Scott & Selber as of Sept. 30, 2012
Portfolio Holdings for Scott & Selber
Scott & Selber holds 0 positions in its portfolio as reported in the September 2012 quarterly 13F filing
{C} {C}
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 1960 40944 SH Sole 40944
Amgen Inc COMM 031162100 1705 20223 SH Sole 20223
Amphenol Corp-CL A COMM 032095101 1822 30946 SH Sole 30946
Apple Computer COMM 037833100 5108 7657 SH Sole 7657
Biogen Idec COMM 09062X103 1345 9012 SH Sole 9012
Celgene Corp COMM 151020104 1380 18068 SH Sole 18068
Chevron Corp COMM 166764100 2820 24193 SH Sole 24193
Coca-Cola Co COMM 191216100 2502 65970 SH Sole 65970
Coca-Cola Enterprises COMM 19122T109 2115 67625 SH Sole 67625
Community Health Systems COMM 203668108 1766 60602 SH Sole 60602
ConocoPhillips COMM 20825C104 1738 30394 SH Sole 30394
Costco Wholesale COMM 22160K105 2013 20102 SH Sole 20102
Covidien PLC COMM G2552X108 1715 28855 SH Sole 28855
Diageo plc ADS COMM 25243Q205 2557 22679 SH Sole 22679
Discover Financial Services COMM 254709108 2839 71447 SH Sole 71447
E I duPont COMM 263534109 1941 38617 SH Sole 38617
Ennis Inc COMM 293389102 354 21561 SH Sole 21561
Exxon Mobil COMM 30231G102 1693 18510 SH Sole 18510
General Electric COMM 369604103 1872 82428 SH Sole 82428
Gilead Sciences COMM 375558103 1369 20640 SH Sole 20640
Hancock Holding Company COMM 410120109 1692 54604 SH Sole 54604
Healthcare Services Group Inc COMM 421906108 2071 90591 SH Sole 90591
Home Depot COMM 437076102 1474 24416 SH Sole 24416
International Business Machine COMM 459200101 230 1109 SH Sole 1109
Johnson & Johnson COMM 478160104 784 11372 SH Sole 11372
Jones Lang Lasalle COMM 48020Q107 214 2801 SH Sole 2801
McDonalds Corp COMM 580135101 1989 21679 SH Sole 21679
McKesson Inc COMM 58155Q103 1886 21917 SH Sole 21917
Medtronic Inc COMM 585055106 2090 48477 SH Sole 48477
National Oilwell Varco Inc COMM 637071101 1963 24499 SH Sole 24499
Nestle SA ADR A COMM 641069406 1804 28533 SH Sole 28533
NextEra Energy Inc COMM 65339F101 1994 28349 SH Sole 28349
Novartis COMM 66987V109 1556 25406 SH Sole 25406
Oracle Systems COMM 68389X105 612 19456 SH Sole 19456
PPG Industries COMM 693506107 2714 23630 SH Sole 23630
Prosperity Bancshares COMM 743606105 1717 40295 SH Sole 40295
Public Storage COMM 74460D109 1879 13499 SH Sole 13499
QUALCOMM Inc COMM 747525103 2769 44329 SH Sole 44329
Rick's Cabaret COMM 765641303 248 30000 SH Sole 30000
Southwest Airlines COMM 844741108 2027 231106 SH Sole 231106
Target Corporation COMM 87612E106 1757 27679 SH Sole 27679
The Mosaic Company COMM 61945C103 1894 32874 SH Sole 32874
TiVo COMM 888706108 1478 141659 SH Sole 141659
Total SA ADR COMM 89151E109 1725 34423 SH Sole 34423
US Bancorp COMM 902973304 2006 58498 SH Sole 58498
United Parcel Service COMM 911312106 2722 38026 SH Sole 38026
Walt Disney Co COMM 254687106 2051 39229 SH Sole 39229
Wells Fargo COMM 949746101 1719 49777 SH Sole 49777
Western Digital COMM 958102105 1684 43492 SH Sole 43492
Wyndham Worldwide Corp COMM 98310W108 1748 33299 SH Sole 33299
Yum Brands Inc COMM 988498101 265 4000 SH Sole 4000
Alerian MLP ETF ETF 00162Q866 4374 263980 SH Sole 263980
SPDR S^P Dividend ETF ETF 78464A763 209 3594 SH Sole 3594
Schwab US Dividend Equity ETF ETF 808524797 798 27741 SH Sole 27741
Vanguard Dividend Appreciation ETF 921908844 1338 22425 SH Sole 22425
Vanguard Growth ETF ETF 922908736 1352 18673 SH Sole 18673
Vanguard High Dividend Yield E ETF 921946406 781 15497 SH Sole 15497
Vanguard Large-Cap ETF ETF 922908637 863 13135 SH Sole 13135