Scott & Selber

Scott & Selber as of March 31, 2013

Portfolio Holdings for Scott & Selber

Scott & Selber holds 0 positions in its portfolio as reported in the March 2013 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}
Accenture                      COMM             .G1150G11     1997    26289 SH       Sole                    26289
American International Group   COMM             026874784     2048    52748 SH       Sole                    52748
Amphenol Corp-CL A             COMM             032095101     2384    31932 SH       Sole                    31932
Apple Computer                 COMM             037833100     2218     5010 SH       Sole                     5010
Baxter International           COMM             071813109     2021    27829 SH       Sole                    27829
Biogen Idec                    COMM             09062X103     1884     9783 SH       Sole                     9783
Brookdale Senior Living        COMM             112463104     1835    65808 SH       Sole                    65808
CVS Caremark Corp              COMM             126650100     2216    40291 SH       Sole                    40291
Celgene Corp                   COMM             151020104     2247    19385 SH       Sole                    19385
Chevron Corp                   COMM             166764100     2540    21376 SH       Sole                    21376
Cisco Systems                  COMM             17275R102     1986    95057 SH       Sole                    95057
Coca-Cola Co                   COMM             191216100     2013    49766 SH       Sole                    49766
Continental Resources          COMM             212015101     2044    23511 SH       Sole                    23511
Costco Wholesale               COMM             22160K105     2267    21369 SH       Sole                    21369
Cree Inc                       COMM             225447101     2345    42854 SH       Sole                    42854
Diageo plc ADS                 COMM             25243Q205     3021    24004 SH       Sole                    24004
Discover Financial Services    COMM             254709108     3324    74129 SH       Sole                    74129
EOG Resources Inc              COMM             26875P101     1961    15313 SH       Sole                    15313
Ebay Inc                       COMM             278642103     2158    39807 SH       Sole                    39807
Ennis Inc                      COMM             293389102      173    11486 SH       Sole                    11486
Exxon Mobil                    COMM             30231G102     1241    13776 SH       Sole                    13776
Fedex Corp                     COMM             31428X106     1827    18606 SH       Sole                    18606
Franklin Resources             COMM             354613101     2429    16108 SH       Sole                    16108
General Electric               COMM             369604103     1937    83791 SH       Sole                    83791
Genworth Financial             COMM             37247D106      100    10000 SH       Sole                    10000
Gilead Sciences                COMM             375558103     2117    43260 SH       Sole                    43260
Google Inc Class A             COMM             38259P508     2029     2555 SH       Sole                     2555
Home Depot                     COMM             437076102     1856    26601 SH       Sole                    26601
International Business Machine COMM             459200101      237     1109 SH       Sole                     1109
Johnson & Johnson              COMM             478160104     1634    20044 SH       Sole                    20044
Jones Lang Lasalle             COMM             48020Q107      278     2801 SH       Sole                     2801
Marathon Oil                   COMM             565849106     1902    56418 SH       Sole                    56418
McKesson Inc                   COMM             58155Q103     2518    23327 SH       Sole                    23327
Mead Johnson                   COMM             582839106     1877    24240 SH       Sole                    24240
Michael Kors Holdings          COMM             G60754101     1696    29858 SH       Sole                    29858
Nestle SA ADR A                COMM             641069406     2238    30883 SH       Sole                    30883
NextEra Energy Inc             COMM             65339F101     2318    29841 SH       Sole                    29841
Novartis                       COMM             66987V109     1870    26255 SH       Sole                    26255
Oracle Systems                 COMM             68389X105      564    17456 SH       Sole                    17456
PPG Industries                 COMM             693506107     1644    12273 SH       Sole                    12273
Palo Alto Networks             COMM             697435105     2031    35890 SH       Sole                    35890
Pentair Inc                    COMM             709631105     1868    35421 SH       Sole                    35421
Phillips 66                    COMM             718546104     2052    29320 SH       Sole                    29320
Procter & Gamble               COMM             742718109     2463    31968 SH       Sole                    31968
Regeneron Pharmaceuticals      COMM             75886F107     2040    11567 SH       Sole                    11567
Rick's Cabaret                 COMM             765641303      265    30000 SH       Sole                    30000
Southwest Airlines             COMM             844741108     3376   250443 SH       Sole                   250443
Time Warner Inc                COMM             887317303     2381    41318 SH       Sole                    41318
Travelers Group                COMM             89417E109     1759    20893 SH       Sole                    20893
Tupperware Brands Corp         COMM             899896104     2366    28941 SH       Sole                    28941
US Bancorp                     COMM             902973304     2208    65075 SH       Sole                    65075
Unilever NV                    COMM             904784709     2088    50930 SH       Sole                    50930
United Parcel Service          COMM             911312106     2044    23800 SH       Sole                    23800
Walt Disney Co                 COMM             254687106     2320    40846 SH       Sole                    40846
Wells Fargo                    COMM             949746101     1860    50276 SH       Sole                    50276
Xlyem Inc                      COMM             98419M100     1772    64298 SH       Sole                    64298
Yum Brands Inc                 COMM             988498101      288     4000 SH       Sole                     4000
Alerian MLP ETF                ETF              00162Q866      295    16633 SH       Sole                    16633
SPDR S^P Dividend ETF          ETF              78464A763      237     3594 SH       Sole                     3594
SPDR S^P Homebuilders ETF      ETF              78464A888     2284    75982 SH       Sole                    75982
Schwab US Dividend Equity ETF  ETF              808524797     1022    32134 SH       Sole                    32134
Vanguard Dividend Appreciation ETF              921908844     1378    20975 SH       Sole                    20975
Vanguard Emerging Markets ETF  ETF              922042858      252     5865 SH       Sole                     5865
Vanguard Growth ETF            ETF              922908736     1641    21173 SH       Sole                    21173
Vanguard High Dividend Yield E ETF              921946406      971    17713 SH       Sole                    17713
Vanguard Large-Cap ETF         ETF              922908637     1050    14635 SH       Sole                    14635
Vanguard Mid-Cap Value ETF     ETF              922908512      215     3200 SH       Sole                     3200