Scott & Selber as of March 31, 2012
Portfolio Holdings for Scott & Selber
Scott & Selber 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
------------------------------ ---------------- --------- -------- -------- --- ---- ------- ------------ -------- -------- --------
{S} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C} {C}
Aflac COMM 001055102 1892 41136 SH Sole 41136
Allergan COMM 018490102 3620 37933 SH Sole 37933
Apple Computer COMM 037833100 3819 6369 SH Sole 6369
Check Point Software COMM M22465104 2036 31892 SH Sole 31892
Chevron Corp COMM 166764100 2591 24167 SH Sole 24167
Coach Inc COMM 189754104 2237 28945 SH Sole 28945
Coca-Cola Co COMM 191216100 1021 13796 SH Sole 13796
ConocoPhillips COMM 20825C104 2316 30476 SH Sole 30476
Corn Products Int'l Inc COMM 219023108 1605 27839 SH Sole 27839
Costco Wholesale COMM 22160K105 3776 41590 SH Sole 41590
Covidien PLC COMM G2552X108 1578 28855 SH Sole 28855
Cree Inc COMM 225447101 1631 51569 SH Sole 51569
Crown Holdings Inc COMM 228255105 1575 42754 SH Sole 42754
Cullen/Frost Bankers Inc COMM 229899109 2135 36689 SH Sole 36689
Cummins Engine COMM 231021106 2117 17636 SH Sole 17636
Diageo plc ADS COMM 25243Q205 2184 22631 SH Sole 22631
Discover Financial Services COMM 254709108 2393 71775 SH Sole 71775
E I duPont COMM 263534109 2056 38860 SH Sole 38860
Emerson Electric Corp COMM 291011104 250 4800 SH Sole 4800
Ennis Inc COMM 293389102 341 21561 SH Sole 21561
Exxon Mobil COMM 30231G102 1601 18459 SH Sole 18459
Ford Motor Co COMM 345370860 1880 150694 SH Sole 150694
Google Inc Class A COMM 38259P508 1549 2415 SH Sole 2415
HollyFrontier Corp COMM 435758305 1600 49773 SH Sole 49773
Home Depot COMM 437076102 2514 49979 SH Sole 49979
International Business Machine COMM 459200101 231 1109 SH Sole 1109
Intuit Inc COMM 461202103 1478 24572 SH Sole 24572
Johnson & Johnson COMM 478160104 750 11372 SH Sole 11372
Jones Lang Lasalle COMM 48020Q107 233 2801 SH Sole 2801
Kirby Corp COMM 497266106 1835 27890 SH Sole 27890
McKesson Inc COMM 58155Q103 1924 21917 SH Sole 21917
Oracle Systems COMM 68389X105 567 19456 SH Sole 19456
PPG Industries COMM 693506107 2274 23733 SH Sole 23733
Procter & Gamble COMM 742718109 212 3150 SH Sole 3150
QUALCOMM Inc COMM 747525103 3086 45342 SH Sole 45342
Rick's Cabaret COMM 765641303 280 30000 SH Sole 30000
Schlumberger COMM 806857108 1612 23058 SH Sole 23058
US Bancorp COMM 902973304 1851 58442 SH Sole 58442
Union Pacific Corp COMM 907818108 1492 13884 SH Sole 13884
United Parcel Service COMM 911312106 3083 38195 SH Sole 38195
United Technologies COMM 913017109 1977 23842 SH Sole 23842
VeriFone Holdings COMM 92342Y109 1693 32632 SH Sole 32632
Visa Inc COMM 92826C839 1708 14473 SH Sole 14473
Walt Disney Co COMM 254687106 3243 74078 SH Sole 74078
Weight Watchers Intl COMM 948626106 1628 21097 SH Sole 21097
Wyndham Worldwide Corp COMM 98310W108 2870 61709 SH Sole 61709
Yum Brands Inc COMM 988498101 2894 40659 SH Sole 40659
Financial Select Sector SPDR F ETF 81369Y605 4998 316453 SH Sole 316453
SPDR S^P Dividend ETF ETF 78464A763 204 3594 SH Sole 3594
Schwab US Dividend Equity ETF ETF 808524797 525 18841 SH Sole 18841
Vanguard Dividend Appreciation ETF 921908844 1295 22125 SH Sole 22125
Vanguard Growth ETF ETF 922908736 1574 22173 SH Sole 22173
Vanguard High Dividend Yield E ETF 921946406 602 12425 SH Sole 12425
Vanguard Large-Cap ETF ETF 922908637 1031 16000 SH Sole 16000
Vanguard Mid-Cap Value ETF ETF 922908512 287 5000 SH Sole 5000