BPSG

Brookfield Public Securities Group Portfolio holdings

AUM $6.17B
This Quarter Return
-24.06%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$6.17B
AUM Growth
+$6.17B
Cap. Flow
-$95.1M
Cap. Flow %
-1.54%
Top 10 Hldgs %
30.9%
Holding
161
New
16
Increased
45
Reduced
49
Closed
46

Sector Composition

1 Real Estate 48.62%
2 Energy 25.6%
3 Utilities 22.46%
4 Industrials 0.64%
5 Technology 0.02%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
PK icon
51
Park Hotels & Resorts
PK
$2.35B
$44.1M 0.71% 5,572,881 +433,341 +8% +$3.43M
TRGP icon
52
Targa Resources
TRGP
$36.1B
$43.5M 0.71% 6,300,080 +1,632,485 +35% +$11.3M
SUI icon
53
Sun Communities
SUI
$15.9B
$36.1M 0.59% +289,462 New +$36.1M
HST icon
54
Host Hotels & Resorts
HST
$11.8B
$35.8M 0.58% +3,241,805 New +$35.8M
FRT icon
55
Federal Realty Investment Trust
FRT
$8.67B
$33.3M 0.54% +446,763 New +$33.3M
ETRN
56
DELISTED
Equitrans Midstream Corporation Common Stock
ETRN
$32.7M 0.53% 6,503,356 -167,652 -3% -$843K
PEB icon
57
Pebblebrook Hotel Trust
PEB
$1.32B
$29.4M 0.48% 2,699,063 -382,463 -12% -$4.17M
RPAI
58
DELISTED
RETAIL PROPERTIES OF AMERICA, INC.
RPAI
$26.7M 0.43% 5,156,273 -2,599,892 -34% -$13.4M
AMH icon
59
American Homes 4 Rent
AMH
$13.3B
$26.5M 0.43% +1,142,676 New +$26.5M
GRP.U
60
Granite Real Estate Investment Trust
GRP.U
$3.47B
$25M 0.41% 610,891 -1,482,348 -71% -$60.7M
CP icon
61
Canadian Pacific Kansas City
CP
$69.9B
$21.7M 0.35% 99,100 +76,539 +339% +$16.8M
RHP icon
62
Ryman Hospitality Properties
RHP
$6.22B
$21.5M 0.35% 599,766 -355,879 -37% -$12.8M
PAGP icon
63
Plains GP Holdings
PAGP
$3.82B
$16.2M 0.26% 2,888,919 +1,948,200 +207% +$10.9M
VER
64
DELISTED
VEREIT, Inc.
VER
$14.9M 0.24% 3,045,403 -10,913,189 -78% -$53.4M
ENLC
65
DELISTED
ENLINK MIDSTREAM, LLC
ENLC
$13.7M 0.22% 12,464,811 -4,959,636 -28% -$5.46M
CSX icon
66
CSX Corp
CSX
$60.6B
$13.5M 0.22% 236,100 +180,400 +324% +$10.3M
NS
67
DELISTED
NuStar Energy L.P.
NS
$13.3M 0.22% 1,553,984 -1,513,477 -49% -$13M
CNXM
68
DELISTED
CNX Midstream Partners LP
CNXM
$12.1M 0.2% 1,489,786 +1,321,388 +785% +$10.7M
NBLX
69
DELISTED
Noble Midstream Partners LP
NBLX
$11.6M 0.19% 3,310,042 +1,575,729 +91% +$5.52M
HR icon
70
Healthcare Realty
HR
$6.11B
$11.3M 0.18% 465,000 -507,300 -52% -$12.3M
EQM
71
DELISTED
EQM Midstream Partners, LP
EQM
$10.9M 0.18% +926,343 New +$10.9M
BXP icon
72
Boston Properties
BXP
$11.5B
$5.96M 0.1% +64,598 New +$5.96M
PLYM
73
Plymouth Industrial REIT
PLYM
$980M
$5.45M 0.09% 488,498 +265,304 +119% +$2.96M
FTAI icon
74
FTAI Aviation
FTAI
$15.8B
$4.38M 0.07% 534,157
RTLR
75
DELISTED
Rattler Midstream LP Common Units
RTLR
$4.24M 0.07% 1,218,225 +1,209,631 +14,075% +$4.21M