CHIRON CAPITAL MANAGEMENT, LLC 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
CC
CHIRON CAPITAL MANAGEMENT, LLC
Institutional Filer 16.46%$97.5M117

Current Portfolio Holdings

Showing all 117 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1BMYBristol-Myers Squibb CompanyHealthcare191K$11.6M11.89%
2NVDANVIDIA CorporationTechnology25K$4.4M4.56%
3MSFTMicrosoft CorporationTechnology11K$4.1M4.18%
4ADBEAdobe Inc.Technology13K$3.1M3.15%
5AAPLApple Inc.Technology10K$2.7M2.73%
6AFLAflac IncorporatedFinancial Services23K$2.6M2.62%
7CCICrown Castle Inc.Real Estate30K$2.4M2.47%
8EPDEnterprise Products Partners L.P.Energy55K$2.1M2.12%
9NKENIKE, Inc.Consumer Cyclical38K$2.0M2.06%
10FTGCFIRST TR EXCHANGE TRAD FD VI67K$1.9M1.98%
11SDVDFIRST TR EXCH TRADED FD III82K$1.8M1.83%
12PFEPfizer Inc.Healthcare59K$1.7M1.70%
13VZVerizon Communications Inc.Communication Services31K$1.6M1.60%
14METAMeta Platforms, Inc.Technology3K$1.6M1.60%
15AMZNAmazon.com, Inc.Consumer Cyclical7K$1.6M1.59%
Showing 1 to 15 of 117 holdings
CHIRON CAPITAL MANAGEMENT, LLC 13F Portfolio Holdings & Trades (Q1 2026) | VCP Scanner