Universe · entity

Partners Group Holding AG

Institutional manager (13F) · CIK 1534259
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.4B
#IssuerValueShares
1KinderCare Learning Cos Inc$179M81,418,736
2Apollo Global Management Inc$69M615,844
3Clarivate PLC$65M25,583,059
4Ares Management Corp$56M516,253
5Brookfield Corp$56M1,388,548
6American Tower Corp$56M324,869
7NU Holdings Ltd/Cayman Islands$48M3,357,586
8Republic Services Inc$48M217,759
9TC Energy Corp$47M387,770
10Williams Cos Inc/The$46M635,064
11Atmos Energy Corp$44M238,206
12Equinix Inc$43M44,127
13Blackstone Inc$43M371,729
14KKR & Co Inc$42M450,070
15Union Pacific Corp$41M167,318
16Waste Management Inc$40M173,895
17Sempra$40M410,561
18American Water Works Co Inc$39M289,131
19Canadian Pacific Kansas City L$39M253,054
20CMS Energy Corp$39M497,291
21CSX Corp$37M892,369
22Old Dominion Freight Line Inc$36M184,042
23Ferrovial SE$26M538,084
24Enbridge Inc$25M238,201
25SBA Communications Corp$24M138,373
26TPG Inc$20M504,384
27Blue Owl Capital Inc$20M2,175,998
28Brookfield Asset Management Lt$14M308,100
29ArcBest Corp$10M98,797
30Kinder Morgan Inc$9M262,234
31Life Time Group Holdings Inc$7M277,777
32ADT Inc$7M1,114,353
33XPO Inc$6M30,934
34Royalty Pharma PLC$4M87,065
35Restaurant Brands International$4M53,709
36Marriott International Inc/MD$3M9,801
37Warner Music Group Corp$2M91,080
38ARM Holdings PLC$2M14,900
39McDonald's Corp$2M6,993
40Wheaton Precious Metals Corp$2M13,913
41Sony Group Corp$2M87,900
42Royal Gold Inc$2M6,966
43Grupo Aeroportuario del Centro$2M14,380
44Hilton Worldwide Holdings Inc$2M5,377
45Domino's Pizza Inc$1M3,437
46Grupo Aeroportuario del Surest$1M3,430
47Dolby Laboratories Inc$1M18,945
48Pembina Pipeline Corp$805k9,270
49InterDigital Inc$483k1,599
50ONEOK Inc$223k2,470
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.