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Blackstone Holdings III L.P.

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Change Healthcare Inc. CHNGCOM304,452,260304,452,2605,678,034,6495,678,034,649   Hist 12/31/2020
PERFORMANCE FOOD GROUP CO PFGCCOM104,638,055104,638,0553,463,519,6213,463,519,621   Hist 12/31/2017
Vivint Smart Home, Inc. MOSCCommon117,366,330117,366,3302,091,468,0012,091,468,001   Hist 09/17/2020
SeaWorld Entertainment, Inc. SEASCOM90,436,45290,436,4521,227,222,6541,227,222,654   Hist 12/31/2017
Alight, Inc. / Delaware ALITCommon109,514,969109,514,9691,067,770,9481,067,770,948   Hist 07/02/2021
NCR CORP NCRCommon14,895,01814,895,018644,805,344644,805,344   Hist 03/13/2017
APi Group Corp APGCOM24,390,24324,390,243628,048,757628,048,757   Hist 01/03/2022
Vivint Solar, Inc. VSLRCOM119,315,579119,315,579454,592,356454,592,356   Hist 12/31/2018
Kosmos Energy Ltd. KOSCOM53,052,51253,052,512363,409,707363,409,707   Hist 12/31/2017
Kosmos Energy Ltd. KOSCOMMON STOCK49,756,94149,756,941202,510,750202,510,750   Hist 12/31/2018
Custom Truck One Source, Inc. NSCOCommon14,171,42114,171,421132,502,786132,502,786   Hist 04/01/2021
Park Hotels & Resorts Inc. PKCommon567,132567,13216,276,68816,276,688   Hist 11/27/2017
Extended Stay America, Inc. STAYUNIT172,598172,5983,198,2413,198,241   Hist 06/05/2017
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