Hamlin Capital Management Reduces Enterprise Products Partners Stake

Investment firm sells 76,267 shares of oil and gas producer in Q3 2025

Mar. 16, 2026 at 11:21am

Hamlin Capital Management LLC, an investment management firm, reduced its stake in Enterprise Products Partners L.P. (NYSE: EPD) by 1.5% in the third quarter of 2025, according to a recent 13F filing with the Securities and Exchange Commission. The firm now owns 4,918,780 shares of the oil and gas producer, making it the 19th largest holding in its portfolio.

Why it matters

Enterprise Products Partners is one of the largest midstream energy companies in North America, operating an extensive network of pipelines, storage facilities, and export terminals. Institutional investors closely monitor changes in ownership of major energy firms like EPD, as it can signal broader market trends and investor sentiment.

The details

Hamlin Capital Management sold 76,267 shares of Enterprise Products Partners during the third quarter, reducing its total position to 4,918,780 shares. The firm now owns approximately 0.23% of the company's outstanding shares. Enterprise Products Partners comprises about 3.5% of Hamlin Capital Management's overall investment portfolio.

  • Hamlin Capital Management filed its 13F report for the third quarter of 2025 on March 16, 2026.

The players

Hamlin Capital Management LLC

An investment management firm that owns a sizable stake in Enterprise Products Partners.

Enterprise Products Partners L.P.

A Houston-based master limited partnership that provides midstream energy services across North America, operating an extensive network of pipelines, storage facilities, and export terminals.

Got photos? Submit your photos here. ›

The takeaway

The reduction in Hamlin Capital Management's position in Enterprise Products Partners reflects broader trends in the energy sector, as investors closely monitor the performance and ownership changes of major midstream companies like EPD. This news provides insight into the investment strategies of institutional investors and the overall market dynamics surrounding the oil and gas industry.