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 below
Positions 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
IssuerClassValueSharesTypeCUSIP
BRISTOL-MYERS SQUIBB COCOM$11.9M206,970—110122108
NVIDIA CORPORATIONCOM$5.8M28,962—67066G104
MICROSOFT CORPCOM$4M10,671—594918104
APPLE INCCOM$3.1M10,611—037833100
ADOBE INCCOM$2.7M13,320—00724F101
AFLAC INCCOM$2.7M23,258—001055102
CROWN CASTLE INCCOM$2.2M28,853—22822V101
ENTERPRISE PRODS PARTNERS LCOM$2M53,931—293792107
NIKE INCCL B$2M48,157—654106103
FIRST TR EXCHANGE-TRADED FDFT VEST SMID$1.8M79,663—33738D820
META PLATFORMS INCCL A$1.8M3,206—30303M102
FIRST TR EXCHANGE TRAD FD VIFST TR GLB FD$1.7M63,380—33739H101
AMAZON COM INCCOM$1.7M7,098—023135106
UNITEDHEALTH GROUP INCCOM$1.6M3,921—91324P102
PFIZER INCCOM$1.6M67,214—717081103
LENNAR CORPCL A$1.6M17,811—526057104
BECTON DICKINSON & COCOM$1.5M10,004—075887109
DIAGEO PLCSPON ADR NEW$1.5M18,505—25243Q205
COMCAST CORP NEWCL A$1.4M57,965—20030N101
SAP SESPON ADR$1.4M9,107—803054204
SALESFORCE INCCOM$1.3M8,491—79466L302
RAYMOND JAMES FINL INCCOM$1.3M8,450—754730109
KIMBERLY-CLARK CORPCOM$1.2M11,313—494368103
KRAFT HEINZ COCOM$1.2M50,213—500754106
TESLA INCCOM$1.1M2,730—88160R101
FIRST TR EXCHANGE-TRADED FDFST LOW OPPT EFT$1.1M22,476—33739Q200
FIRST TR EXCHANGE-TRADED FDFIRST TR ENH NEW$1.1M18,634—33739Q408
FIRST TR EXCHNG TRADED FD VISMITH OPPORT FXD$1.1M25,317—33740F805
FIRST TR EXCHNG TRADED FD VISMIT UNCO BD ETF$1.1M43,388—33740F888
DANAHER CORP DELCOM$1.1M5,601—235851102
FIRST TR EXCH TRADED FD IIIMANAGD MUN ETF$1.1M20,467—33739N108
SHERWIN WILLIAMS COCOM$1M3,018—824348106
GILEAD SCIENCES INCCOM$1M8,080—375558103
VANGUARD INDEX FDSS&P 500 ETF SHS$995K1,449—922908363
PAYPAL HLDGS INCCOM$994K23,020—70450Y103
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK$934.9K14,606—36266G107
TELADOC HEALTH INCCOM$930.9K109,770—87918A105
THERMO FISHER SCIENTIFIC INCCOM$915K1,825—883556102
ATLASSIAN CORPORATIONCL A$886.9K11,401—049468101
VERIZON COMMUNICATIONS INCCOM$881.3K20,815—92343V104
MCCORMICK & CO INCCOM NON VTG$812.1K16,107—579780206
BOSTON SCIENTIFIC CORPCOM$811K19,001—101137107
FISERV INCCOM$794.7K16,202—337738108
SERVICENOW INCCOM$782.7K7,884—81762P102
MEDTRONIC PLCSHS$768.3K9,821—G5960L103
PEPSICO INCCOM$755.5K5,580—713448108
GENERAL MILLS INCCOM$749K21,522—370334104
ENERGY TRANSFER L PCOM UT LTD PTN$741.8K38,795—29273V100
OTIS WORLDWIDE CORPCOM$737.6K10,302—68902V107
ALPHABET INCCAP STK CL A$727.6K2,036—02079K305
EXXON MOBIL CORPCOM$649.1K4,748—30231G102
SANOFI SASPONSORED ADR$644.3K15,102—80105N105
LULULEMON ATHLETICA INCCOM$626.5K5,487—550021109
NOVO-NORDISK A SADR$619.9K12,931—670100205
CONAGRA BRANDS INCCOM$617.8K45,901—205887102
HOME DEPOT INCCOM$611.7K1,734—437076102
EXTRA SPACE STORAGE INCCOM$610.4K4,201—30225T102
ADVANCED MICRO DEVICES INCCOM$560.6K965—007903107
TOYOTA MOTOR CORPADS$540.6K3,210—892331307
BROADCOM INCCOM$502K1,329—11135F101
AUTOMATIC DATA PROCESSING INCOM$493.1K2,202—053015103
ISHARES BITCOIN TRUST ETFSHS BEN INT$487.8K14,654—46438F101
MP MATERIALS CORPCOM CL A$487.4K8,702—553368101
MONDELEZ INTL INCCL A$486.2K8,406—609207105
MCKESSON CORPCOM$480.6K636—58155Q103
CONSTELLATION BRANDS INCCL A$473K3,401—21036P108
ARM HOLDINGS PLCSPONSORED ADS$460.9K1,300—042068205
FORD MTR COCOM$459.9K33,084—345370860
THE CAMPBELLS COMPANYCOM$427.6K19,201—134429109
NETSKOPE INCCL A$425.6K38,903—64119N608
ZOETIS INCCL A$424K5,901—98978V103
MOLSON COORS BEVERAGE COCL B$420.8K10,800—60871R209
BANK OF AMER CORPCOM$418.9K7,352—060505104
FIDELITY NATL INFORMATION SVCOM$388.8K10,001—31620M106
BERKSHIRE HATHAWAY INC DELCL B NEW$367.3K734—084670702
JPMORGAN CHASE & COCOM$363K1,109—46625H100
APPLIED MATLS INCCOM$361.5K500—038222105
ELEVANCE HEALTH INC FORMERLYCOM$348.8K902—036752103
CHARTER COMMUNICATIONS INCCL A$342.2K2,406—16119P108
REALTY INCOME CORPCOM$340.2K5,491—756109104
BIOMARIN PHARMACEUTICAL INCCOM$334.7K5,850—09061G101
CLOROX CO DELCOM$334.1K3,501—189054109
DUKE ENERGY CORP NEWCOM NEW$331.9K2,622—26441C204
DEFINIUM THERAPEUTICS INCCOM SHS$329.3K7,000—24477V105
PHILLIPS 66COM$322K1,905—718546104
COPART INCCOM$318.5K11,300—217204106
CHIPOTLE MEXICAN GRILL INCCOM$316.7K9,315—169656105
IQVIA HLDGS INCCOM$309.2K1,600—46266C105
TARGET CORPCOM$301.8K2,311—87612E106
BOEING COCOM$296.8K1,371—097023105
WALMART INCCOM$290.2K2,562—931142103
COCA COLA COCOM$289.2K3,559—191216100
ROBLOX CORPCL A$289.1K5,316—771049103
UNILEVER PLCSPON ADR NEW$288.1K4,792—904767803
GLOBAL PMTS INCCOM$283K3,900—37940X102
WORKDAY INCCL A$281.6K2,300—98138H101
PROCTER & GAMBLE COCOM$280.1K1,910—742718109
HUMANA INCCOM$278.8K702—444859102
NEBIUS GROUP N.V.SHS CLASS A$276.2K1,000—N97284108
HUBSPOT INCCOM$273.8K1,500—443573100
COSTCO WHOLESALE CORPORATIONCOM$271.3K290—22160K105
CVS HEALTH CORPCOM$266.8K2,579—126650100
ATAIBECKLEY INCCOM SHS$264.2K50,126—04650F101
NETFLIX INC.COM$257.8K3,610—64110L106
PINTEREST INCCL A$256.6K12,200—72352L106
BLUE OWL CAPITAL INCCOM CL A$251.2K28,703—09581B103
GOLDMAN SACHS ETF TRACTIVEBETA US LG$250.4K1,765—381430503
SKYWORKS SOLUTIONS INCCOM$249.2K3,676—83088M102
DEVON ENERGY CORP NEWCOM$248.6K6,017—25179M103
FIRST TR EXCHANGE-TRADED FDFT VEST GOLD$247.9K11,771—33733E856
CLOUDFLARE INCCL A COM$245.3K1,000—18915M107
SPDR SERIES TRUSTST STR SP BIOT$244K1,542—78464A870
T-MOBILE US INCCOM$239.7K1,429—872590104
BAXTER INTL INCCOM$238.8K11,200—071813109
ORACLE CORPCOM$236.5K1,614—68389X105
MERCK & CO INCCOM$234.8K1,827—58933Y105
SPACE EXPLORATION TECHN CORPCLASS A COM STK$232.2K1,359—84615Q103
TEXAS INSTRS INCCOM$231.6K777—882508104
BEST BUY INCCOM$231.1K3,046—086516101
INVESCO QQQ TRUNIT SER 1$229.2K311—46090E103
TRULIEVE CANNABIS CORPSUB VTG SHS$225.7K22,965—89788C104
RTX CORPORATIONCOM$223.7K1,179—75513E101
COMPASS PATHWAYS PLCSPONSORED ADS$213.5K15,086—20451W101
AT&T INCCOM$211.2K10,205—00206R102
SELECT SECTOR SPDR TRST STR TECHN ETF$210.6K1,106—81369Y803
INTUITCOM$208.8K800—461202103
TG THERAPEUTICS INCCOM$208.8K3,800—88322Q108
ZIMMER BIOMET HOLDINGS INCCOM$206.6K2,400—98956P102
BLACKROCK MUNIYILD QULT FD ICOM$206.2K17,772—09254F100
FORTINET INCCOM$200.2K1,303—34959E109
ALERUS FINL CORPCOM$200K6,432—01446U103
GRAYSCALE ETHEREUM STAKINGSHS NEW$163.9K10,902—38964R203
FLOWERS FOODS INCCOM$154.6K19,574—343498101
UNITED STS NAT GAS FD LPUNIT PAR$152.4K13,003—912318409
STELLANTIS N.VSHS$132.6K23,100—N82405106
PRECIGEN INCCOM$59K10,350—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

CHIRON CAPITAL MANAGEMENT, LLC — 136 positions reported for 2026Q2 — investment.com