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 million.
He had 23 positions at the end of the year, including integrated oil companies, gas drillers and a variety of oil and energy-service providers. That was down from a total of 29 in the third quarter.
2. 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
million.
He had 23 positions at the end of the year, including
integrated oil companies, gas drillers and a variety of oil
and energy-service providers. That was down from a
total of 29 in the third quarter.
Moves: Pickens eliminated 11 positions and added five
during the final quarter of the year. Leaving the
portfolio were: Anadarko (PAC), Apache (APA), Baker
Hughes (BHI), Chevron (CVX), Encana (ECA), Fluor
(FLR), Hess (HES), Massey Energy (MEE), Quicksilver
Resources (KWK), Schlumberger (SLB) and
Southwestern Energy (SWN).
3. New positions were: A123 Systems (AONE), Dynegy (DYN), EOG
Resources (EOG), Gastar Exploration (GST) and National Oilwell
Varco (NOV).
Pickens decreased his holdings in Devon Energy (DVN), Suncor
(SU) and Clayton Williams (CWEI), while adding to his stakes in BP
(BP), Chesapeake Energy (CHK), Halliburton (HAL), Plains
Exploration (PXP) and QEP Resources (QEP).
Here are Pickens's largest holdings as of Dec. 31, 2010:
• Chesapeake Energy (CHK)
• BP (BP)
• McMoRan Exploration (MMR)
• Weatherford International (WFT)
• Plains Exploration (PXP)
• QEP Resources (QEP)
• EOG Resources (EOG)
• SandRidge Energy (SD)
• Suncor (SU)
• Noble (NE)
*See the full SEC filing for T. Boone Pickens' portfolio.