13F

Investor

BUCKHEAD CAPITAL MANAGEMENT LLC

CIK 0001133999 · filed 2026-05-08 · SEC filing

13F book

$265.4M

Positions

144

12 new · 6 sold

Largest name

4.8%

Apple Inc. · AAPL

Est. mark

−$10.2M

Price effect on 132 names still held. Flow −$3.26M.
NameTickerSharesValueWeightEst. markChange
Apple Inc.AAPL49.9K$12.7M4.8%−$902.3KCut−$1.43M
Microsoft CorpMSFT30.8K$11.4M4.3%−$3.5MCut−$3.77M
Alphabet Inc31.5K$9.07M3.4%−$802KCut−$1.74M
Amazon Com IncAMZN39.5K$8.23M3.1%−$811.8KAdded−$76K
Chevron Corp NewCVX30.9K$6.4M2.4%$1.68MCut$1.57M
Berkshire Hathaway Inc Del12.5K$5.97M2.2%−$292KCut−$478K
Pepsico IncPEP37.5K$5.82M2.2%$440.6KAdded$448.4K
Home Depot, Inc.HD17.5K$5.74M2.2%−$265.6KCut−$2.42M
Johnson & JohnsonJNJ23.3K$5.69M2.1%$872.9KCut−$993.2K
Guidewire Software, Inc.GWRE34.7K$5.19M2.0%−$1.25MAdded$319.7K
Texas Instrs Inc26.4K$5.13M1.9%$545.6KCut$501.8K
Fortinet, Inc.FTNT56.2K$4.59M1.7%$129.2KAdded$149.2K
Lam Research CorpLRCX21.3K$4.56M1.7%$906.5KCut$737.1K
Caseys Gen Stores Inc6.26K$4.56M1.7%$1.1MCut−$304.6K
Watsco Inc12.4K$4.52M1.7%$278.5KAdded$1.03M
Visa Inc.V14.9K$4.5M1.7%−$720.9KCut−$848.2K
Jpmorgan Chase & Co.15.2K$4.48M1.7%−$427.6KCut−$564.9K
Autozone IncAZO1.28K$4.31M1.6%−$17.5KCut−$34.5K
Unitedhealth Group IncUNH15.9K$4.29M1.6%−$924.9KAdded−$839.9K
Nvidia CorpNVDA23.9K$4.16M1.6%−$66.3KAdded$3.14M
Cooper Cos Inc57.5K$4.11M1.5%−$601.5KCut−$650.7K
Southern Co42.5K$4.1M1.5%$395.6KCut$344.9K
Amphenol Corp New32K$4.05M1.5%−$276.5KAdded−$203K
American Express CoAXP13.1K$3.95M1.5%−$880.7KCut−$968K
Walmart Inc.WMT31.6K$3.93M1.5%$407.1KCut$87.1K
Aon plcAON12.1K$3.9M1.5%−$363.7KCut−$443.4K
Raymond James Finl Inc26.4K$3.82M1.4%−$416.6KCut−$514K
Fiserv IncFISV68.4K$3.81M1.4%−$554.6KAdded$538.2K
BlackRock, Inc.BLK3.7K$3.56M1.3%−$401.9KCut−$406.1K
Alphabet Inc12.3K$3.52M1.3%−$330.6KCut−$520.1K
Diamondback Energy, Inc.FANG17.6K$3.49M1.3%$837.6KCut$799.9K
Tyler Technologies IncTYL9.76K$3.34M1.3%−$861.9KAdded−$166.5K
Republic Svcs Inc14.8K$3.25M1.2%$105.3KCut$40.4K
Sps Comm Inc57K$3.18M1.2%−$1.13MAdded$163.2K
Rockwell Automation, IncROK8.53K$3.06M1.2%−$257.6KCut−$474.3K
Air Prods & Chems Inc10.4K$3.02M1.1%$451.3KCut$57.5K
Rpm Intl Inc27K$2.69M1.0%−$121.3KAdded−$56K
Eaton Corp PlcETN7.43K$2.66M1.0%New
Rollins IncROL47.9K$2.56M1.0%−$316.5KCut−$359K
Copart IncCPRT75.9K$2.52M0.9%−$429.9KAdded−$307.9K
Yum Brands IncYUM16K$2.49M0.9%$67KAdded$71.8K
Ulta Beauty, Inc.ULTA4.62K$2.41M0.9%−$380.1KCut−$2.03M
Icon PlcICLR21.3K$2.36M0.9%−$1.19MAdded−$679.2K
Ametek Inc/AME11K$2.35M0.9%$99.3KCut−$1.35M
Hf Sinclair CorpDINO37.1K$2.32M0.9%$605.6KCut$197.9K
Spdr S&P 500 Etf Tr3.35K$2.18M0.8%−$94.4KAdded$151.4K
Tractor Supply Co48.1K$2.18M0.8%−$217.4KAdded−$129.5K
Zoetis Inc.ZTS17.6K$2.07M0.8%New
Hormel Foods Corp90.9K$2.06M0.8%New
SiteOne Landscape Supply, Inc.SITE14.4K$1.92M0.7%$25.6KAdded$1.54M
Ishares Tr34K$1.79M0.7%−$10.8KAdded−$4.17K
Oracle Corp11.7K$1.72M0.6%−$558.4KCut−$689.8K
Pnc Finl Svcs Group Inc7.85K$1.63M0.6%−$5.03KCut−$62.8K
Mastercard IncMA2.73K$1.37M0.5%−$194.8KCut−$309K
Bank America Corp27.2K$1.33M0.5%−$170.1KHeld
Eli Lilly & CoLLY1.35K$1.25M0.5%−$209.7KCut−$349.5K
Cf Inds Hldgs Inc9.58K$1.24M0.5%$503KCut$387K
Exxon Mobil Corp7.29K$1.24M0.5%$359.5KHeld
Atmos Energy CorpATO6.65K$1.23M0.5%$113.6KCut$109.9K
Verizon Communications IncVZ23.7K$1.19M0.4%New
Costco Whsl Corp New1.17K$1.17M0.4%$157.4KCut$66.9K
Evercore Inc.EVR3.56K$1.06M0.4%−$148.4KHeld
Coca Cola CoKO13.9K$1.06M0.4%$85.3KCut$81.8K
Csx CorpCSX25.7K$1.05M0.4%$123.2KCut−$10K
Cme Group Inc.CME3.5K$1.03M0.4%$78KCut$71.8K
Ishares Tr9.12K$886.3K0.3%$8.75KHeld
Applied Matls Inc2.56K$875.3K0.3%$217.2KHeld
Lockheed Martin CorpLMT1.35K$813.5K0.3%$162.5KCut$111.7K
Emerson Elec Co6.19K$810.9K0.3%−$10.5KHeld
Procter And Gamble CoPG5.46K$789.2K0.3%$6.17KHeld
Tjx Cos Inc New4.84K$772.9K0.3%$29.5KCut−$97.3K
Becton Dickinson & CoBDX4.55K$716.2K0.3%−$167.8KCut−$216.3K
Vanguard Index Fds1.14K$682.9K0.3%−$33.8KCut−$51.4K
Caterpillar IncCAT956$677.3K0.3%$129.6KCut$10.5K
Five Below, IncFIVE2.77K$632.9K0.2%$111.1KHeld
Hanover Ins Group Inc3.48K$603.3K0.2%−$32.8KHeld
Wisdomtree Tr3.77K$597.1K0.2%$54.3KHeld
Cisco Sys Inc7.69K$596.6K0.2%$4.31KCut$840
Ishares Tr2.4K$594.2K0.2%$4.41KHeld
Corpay, Inc.CPAY2.02K$588.7K0.2%−$20.1KHeld
Ishares Tr2.75K$587.6K0.2%$9.16KHeld
Altria Group, Inc.MO8.9K$587.4K0.2%$74.2KCut$46.4K
Broadridge Finl Solutions In3.6K$584.8K0.2%−$218.4KHeld
Philip Morris Intl Inc3.46K$571.3K0.2%$17.1KCut$7.44K
Ishares Tr6.7K$553.1K0.2%−$1.67KAdded−$19
Ishares Tr10.8K$546.3K0.2%−$2.02KAdded$59.4K
Ishares Tr5.43K$542.8K0.2%−$27.3KHeld
Graco IncGGG6.25K$529K0.2%$16.7KHeld
Vanguard Intl Equity Index F9.75K$527.1K0.2%$2.83KHeld
Spdr Gold Tr1.2K$516.8K0.2%$40.8KHeld
Shopify Inc.SHOP4.15K$492.3K0.2%−$175.8KHeld
RTX CorpRTX2.47K$476.5K0.2%$23.5KHeld
Masimo Corp2.65K$471.4K0.2%$126.7KHeld
Service Corp Intl5.63K$464.9K0.2%$25.6KHeld
Mercadolibre IncMELI265$458.2K0.2%−$75KAdded−$71.6K
Dorman Prods Inc4.24K$442.7K0.2%−$79.9KCut−$87.9K
Wd 40 CoWDFC2.14K$435.7K0.2%$15KHeld
Idexx Labs Inc742$416.9K0.2%−$76.5KAdded−$34.3K
Qualcomm Inc3.22K$414.8K0.2%−$136.2KCut−$168.1K
Roper Technologies IncROP1.17K$413.4K0.2%−$106.6KCut−$3.78M
Invesco Qqq Tr715$412.5K0.2%−$27KAdded−$26.4K
Smith A O CorpAOS6.24K$411.7K0.2%−$5.87KHeld
Corning Inc3.02K$409.9K0.2%$146KHeld
International Business Machs1.69K$409.2K0.2%−$90.8KCut−$144.2K
Abbott LabsABT3.91K$401.9K0.2%−$88.5KCut−$121.5K
Western Digital CorpWDC1.47K$397.6K0.1%$144.4KHeld
Gartner IncIT2.48K$391.9K0.1%−$200.1KAdded−$145.5K
Wells Fargo Co New4.83K$384.4K0.1%−$65.6KCut−$71.8K
Brookfield Infrast Partners10.5K$380K0.1%$14.5KCut$2.46K
Ishares 0-3 Month3.76K$378.7K0.1%New
Merck & Co., Inc.MRK3.07K$368.8K0.1%$46KCut$40.8K
Ishares Tr538$351.2K0.1%−$17.1KCut−$54K
Target CorpTGT2.86K$346.6K0.1%$67.1KHeld
Meta Platforms, Inc.META605$346.1K0.1%−$53.2KHeld
Kelly Svcs Inc38.9K$344.3K0.1%$1.94KHeld
Ishares Tr2.66K$340.9K0.1%−$23.5KCut−$44K
Tesla, Inc.TSLA902$335.3K0.1%−$70.3KCut−$154.9K
Spdr Index Shs Fds4.19K$323.2K0.1%$6.25KAdded$46.6K
Synopsys IncSNPS782$310K0.1%New
Ishares Tr3.05K$306.9K0.1%$11.4KHeld
Floor & Decor Hldgs Inc5.95K$302.3K0.1%New
Agilent Technologies, Inc.A2.58K$293.5K0.1%−$56.9KHeld
Vanguard Intl Equity Index F2.12K$293.2K0.1%−$5.42KAdded$13.5K
Invesco Exchange Traded Fd T4K$267.4K0.1%−$14.2KHeld
Alps Etf Tr5.06K$266.5K0.1%$28.4KHeld
Comfort Sys Usa Inc190$262K0.1%New
Prologis Inc.1.89K$250.2K0.1%$8.56KCut−$64.8K
Navios Maritime Partners L.P.NMM3.67K$247.5K0.1%New
Sandisk CorpSNDK385$244.6K0.1%New
Bank Montreal Que1.78K$241.4K0.1%$9.9KCut$816
Netflix IncNFLX2.5K$240.4K0.1%$5.98KCut−$5.28K
Weyerhaeuser Co Mtn BeWY9.75K$238.3K0.1%$7.22KHeld
Paychex IncPAYX2.5K$230K0.1%−$50.1KCut−$99.3K
Intuitive Surgical IncISRG495$228.2K0.1%−$52.2KHeld
Vanguard Index Fds711$228.1K0.1%−$10.3KHeld
Nucor CorpNUE1.34K$226.6K0.1%$8.03KHeld
MSCI Inc.MSCI415$223.7K0.1%−$14.4KHeld
Ishares Tr1.24K$223.5K0.1%$7KHeld
Ishares Tr680$216.3K0.1%−$16.9KHeld
Ishares Tr1.94K$213.9K0.1%$872Held
Schwab Strategic Tr6.95K$213.2K0.1%New
United Rentals, Inc.URI282$205.5K0.1%−$22.8KHeld
Blackrock Etf Trust5.6K$202.1K0.1%New
Oreilly Automotive Inc2.18K$201K0.1%$2.4KCut−$341

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.