CHIRON CAPITAL MANAGEMENT, LLC
Holdings as of 2026-06-30, filed 2026-07-21
This is history, not a current position. These holdings describe 2026-06-30, and the report became public 21 days later. The portfolio has changed since.
Aggregates
computed from the positions belowPositions reported
136
Value reported by manager
$111.5M
Sum of our stored positions
$111.5M
should match the line above
Disclosure lag
21 d
quarter end to filing
Top 5 concentration
24.7%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls
Positions
136 largest shown| Issuer | Class | Value | Shares | Type | CUSIP |
|---|---|---|---|---|---|
| BRISTOL-MYERS SQUIBB CO | COM | $11.9M | 206,970 | — | 110122108 |
| NVIDIA CORPORATION | COM | $5.8M | 28,962 | — | 67066G104 |
| MICROSOFT CORP | COM | $4M | 10,671 | — | 594918104 |
| APPLE INC | COM | $3.1M | 10,611 | — | 037833100 |
| ADOBE INC | COM | $2.7M | 13,320 | — | 00724F101 |
| AFLAC INC | COM | $2.7M | 23,258 | — | 001055102 |
| CROWN CASTLE INC | COM | $2.2M | 28,853 | — | 22822V101 |
| ENTERPRISE PRODS PARTNERS L | COM | $2M | 53,931 | — | 293792107 |
| NIKE INC | CL B | $2M | 48,157 | — | 654106103 |
| FIRST TR EXCHANGE-TRADED FD | FT VEST SMID | $1.8M | 79,663 | — | 33738D820 |
| META PLATFORMS INC | CL A | $1.8M | 3,206 | — | 30303M102 |
| FIRST TR EXCHANGE TRAD FD VI | FST TR GLB FD | $1.7M | 63,380 | — | 33739H101 |
| AMAZON COM INC | COM | $1.7M | 7,098 | — | 023135106 |
| UNITEDHEALTH GROUP INC | COM | $1.6M | 3,921 | — | 91324P102 |
| PFIZER INC | COM | $1.6M | 67,214 | — | 717081103 |
| LENNAR CORP | CL A | $1.6M | 17,811 | — | 526057104 |
| BECTON DICKINSON & CO | COM | $1.5M | 10,004 | — | 075887109 |
| DIAGEO PLC | SPON ADR NEW | $1.5M | 18,505 | — | 25243Q205 |
| COMCAST CORP NEW | CL A | $1.4M | 57,965 | — | 20030N101 |
| SAP SE | SPON ADR | $1.4M | 9,107 | — | 803054204 |
| SALESFORCE INC | COM | $1.3M | 8,491 | — | 79466L302 |
| RAYMOND JAMES FINL INC | COM | $1.3M | 8,450 | — | 754730109 |
| KIMBERLY-CLARK CORP | COM | $1.2M | 11,313 | — | 494368103 |
| KRAFT HEINZ CO | COM | $1.2M | 50,213 | — | 500754106 |
| TESLA INC | COM | $1.1M | 2,730 | — | 88160R101 |
| FIRST TR EXCHANGE-TRADED FD | FST LOW OPPT EFT | $1.1M | 22,476 | — | 33739Q200 |
| FIRST TR EXCHANGE-TRADED FD | FIRST TR ENH NEW | $1.1M | 18,634 | — | 33739Q408 |
| FIRST TR EXCHNG TRADED FD VI | SMITH OPPORT FXD | $1.1M | 25,317 | — | 33740F805 |
| FIRST TR EXCHNG TRADED FD VI | SMIT UNCO BD ETF | $1.1M | 43,388 | — | 33740F888 |
| DANAHER CORP DEL | COM | $1.1M | 5,601 | — | 235851102 |
| FIRST TR EXCH TRADED FD III | MANAGD MUN ETF | $1.1M | 20,467 | — | 33739N108 |
| SHERWIN WILLIAMS CO | COM | $1M | 3,018 | — | 824348106 |
| GILEAD SCIENCES INC | COM | $1M | 8,080 | — | 375558103 |
| VANGUARD INDEX FDS | S&P 500 ETF SHS | $995K | 1,449 | — | 922908363 |
| PAYPAL HLDGS INC | COM | $994K | 23,020 | — | 70450Y103 |
| GE HEALTHCARE TECHNOLOGIES I | COMMON STOCK | $934.9K | 14,606 | — | 36266G107 |
| TELADOC HEALTH INC | COM | $930.9K | 109,770 | — | 87918A105 |
| THERMO FISHER SCIENTIFIC INC | COM | $915K | 1,825 | — | 883556102 |
| ATLASSIAN CORPORATION | CL A | $886.9K | 11,401 | — | 049468101 |
| VERIZON COMMUNICATIONS INC | COM | $881.3K | 20,815 | — | 92343V104 |
| MCCORMICK & CO INC | COM NON VTG | $812.1K | 16,107 | — | 579780206 |
| BOSTON SCIENTIFIC CORP | COM | $811K | 19,001 | — | 101137107 |
| FISERV INC | COM | $794.7K | 16,202 | — | 337738108 |
| SERVICENOW INC | COM | $782.7K | 7,884 | — | 81762P102 |
| MEDTRONIC PLC | SHS | $768.3K | 9,821 | — | G5960L103 |
| PEPSICO INC | COM | $755.5K | 5,580 | — | 713448108 |
| GENERAL MILLS INC | COM | $749K | 21,522 | — | 370334104 |
| ENERGY TRANSFER L P | COM UT LTD PTN | $741.8K | 38,795 | — | 29273V100 |
| OTIS WORLDWIDE CORP | COM | $737.6K | 10,302 | — | 68902V107 |
| ALPHABET INC | CAP STK CL A | $727.6K | 2,036 | — | 02079K305 |
| EXXON MOBIL CORP | COM | $649.1K | 4,748 | — | 30231G102 |
| SANOFI SA | SPONSORED ADR | $644.3K | 15,102 | — | 80105N105 |
| LULULEMON ATHLETICA INC | COM | $626.5K | 5,487 | — | 550021109 |
| NOVO-NORDISK A S | ADR | $619.9K | 12,931 | — | 670100205 |
| CONAGRA BRANDS INC | COM | $617.8K | 45,901 | — | 205887102 |
| HOME DEPOT INC | COM | $611.7K | 1,734 | — | 437076102 |
| EXTRA SPACE STORAGE INC | COM | $610.4K | 4,201 | — | 30225T102 |
| ADVANCED MICRO DEVICES INC | COM | $560.6K | 965 | — | 007903107 |
| TOYOTA MOTOR CORP | ADS | $540.6K | 3,210 | — | 892331307 |
| BROADCOM INC | COM | $502K | 1,329 | — | 11135F101 |
| AUTOMATIC DATA PROCESSING IN | COM | $493.1K | 2,202 | — | 053015103 |
| ISHARES BITCOIN TRUST ETF | SHS BEN INT | $487.8K | 14,654 | — | 46438F101 |
| MP MATERIALS CORP | COM CL A | $487.4K | 8,702 | — | 553368101 |
| MONDELEZ INTL INC | CL A | $486.2K | 8,406 | — | 609207105 |
| MCKESSON CORP | COM | $480.6K | 636 | — | 58155Q103 |
| CONSTELLATION BRANDS INC | CL A | $473K | 3,401 | — | 21036P108 |
| ARM HOLDINGS PLC | SPONSORED ADS | $460.9K | 1,300 | — | 042068205 |
| FORD MTR CO | COM | $459.9K | 33,084 | — | 345370860 |
| THE CAMPBELLS COMPANY | COM | $427.6K | 19,201 | — | 134429109 |
| NETSKOPE INC | CL A | $425.6K | 38,903 | — | 64119N608 |
| ZOETIS INC | CL A | $424K | 5,901 | — | 98978V103 |
| MOLSON COORS BEVERAGE CO | CL B | $420.8K | 10,800 | — | 60871R209 |
| BANK OF AMER CORP | COM | $418.9K | 7,352 | — | 060505104 |
| FIDELITY NATL INFORMATION SV | COM | $388.8K | 10,001 | — | 31620M106 |
| BERKSHIRE HATHAWAY INC DEL | CL B NEW | $367.3K | 734 | — | 084670702 |
| JPMORGAN CHASE & CO | COM | $363K | 1,109 | — | 46625H100 |
| APPLIED MATLS INC | COM | $361.5K | 500 | — | 038222105 |
| ELEVANCE HEALTH INC FORMERLY | COM | $348.8K | 902 | — | 036752103 |
| CHARTER COMMUNICATIONS INC | CL A | $342.2K | 2,406 | — | 16119P108 |
| REALTY INCOME CORP | COM | $340.2K | 5,491 | — | 756109104 |
| BIOMARIN PHARMACEUTICAL INC | COM | $334.7K | 5,850 | — | 09061G101 |
| CLOROX CO DEL | COM | $334.1K | 3,501 | — | 189054109 |
| DUKE ENERGY CORP NEW | COM NEW | $331.9K | 2,622 | — | 26441C204 |
| DEFINIUM THERAPEUTICS INC | COM SHS | $329.3K | 7,000 | — | 24477V105 |
| PHILLIPS 66 | COM | $322K | 1,905 | — | 718546104 |
| COPART INC | COM | $318.5K | 11,300 | — | 217204106 |
| CHIPOTLE MEXICAN GRILL INC | COM | $316.7K | 9,315 | — | 169656105 |
| IQVIA HLDGS INC | COM | $309.2K | 1,600 | — | 46266C105 |
| TARGET CORP | COM | $301.8K | 2,311 | — | 87612E106 |
| BOEING CO | COM | $296.8K | 1,371 | — | 097023105 |
| WALMART INC | COM | $290.2K | 2,562 | — | 931142103 |
| COCA COLA CO | COM | $289.2K | 3,559 | — | 191216100 |
| ROBLOX CORP | CL A | $289.1K | 5,316 | — | 771049103 |
| UNILEVER PLC | SPON ADR NEW | $288.1K | 4,792 | — | 904767803 |
| GLOBAL PMTS INC | COM | $283K | 3,900 | — | 37940X102 |
| WORKDAY INC | CL A | $281.6K | 2,300 | — | 98138H101 |
| PROCTER & GAMBLE CO | COM | $280.1K | 1,910 | — | 742718109 |
| HUMANA INC | COM | $278.8K | 702 | — | 444859102 |
| NEBIUS GROUP N.V. | SHS CLASS A | $276.2K | 1,000 | — | N97284108 |
| HUBSPOT INC | COM | $273.8K | 1,500 | — | 443573100 |
| COSTCO WHOLESALE CORPORATION | COM | $271.3K | 290 | — | 22160K105 |
| CVS HEALTH CORP | COM | $266.8K | 2,579 | — | 126650100 |
| ATAIBECKLEY INC | COM SHS | $264.2K | 50,126 | — | 04650F101 |
| NETFLIX INC. | COM | $257.8K | 3,610 | — | 64110L106 |
| PINTEREST INC | CL A | $256.6K | 12,200 | — | 72352L106 |
| BLUE OWL CAPITAL INC | COM CL A | $251.2K | 28,703 | — | 09581B103 |
| GOLDMAN SACHS ETF TR | ACTIVEBETA US LG | $250.4K | 1,765 | — | 381430503 |
| SKYWORKS SOLUTIONS INC | COM | $249.2K | 3,676 | — | 83088M102 |
| DEVON ENERGY CORP NEW | COM | $248.6K | 6,017 | — | 25179M103 |
| FIRST TR EXCHANGE-TRADED FD | FT VEST GOLD | $247.9K | 11,771 | — | 33733E856 |
| CLOUDFLARE INC | CL A COM | $245.3K | 1,000 | — | 18915M107 |
| SPDR SERIES TRUST | ST STR SP BIOT | $244K | 1,542 | — | 78464A870 |
| T-MOBILE US INC | COM | $239.7K | 1,429 | — | 872590104 |
| BAXTER INTL INC | COM | $238.8K | 11,200 | — | 071813109 |
| ORACLE CORP | COM | $236.5K | 1,614 | — | 68389X105 |
| MERCK & CO INC | COM | $234.8K | 1,827 | — | 58933Y105 |
| SPACE EXPLORATION TECHN CORP | CLASS A COM STK | $232.2K | 1,359 | — | 84615Q103 |
| TEXAS INSTRS INC | COM | $231.6K | 777 | — | 882508104 |
| BEST BUY INC | COM | $231.1K | 3,046 | — | 086516101 |
| INVESCO QQQ TR | UNIT SER 1 | $229.2K | 311 | — | 46090E103 |
| TRULIEVE CANNABIS CORP | SUB VTG SHS | $225.7K | 22,965 | — | 89788C104 |
| RTX CORPORATION | COM | $223.7K | 1,179 | — | 75513E101 |
| COMPASS PATHWAYS PLC | SPONSORED ADS | $213.5K | 15,086 | — | 20451W101 |
| AT&T INC | COM | $211.2K | 10,205 | — | 00206R102 |
| SELECT SECTOR SPDR TR | ST STR TECHN ETF | $210.6K | 1,106 | — | 81369Y803 |
| INTUIT | COM | $208.8K | 800 | — | 461202103 |
| TG THERAPEUTICS INC | COM | $208.8K | 3,800 | — | 88322Q108 |
| ZIMMER BIOMET HOLDINGS INC | COM | $206.6K | 2,400 | — | 98956P102 |
| BLACKROCK MUNIYILD QULT FD I | COM | $206.2K | 17,772 | — | 09254F100 |
| FORTINET INC | COM | $200.2K | 1,303 | — | 34959E109 |
| ALERUS FINL CORP | COM | $200K | 6,432 | — | 01446U103 |
| GRAYSCALE ETHEREUM STAKING | SHS NEW | $163.9K | 10,902 | — | 38964R203 |
| FLOWERS FOODS INC | COM | $154.6K | 19,574 | — | 343498101 |
| UNITED STS NAT GAS FD LP | UNIT PAR | $152.4K | 13,003 | — | 912318409 |
| STELLANTIS N.V | SHS | $132.6K | 23,100 | — | N82405106 |
| PRECIGEN INC | COM | $59K | 10,350 | — | 74017N105 |
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.
Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-21