Universe · entity

CHICKASAW CAPITAL MANAGEMENT LLC

Institutional manager (13F) · CIK 1276460
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $3M
#IssuerValueShares
1Targa Resources Corp$442k1,764,758
2Energy Transfer LP$299k15,494,678
3MPLX LP$298k5,222,687
4Western Midstream Partners LP$230k5,577,025
5Williams Cos Inc$219k3,005,588
6ONEOK Inc$212k2,347,628
7Plains GP Holdings$211k8,675,146
8Cheniere Energy Inc$207k730,598
9Enterprise Products Partners L$182k4,798,337
10Plains All American Pipeline L$59k2,653,685
11Dt Midstream Inc Common Stock$53k391,282
12Phillips 66$49k270,230
13Genesis Energy LP$48k2,670,272
14Apple Inc$32k126,751
15Antero Midstream Corp$31k1,347,581
16Kinetik Holdings Inc Cl A$29k590,347
17Kinder Morgan Inc$27k797,163
18Maingate MLP Fund Class I$15k1,237,413
19Sunoco LP$13k203,093
20Wal Mart Stores Inc$11k90,120
21NVIDIA Corp$11k63,878
22Microsoft Corp$10k28,190
23Enbridge Inc$10k176,334
24KKR & Co Inc Cl A$9k100,304
25Visa Inc Cl A$9k28,496
26Alphabet Inc Cap Stock Cl A$8k26,284
27Oakworth Cap Inc$7k197,699
28Amazon.com Inc$7k32,671
29AutoZone Inc$7k1,966
30MasterCard Inc Cl A$6k12,113
31Johnson & Johnson$5k20,068
32Alphabet Inc Cap Stock Cl C$5k16,784
33Meta Platforms Inc Cl A$4k7,654
34USA Compression Partners LP$4k139,000
35Oracle Corp$3k23,399
36Coca-Cola Co$3k40,392
37Atlanta Braves Hldgs Inc Com S$3k62,709
38UnitedHealth Group Inc$3k9,884
39Exxon Mobil Corp$3k14,792
40Uber Technologies Inc$3k34,841
41Philip Morris Intl Inc$2k14,175
42GE AEROSPACE COM NEW$2k8,085
43SPDR S&P 500 ETF TR$2k3,506
44Hancock Whitney Corporation$2k33,020
45HCA Inc$2k4,436
46GE Vernova Inc$2k2,260
47Blackstone Group Inc Cl A$2k16,750
48Samsung Electronic KRW$2k15,000
49Starbucks Corp$2k18,137
50Chevron Corp$2k7,430
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.