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Latest MILLER HOWARD INVESTMENTS INC /NY Stock Portfolio

$3.05Billion

Equity Portfolio Value
Last Reported on: 12 Apr, 2024

About MILLER HOWARD INVESTMENTS INC /NY and it’s 13F Hedge Fund Stock Holdings

MILLER HOWARD INVESTMENTS INC /NY is a hedge fund based in Kingston, NY. On 30-Jun-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $3.1 Billions. In it's latest 13F Holdings report, MILLER HOWARD INVESTMENTS INC /NY reported an equity portfolio of $2.9 Billions as of 31 Dec, 2023.

The top stock holdings of MILLER HOWARD INVESTMENTS INC /NY are AVGO, MPLX, EPD. The fund has invested 3.1% of it's portfolio in BROADCOM INC COM and 3% of portfolio in MPLX LP COM UNIT REP LTD.

The fund managers got completely rid off CRESTWOOD EQUITY PARTNERS LP U (CEQP), HOLLY ENERGY PARTNERS L P COM (HEP) and GRUPO AEROPORTUARIO DEL CENTRO (OMAB) stocks. They significantly reduced their stock positions in HUNTSMAN CORP COM (HUN), EVERGY INC COM (EVRG) and PORTLAND GEN ELEC CO COM NEW (POR). MILLER HOWARD INVESTMENTS INC /NY opened new stock positions in MEDTRONIC PLC SHS (MDT), HOST HOTELS & RESORTS INC COM (HST) and BANK AMERICA CORP COM (BAC). The fund showed a lot of confidence in some stocks as they added substantially to OGE ENERGY CORP COM (OGE), ONEMAIN HLDGS INC COM (OMF) and PUBLIC SVC ENTERPRISE GRP INC (PEG).

New Buys

Ticker$ Bought
EAST WEST BANCORP INC COM39,347,200
REALTY INCOME CORP COM5,359,150
T-MOBILE US INC COM5,104,630
ATMOS ENERGY CORP COM3,577,620
KINETIK HOLDINGS INC COM NEW C2,927,180
CRACKER BARREL OLD CTRY STORE 2,909,200
PG&E CORP COM657,495
NOMAD FOODS LTD USD ORD SHS525,303

New stocks bought by MILLER HOWARD INVESTMENTS INC /NY

Additions to existing portfolio by MILLER HOWARD INVESTMENTS INC /NY

Reductions

Ticker% Reduced
EOG RES INC COM-97.01
ISHARES TR SELECT DIVID ETF-84.37
SPDR S&P 500 ETF TR TR UNIT-83.86
FORTIS INC COM-77.49
SELECT SECTOR SPDR TR SBI INT--63.29
VISTRA CORP COM-47.85
CARDINAL HEALTH INC COM-47.73
ONEMAIN HLDGS INC COM-47.45

MILLER HOWARD INVESTMENTS INC /NY reduced stake in above stock

Sold off

Ticker$ Sold
KEYCORP COM-7,200,000
SPIRIT RLTY CAP INC NEW COM NE-5,679,700
BCE INC COM NEW-4,755,150
UNUM GROUP COM-1,808,800
CATALYST PHARMACEUTICALS INC-545,300
JPMORGAN CHASE & CO ALERIAN ML-690,967
SELECT SECTOR SPDR TR ENERGY-1,676,040
WAFD INC COM-411,802

MILLER HOWARD INVESTMENTS INC /NY got rid off the above stocks

Current Stock Holdings of MILLER HOWARD INVESTMENTS INC /NY

Last Reported on: 12 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAXJISHARES TR MSCI USA ESG SLC0.000.000.00SOLD OFF-100
AAXJISHARES GLOBAL INFRASTRUCTURE0.000.000.00SOLD OFF-100
ABALLIANCEBERNSTEIN HLDG L P UNI0.23204,0007,086,960UNCHANGED0.00
ABBVABBVIE INC COM2.73456,84983,192,200REDUCED-1.41
AEEAMEREN CORP COM0.1876,3125,644,040REDUCED-3.7
AEPAMERICAN ELEC PWR CO INC COM0.0621,2211,827,130REDUCED-25.84
AESAES CORP COM0.11186,7033,347,590ADDED6.87
AGGISHARES TR SELECT DIVID ETF0.2662,9907,759,110REDUCED-84.37
AGROADECOAGRO S A COM0.0129,041320,032ADDED0.97
AITAPPLIED INDL TECHNOLOGIES INC 0.012,245443,500ADDED0.36
ALSNALLISON TRANSMISSION HLDGS INC0.028,725708,121ADDED0.65
AMANTERO MIDSTREAM CORP COM1.182,565,49036,070,800REDUCED-0.59
AMKRAMKOR TECHNOLOGY INC COM0.0222,371721,241ADDED0.58
AMNAMN HEALTHCARE SERVICES INC0.000.000.00SOLD OFF-100
AMTAMERICAN TOWER CORP NEW COM0.2336,2167,155,840REDUCED-0.23
APLEAPPLE HOSPITALITY REIT INC COM0.22399,8406,549,380ADDED0.03
APOGAPOGEE ENTERPRISES INC COM0.015,891348,747ADDED0.91
ARANTERO RESOURCES CORP COM0.0555,7271,616,080REDUCED-3.79
ASBASSOCIATED BANC CORP COM0.0457,0451,227,040ADDED0.23
ASOACADEMY SPORTS & OUTDOORS INC 0.000.000.00SOLD OFF-100
ATENA10 NETWORKS INC COM0.0131,939437,245ADDED0.64
ATOATMOS ENERGY CORP COM0.1230,0973,577,620NEW
AVGOBROADCOM INC COM2.4656,47874,856,400REDUCED-30.04
BACBANK AMERICA CORP COM1.401,122,34042,559,300REDUCED-1.27
BCCBOISE CASCADE CO DEL COM0.035,768884,638ADDED0.65
BCEBCE INC COM NEW0.000.000.00SOLD OFF-100
BCOBRINKS CO COM0.013,395313,630REDUCED-0.32
BHEBENCHMARK ELECTRS INC COM0.0114,981449,580NEW
BHPBHP GROUP LTD SPONSORED ADS0.23120,0006,922,800UNCHANGED0.00
BKBANK NEW YORK MELLON CORP COM2.101,108,21063,855,200REDUCED-0.43
BKHBLACK HILLS CORP COM0.0212,280670,488REDUCED-26.8
BKRBAKER HUGHES COMPANY CL A0.0654,9471,840,720REDUCED-3.22
BTIBRITISH AMERN TOB PLC SPONSORE0.14135,0004,117,500UNCHANGED0.00
CAGCONAGRA BRANDS INC COM0.23231,9166,873,990REDUCED0.00
CAHCARDINAL HEALTH INC COM0.96262,25729,346,600REDUCED-47.73
CBRLCRACKER BARREL OLD CTRY STORE 0.1040,0002,909,200NEW
CBTCABOT CORP COM0.013,030279,366NEW
CCICROWN CASTLE INC COM0.1645,7554,842,270ADDED0.31
CEGCONSTELLATION ENERGY CORP COM0.2439,1097,229,210REDUCED-20.21
CHRDCHORD ENERGY CORPORATION COM N0.1627,1334,836,190REDUCED-1.54
CMCSACOMCAST CORP NEW CL A2.181,531,33066,383,100REDUCED-1.37
CMECME GROUP INC COM0.023,392730,264UNCHANGED0.00
CMSCMS ENERGY CORP COM1.31660,03139,826,300ADDED19.82
CNPCENTERPOINT ENERGY INC COM0.25268,3227,644,480ADDED15.65
CNQCANADIAN NAT RES LTD COM2.27906,05669,150,200ADDED353
COPCONOCOPHILLIPS COM0.1536,6534,665,190REDUCED-0.77
CPRXCATALYST PHARMACEUTICALS INC0.000.000.00SOLD OFF-100
CPTCAMDEN PPTY TR SH BEN INT0.61188,72918,571,000ADDED16.9
CQPCHENIERE ENERGY PARTNERS LP CO0.1696,6594,774,010ADDED3.68
CRCCALIFORNIA RES CORP COM STOCK0.014,110226,461REDUCED-0.32
CSCOCISCO SYS INC COM2.171,325,43066,152,400ADDED0.12
CSXCSX CORP COM0.22181,4546,726,500REDUCED-0.15
CTRACOTERRA ENERGY INC COM0.0557,9091,614,500ADDED0.23
CTSCTS CORP COM0.015,227244,571REDUCED-0.29
CVXCHEVRON CORP NEW COM0.000.000.00SOLD OFF-100
DDOMINION ENERGY INC COM0.30182,5988,982,000REDUCED-3.27
DINOHF SINCLAIR CORP COM0.1574,3324,487,420ADDED22.65
DTEDTE ENERGY CO COM0.0412,2861,377,750REDUCED-16.4
DTMDT MIDSTREAM INC COMMON STOCK0.35173,22410,584,000ADDED0.02
DUKDUKE ENERGY CORP NEW COM NEW0.0412,9691,254,230REDUCED-27.1
EIXEDISON INTL COM0.0628,0311,982,630REDUCED-28.11
EMEEMCOR GROUP INC COM0.022,110738,922ADDED0.62
ENBENBRIDGE INC COM0.92774,93128,037,000ADDED10.46
ENLCENLINK MIDSTREAM LLC COM UNIT 0.972,160,48029,468,900ADDED3.29
ENSGENSIGN GROUP INC COM0.012,946366,541ADDED0.89
EOGEOG RES INC COM0.0715,9832,043,260REDUCED-97.01
EPDENTERPRISE PRODS PARTNERS L P 3.083,220,82093,983,400ADDED2.2
EQTEQT CORP COM0.0539,0231,446,580ADDED0.24
ESEVERSOURCE ENERGY COM0.0210,592633,084REDUCED-25.72
ETENERGY TRANSFER L P COM UT LTD3.085,969,81093,905,100ADDED2.21
ETDETHAN ALLEN INTERIORS INC COM0.0217,165593,394ADDED0.62
ETRENTERGY CORP NEW COM0.2778,4258,287,910REDUCED-7.81
ETRNEQUITRANS MIDSTREAM CORP COM0.421,035,09012,928,300REDUCED-0.45
EVREVERCORE INC CLASS A0.023,657704,302ADDED0.61
EVRGEVERGY INC COM0.0212,226652,624REDUCED-25.62
EWBCEAST WEST BANCORP INC COM1.29497,37439,347,200NEW
EXCEXELON CORP COM1.931,563,24058,730,900ADDED11.77
FELEFRANKLIN ELEC INC COM0.011,995213,086REDUCED-45.01
FNBF N B CORP COM0.0234,231482,657ADDED0.34
FTSFORTIS INC COM0.0218,743740,536REDUCED-77.49
FULTFULTON FINL CORP PA COM0.0121,605343,303ADDED0.95
GILDGILEAD SCIENCES INC COM1.69704,04751,571,500REDUCED-1.59
GSGOLDMAN SACHS GROUP INC COM2.31168,48670,375,000REDUCED-1.08
HAEHAEMONETICS CORP MASS COM0.014,359372,041NEW
HALHALLIBURTON CO COM0.0860,1892,372,650REDUCED-2.64
HCAHCA HEALTHCARE INC COM0.1916,9925,667,230ADDED1.12
HCKTHACKETT GROUP INC COM0.0110,694259,864ADDED0.64
HESHESS CORP COM0.2039,3876,012,030ADDED0.35
HESMHESS MIDSTREAM LP CL A SHS0.81685,33324,761,100ADDED17.06
HSTHOST HOTELS & RESORTS INC COM1.642,422,96050,106,800ADDED21.36
HTGCHERCULES CAPITAL INC COM0.16270,0004,981,500UNCHANGED0.00
HUNHUNTSMAN CORP COM0.21248,0536,456,820REDUCED-0.01
HWKNHAWKINS INC COM0.029,427723,994ADDED0.69
IDCCINTERDIGITAL INC COM0.024,512480,348REDUCED-0.29
IPGINTERPUBLIC GROUP COS INC COM1.961,828,69059,670,000REDUCED-0.7
JEFJEFFERIES FINL GROUP INC COM2.001,383,12060,995,700REDUCED-1.29
JHGJANUS HENDERSON GROUP PLC ORD 0.0111,646383,037ADDED0.8
JNJJOHNSON & JOHNSON COM2.31444,05470,244,900ADDED5.96
JPMJPMORGAN CHASE & CO COM2.01305,33261,158,000REDUCED-1.43
JPMJPMORGAN CHASE & CO ALERIAN ML0.000.000.00SOLD OFF-100
KBHKB HOME COM0.015,947421,523NEW
KEYKEYCORP COM0.000.000.00SOLD OFF-100
KLICKULICKE & SOFFA INDS INC COM0.0211,961601,758ADDED0.64
KMIKINDER MORGAN INC DEL COM0.661,092,52020,036,700ADDED21.76
KNTKKINETIK HOLDINGS INC COM NEW C0.1073,4182,927,180NEW
KOCOCA COLA CO COM2.341,167,30071,415,300ADDED4.09
LAMRLAMAR ADVERTISING CO NEW CL A1.52387,40246,259,600REDUCED-0.79
LBRTLIBERTY ENERGY INC COM CL A0.08123,1372,551,400REDUCED-47.25
LNGCHENIERE ENERGY INC COM NEW0.74139,45222,490,800REDUCED-20.66
LNTALLIANT ENERGY CORP COM0.0422,4301,130,470REDUCED-28.09
LNTHLANTHEUS HLDGS INC COM0.014,490279,458ADDED0.94
LYBLYONDELLBASELL INDUSTRIES N V 1.66495,24950,654,100REDUCED-0.87
LZBLA Z BOY INC COM0.0111,104417,732REDUCED-0.28
MAAMID-AMER APT CMNTYS INC COM0.85197,47825,984,100ADDED9.89
MAINMAIN STR CAP CORP COM0.1062,0002,933,220UNCHANGED0.00
MATXMATSON INC COM0.012,665299,546ADDED0.87
MDCM D C HLDGS INC COM0.000.000.00SOLD OFF-100
MDTMEDTRONIC PLC SHS1.82636,97455,512,300REDUCED-0.56
MDUMDU RES GROUP INC COM0.0224,382614,426REDUCED-28.15
MEDPMEDPACE HLDGS INC COM0.043,0941,250,440ADDED0.62
MLIMUELLER INDS INC COM0.017,037379,505ADDED0.64
MOALTRIA GROUP INC COM0.26180,0007,851,600UNCHANGED0.00
MOVMOVADO GROUP INC COM0.0112,064336,948ADDED0.32
MPCMARATHON PETE CORP COM0.3654,57010,995,800REDUCED-12.22
MPLXMPLX LP COM UNIT REP LTD3.252,385,73099,151,000ADDED0.96
MRKMERCK & CO INC COM1.69391,14851,612,000REDUCED-1.59
MSMMSC INDL DIRECT INC CL A0.85265,63525,777,200REDUCED-1.29
MTNVAIL RESORTS INC COM0.1825,0005,570,750UNCHANGED0.00
NEENEXTERA ENERGY INC COM0.2094,2096,020,880ADDED12.6
NEPNEXTERA ENERGY PARTNERS LP COM0.0657,5201,730,210REDUCED-4.6
NGGNATIONAL GRID PLC SPONSORED AD0.2089,5906,111,820REDUCED-4.27
NINISOURCE INC COM0.29316,6348,758,100REDUCED-7.98
NMRKNEWMARK GROUP INC CL A0.0134,268380,032ADDED0.73
NOMDNOMAD FOODS LTD USD ORD SHS0.0226,856525,303NEW
NSNUSTAR ENERGY LP UNIT COM0.63829,46919,301,700REDUCED-3.42
NTRNUTRIEN LTD COM1.11622,19333,791,300ADDED16.48
NWNNORTHWEST NAT HLDG CO COM0.000.000.00SOLD OFF-100
NXQUANEX BLDG PRODS CORP COM0.018,418323,504ADDED0.8
OREALTY INCOME CORP COM0.1899,0605,359,150NEW
OECORION S.A. COM0.0110,412244,890ADDED0.68
OGEOGE ENERGY CORP COM1.00892,71230,620,000ADDED16.08
OGSONE GAS INC COM0.0313,922898,387REDUCED-22.04
OKEONEOK INC NEW COM0.90340,42127,291,600ADDED11.81
OMCOMNICOM GROUP INC COM0.025,667548,339ADDED1.03
OMFONEMAIN HLDGS INC COM0.0955,3272,826,660REDUCED-47.45
ORIOLD REP INTL CORP COM2.412,387,01073,328,900REDUCED-1.43
OVVOVINTIV INC COM0.0529,0921,509,880ADDED3.36
OXMOXFORD INDS INC COM0.000.000.00SOLD OFF-100
OXYOCCIDENTAL PETE CORP COM0.2198,0136,369,860ADDED3.84
PAAPLAINS ALL AMERN PIPELINE L P 1.442,499,92043,898,700ADDED4.16
PAGPPLAINS GP HLDGS L P LTD PARTNR1.171,954,42035,668,300REDUCED-1.41
PAYXPAYCHEX INC COM2.33578,80371,077,000ADDED32.91
PBAPEMBINA PIPELINE CORP COM0.42358,25412,660,700REDUCED-0.53
PBHPRESTIGE CONSMR HEALTHCARE INC0.027,597551,238ADDED0.62
PBRPETROLEO BRASILEIRO SA PETROBR0.14275,0004,182,750ADDED10.00
PCGPG&E CORP COM0.0239,230657,495NEW
PDCOPATTERSON COS INC COM0.0219,103528,198ADDED83.22
PEGPUBLIC SVC ENTERPRISE GRP INC 0.1881,4355,438,220ADDED4.7
PFBCPREFERRED BK LOS ANGELES CA CO0.013,941302,551ADDED0.64
PFEPFIZER INC COM0.0218,385510,184ADDED6.57
PORPORTLAND GEN ELEC CO COM NEW0.21150,2026,308,480REDUCED-15.34
PPLPPL CORP COM0.26281,8507,759,340REDUCED-7.59
PSXPHILLIPS 66 COM1.65307,27850,190,800REDUCED-5.01
PXDPIONEER NAT RES CO COM0.1517,3144,544,920REDUCED-1.54
RDNRADIAN GROUP INC COM0.0113,607455,426ADDED0.33
ROICRETAIL OPPORTUNITY INVTS CORP 0.0121,947281,361ADDED0.63
RRCRANGE RES CORP COM0.11100,9073,474,230ADDED137
RYROYAL BK CDA COM1.70512,18451,669,100ADDED7.06
SBRASABRA HEALTH CARE REIT INC COM0.11225,0003,323,250UNCHANGED0.00
SHELSHELL PLC SPON ADS0.1880,0005,363,200UNCHANGED0.00
SIGSIGNET JEWELERS LIMITED SHS0.014,080408,286ADDED1.22
SLBSCHLUMBERGER LTD COM STK0.0632,2731,768,880REDUCED-3.26
SLPSIMULATIONS PLUS INC COM0.016,895283,729ADDED0.29
SMSM ENERGY CO COM0.1488,1184,392,680ADDED1.15
SMPSTANDARD MTR PRODS INC COM0.018,995301,782NEW
SOSOUTHERN CO COM0.0627,5031,973,060REDUCED-28.5
SONSONOCO PRODS CO COM0.029,225533,574ADDED0.99
SPYSPDR S&P 500 ETF TR TR UNIT0.01504263,495REDUCED-83.86
SRCSPIRIT RLTY CAP INC NEW COM NE0.000.000.00SOLD OFF-100
SRESEMPRA COM0.25104,6797,519,120REDUCED-20.49
STAGSTAG INDL INC COM0.81646,24324,841,600REDUCED-0.87
STBAS & T BANCORP INC COM0.018,863284,325ADDED0.62
SUSUNCOR ENERGY INC NEW COM0.31258,8549,554,300ADDED0.82
SUNSUNOCO LP/SUNOCO FIN CORP COM 0.86437,17126,357,000ADDED4.23
TGNATEGNA INC COM0.0241,305617,097ADDED46.98
TMUST-MOBILE US INC COM0.1731,2755,104,630NEW
TRGPTARGA RES CORP COM1.11301,18233,729,400REDUCED-10.56
TRPTC ENERGY CORP COM0.69525,20321,113,200ADDED0.34
TTETOTALENERGIES SE SPONSORED ADS1.90841,66557,931,800REDUCED-1.2
TXNTEXAS INSTRS INC COM2.29400,91569,843,500REDUCED-0.03
UNMUNUM GROUP COM0.000.000.00SOLD OFF-100
UNPUNION PAC CORP COM0.1923,2535,718,530ADDED0.18
UPSUNITED PARCEL SERVICE INC CL B0.91187,51027,869,600ADDED5.09
VALEVALE S A SPONSORED ADS0.11275,0003,352,250UNCHANGED0.00
VLOVALERO ENERGY CORP COM0.0916,3552,791,640REDUCED-2.64
VNTVONTIER CORPORATION COM0.0210,975497,826ADDED0.54
VSTVISTRA CORP COM0.0834,3872,395,060REDUCED-47.85
WAFDWAFD INC COM0.000.000.00SOLD OFF-100
WECWEC ENERGY GROUP INC COM0.0413,8921,140,810REDUCED-27.58
WESWESTERN MIDSTREAM PARTNERS LP 1.661,418,70050,434,900ADDED3.21
WINAWINMARK CORP COM0.011,024370,381REDUCED-0.29
WMWASTE MGMT INC DEL COM0.2941,2698,796,390REDUCED-7.85
WMBWILLIAMS COS INC COM0.98766,33529,864,100ADDED0.67
XLBSELECT SECTOR SPDR TR SBI INT-0.0418,8781,239,320REDUCED-63.29
XLBSELECT SECTOR SPDR TR ENERGY0.000.000.00SOLD OFF-100
ARES CAPITAL CORP COM0.10150,0003,123,000UNCHANGED0.00