Holdings Channel
Size ($ in 1000's)
At 12/31/2018: $3,431,625
At 09/30/2018: $4,791,714

Chickasaw Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Chickasaw Capital Management LLC 13F filings. Link to 13F filings: SEC filings

Chickasaw Capital Management LLC Top Holdings
As of  12/31/2018

   EntityAmountChange
 09/30/2018 to 12/31/2018
Position Size
($ in 1000's)
Energy Transfer LP 31,124,150 +11,861,617 $411,150
     ETE31,124,150+11,861,617$411,150
Williams Cos Inc 13,423,434 -495,988 $295,987
     WMB13,423,434-495,988$295,987
Enterprise Products Partners L 11,360,968 -1,913,916 $279,366
     EPD11,360,968-1,913,916$279,366
Targa Resources Corp 6,374,800 -584,997 $229,620
     TRGP6,374,800-584,997$229,620
MPLX LP 6,765,545 +1,057,281 $204,996
     MPLX6,765,545+1,057,281$204,996
Genesis Energy LP 10,903,352 -2,090,624 $201,385
     GEL10,903,352-2,090,624$201,385
Buckeye Partners LP 5,915,360 -1,963,925 $171,486
     BPL5,915,360-1,963,925$171,486
Plains GP Holdings 7,400,736 -121,572 $148,755
     PAGP7,400,736-121,572$148,755
Magellan Midstream Partners LP 2,504,579 -257,719 $142,911
     MMP2,504,579-257,719$142,911
EnLink Midstream LLC 14,633,066 -708,517 $138,868
     ENLC14,633,066-708,517$138,868
Western Gas Equity Partners LP 4,889,176 -231,589 $135,577
     WGP4,889,176-231,589$135,577
Plains All American Pipeline L 6,006,479 -144,955 $120,370
     PAA6,006,479-144,955$120,370
Western Gas Partners LP 2,766,928 -159,673 $116,847
     WES2,766,928-159,673$116,847
SemGroup Corp Cl A 8,162,662 +382,038 $112,481
     SEMG8,162,662+382,038$112,481
Antero Midstream Partners LP 5,224,644 +234,350 $111,755
     AM5,224,644+234,350$111,755
Phillips 66 Partners LP 2,444,238 -731,090 $102,927
     PSXP2,444,238-731,090$102,927
Shell Midstream Partners LP 5,858,829 -945,244 $96,143
     SHLX5,858,829-945,244$96,143
EnLink Midstream Partners LP 8,026,228 +1,164,091 $88,369
     ENLK8,026,228+1,164,091$88,369
BP Midstream Partners LP Ltd P 4,376,240 -517,885 $68,007
     BPMP4,376,240-517,885$68,007
Oneok Inc 718,755 +632,755 $38,777
     OKE718,755+632,755$38,777
EQM Midstream Partners LP 758,424 -188,757 $32,802
     EQM758,424-188,757$32,802
Equitrans Midstream Corp 1,436,680 +1,436,680 $28,762
     ETRN1,436,680+1,436,680$28,762
Kinder Morgan Inc 1,846,140 +1,846,140 $28,394
     KMI1,846,140+1,846,140$28,394
Alps ETF Tr Alerian MLP (AMLP) 2,377,875 +2,358,750 $20,759
     AMLP2,377,875+2,358,750$20,759
Apple Inc 56,517 -54,610 $8,915
     AAPL56,517-54,610$8,915
Maingate MLP Fund Class I      $6,622
     mf1,014,105+92,166$6,622
Visa Inc Cl A 49,532 -1,647 $6,535
     V49,532-1,647$6,535
Medifast Inc 34,048 -900 $4,257
     MED34,048-900$4,257
Wal Mart Stores Inc 42,537 -300 $3,962
     WMT42,537-300$3,962
MasterCard Inc Cl A 20,046 -420 $3,782
     MA20,046-420$3,782
Johnson & Johnson 29,211 -24,300 $3,770
     JNJ29,211-24,300$3,770
Exxon Mobil Corp 55,271 -19,600 $3,769
     XOM55,271-19,600$3,769
Nike Inc Cl B 50,166 -325 $3,719
     NKE50,166-325$3,719
Coca Cola Co 74,288 UNCH $3,518
     KO74,288UNCH$3,518
KKR & Co Inc Cl A 174,370 UNCH $3,423
     KKR174,370UNCH$3,423
Valero Energy Partners LP Unt 75,593 -1,597,775 $3,188
     VLP75,593-1,597,775$3,188
EQGP Holdings LP 159,099 -3,075,150 $3,174
     EQGP159,099-3,075,150$3,174
Brown Forman Corp Cl B      $3,007
     BF.B63,209+600$3,007
Amazon.com Inc 1,898 -13 $2,851
     AMZN1,898-13$2,851
Philip Morris Intl Inc 38,561 -300 $2,574
     PM38,561-300$2,574
Starbucks Corp 35,658 -6,800 $2,296
     SBUX35,658-6,800$2,296
Procter & Gamble Co 24,968 UNCH $2,295
     PG24,968UNCH$2,295
Oracle Corp 46,343 UNCH $2,092
     ORCL46,343UNCH$2,092
Hancock Whitney Corporation 58,703 +58,703 $2,034
     HWC58,703+58,703$2,034
Dominion Energy Inc 28,360 UNCH $2,027
     D28,360UNCH$2,027
Intel Corp 39,490 -7,861 $1,853
     INTC39,490-7,861$1,853
Microsoft Corp 18,215 -200 $1,850
     MSFT18,215-200$1,850
Alphabet Inc Cap Stock Cl C 1,739 -100 $1,801
     GOOG1,739-100$1,801
Walgreens Boots Alliance Inc 25,847 -700 $1,766
     WBA25,847-700$1,766
UBS AG London BRH Etrac Aler M 114,000 +114,000 $1,596
     AMU114,000+114,000$1,596

See Full List: All Stocks Held By Chickasaw Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Chickasaw Capital Management LLC

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