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Institutional Investment Manager
CHILTON CAPITAL MANAGEMENT LLC
CHILTON CAPITAL MANAGEMENT LLC (CIK: 0001056859) incorporated in Texas, located at 1177 West Loop South, Houston, TX. Institutional holdings reported to the SEC.

Institutional Holdings (2016Q4)
Portfolio Summary: 138 holdings with a total value of $955,503,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 SIMON PROPERTY GROUP 237,217 42,146,000 4.41%
2 LIFE STORAGE INC COM 316,324 26,970,000 2.82%
3 BOSTON PROPERTIES 213,267 26,825,000 2.81%
4 AMERICAN TOWER CORP NEW 206,526 21,826,000 2.28%
5 APPLE INC 184,727 21,395,000 2.24%
6 ESSEX PPTY TR INC 90,157 20,962,000 2.19%
7 AVALONBAY COMM 117,764 20,862,000 2.18%
8 VORNADO RLTY TR 181,664 18,960,000 1.98%
9 SCHLUMBERGER LTD 224,580 18,853,000 1.97%
10 AMAZON COM INC 24,649 18,484,000 1.93%
11 CROWN CASTLE 206,356 17,905,000 1.87%
12 CYRUSONE INC 394,740 17,657,000 1.85%
13 WELLS FARGO & CO NEW 319,104 17,586,000 1.84%
14 GENERAL GROWTH PPTYS INC NEW 703,661 17,577,000 1.84%
15 CAMDEN PROPERTY TRUS 208,276 17,510,000 1.83%
16 HERSHA HOSPITALITY TR 769,602 16,546,000 1.73%
17 GENERAL ELECTRIC CO 522,614 16,515,000 1.73%
18 ALPHABET INC 19,603 15,130,000 1.58%
19 EXXON MOBIL CORP 158,440 14,301,000 1.50%
20 SPDR S&P 500 ETF TR 63,281 14,145,000 1.48%
21 AMERICAN ASSETS TR INC COM 317,870 13,694,000 1.43%
22 STARBUCKS CORP 245,159 13,611,000 1.42%
23 FACEBOOK INC 116,540 13,408,000 1.40%
24 ALEX REAL ESTATE EQ 118,492 13,168,000 1.38%
25 KILROY RLTY CORP COM 178,073 13,039,000 1.36%
26 KITE RLTY GROUP TR COM NEW 554,713 13,025,000 1.36%
27 MICROSOFT CORP 208,970 12,985,000 1.36%
28 COSTCO WHSL CORP NEW 78,471 12,564,000 1.31%
29 EMPIRE STATE 618,850 12,495,000 1.31%
30 EASTGROUP PPTYS INC COM 166,068 12,262,000 1.28%
31 DISNEY WALT CO 114,965 11,982,000 1.25%
32 MONSANTO CO NEW 111,332 11,713,000 1.23%
33 THERMO FISHER SCIENTIFIC INC 81,815 11,544,000 1.21%
34 ARMADA HOFFLER PPTYS INC 779,963 11,364,000 1.19%
35 CARLISLE COS INC 102,445 11,299,000 1.18%
36 WEINGARTEN RLTY INVS 303,400 10,859,000 1.14%
37 SEMPRA ENERGY 107,647 10,834,000 1.13%
38 VISA INC 135,794 10,595,000 1.11%
39 JOHNSON & JOHNSON 91,807 10,577,000 1.11%
40 MARRIOTT INTL 126,217 10,436,000 1.09%
41 VERIZON COMMUNICATIONS INC 194,769 10,397,000 1.09%
42 CELGENE CORP 87,128 10,085,000 1.06%
43 DELPHI AUTOMOTIVE PLC 146,131 9,842,000 1.03%
44 MACERICH CO 136,125 9,643,000 1.01%
45 EXTRA SPACE STORAGE INC 122,508 9,463,000 0.99%
46 TRACTOR SUPPLY CO 123,171 9,338,000 0.98%
47 EQUITY RESIDENT 143,461 9,233,000 0.97%
48 RETAIL OPPORTUNITY INVTS CORP COM 434,415 9,179,000 0.96%
49 AMERICAN EXPRESS CO 122,690 9,089,000 0.95%
50 PFIZER INC 269,828 8,764,000 0.92%
Page 1 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001420506-17-000158, filed 2017.02.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.