HoldingsChannel.com
Scott & Selber Inc. Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
Apple Computer 32,127 -299 $11,720
     AAPL32,127-299$11,720
Microsoft Corp 56,408 -2,158 $11,480
     MSFT56,408-2,158$11,480
Amazon.com 3,904 -1,207 $10,770
     AMZN3,904-1,207$10,770
Ring Central 21,697 -260 $6,184
     RNG21,697-260$6,184
Home Depot 23,187 -368 $5,809
     HD23,187-368$5,809
Facebook Inc 22,741 +4,287 $5,164
     FB22,741+4,287$5,164
Alphabet Google Cl C 3,647 -40 $5,155
     GOOG3,647-40$5,155
United Healthcare 14,785 -196 $4,361
     UNH14,785-196$4,361
Vanguard Growth ETF (VUG) 20,196 +41 $4,081
     VUG20,196+41$4,081
Waste Management 38,309 -2,101 $4,057
     WM38,309-2,101$4,057
Lowes Companies 29,565 -438 $3,995
     LOW29,565-438$3,995
Zoetis Inc 28,951 -325 $3,967
     ZTS28,951-325$3,967
Vanguard Dividend Appreciation (VIG) 33,610 +1,804 $3,938
     VIG33,610+1,804$3,938
Nvidia 9,892 -136 $3,758
     NVDA9,892-136$3,758
Visa Inc 18,101 -8,443 $3,497
     V18,101-8,443$3,497
Honeywell Inc 23,993 -526 $3,469
     HON23,993-526$3,469
IDEXX Laboratories Inc 9,694 -126 $3,201
     IDXX9,694-126$3,201
The Blackstone Group Inc      $3,184
     COMM56,189+196$3,184
Humana 8,127 -86 $3,151
     HUM8,127-86$3,151
Thermo Fisher 8,406 -114 $3,046
     TMO8,406-114$3,046
Estee Lauder Co 14,782 -200 $2,789
     EL14,782-200$2,789
Berkshire Hathaway Cl B      $2,780
     BRK.B15,571+14,071$2,780
Broadcom Inc 8,699 -108 $2,745
     AVGO8,699-108$2,745
MasterCard Inc. 9,284 -99 $2,745
     MA9,284-99$2,745
Illumina Inc 6,980 -87 $2,585
     ILMN6,980-87$2,585
J P Morgan Chase & Co 27,455 -2,129 $2,582
     JPM27,455-2,129$2,582
Quest Diagnostics Inc 22,139 -263 $2,523
     DGX22,139-263$2,523
Raytheon Technoloies Corp 40,111 +40,111 $2,472
     RTX40,111+40,111$2,472
Union Pacific Corp 14,354 -155 $2,427
     UNP14,354-155$2,427
DocuSign Inc 13,861 -150 $2,387
     DOCU13,861-150$2,387
Micron Technology 46,265 -600 $2,384
     MU46,265-600$2,384
Intuitive Surgical 4,182 -140 $2,383
     ISRG4,182-140$2,383
CrowdStrike Holdings 21,763 +21,763 $2,183
     CRWD21,763+21,763$2,183
Verizon Communications 38,212 +17,557 $2,107
     VZ38,212+17,557$2,107
CVS Health Corp 32,346 -329 $2,102
     CVS32,346-329$2,102
ProLogis 22,352 -241 $2,086
     PLD22,352-241$2,086
Cerner Corporation 29,551 -300 $2,026
     CERN29,551-300$2,026
Alibaba Group Holding ADR 9,231 -92 $1,991
     BABA9,231-92$1,991
Costco Wholesale 6,466 -66 $1,961
     COST6,466-66$1,961
Citigroup Inc 37,702 +37,702 $1,927
     C37,702+37,702$1,927
ConAgra Inc 54,060 +54,060 $1,901
     CAG54,060+54,060$1,901
Mondelez Intl Inc 36,994 -373 $1,892
     MDLZ36,994-373$1,892
Schwab US Dividend Equity ETF (SCHD) 35,892 -140 $1,857
     SCHD35,892-140$1,857
Lam Research 5,696 +5,696 $1,842
     LRCX5,696+5,696$1,842
American Tower Corp 7,057 +7,057 $1,825
     AMT7,057+7,057$1,825
Medtronic PLC      $1,824
     COMM19,888+19,888$1,824
Restaurant Brands Internationa 32,440 +32,440 $1,772
     QSR32,440+32,440$1,772
Adobe Systems 4,065 -46 $1,770
     ADBE4,065-46$1,770
Cardinal Health 33,204 -380 $1,733
     CAH33,204-380$1,733
Vanguard Large Cap ETF (VV) 12,111 +28 $1,732
     VV12,111+28$1,732

See Full List: All Stocks Held By Scott & Selber Inc.
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Scott & Selber Inc.

Size ($ in 1000's)
At 06/30/2020: $202,097
At 03/31/2020: $160,315

Scott & Selber Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Scott & Selber Inc. 13F filings. Link to 13F filings: SEC filings

Scott & Selber Inc. Top Holdings 13F Filings | www.HoldingsChannel.com

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