Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Microsoft Corp | 48,042 | +89 | $20,212 |
MSFT | 48,042 | +89 | $20,212 |
Apple Computer | 116,122 | +131 | $19,913 |
AAPL | 116,122 | +131 | $19,913 |
Nvidia | 21,098 | -1,528 | $19,063 |
NVDA | 21,098 | -1,528 | $19,063 |
Alphabet Google Cl C | 73,616 | +178 | $11,209 |
GOOG | 73,616 | +178 | $11,209 |
Amazon.com | 61,065 | +100 | $11,015 |
AMZN | 61,065 | +100 | $11,015 |
Broadcom Inc | 7,769 | +1 | $10,297 |
AVGO | 7,769 | +1 | $10,297 |
Meta Platforms Inc Class A | 12,600 | +45 | $6,118 |
META | 12,600 | +45 | $6,118 |
Home Depot | 15,652 | +22 | $6,004 |
HD | 15,652 | +22 | $6,004 |
Merck & Co Inc | 44,328 | +78 | $5,849 |
MRK | 44,328 | +78 | $5,849 |
Vanguard Growth ETF (VUG) | 16,957 | -13 | $5,836 |
VUG | 16,957 | -13 | $5,836 |
J P Morgan Chase & Co | 26,413 | +26 | $5,291 |
JPM | 26,413 | +26 | $5,291 |
Exxon Mobil | 44,534 | +40 | $5,177 |
XOM | 44,534 | +40 | $5,177 |
Citigroup Inc | 80,832 | +10,868 | $5,112 |
C | 80,832 | +10,868 | $5,112 |
Vanguard Dividend Appreciation (VIG) | 27,431 | -183 | $5,009 |
VIG | 27,431 | -183 | $5,009 |
Berkshire Hathaway Cl B | $4,955 | ||
BRK.B | 11,783 | +37 | $4,955 |
Kinder Morgan Inc | 267,470 | +36,087 | $4,905 |
KMI | 267,470 | +36,087 | $4,905 |
Bristol Myers Squibb | 83,257 | -1,463 | $4,515 |
BMY | 83,257 | -1,463 | $4,515 |
AbbVie Inc | 24,188 | -175 | $4,405 |
ABBV | 24,188 | -175 | $4,405 |
Honeywell Inc | 21,115 | +31 | $4,334 |
HON | 21,115 | +31 | $4,334 |
AutoZone | 1,305 | +5 | $4,113 |
AZO | 1,305 | +5 | $4,113 |
Bank of America Corp | 107,060 | -55 | $4,060 |
BAC | 107,060 | -55 | $4,060 |
United Healthcare | 8,198 | +13 | $4,056 |
UNH | 8,198 | +13 | $4,056 |
Williams Cos | 102,501 | +115 | $3,994 |
WMB | 102,501 | +115 | $3,994 |
Thermo Fisher | 6,273 | +9 | $3,646 |
TMO | 6,273 | +9 | $3,646 |
Raytheon Technologies Corp | 35,384 | +75 | $3,451 |
RTX | 35,384 | +75 | $3,451 |
Waste Management | 16,153 | +20 | $3,443 |
WM | 16,153 | +20 | $3,443 |
Cisco Systems | 68,441 | +13,215 | $3,416 |
CSCO | 68,441 | +13,215 | $3,416 |
Micron Technology | 27,450 | -11 | $3,236 |
MU | 27,450 | -11 | $3,236 |
Carnival Corporation | 185,696 | +40,565 | $3,034 |
CCL | 185,696 | +40,565 | $3,034 |
Lam Research | 3,104 | +11 | $3,016 |
LRCX | 3,104 | +11 | $3,016 |
Visa Inc | 10,692 | +31 | $2,984 |
V | 10,692 | +31 | $2,984 |
ConocoPhillips | 23,031 | +64 | $2,931 |
COP | 23,031 | +64 | $2,931 |
Goldman Sachs Group | 6,759 | +13 | $2,823 |
GS | 6,759 | +13 | $2,823 |
Intuit Inc | 4,266 | +12 | $2,773 |
INTU | 4,266 | +12 | $2,773 |
Intuitive Surgical | 6,830 | +15 | $2,726 |
ISRG | 6,830 | +15 | $2,726 |
Schwab US Dividend Equity ETF (SCHD) | 33,158 | -2,390 | $2,674 |
SCHD | 33,158 | -2,390 | $2,674 |
Applied Materials | 12,699 | +39 | $2,619 |
AMAT | 12,699 | +39 | $2,619 |
Procter & Gamble | 15,996 | -60 | $2,595 |
PG | 15,996 | -60 | $2,595 |
Sysco Corporation | 31,526 | -100 | $2,559 |
SYY | 31,526 | -100 | $2,559 |
MasterCard Inc. | 5,309 | +15 | $2,557 |
MA | 5,309 | +15 | $2,557 |
Boeing Co | 13,020 | -109 | $2,513 |
BA | 13,020 | -109 | $2,513 |
Johnson & Johnson | 15,569 | -140 | $2,463 |
JNJ | 15,569 | -140 | $2,463 |
Union Pacific Corp | 9,716 | +14 | $2,389 |
UNP | 9,716 | +14 | $2,389 |
Oracle Systems | 18,672 | +38 | $2,345 |
ORCL | 18,672 | +38 | $2,345 |
Charles Schwab | 32,363 | +32,363 | $2,341 |
SCHW | 32,363 | +32,363 | $2,341 |
Ulta Beauty Inc | 4,453 | +7 | $2,328 |
ULTA | 4,453 | +7 | $2,328 |
Vanguard Large Cap ETF (VV) | 9,509 | +17 | $2,280 |
VV | 9,509 | +17 | $2,280 |
Starbucks Corp | 24,929 | +11,081 | $2,278 |
SBUX | 24,929 | +11,081 | $2,278 |
3M Company | 20,728 | -91 | $2,199 |
MMM | 20,728 | -91 | $2,199 |
PepsiCo Inc | 12,206 | -47 | $2,136 |
PEP | 12,206 | -47 | $2,136 |
See Full List: All Stocks Held By Scott & Selber Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Scott & Selber Inc.
Size ($ in 1000's)
At 03/31/2024: $293,888 At 12/31/2023: $266,613 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 |