Charles D. Hyman as of March 31, 2012
Portfolio Holdings for Charles D. Hyman
Charles D. Hyman holds 0 positions in its portfolio as reported in the March 2012 quarterly 13F filing
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FORM 13F INFORMATION TABLE
Value Shares/ Sh/ Put/ Invstmt OTHER VOTING AUTHORITY
Name of Issuer Title of class CUSIP (x$1000) Prn Amt Prn Call Dscretn Managers Sole Shared None
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
AES Corporation COM 00130H105 363 27794.000SH Sole 27794.000
AT^T Corp. COM 00206r102 2275 72835.827SH Sole 72835.827
Abbott Laboratories COM 002824100 1408 22980.081SH Sole 22980.081
Access Plans Inc. COM 00434j104 68 21000.000SH Sole 21000.000
Allergan, Inc. COM 018490102 278 2910.000 SH Sole 2910.000
Altria Group, Inc. COM 718154107 3301 106924.000SH Sole 106924.000
Ameramex Int'l COM 02356P100 6 455010.000SH Sole 455010.000
AmeriGas Partners LP COM 030975106 1299 32046.840SH Sole 32046.840
American Electric Power COM 025537101 294 7610.000 SH Sole 7610.000
American Express COM 025816109 871 15058.852SH Sole 15058.852
American Natl Ins Co. COM 028591105 5579 76933.322SH Sole 76933.322
Anadarko Petroleum Corp. COM 032511107 232 2958.000 SH Sole 2958.000
Apache Corp COM 037411105 798 7950.000 SH Sole 7950.000
Apollo Investment Corp COM 03761U106 120 16800.000SH Sole 16800.000
Apple Computer COM 037833100 1810 3019.000 SH Sole 3019.000
BB^T Corporation COM 054937107 2525 80450.000SH Sole 80450.000
Bank of America COM 060505104 751 78449.000SH Sole 78449.000
Barrick Gold Corp COM 067901108 10249 235715.000SH Sole 235715.000
Baxter Intl. Inc. COM 071813109 255 4270.000 SH Sole 4270.000
Baytex Energy Trust COM 071813109 259 5000.000 SH Sole 5000.000
Becton Dickinson & Company COM 075887109 282 3628.000 SH Sole 3628.000
Berkshire Hathaway Class B COM 084670702 14068 173358.000SH Sole 173358.000
BlackRock Ecosolutions Investm COM 092546100 349 35100.000SH Sole 35100.000
Blue Gem Enterprise COM 09548T106 1 243851.000SH Sole 243851.000
Boeing COM 097023105 797 10715.000SH Sole 10715.000
Bristol Myers Squibb COM 110122108 7932 235033.000SH Sole 235033.000
C.R. Bard Inc COM 067383109 217 2200.000 SH Sole 2200.000
Canadian National Railway Co COM 136375102 465 5850.000 SH Sole 5850.000
Caterpillar Inc Del Com COM 149123101 12449 116868.000SH Sole 116868.000
Central Fund of Canada Limited COM 153501101 1134 51650.000SH Sole 51650.000
Chevron Texaco COM 166764100 4558 42518.000SH Sole 42518.000
Church & Dwight Co Inc COM 171340102 271 5500.000 SH Sole 5500.000
Claymore/BNY BRIC COM 18383M100 307 7775.000 SH Sole 7775.000
ClearBridge Energy MLP COM 184692101 236 10000.000SH Sole 10000.000
Coca Cola COM 191216100 6887 93049.965SH Sole 93049.965
Colgate Palmolive COM 194162103 927 9480.000 SH Sole 9480.000
Colonial Bancgroup Inc. COM 195493309 0 29586.000SH Sole 29586.000
ConocoPhillips COM 20825C104 13509 177725.544SH Sole 177725.544
Constellation Brands COM 21036P108 554 23470.000SH Sole 23470.000
Csx Corporation COM 126408103 4507 209454.000SH Sole 209454.000
Deere & Company COM 244199105 3033 37486.000SH Sole 37486.000
Diageo PLC New ADR COM 25243Q205 495 5128.000 SH Sole 5128.000
Duke Energy Corp. COM 26441c105 7984 379988.000SH Sole 379988.000
E I Dupont De Nemour COM 263534109 1635 30914.788SH Sole 30914.788
EMC Corporation COM 268648102 2785 93214.000SH Sole 93214.000
Emerson Electric COM 291011104 12806 245410.592SH Sole 245410.592
Express Scripts, Inc COM 30219g108 7305 134825.000SH Sole 134825.000
Exxon Mobil Corp COM 30231g102 10612 122359.000SH Sole 122359.000
Federal Mogul Corporation COM 313549107 0 50000.000SH Sole 50000.000
Flowers Foods, Inc. COM 343496105 660 32396.000SH Sole 32396.000
Freeport-McMoRan Copper & Gold COM 35671D857 3517 92456.000SH Sole 92456.000
Genco Shipping COM Y2685T107 215 33825.000SH Sole 33825.000
General Dynamics COM 369550108 5381 73336.000SH Sole 73336.000
General Electric COM 369604103 10324 514413.935SH Sole 514413.935
General Mills COM 370334104 1281 32482.000SH Sole 32482.000
General Signal Corp. COM 367220100 3 10000.000SH Sole 10000.000
Genuine Parts COM 372460105 405 6450.000 SH Sole 6450.000
H J Heinz COM 423074103 6312 117878.887SH Sole 117878.887
HEICO Corp. COM 422806109 1610 31202.000SH Sole 31202.000
Hawaiian Electric Ind. COM 419870100 2602 102659.000SH Sole 102659.000
Home Depot COM 437076102 1790 35588.000SH Sole 35588.000
Honeywell Inc. COM 438516106 1868 30595.000SH Sole 30595.000
Hospital Corp Of America COM 422915108 253 10216.000SH Sole 10216.000
ING Emerging Markets High Divi COM 45685X104 160 10000.000SH Sole 10000.000
Illinois Tool Works, Inc. COM 452308109 991 17358.000SH Sole 17358.000
InVivo Therapeutics Holdings C COM 46186M100 25 10000.000SH Sole 10000.000
Intel Corporation COM 458140100 7297 259547.602SH Sole 259547.602
International Business Machine COM 459200101 10236 49056.219SH Sole 49056.219
Ireland, Inc. COM 46267t206 27 25500.000SH Sole 25500.000
J.P Morgan Chase & Co. COM 46625H100 1179 25635.000SH Sole 25635.000
Johnson & Johnson COM 478160104 16536 250697.177SH Sole 250697.177
Johnson Controls COM 478366107 3903 120152.000SH Sole 120152.000
Kinder Morgan Energy Partners COM 494550106 2567 31027.075SH Sole 31027.075
Kraft Foods, Inc. COM 50075n104 3277 86208.000SH Sole 86208.000
McDonald's Corp. COM 580135101 11926 121571.022SH Sole 121571.022
Medgenics, Inc. COM 58436Q203 53 10000.000SH Sole 10000.000
Merck & Co. Inc. COM 589331107 872 22715.000SH Sole 22715.000
Microsoft Corporation COM 594918104 4384 135928.001SH Sole 135928.001
Minnesota Mining Mfg COM 88579y101 6572 73668.000SH Sole 73668.000
Monsanto Company COM 61166W101 1091 13680.000SH Sole 13680.000
NFJ Dividend COM 65337H109 268 15000.000SH Sole 15000.000
National Retail Properties, In COM 202218103 271 9950.000 SH Sole 9950.000
Nike Inc Cl B COM 654106103 1787 16475.000SH Sole 16475.000
Nordstrom, Inc. COM 655664100 1689 30307.000SH Sole 30307.000
Norfolk Southern Corp. COM 655844108 1817 27600.000SH Sole 27600.000
Occidental Petroleum COM 674599105 1573 16522.000SH Sole 16522.000
Oracle Corporation COM 68389X105 3030 103913.000SH Sole 103913.000
P P G Industries Inc. COM 693506107 230 2400.000 SH Sole 2400.000
PROLOR Biotech, Inc. COM 74344F106 271 45950.000SH Sole 45950.000
Patriot Transportation Holding COM 70337B102 5908 253668.000SH Sole 253668.000
Penn West Energy Trust COM 707885109 248 12650.000SH Sole 12650.000
Pepsico Inc. COM 713448108 11931 179825.499SH Sole 179825.499
Pfizer COM 717081103 3518 155364.000SH Sole 155364.000
Philip Morris International COM 718172109 5809 65561.000SH Sole 65561.000
Piedmont Natural Gas Co. COM 720186105 2348 75573.000SH Sole 75573.000
Pioneer Natural Resources COM 723787107 518 4642.000 SH Sole 4642.000
Potash Corp. of Saskatchewan, COM 73755L107 645 14124.000SH Sole 14124.000
Procter & Gamble COM 742718109 11714 174286.000SH Sole 174286.000
Qualcomm Inc. COM 747525103 267 3930.000 SH Sole 3930.000
Regency Centers Corporation COM 758939102 468 10520.000SH Sole 10520.000
Regions Financial Corp. COM 7591ep100 95 14482.000SH Sole 14482.000
Royal Dutch Petroleum COM 780257804 1404 20013.000SH Sole 20013.000
S^P 400 MidCap SPDRs COM 78467Y107 7296 40374.000SH Sole 40374.000
Schlumberger Limited COM 806857108 1818 25995.000SH Sole 25995.000
Southern Company COM 842587107 12299 273730.000SH Sole 273730.000
Spectra Energy Corp. COM 847560109 5760 182568.000SH Sole 182568.000
St Jude Medical Inc COM 790849103 700 15800.000SH Sole 15800.000
Stryker Corp Com COM 863667101 494 8909.000 SH Sole 8909.000
Sysco Corporation COM 871829107 475 15905.000SH Sole 15905.000
Target Inc. COM 87612E106 581 9975.000 SH Sole 9975.000
Thermoenergy Corp. COM 883906406 9 49000.000SH Sole 49000.000
Tidewater Inc. COM 886423102 567 10500.000SH Sole 10500.000
Total Fina SA ADR COM 89151E109 204 4000.000 SH Sole 4000.000
United Technologies Corp. COM 913017109 2298 27706.000SH Sole 27706.000
Vanguard Index Small-Cap Growt COM 922908595 470 5400.000 SH Sole 5400.000
Vanguard Index Small-Cap Value COM 922908611 911 12950.000SH Sole 12950.000
Vanguard Mid-Cap VIPERs COM 922908629 710 8700.000 SH Sole 8700.000
Verizon Communications COM 92343V104 3484 91120.004SH Sole 91120.004
Vodafone Corp. COM 92857w209 1932 69837.000SH Sole 69837.000
Vulcan Materials Company COM 929160109 6033 141183.000SH Sole 141183.000
Wal-Mart Stores COM 931142103 1273 20800.000SH Sole 20800.000
Walgreen Co COM 931422109 351 10485.000SH Sole 10485.000
Walt Disney COM 254687106 1766 40342.000SH Sole 40342.000
WellPoint Inc. COM 94973V107 1117 15140.000SH Sole 15140.000
Wells Fargo & Co. COM 949746101 5943 174085.961SH Sole 174085.961
Weyerhaeuser Co. COM 962166104 3826 174533.000SH Sole 174533.000
Yum! Brands, Inc. COM 895953107 618 8683.497 SH Sole 8683.497
iShares MSCI Emerg Mkts Index COM 464287234 942 21935.000SH Sole 21935.000
iShares MSCI Australia Index COM 464286103 4606 195925.000SH Sole 195925.000
iShares MSCI Brazil Index Fund COM 464286400 4495 69525.000SH Sole 69525.000
streetTRACKS Gold Shares COM 78463V107 1297 8000.000 SH Sole 8000.000
Alabama Power 5.20% Div Qualif PFD 010392595 566 21950 SH Sole 21950
Goldman Sachs Group 6.20% Div. PFD 38144x500 1520 60800 SH Sole 60800
Goldman Sachs Group Floating R PFD 38143Y665 3998 206000 SH Sole 206000
JP Morgan Pfd. 7.00% 2/15/32 PFD 46623d200 478 18800 SH Sole 18800
JPM Chase Capital XXVI 8.00% PFD 48124g104 249 9600 SH Sole 9600
JPM Chase Series S 6.625% PFD 48123a207 1012 40050 SH Sole 40050
Metlife Inc. Floating Rate PFD 59156R504 9107 371408 SH Sole 371408
Wells Fargo Cap XII 7.875% PFD 94985V202 2429 93350 SH Sole 93350
AGIC Convertible & Income Fund COM 65370F101 281 29590 SH Sole 29590