T. Boone Pickens’s Top Stock Holdings -blogger - zimbio
T. Boone Pickens's portfolio is focused squarely in the energy sector. As of Dec. 31, 2010, funds at Pickens' firm BP Capital Management were valued at right at $276 mill ion.
He had 23 positions at the end of the year, including integ rated oil companies, gas drillers and a variety of oil and e nergy-service providers. That was down from a total of 29 in the third quarter.
Moves: Pickens eliminated 11 positions and added five durin g the final quarter of the year. Leaving the portfolio were: Anadarko (APC), Apache (APA), Baker Hughes (BHI), Chevron ( CVX), Encana (ECA), Fluor (FLR), Hess (HES), Massey Energy ( MEE), Quicksilver Resources (KWK), Schlumberger (SLB) and So uthwestern Energy (SWN).
New positions were: A123 Systems (AONE), Dynegy (DYN), EOG Resources (EOG), Gastar Exploration (GST) and National Oilwe ll Varco (NOV).
2012年10月18日 16:47 by yasirvin
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