Novare Capital Management as of March 31, 2012
Portfolio Holdings for Novare Capital Management
Novare Capital Management holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing
{C} {C}
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF CLASS CUSIP (x$1000) PRN AMT PRN CALL DISCRETION MANAGERS SOLE SHARED
OTHER
American Express CompanyCOM 025816109 3322 57415 SH SOLE N/A 57415
Amern Shared Hosp Svcs COM 029595105 104 30000 SH SOLE N/A 30000
Amerigas Propane COM 030975106 1694 41800 SH SOLE N/A 41800
Apple Computer Inc COM 037833100 430 717 SH SOLE N/A 717
Atmos Energy Corp COM 049560105 921 29285 SH SOLE N/A 29285
Auto Data Processing COM 053015103 3437 62275 SH SOLE N/A 62275
Autozone Inc COM 053332102 2637 7093 SH SOLE N/A 7093
BB^T Corporation COM 054937107 808 25729 SH SOLE N/A 25729
Bank of America COM 060505104 330 34478 SH SOLE N/A 34478
Becton Dickinson & Co COM 075887109 2729 35142 SH SOLE N/A 35142
Berkshire Hathaway Cl A CL A 084670108 1463 12 SH SOLE N/A 12
Berkshire Hathaway Cl B CL B NEW 084670702 3258 40145 SH SOLE N/A 40145
Buckeye Partners Uts L PUNIT LTD PARTN 118230101 532 8688 SH SOLE N/A 8688
Cousins Properties COM 126650100 300 39596 SH SOLE N/A 39596
C V S Corporation COM 126650100 4741 105829 SH SOLE N/A 105829
Celgene Corp COM 151020104 853 11000 SH SOLE N/A 11000
Chevron Corp COM 166764100 4086 38116 SH SOLE N/A 38116
Chubb COM 171232101 3210 46442 SH SOLE N/A 46442
Coca Cola COM 191216100 1039 14037 SH SOLE N/A 14037
Columbia Banking SystemsCOM 197236102 410 18000 SH SOLE N/A 18000
Deere & Co COM 244199105 3801 46980 SH SOLE N/A 46980
Disney Walt Hldg Co COM DISNEY 254687106 2639 60286 SH SOLE N/A 60286
Du Pont E I De Nemour^CoCOM 263534109 1947 36800 SH SOLE N/A 36800
EMC Corporation COM 268664109 3605 120654 SH SOLE N/A 120654
Emerson Electric Co. COM 291011104 3575 68505 SH SOLE N/A 68505
Enterprise Prd Prtnrs LpCOM 293792107 13203 261605 SH SOLE N/A 261605
Ferrellgas Partners UNIT LTD PART 315293100 2157 143032 SH SOLE N/A 143032
Fifth Third Bancorp COM 316773100 2738 194980 SH SOLE N/A 194980
Fiserv Inc COM 337738108 2639 38025 SH SOLE N/A 38025
Fluor Corporation COM 343412102 2491 41493 SH SOLE N/A 41493
General Electric COM 369604103 413 20575 SH SOLE N/A 20575
Halliburton Company COM 406216101 2938 88511 SH SOLE N/A 88511
Home Depot COM 437076102 501 9949 SH SOLE N/A 9949
Honeywell COM 438516106 3642 59664 SH SOLE N/A 59664
Intl Business Machine COM 459200101 302 1447 SH SOLE N/A 1447
Intel Corporation COM 461202103 306 10870 SH SOLE N/A 10870
Intuit Inc COM 461202103 3490 58005 SH SOLE N/A 58005
Ishare S^P 500 UNIT SER 1 464287200 1523 10785 SH SOLE N/A 10785
Ishares Emerging Mkt. MCSI EMERG MKT 464287234 737 17171 SH SOLE N/A 17171
Ishares Latin Amer. S^P LTN AM 40 464287390 1844 38723 SH SOLE N/A 38723
S^P MidCap 400 I-S S^P MIDCAP 400 464287507 3066 30898 SH SOLE N/A 30898
S^P Small Cap 600 S^P SMLCAP 600 464287804 467 6115 SH SOLE N/A 6115
Ishares All Country AsiaMSCI ACJPN IDX 464288182 350 6205 SH SOLE N/A 6205
Ishares Intermediate CorLEHMAN INTER C 464288638 482 4425 SH SOLE N/A 4425
Ishares Barclay's Short BARCLYS 1-3YR C464288646 8731 83085 SH SOLE N/A 83085
Johnson & Johnson COM 478160104 3153 47807 SH SOLE N/A 47807
Kimberly Clark COM 494368103 821 11105 SH SOLE N/A 11105
Kinder Morgan Energy Lp UNIT LTD PART 494550106 1672 20210 SH SOLE N/A 20210
Magellan Midstream PartnCOM UNIT RP LP 559080106 5210 72025 SH SOLE N/A 72025
Marathon Oil Group COM 565849106 2203 69495 SH SOLE N/A 69495
McDonald's Corporation COM 580135101 213 2173 SH SOLE N/A 2173
McGraw-Hill Cos COM 580645109 261 5395 SH SOLE N/A 5395
Microsoft Corp COM 594918104 3929 121795 SH SOLE N/A 121795
Mylan Labs. COM 628530107 3916 166973 SH SOLE N/A 166973
National Oilwell Varco COM 637071101 1851 23295 SH SOLE N/A 23295
PAA Natural Gas Storage COM UNIT LTD 693139107 1895 99729 SH SOLE N/A 99729
PPG Industries Inc COM 693506107 3451 36025 SH SOLE N/A 36025
Pepsico Inc. COM 713448108 3688 55585 SH SOLE N/A 55585
Philip Morris Intl Inc COM 718172109 359 4057 SH SOLE N/A 4057
Plains All Amern Ppln LpUNIT LTD PARTN 726503103 6458 82324 SH SOLE N/A 82324
Plum Creek Timber COM 729251108 1743 41945 SH SOLE N/A 41945
Procter & Gamble Co COM 742718109 2790 41512 SH SOLE N/A 41512
Qualcomm Inc COM 747525103 5837 85760 SH SOLE N/A 85760
Realty Income COM 756109104 3061 79025 SH SOLE N/A 79025
Royal Bk Cda Montreal COM 780087102 310 5343 SH SOLE N/A 5343
Schlumberger COM 806857108 393 5616 SH SOLE N/A 5616
Stanley Black & Decker COM 854502101 2441 31720 SH SOLE N/A 31720
Starbucks Corp COM 855244109 374 6700 SH SOLE N/A 6700
Suburban Propane UNIT LTD PART 864482104 2916 67819 SH SOLE N/A 67819
Templeton Global Incm FdCOM 880198106 4469 463150 SH SOLE N/A 463150
Thermo Fisher ScientificCOM 883556102 451 8000 SH SOLE N/A 8000
Tupperware Corporation COM 899896104 2501 39385 SH SOLE N/A 39385
Vanguard High Dividend FHIGH DIV YLD 921946406 283 5835 SH SOLE N/A 5835
Vanguard Emerging MarketEMR MKT ETF 922042858 1694 38975 SH SOLE N/A 38975
Wal-Mart Stores Inc. COM 931142103 390 6375 SH SOLE N/A 6375
Wells Fargo & Company COM 949746101 303 8889 SH SOLE N/A 8889
Target Corporation COM 87612E106 1754 30094 SH SOLE N/A 30094
Comcast Corp New Cl A CL A 20030N101 1889 62955 SH SOLE N/A 62955
Compass Minerals Intl COM 20451N101 332 4625 SH SOLE N/A 4625
Conocophillips COM 20825C104 4727 62192 SH SOLE N/A 62192
Dominion Resources Inc. COM 25746U109 347 6770 SH SOLE N/A 6770
Duke COM 26441C105 310 14766 SH SOLE N/A 14766
El Paso Pipeline PartnerCOM 28336L109 1359 38950 SH SOLE N/A 38950
Enbridge Energy COM 29250R106 4924 159004 SH SOLE N/A 159004
Energy Transfer PartnersUNIT LTD PARTN 29273R109 4778 101850 SH SOLE N/A 101850
Energy Transfer Equity COM UT LTD PTN 29273V100 1153 28600 SH SOLE N/A 28600
Entergy Corp. COM 29364G103 411 6120 SH SOLE N/A 6120
Exxon-Mobil COM 30231G102 1365 15740 SH SOLE N/A 15740
Global Payments Inc COM 37940X102 3822 80465 SH SOLE N/A 80465
Google Inc Class A CL A 38259P508 1667 2600 SH SOLE N/A 2600
Hess Corporation COM 42809H107 791 13415 SH SOLE N/A 13415
MLP Index ETN- J.P. MorgALERIAN ML ETN 46625H365 3536 90344 SH SOLE N/A 90344
Kinder Morgan Mgmt Llc SHS 49455U100 392 5249 SH SOLE N/A 5249
Lab Cp Of Amer Hldg New COM 50540R409 4093 44710 SH SOLE N/A 44710
Nustar Energy, LP UNIT COM 67058H102 5028 85109 SH SOLE N/A 85109
Oneok Partners Lp UNIT LTD PARTN 68268N103 4902 89666 SH SOLE N/A 89666
Powershares- Dynamic MktDYNAMIC MKT PT 73935X104 873 18705 SH SOLE N/A 18705
PowerShares High DividenHI YLD EQ DVDN 73935X302 1203 127720 SH SOLE N/A 127720
Powershs RAFI US 1000 FTSE RAFI 1000 73935X583 3280 54210 SH SOLE N/A 54210
Powershs Emerging SoveriSOVEREIGN DEBT 73936T573 565 20175 SH SOLE N/A 20175
S P D R -S^P 500 UNIT SER 1 78462F103 4513 32052 SH SOLE N/A 32052
Sunoco Logistics PartnerCOM UNITS 86764L108 3811 100800 SH SOLE N/A 100800
Targa Resources PartnersCOM UNIT 87611X105 5072 122316 SH SOLE N/A 122316
Valero Energy Corp New COM 91913Y100 206 8000 SH SOLE N/A 8000
Zimmer Holdings Inc COM 98956P102 435 6775 SH SOLE N/A 6775
Covidien Ltd SHS G2552X108 2799 51192 SH SOLE N/A 51192
Herbalife Ltd COM USD SHS G4412G101 3723 54095 SH SOLE N/A 54095
Noble Corp SHS G65422100 1827 48750 SH SOLE N/A 48750
PartnerRe Ltd COM G6852T105 1979 29150 SH SOLE N/A 29150
Willis Group Holdings SHS G96655108 2936 83929 SH SOLE N/A 83929
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