Chilton Investment Company’s Blackstone BX Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$22.1M Buy
147,563
+4,530
+3% +$678K 0.49% 29
2025
Q1
$20M Buy
143,033
+863
+0.6% +$121K 0.49% 31
2024
Q4
$24.5M Sell
142,170
-4
-0% -$690 0.63% 34
2024
Q3
$21.8M Sell
142,174
-2,405
-2% -$368K 0.57% 34
2024
Q2
$17.9M Sell
144,579
-718
-0.5% -$88.9K 0.5% 34
2024
Q1
$19.1M Sell
145,297
-9,559
-6% -$1.26M 0.52% 33
2023
Q4
$20.3M Buy
154,856
+6,592
+4% +$863K 0.6% 31
2023
Q3
$15.9M Sell
148,264
-35,022
-19% -$3.75M 0.51% 35
2023
Q2
$17M Sell
183,286
-12,214
-6% -$1.14M 0.5% 35
2023
Q1
$17.2M Sell
195,500
-128,726
-40% -$11.3M 0.53% 30
2022
Q4
$24.1M Sell
324,226
-50,404
-13% -$3.74M 0.74% 27
2022
Q3
$31.4M Sell
374,630
-253,742
-40% -$21.2M 0.98% 24
2022
Q2
$57.3M Buy
628,372
+91,468
+17% +$8.34M 1.6% 19
2022
Q1
$68.2M Buy
536,904
+341,718
+175% +$43.4M 1.64% 22
2021
Q4
$25.3M Buy
195,186
+466
+0.2% +$60.3K 0.53% 31
2021
Q3
$22.7M Sell
194,720
-1,177
-0.6% -$137K 0.56% 32
2021
Q2
$19M Sell
195,897
-523
-0.3% -$50.8K 0.48% 36
2021
Q1
$14.6M Sell
196,420
-15,672
-7% -$1.17M 0.4% 37
2020
Q4
$13.7M Sell
212,092
-459,976
-68% -$29.8M 0.39% 35
2020
Q3
$35.1M Sell
672,068
-1,012,591
-60% -$52.9M 1.03% 24
2020
Q2
$95.5M Sell
1,684,659
-355,321
-17% -$20.1M 3.15% 11
2020
Q1
$93M Buy
2,039,980
+16,046
+0.8% +$731K 3.52% 9
2019
Q4
$113M Buy
2,023,934
+97,676
+5% +$5.46M 3.62% 9
2019
Q3
$94.1M Buy
1,926,258
+404,407
+27% +$19.8M 3.14% 10
2019
Q2
$67.6M Buy
1,521,851
+214,209
+16% +$9.52M 2.23% 20
2019
Q1
$45.7M Sell
1,307,642
-452,216
-26% -$15.8M 1.6% 24
2018
Q4
$52.5M Buy
1,759,858
+415,689
+31% +$12.4M 1.92% 23
2018
Q3
$51.2M Buy
1,344,169
+157,257
+13% +$5.99M 1.68% 24
2018
Q2
$38.2M Buy
1,186,912
+310,753
+35% +$10M 1.34% 28
2018
Q1
$28M Buy
876,159
+440,190
+101% +$14.1M 1.08% 34
2017
Q4
$14M Buy
+435,969
New +$14M 0.54% 38
2014
Q1
Sell
-271,487
Closed -$8.39M 164
2013
Q4
$8.39M Sell
271,487
-465,259
-63% -$14.4M 0.24% 78
2013
Q3
$18M Sell
736,746
-293,203
-28% -$7.16M 0.5% 60
2013
Q2
$21.3M Buy
+1,029,949
New +$21.3M 0.57% 56