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Institutional Investment Manager
CHILTON INVESTMENT CO INC.
CHILTON INVESTMENT CO INC. (CIK: 0001332632), located at 1290 East Main Street, Stamford, CT. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q1)
Original 13F HR (0000950103-15-003948) filed in 2015.05.15
#
Name
Shares
Value ($)
%
Options
Notes
101 SPDR SERIES TRUST 94,417 4,878 0.17%
102 ALLEGION PUB LTD CO 80,018 4,895 0.17%
103 PARSLEY ENERGY CLA A 313,145 5,004 0.18%
104 RPM INTL INC 111,013 5,328 0.19%
105 AUTONATION INC 89,732 5,772 0.21%
106 EQT CORP 72,120 5,977 0.21%
107 AIRGAS INC 59,927 6,359 0.23%
108 MONSANTO CO NEW 56,599 6,370 0.23%
109 HALLIBURTON CO 167,184 7,336 0.26%
110 RSP PERMIAN INC COM 301,834 7,603 0.27%
111 WHITING PETE CORP NEW 256,545 7,927 0.28%
112 GARTNER INC 94,895 7,957 0.28%
113 EAGLE MATERIALS INC 95,490 7,979 0.28%
114 GULFPORT ENERGY CORP 180,187 8,272 0.29%
115 TORO CO 124,632 8,739 0.31%
116 PDC ENERGY INC 167,335 9,043 0.32%
117 MCDONALDS CORP 93,872 9,147 0.33%
118 SELECT SECTOR SPDR TR 129,352 10,035 0.36%
119 FLUOR CORP NEW 185,865 10,624 0.38%
120 DIAMONDBACK ENERGY INC 138,964 10,678 0.38%
121 MOSAIC CO NEW 267,328 12,313 0.44%
122 CABOT OIL & GAS CORP 417,169 12,319 0.44%
123 UNITED PARCEL SERVICE INC 131,079 12,707 0.45%
124 RANGE RES CORP 254,382 13,238 0.47%
125 BERKLEY W R CORP 263,796 13,324 0.47%
126 APACHE CORP 237,906 14,353 0.51%
127 O REILLY AUTOMOTIVE INC NEW 68,020 14,709 0.52%
128 COCA COLA CO 363,069 14,722 0.52%
129 CONTINENTAL RESOURE 344,496 15,044 0.54%
130 CONCHO RESOURCES 137,521 15,941 0.57%
131 COLGATE PALMOLIVE CO 244,473 16,952 0.60%
132 WAL-MART STORES INC 219,185 18,028 0.64%
133 SOUTHERN COPPER CORP 624,646 18,227 0.65%
134 SCHLUMBERGER LTD 261,868 21,850 0.78%
135 CHEVRON CORP NEW 210,803 22,130 0.79%
136 BRISTOL MYERS SQUIBB CO 350,308 22,595 0.80%
137 ANHEUSER BUSCH INBEV SA/NV 197,898 24,126 0.86%
138 PIONEER NAT RES CO 151,124 24,710 0.88%
139 EOG RES INC 273,983 25,122 0.89%
140 SUMMIT MATLS INC CL A 1,201,038 26,603 0.95%
141 IDEXX LAB 177,220 27,377 0.97%
142 INTUIT 304,237 29,499 1.05%
143 MARTIN MARIETTA MATLS INC 214,588 29,999 1.07%
144 FLEETCOR TECHNOLOGIES INC 199,529 30,113 1.07%
145 TIFFANY & CO NEW 353,255 31,090 1.11%
146 BLOOMIN BRANDS INC 1,424,395 34,656 1.23%
147 MASTERCARD INCORPORATED 427,999 36,975 1.32%
148 LIBERTY GLOBAL PLC 790,596 40,692 1.45%
149 BUFFALO WILD WINGS INC 226,303 41,015 1.46%
150 KANSAS CITY SOUTHERN 487,607 49,775 1.77%
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