CHICKASAW CAPITAL MANAGEMENT LLC - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on January 12, 2026, for the 2025 Q4 period, CHICKASAW CAPITAL MANAGEMENT LLC held in its portfolio 93 assets valued at $2,426,615 (i.e. $2.43M).

The most valuable assets in the portfolio included: Targa Resources Corp ($338.40K), MPLX LP ($289.79K), and Energy Transfer LP ($255.54K).

The chart below shows the top 10 valuable assets, and the table below shows the top 93 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CHICKASAW CAPITAL MANAGEMENT LLC Portfolio
Targa Resources Corp
MPLX LP
Energy Transfer LP
Western Midstream Partners LP
ONEOK Inc
Williams Cos Inc
Plains GP Holdings
Enterprise Products Partners L
Cheniere Energy Inc
Plains All American Pipeline L
CHICKASAW CAPITAL MANAGEMENT LLC - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
Targa Resources Corp 1834117 338395 cs
MPLX LP 5429906 289794 ml
Energy Transfer LP 15496547 255538 ml
Western Midstream Partners LP 5655505 223392 ml
ONEOK Inc 2709534 199151 cs
Williams Cos Inc 3051969 183454 cs
Plains GP Holdings 8819184 168799 ml
Enterprise Products Partners L 4805291 154058 ml
Cheniere Energy Inc 720125 139985 cs
Plains All American Pipeline L 2721420 48877 ml
Genesis Energy LP 2799160 43667 ml
Kinetik Holdings Inc Cl A 1137460 41005 cs
Apple Inc 127794 34742 cs
Dt Midstream Inc Common Stock 279940 33503 cs
Antero Midstream Corp 1409183 25069 cs
Kinder Morgan Inc 792141 21776 cs
Phillips 66 143779 18553 cs
Microsoft Corp 28142 13610 cs
KKR & Co Inc Cl A 100873 12859 cs
Maingate MLP Fund Class I 1230898 12309 mf
NVIDIA Corp 64120 11958 cs
Sunoco LP 227298 11913 ml
Wal Mart Stores Inc 91550 10200 cs
Visa Inc Cl A 28954 10154 cs
Enbridge Inc 177280 8479 cs
Alphabet Inc Cap Stock Cl A 26262 8220 cs
Oakworth Cap Inc 197699 7611 cs
Amazon.com Inc 32637 7533 cs
MasterCard Inc Cl A 12129 6924 cs
AutoZone Inc 1972 6688 cs
Alphabet Inc Cap Stock Cl C 17011 5338 cs
Meta Platforms Inc Cl A 7600 5017 cs
Oracle Corp 23173 4517 cs
Hess Midstream LP Cl A 124544 4297 ml
Johnson & Johnson 17553 3633 cs
UnitedHealth Group Inc 9842 3249 cs
Uber Technologies Inc 36163 2955 cs
Coca-Cola Co 40532 2834 cs
Atlanta Braves Hldgs Inc Com S 62744 2666 cs
GE AEROSPACE COM NEW 8615 2654 cs
Blackstone Group Inc Cl A 16747 2581 cs
SPDR S&P 500 ETF TR 3693 2518 ui
Philip Morris Intl Inc 14175 2274 cs
HCA Inc 4596 2146 cs
Hancock Whitney Corporation 33020 2103 cs
Exxon Mobil Corp 14792 1780 cs
GE Vernova Inc 2403 1571 cs
Starbucks Corp 18191 1532 cs
Procter & Gamble Co 9683 1388 cs
Samsung Electronic KRW 15000 1248 fs
Chevron Corp 7515 1145 cs
Sherwin Williams Co 3317 1075 cs
Banco Bilbao Vizcaya Argentari 45536 1061 ad
Intel Corp 28205 1041 cs
Pembina Pipeline Corp 24000 913 cs
Caterpillar Inc 1500 859 cs
Lululemon Athletica Inc 3768 783 cs
Origin Bancorp Inc 20110 756 cs
Costco Wholesale Corp 846 730 cs
On Holding AG Namen AKT A 15130 703 cs
Cheniere Energy Partners LP 12613 675 ml
PepsiCo Inc 4639 666 cs
Colgate Palmolive Co 8328 658 cs
Dominion Energy Inc 10872 637 cs
MGIC Inv Corp WI 21500 628 cs
Target Corp 5600 547 cs
JPMorgan Chase & Co 1566 505 cs
Comstock Resources Inc 21710 503 cs
TC Energy Corp 8602 473 cs
HF Sinclair Corporation Com 10000 461 cs
Alps Etf Tr Alerian Mlp 9550 449 ui
Boeing Co 2052 446 cs
Nestle SA Nom 4250 423 cs
Bank of America Corporation 7500 412 cs
Rentokil Initial GBP 64350 387 fs
EQT Corp 7000 375 cs
Home Depot Inc 1071 369 cs
Apollo Global Mgmt Inc 2543 368 cs
Cadence Bank Com 8500 364 cs
Expand Energy Corp 3034 335 cs
Antero Resources Corp 9500 327 cs
Marathon Petroleum Corp 2000 325 cs
First Horizon Natl Corp 12319 294 cs
Mid-America Apt Communities In 2000 278 re
American Express Co 694 257 cs
SLM Corp 9500 257 cs
Coinbase Global Inc Cl A 1125 254 cs
International Business Machine 850 252 cs
Merck & Co Inc 2363 249 cs
Southern Co 2600 227 cs
GE Healthcare Technologies Inc 2649 217 cs
Nike Inc Cl B 3290 210 cs
Washington Mutual Invs Fund In 3098 202 mf