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Brookfield Public Securities Group LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
PROLOGIS PLDCommon Stock3,880,8272,418,019311,902,000181,507,0005.05  Hist 03/31/2020
American Water Works Company, Inc. AWKCOM1,252,1511,248,951149,707,000149,314,0002.430.69 Hist 03/31/2020
XCEL ENERGY INC XELCommon2,365,6002,246,104142,646,000135,059,0002.310.45 Hist 03/31/2020
NEXTERA ENERGY INC FPLcommon732,208319,667176,184,00076,283,0002.850.15 Hist 03/31/2020
CMS ENERGY CORP CMSCommon2,473,0001,305,564145,289,00071,927,0002.350.87 Hist 03/31/2020
NNN REIT, INC. NNNCommon2,226,0162,176,16171,655,00070,597,0001.161.30 Hist 03/31/2020
EQUINIX INC EQIXCOM PAR $0.001148,95291,11393,031,00059,270,0001.510.17 Hist 03/31/2020
AMERICOLD REALTY TRUST COLDCOM2,638,0851,209,52189,800,00039,715,0001.451.32 Hist 03/31/2020
CROWN CASTLE INC. CCICOM411,055258,45559,356,00037,664,0000.960.10 Hist 03/31/2020
AMEREN CORP AEECommon1,486,905539,994108,291,00035,568,0001.750.60 Hist 03/31/2020
Public Storage PSACommon1,068,744216,220212,263,00030,709,0003.440.61 Hist 03/31/2020
CANADIAN PACIFIC KANSAS CITY LTD/CN CPCommon99,10076,53921,694,00015,939,0000.350.07 Hist 03/31/2020
CSX CORP CSXCommon236,100180,40013,529,0009,499,0000.220.03 Hist 03/31/2020
CNX Midstream Partners LP CNXMSTOCK1,489,7861,321,38812,067,0009,295,0000.201.66 Hist 03/31/2020
RATTLER MIDSTREAM LP RTLRCommon1,218,2251,209,6314,239,0004,086,0000.07  Hist 03/31/2020
RAILAMERICA INC /DE RACommon209,379136,5613,074,0001,519,0000.05  Hist 03/31/2020
Plymouth Industrial REIT, Inc. PLYMCommon488,498265,3045,452,0001,347,0000.093.31 Hist 03/31/2020
Equity Commonwealth EQC/PDSTOCK62,79925,7071,626,000579,0000.030.05 Hist 03/31/2020
Clearway Energy, Inc. CWEN/ACommon36,20025,200622,000412,0000.01  Hist 03/31/2020
EVERSOURCE ENERGY ESCommon3,5001,200274,00078,0000.000.00 Hist 03/31/2020
Azure Power Global Ltd AZRESHS11,6003,000177,00069,0000.00  Hist 03/31/2020
NEXTERA ENERGY PARTNERS, LP NEPCommon10,5003,000452,00057,0000.010.02 Hist 03/31/2020
FORTIS INC /NV/ FRTSFCOMMON10,9152,100418,00052,0000.01  Hist 03/31/2020
FIRST SOLAR, INC. FSLRCommon5,3001,900191,0001,0000.000.01 Hist 03/31/2020
ITRON, INC. ITRICommon8,0002,600447,000-6,0000.010.02 Hist 03/31/2020
CERIDIAN LLC CENCOM SHS100,27183,94493,000-11,0000.00  Hist 03/31/2020
PLAINS GP HOLDINGS LP PAGPCOM2,888,9191,948,20016,207,000-1,620,0000.261.59 Hist 03/31/2020
ENBRIDGE INC ENBCOM4,226,4491,041,057122,559,000-4,164,0001.990.21 Hist 03/31/2020
MID AMERICA APARTMENT COMMUNITIES INC. MAACommon1,070,063167,384110,249,000-8,778,0001.790.94 Hist 03/31/2020
FIRSTENERGY CORP FECommon3,876,465447,759155,330,000-11,305,0002.520.72 Hist 03/31/2020
ENTERGY CORP /DE/ ETRCommon1,776,945283,937166,980,000-11,882,0002.710.89 Hist 03/31/2020
ESSEX PROPERTY TRUST, INC. ESSCommon388,27660,24885,514,000-13,177,0001.390.59 Hist 03/31/2020
MGM Growth Properties LLC MGPCL A COM4,792,586544,455113,441,000-18,124,0001.84  Hist 03/31/2020
TC PIPELINES LP TCLPCOMMON1,780,864137,28848,938,000-20,586,0000.792.50 Hist 03/31/2020
HEALTHPEAK PROPERTIES, INC. HCPCommon2,463,307122,84358,750,000-21,926,0000.950.49 Hist 03/31/2020
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