Novare Capital Management

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

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                                            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