Novare Capital Management

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

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                                                     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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