Novare Capital Management as of March 31, 2013
Portfolio Holdings for Novare Capital Management
Novare Capital Management holds 0 positions in its portfolio as reported in the March 2013 quarterly 13F filing
{C} {C}
VALUE SHRS OR SH/ PUT/ INVESTMENT OTHER VOTING AUTHORITY
NAME OF ISSUER TITLE OF C CUSIP (x$1000PRN AMT PRN CALL DISCRETION MANAGERS SOLE SHARED OTHER
American Express CompanyCOM 025816109 4433 65716 SH SOLE N/A 65716
Amern Shared Hosp Svcs COM 029595105 59 30000 SH SOLE N/A 30000
Amerigas Propane COM 030975106 1824 40600 SH SOLE N/A 40600
Apple Computer Inc COM 037833100 5452 12317 SH SOLE N/A 12317
Ashland Inc New COM 044209104 1929 25965 SH SOLE N/A 25965
Atmos Energy Corp COM 049560105 849 19885 SH SOLE N/A 19885
Auto Data Processing COM 053015103 3591 55221 SH SOLE N/A 55221
Autozone Inc COM 053332102 3129 7885 SH SOLE N/A 7885
BB^T Corporation COM 054937107 892 28412 SH SOLE N/A 28412
Bank of America COM 060505104 701 57570 SH SOLE N/A 57570
B E Aerospace Inc COM 073302101 3660 60710 SH SOLE N/A 60710
Becton Dickinson & Co COM 075887109 1823 19072 SH SOLE N/A 19072
Berkshire Hathaway Cl A CL A 084670108 1563 10 SH SOLE N/A 10
Berkshire Hathaway Cl B CL B NEW 084670702 4521 43383 SH SOLE N/A 43383
Broadcom Corp Cl A CL A 111320107 5334 153820 SH SOLE N/A 153820
Buckeye Partners Uts L PUNIT LTD P118230101 3038 49668 SH SOLE N/A 49668
C V S Corporation COM 126650100 5763 104795 SH SOLE N/A 104795
Celgene Corp COM 151020104 1275 11000 SH SOLE N/A 11000
Chevron Corp COM 166764100 3495 29417 SH SOLE N/A 29417
Chubb COM 171232101 2861 32686 SH SOLE N/A 32686
Coca Cola COM 191216100 1020 25226 SH SOLE N/A 25226
Columbia Banking SystemsCOM 197236102 396 18000 SH SOLE N/A 18000
Conagra Inc. COM 205887102 4105 114633 SH SOLE N/A 114633
Danaher Corp Del COM 235851102 202 3250 SH SOLE N/A 3250
Deere & Co COM 244199105 4321 50255 SH SOLE N/A 50255
Disney Walt Hldg Co COM DISNEY254687106 3509 61779 SH SOLE N/A 61779
Du Pont E I De Nemour^CoCOM 263534109 3256 66239 SH SOLE N/A 66239
EMC Corporation COM 268664109 4346 181924 SH SOLE N/A 181924
Emerson Electric Co. COM 291011104 2560 45814 SH SOLE N/A 45814
Enterprise Prd Prtnrs LpCOM 293792107 20244 335785 SH SOLE N/A 335785
Equitable Resources Inc SH BEN INT294549100 271 4000 SH SOLE N/A 4000
Ferrellgas Partners UNIT LTD P315293100 2452 132314 SH SOLE N/A 132314
Fidus Investment Corp COM 316500107 356 18574 SH SOLE N/A 18574
Fifth Third Bancorp COM 316773100 3735 228980 SH SOLE N/A 228980
General Electric COM 369604103 595 25723 SH SOLE N/A 25723
Halliburton Company COM 406216101 614 15184 SH SOLE N/A 15184
Home Depot COM 437076102 694 9952 SH SOLE N/A 9952
Honeywell COM 438516106 4532 60140 SH SOLE N/A 60140
Intl Business Machine COM 459200101 475 2226 SH SOLE N/A 2226
Intuit Inc COM 461202103 3258 49626 SH SOLE N/A 49626
Ishare S^P 500 UNIT SER 1464287200 2030 12899 SH SOLE N/A 12899
Ishares Emerging Mkt. MCSI EMERG464287234 414 9691 SH SOLE N/A 9691
S^P MidCap 400 I-S S^P MIDCAP464287507 3891 33818 SH SOLE N/A 33818
S^P Small Cap 600 S^P SMLCAP464287804 561 6440 SH SOLE N/A 6440
Ishares Intermediate CorLEHMAN INT464288638 330 2965 SH SOLE N/A 2965
Ishares Barclay's Short BARCLYS 1-464288646 5089 48215 SH SOLE N/A 48215
Johnson & Johnson COM 478160104 4132 50683 SH SOLE N/A 50683
Kimberly Clark COM 494368103 538 5495 SH SOLE N/A 5495
Kinder Morgan Energy Lp UNIT LTD P494550106 1795 20000 SH SOLE N/A 20000
Magellan Midstream PartnCOM UNIT R559080106 7628 142767 SH SOLE N/A 142767
Marathon Oil Group COM 565849106 2830 83920 SH SOLE N/A 83920
Markwest Energy Ptnr Lp UNIT LTD P570759100 361 5946 SH SOLE N/A 5946
McDonald's Corporation COM 580135101 251 2518 SH SOLE N/A 2518
Microsoft Corp COM 594918104 403 14099 SH SOLE N/A 14099
Mylan Labs. COM 628530107 4857 167730 SH SOLE N/A 167730
National Oilwell Varco COM 637071101 3129 44232 SH SOLE N/A 44232
Northeast Utilities COM 664397106 207 4773 SH SOLE N/A 4773
PAA Natural Gas Storage COM UNIT L693139107 1973 92229 SH SOLE N/A 92229
PPG Industries Inc COM 693506107 1785 13325 SH SOLE N/A 13325
Pembina Pipeline Corp COM 706327103 220 6950 SH SOLE N/A 6950
Penney J C Co Inc COM 708160106 473 31300 SH SOLE N/A 31300
Pepsico Inc. COM 713448108 3095 39122 SH SOLE N/A 39122
Pfizer Incorporated COM 717081103 277 9613 SH SOLE N/A 9613
Philip Morris Intl Inc COM 718172109 206 2217 SH SOLE N/A 2217
Phillips 66 COM 718546104 261 3732 SH SOLE N/A 3732
Plains All Amern Ppln LpUNIT LTD P726503103 9029 159858 SH SOLE N/A 159858
Procter & Gamble Co COM 742718109 283 3676 SH SOLE N/A 3676
Qualcomm Inc COM 747525103 6775 101215 SH SOLE N/A 101215
Raymond James Finl Inc COM 754730109 2017 43755 SH SOLE N/A 43755
Realty Income COM 756109104 2463 54310 SH SOLE N/A 54310
Royal Bk Cda Montreal COM 780087102 576 9555 SH SOLE N/A 9555
Schlumberger COM 806857108 423 5646 SH SOLE N/A 5646
Schw US Brd Mkt Etf US BRD MKT808524102 509 13400 SH SOLE N/A 13400
Stanley Black & Decker COM 854502101 3044 37595 SH SOLE N/A 37595
Suburban Propane UNIT LTD P864482104 2781 62495 SH SOLE N/A 62495
Templeton Global Incm FdCOM 880198106 3661 390280 SH SOLE N/A 390280
Thermo Fisher ScientificCOM 883556102 627 8200 SH SOLE N/A 8200
Alerian MLP InfrastructuALERIAN IN902641646 260 6765 SH SOLE N/A 6765
United Technologies CorpCOM 913017109 209 2240 SH SOLE N/A 2240
Universal Hlth Svcs Cl BCL B 913903100 1710 26780 SH SOLE N/A 26780
V F Corporation COM 918204108 3962 23618 SH SOLE N/A 23618
Vanguard High Dividend FHIGH DIV Y921946406 505 9215 SH SOLE N/A 9215
Vanguard Emerging MarketEMR MKT ET922042858 1275 29733 SH SOLE N/A 29733
Vanguard Total Stock MktTOTAL STK 922908769 212 2621 SH SOLE N/A 2621
Wal-Mart Stores Inc. COM 931142103 350 4675 SH SOLE N/A 4675
Wells Fargo & Company COM 949746101 218 5895 SH SOLE N/A 5895
ATT COM 00206R102 412 11235 SH SOLE N/A 11235
Comcast Corp New Cl A CL A 20030N101 3493 83195 SH SOLE N/A 83195
Compass Minerals Intl COM 20451N101 365 4625 SH SOLE N/A 4625
Conocophillips COM 20825C104 4675 77789 SH SOLE N/A 77789
Duke COM 26441C105 579 7975 SH SOLE N/A 7975
El Paso Pipeline PartnerCOM 28336L109 1793 40875 SH SOLE N/A 40875
Enbridge Energy COM 29250R106 4497 149189 SH SOLE N/A 149189
Energy Transfer PartnersUNIT LTD P29273R109 5257 103702 SH SOLE N/A 103702
Energy Transfer Equity COM UT LTD29273V100 3123 53402 SH SOLE N/A 53402
Entergy Corp. COM 29364G103 207 3269 SH SOLE N/A 3269
Exxon-Mobil COM 30231G102 1595 17695 SH SOLE N/A 17695
Global Payments Inc COM 37940X102 4735 95345 SH SOLE N/A 95345
Hess Corporation COM 42809H107 3381 47215 SH SOLE N/A 47215
J.P. Morgan Chase Inc. COM 46625H100 1110 23389 SH SOLE N/A 23389
MLP Index ETN- J.P. MorgALERIAN ML46625H365 3750 82454 SH SOLE N/A 82454
Kinder Morgan Mgmt Llc SHS 49455U100 533 6066 SH SOLE N/A 6066
Lab Cp Of Amer Hldg New COM 50540R409 3108 34460 SH SOLE N/A 34460
Metlife Inc COM 59156R108 3769 99120 SH SOLE N/A 99120
Nustar Energy, LP UNIT COM 67058H102 4742 88894 SH SOLE N/A 88894
Oneok Partners Lp UNIT LTD P68268N103 5111 89041 SH SOLE N/A 89041
Oracle Corporation COM 68389X105 2988 92425 SH SOLE N/A 92425
PPL Corporation COM 69351T106 1845 58912 SH SOLE N/A 58912
Powershares- Dynamic MktDYNAMIC MK73935X104 969 17305 SH SOLE N/A 17305
PowerShares High DividenHI YLD EQ 73935X302 1288 121895 SH SOLE N/A 121895
Powershs RAFI US 1000 FTSE RAFI 73935X583 4567 65162 SH SOLE N/A 65162
Powershs Emerging SoveriSOVEREIGN 73936T573 2175 73045 SH SOLE N/A 73045
S P D R -S^P 500 UNIT SER 178462F103 5507 35153 SH SOLE N/A 35153
Sunoco Logistics PartnerCOM UNITS 86764L108 6571 100470 SH SOLE N/A 100470
Targa Resources PartnersCOM UNIT 87611X105 6533 141956 SH SOLE N/A 141956
Valero Energy Corp New COM 91913Y100 436 9575 SH SOLE N/A 9575
Covidien Ltd SHS G2552X108 3789 55857 SH SOLE N/A 55857
Eaton Corporation SHS G29183103 406 6630 SH SOLE N/A 6630
Noble Corp SHS G65422100 3647 95585 SH SOLE N/A 95585
PartnerRe Ltd COM G6852T105 2440 26207 SH SOLE N/A 26207
Golar Lng Ltd SHS G9456A100 215 5825 SH SOLE N/A 5825
Total 304,369