
COM
565849106
597790
22448
SH
OTR
10
0
22448
0
MARTIN MIDSTREAM PRTNRS L P
UNIT L P INT
573331105
3715510
1017948
SH
OTR
6
0
1017948
0
MERITAGE HOMES CORP
COM
59001A102
33836550
165000
SH
OTR
4
0
165000
0
MIND MEDICINE MINDMED INC
COM NEW
60255C885
22262006
3912479
SH
OTR
9
0
3912479
0
MODERNA INC
COM
60770K107
842927
12613
SH
OTR
1
0
12613
0
MPLX LP
COM UNIT REP LTD
55336V100
970179666
21821405
SH
OTR
6
0
21821405
0
NEUEHEALTH INC
COM NEW
10920V404
239682
45916
SH
OTR
7
0
45916
0
NEXTDECADE CORP
COM
65342K105
269709
57263
SH
OTR
6
0
57263
0
NEXTERA ENERGY INC
COM
65339F101
159721295
1889522
SH
OTR
6
0
1889522
0
NKARTA INC
COM
65487U108
2219514
491043
SH
OTR
9
0
491043
0
NUVEI CORPORATION
SUB VTG SHS
67079A102
739470
22173
SH
OTR
10
0
22173
0
OATLY GROUP AB
SPONSORED ADS
67421J108
33970567
39778182
SH
OTR
7
0
39778182
0
OKTA INC
NOTE 0.375% 6/1
679295AF2
7682123
8291000
PRN
OTR
4
0
8291000
0
ONEOK INC NEW
COM
682680103
30991126
340076
SH
OTR
6
0
340076
0
ONESTREAM INC
CL A
68278B107
5763000
170000
SH
OTR
4
0
170000
0
OVINTIV INC
COM
69047Q102
2060810
53793
SH
OTR
6
0
53793
0
PATTERSON-UTI ENERGY INC
COM
703481101
219715290
28720953
SH
OTR
2
0
28720953
0
PAYSAFE LIMITED
SHS
G6964L206
244816631
10914696
SH
OTR
2
0
10914696
0
PEMBINA PIPELINE CORP
COM
706327103
314391243
7623454
SH
OTR
6
0
7623454
0
PENNYMAC FINL SVCS INC NEW
COM
70932M107
9687450
85000
SH
OTR
4
0
85000
0
PERFICIENT INC
COM
71375U101
638787
8463
SH
OTR
10
0
8463
0
PERMIAN RESOURCES CORP
CLASS A COM
71424F105
1469880
108000
SH
OTR
6
0
108000
0
PG&E CORP
COM
69331C108
63112206
3192322
SH
OTR
2
0
3192322
0
PHILLIPS 66
COM
718546104
6619428
50357
SH
OTR
6
0
50357
0
PLAINS ALL AMERN PIPELINE L
UNIT LTD PARTN
726503105
524402124
30190105
SH
OTR
6
0
30190105
0
PLAINS GP HLDGS L P
LTD PARTNR INT A
72651A207
65031626
3515223
SH
OTR
6
0
3515223
0
PLIANT THERAPEUTICS INC
COM
729139105
248929
22206
SH
OTR
5
0
22206
0
PROGRESSIVE CORP
COM
743315103
71052800
280000
SH
OTR
4
0
280000
0
PTC THERAPEUTICS INC
COM
69366J200
20317630
547645
SH
OTR
3
0
547645
0
PTC THERAPEUTICS INC
COM
69366J200
20317630
547645
SH
OTR
1
0
547645
0
REDDIT INC
CL A
75734B100
49440000
750000
SH
OTR
4
0
750000
0
RELAY THERAPEUTICS INC
COM
75943R102
252175
35618
SH
OTR
5
0
35618
0
REPARE THERAPEUTICS INC
COM
760273102
89292
25957
SH
OTR
5
0
25957
0
REZOLUTE INC
COM NEW
76200L309
8461989
1744740
SH
OTR
9
0
1744740
0
RINGCENTRAL INC
NOTE 3/1
76680RAH0
7360000
8000000
PRN
OTR
4
0
8000000
0
RUBRIK INC.
CL A
781154109
6430000
200000
SH
OTR
4
0
200000
0
SEMPRA
COM
816851109
8283719
99052
SH
OTR
6
0
99052
0
SM ENERGY CO
COM
78454L100
1014079
25371
SH
OTR
6
0
25371
0
SPDR S&P 500 ETF TR
TR UNIT
78462F103
372944000
650000
SH
Put
OTR
4
0
650000
0
SPDR SER TR
S&P BIOTECH
78464A870
10080564
102030
SH
OTR
9
0
102030
0
SPYRE THERAPEUTICS INC
COM NEW
00773J202
8616983
292995
SH
OTR
9
0
292995
0
SSGA ACTIVE ETF TR
BLACKSTONE SENR
78467V608
4537809
108664
SH
OTR
1
0
108664
0
STAR GROUP L P
UNIT LTD PARTNR
85512C105
1811365
154290
SH
OTR
6
0
154290
0
STERICYCLE INC
COM
858912108
639097
10477
SH
OTR
10
0
10477
0
STERLING CHECK CORP
COM
85917T109
190290
11381
SH
OTR
10
0
11381
0
SUBURBAN PROPANE PARTNERS L
UNIT LTD PARTN
864482104
7723080
430495
SH
OTR
6
0
430495
0
SUMMIT MIDSTREAM CORPORATION
COM
86614G101
2452310
70006
SH
OTR
6
0
70006
0
SUNNOVA ENERGY INTL INC.
NOTE 0.250%12/0
86745KAF1
2673154
3500000
PRN
OTR
4
0
3500000
0
SUNNOVA ENERGY INTL INC.
NOTE 2.625% 2/1
86745KAH7
23316400
35500000
PRN
OTR
4
0
35500000
0
SUNOCO LP/SUNOCO FIN CORP
COM UT REP LP
86765K109
76725361
1429310
SH
OTR
6
0
1429310
0
SUNSTONE HOTEL INVS INC NEW
COM
867892101
89216400
8645000
SH
OTR
5
0
8645000
0
TARGA RES CORP
COM
87612G101
888627766
6003836
SH
OTR
6
0
6003836
0
TC ENERGY CORP
COM
87807B107
197550992
4154595
SH
OTR
6
0
4154595
0
TEMPUS AI INC
CL A
88023B103
5660000
100000
SH
OTR
4
0
100000
0
T-MOBILE US INC
COM
872590104
51590000
250000
SH
OTR
4
0
250000
0
TRANSUNION
COM
89400J107
26175000
250000
SH
OTR
4
0
250000
0
TRIP COM GROUP LTD
ADS
89677Q107
4160100
70000
SH
OTR
4
0
70000
0
UL SOLUTIONS INC
CLASS A COM SHS
903731107
11092500
225000
SH
OTR
4
0
225000
0
UNITED STATES STL CORP NEW
COM
912909108
606015
17153
SH
OTR
10
0
17153
0
USA COMPRESSION PARTNERS LP
COMUNIT LTDPAR
90290N109
24336250
1061791
SH
OTR
6
0
1061791
0
VANECK ETF TRUST
GOLD MINERS ETF
92189F106
23892000
600000
SH
OTR
4
0
600000
0
VANECK ETF TRUST
SEMICONDUCTR ETF
92189F676
24545000
100000
SH
OTR
4
0
100000
0
VANECK ETF TRUST
SEMICONDUCTR ETF
92189F676
8713475
35500
SH
OTR
9
0
35500
0
VIKING HOLDINGS LTD
ORD SHS
G93A5A101
6978000
200000
SH
OTR
4
0
200000
0
VIZIO HLDG CORP
CL A COM
92858V101
493982
44224
SH
OTR
10
0
44224
0
VNET GROUP INC
SPONSORED ADS A
90138A103
42440690
10402130
SH
OTR
7
0
10402130
0
WESTERN MIDSTREAM PARTNERS L
COM UNIT LP INT
958669103
641845284
16775883
SH
OTR
6
0
16775883
0
WILLIAMS COS INC
COM
969457100
633866228
13885350
SH
OTR
6
0
13885350
0
ZYMEWORKS INC
COM
98985Y108
314779
25082
SH
OTR
9
0
25082
0