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Chilton Capital Management LLC

All holdings · as of Mar 31, 2026

657 positions

CompanyClassValueShares% of portfolio
NVIDIA Corp$197.90M1,134,7616.9%
MICROSOFT CORP$136.79M369,5384.8%
Apple Inc.$122.57M482,9504.3%
Amazon.com Inc$120.25M577,3584.2%
Alphabet Inc.$119.88M417,9084.2%
Meta Platforms Inc$93.27M163,0183.3%
JPMORGAN CHASE & CO$83.34M283,3102.9%
Broadcom Inc.$82.05M265,1092.9%
ELI LILLY & Co$70.12M76,2312.4%
TJX Cos Inc/The$63.90M400,1062.2%
Ventas, Inc.$63.54M775,3652.2%
GE Vernova Inc.$61.18M70,0842.1%
Quanta Services Inc$58.32M106,2292.0%
Ameren Corp$56.83M516,9732.0%
THERMO FISHER SCIENTIFIC INC.$56.72M115,3972.0%
GILEAD SCIENCES, INC.$55.99M401,7512.0%
ConocoPhillips$49.34M373,8071.7%
TransDigm Group Inc.$49.00M42,2821.7%
Walmart Inc.$47.78M384,4231.7%
Morgan Stanley$46.59M283,0871.6%
COSTCO WHOLESALE CORP /NEW$41.86M42,0131.5%
WASTE MANAGEMENT INC$38.93M169,4221.4%
ASTRAZENECA PLC$38.08M193,0591.3%
LINDE PLC$37.82M76,2961.3%
Equinix Inc$37.48M38,2361.3%
Visa Inc$36.26M119,9761.3%
SLB LIMITED/NV$35.41M689,0061.2%
THE GOLDMAN SACHS GROUP, INC.$33.05M39,0721.2%
Tesla Inc$32.86M88,4011.1%
DOVER Corp$31.83M152,6831.1%
LOWES COMPANIES INC$31.32M132,5621.1%
ADVANCED MICRO DEVICES INC$31.14M153,0611.1%
Prologis Inc$30.65M231,9081.1%
JABIL INC$30.19M113,6571.1%
Alphabet Inc.$29.39M102,2211.0%
ASML HLDG NV$27.80M21,0491.0%
AMERICAN EXPRESS CO$26.67M88,1600.9%
STRYKER CORP$26.64M81,0790.9%
VANGUARD TAX-MANAGED FDS$22.74M354,8340.8%
EXXON MOBIL CORP$20.43M120,4420.7%
STATE STR SPDR S&P 500 ETF T$19.94M30,6650.7%
VANGUARD INTL EQUITY INDEX F$19.24M432,9300.7%
Digital Realty Trust Inc$18.29M101,4850.6%
AMERICAN CENTY ETF TR$18.25M215,1320.6%
ISHARES INC$17.78M254,9720.6%
American Tower Corp$16.61M96,2670.6%
Welltower, Inc.$15.03M76,0360.5%
Healthcare Realty Trust Inc$13.54M796,7270.5%
InvenTrust Properties Corp$13.02M424,4340.5%
BXP, Inc.$13.00M247,5560.5%
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