Skip to search.
 TSX Up0.07% TSX Ventures 0.00%

Kinder Morgan Energy Partners, L.P. (KMP)

-NYSE

87.75 Down 0.45(0.51%) May 24, 4:02PM EDT

Add to Portfolio
Major HoldersGet Major Holders for:
Breakdown
% of Shares Held by All Insider and 5% Owners:7%
% of Shares Held by Institutional & Mutual Fund Owners:23%
% of Float Held by Institutional & Mutual Fund Owners:25%
Number of Institutions Holding Shares:615

Major Direct Holders (Forms 3 & 4)
HolderSharesReported
KINDER RICHARD D325,8952013-04-30
WAUGHTAL PERRY M46,9182011-12-20
GARDNER TED A43,4042011-07-19
MCCLAIN RONALD G.9602013-03-14


Top Institutional Holders
HolderShares% OutValue*Reported
Alps Advisers Inc.8,344,4533.23749,081,5452013-03-31
JP Morgan Chase & Company6,063,9912.34544,364,4722013-03-31
Sarofim, Fayez4,660,8691.80418,406,2102013-03-31
Deutsche Bank Aktiengesellschaft3,584,8891.39321,815,4852013-03-31
Tortoise Capital Advisors, LLC3,499,8651.35314,182,8812013-03-31
Bank of America Corporation3,262,1701.26292,845,0002013-03-31
UBS AG2,699,5311.04242,336,8972013-03-31
Morgan Stanley2,517,8520.97226,027,5742013-03-31
ClearBridge Investments, LLC2,454,5760.95220,347,2872013-03-31
Credit Suisse/1,942,4590.75174,374,5442013-03-31

Top Mutual Fund Holders
HolderShares% OutValue*Reported
Alps ETF Tr-Alerian MLP ETF7,647,2942.96667,685,2392013-02-28
ClearBridge Energy MLP Fund Inc.996,5610.3989,461,2802013-03-31
Tortoise MLP & Pipeline Fund751,2070.2965,587,8832013-02-28
Tortoise MLP Fund751,2070.2965,587,8832013-02-28
Kayne Anderson MLP Investment Company728,7110.2863,623,7572013-02-28
Principal Equity Income Fd614,1360.2455,130,9882013-03-31
ClearBridge Energy MLP Total Return Fund Inc.593,1900.2353,250,6662013-03-31
Janus Triton Fund520,2600.2046,703,7402013-03-31
ClearBridge Energy MLP Opportunity Fund Inc.479,1150.1943,010,1532013-03-31
Nuveen Energy MLP Total Return418,6440.1637,581,6712013-03-31

View Transactions for Insiders & Institutional Holders

Value shown is computed using the security's price on the report date given.

Currency in USD.