Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
CHILTON CAPITAL MANAGEMENT LLC 08-13-2019 06-30-2019 191 1,164,911,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
EQUINIX INC COM 1 $39,945,000 79,211 3.43 3.35 -4,265 -5.11
MICROSOFT CORP COM 2 $36,426,000 271,918 3.13 2.84 -109 -0.04
AMAZON COM INC COM 3 $33,406,000 17,641 2.87 2.78 30 0.17
APPLE INC COM 4 $31,205,000 157,665 2.68 2.66 -329 -0.21
SPDR S&P 500 ETF TR TR UNIT 5 $30,280,000 92,431 2.60 2.32 -256 -0.28
SIMON PPTY GROUP INC NEW COM 6 $26,984,000 168,903 2.32 2.76 -2,386 -1.39
ESSEX PPTY TR INC COM 7 $23,094,000 79,109 1.98 2.09 -2,439 -2.99
AVALONBAY CMNTYS INC COM 8 $21,968,000 108,122 1.89 1.97 -2,545 -2.30
JPMORGAN CHASE & CO COM 9 $21,224,000 189,839 1.82 1.70 74 0.04
EQUINIX INC COM PAR $0.001 Liquidated $0 0 2.05 59,951 +Inf
CROWN CASTLE INTL CORP NEW COM 11 $21,059,000 161,555 1.81 1.92 -7,862 -4.64
UNITEDHEALTH GROUP INC COM 12 $20,097,000 82,361 1.73 1.38 19,419 30.85
SEMPRA ENERGY COM 13 $19,764,000 143,798 1.70 1.64 -3,101 -2.11
FACEBOOK INC CL A 14 $19,384,000 100,435 1.66 1.12 24,817 32.82
ALPHABET INC CAP STK CL C 15 $19,343,000 17,895 1.66 1.84 199 1.12
CAMDEN PPTY TR SH BEN INT 16 $18,797,000 180,064 1.61 1.64 -2,969 -1.62
BOSTON PROPERTIES INC COM 17 $18,501,000 143,419 1.59 1.81 -9,506 -6.22
SBA COMMUNICATIONS CORP NEW CL A 18 $18,421,000 81,930 1.58 1.24 11,595 16.49
VISA INC COM CL A 19 $17,067,000 98,339 1.47 1.36 -383 -0.39
DISNEY WALT CO COM DISNEY 20 $16,572,000 118,673 1.42 1.20 -3,893 -3.18
AMERICAN TOWER CORP NEW COM 21 $16,477,000 80,590 1.41 2.03 -35,859 -30.79
WASTE MGMT INC DEL COM 22 $15,968,000 138,404 1.37 1.31 -3,851 -2.71
COSTCO WHSL CORP NEW COM 23 $15,430,000 58,390 1.32 1.28 -1,204 -2.02
VANGUARD INTL EQUITY INDEX F GLB EX US ETF 24 $15,045,000 255,000 1.29 1.34 0 0.00
INVITATION HOMES INC COM 25 $14,773,000 552,664 1.27 1.22 -14,138 -2.49
LIBERTY PPTY TR SH BEN INT 26 $14,500,000 289,763 1.24 1.14 22,822 8.55
EXXON MOBIL CORP COM 27 $14,121,000 184,269 1.21 1.31 787 0.43
KILROY RLTY CORP COM 28 $13,896,000 188,267 1.19 1.28 -2,473 -1.30
THERMO FISHER SCIENTIFIC INC COM 29 $13,834,000 47,106 1.19 1.44 -12,253 -20.64
AMERICAN EXPRESS CO COM 30 $13,751,000 111,401 1.18 1.09 -896 -0.80
DOUGLAS EMMETT INC COM 31 $13,533,000 339,679 1.16 1.05 45,734 15.56
JOHNSON & JOHNSON COM 32 $13,471,000 96,719 1.16 1.18 1,596 1.68
CISCO SYS INC COM 33 $13,384,000 244,550 1.15 1.15 3,433 1.42
SALESFORCE COM INC COM 34 $13,365,000 88,081 1.15 1.23 656 0.75
CITIGROUP INC COM NEW 35 $13,252,000 189,237 1.14 0.44 109,810 138.25
REXFORD INDL RLTY INC COM 36 $13,009,000 322,256 1.12 1.06 -12,174 -3.64
HOST HOTELS & RESORTS INC COM 37 $12,921,000 709,160 1.11 0.92 158,419 28.76
COCA COLA CO COM 38 $12,842,000 252,201 1.10 1.05 -678 -0.27
COMCAST CORP NEW CL A 39 $12,771,000 302,051 1.10 1.05 4,801 1.62
CATERPILLAR INC DEL COM 40 $12,591,000 92,383 1.08 1.09 1,579 1.74
LOWES COS INC COM 41 $12,544,000 124,312 1.08 1.20 828 0.67
PROCTER AND GAMBLE CO COM 42 $12,412,000 113,198 1.07 1.05 -1,063 -0.93
BROADCOM INC COM 43 $12,020,000 41,758 1.03 1.10 523 1.27
MEDTRONIC PLC SHS 44 $11,989,000 123,103 1.03 1.00 -1,493 -1.20
AMERICAN HOMES 4 RENT CL A 45 $11,966,000 492,233 1.03 1.00 -5,470 -1.10
NOVARTIS A G SPONSORED ADR 46 $11,935,000 130,712 1.02 1.13 -1,626 -1.23
ASTRAZENECA PLC SPONSORED ADR 47 $11,816,000 286,237 1.01 0.99 8,278 2.98
EMERSON ELEC CO COM 48 $11,787,000 176,666 1.01 0.93 22,889 14.88
NORTHROP GRUMMAN CORP COM 49 $11,785,000 36,474 1.01 0.85 755 2.11
REGENCY CTRS CORP COM 50 $11,654,000 174,624 1.00 1.13 -13,918 -7.38
HONEYWELL INTL INC COM 51 $11,389,000 65,234 0.98 0.88 2,314 3.68
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