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Institutional Investment Manager
HYMAN CHARLES D
HYMAN CHARLES D (CIK: 0001135077) incorporated in Florida. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q3)
Portfolio Summary: 147 holdings with a total value of $571,100,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 BERKSHIRE HATHAWAY INC DEL 249,031 32,474,000 5.69%
2 JOHNSON & JOHNSON 251,731 23,499,000 4.11%
3 GENERAL ELECTRIC CO 607,824 15,329,000 2.68%
4 PEPSICO INC 161,887 15,266,000 2.67%
5 METLIFE INC 611,940 14,754,000 2.58%
6 SPDR S&P MIDCAP 400 ETF TR 58,436 14,544,000 2.55%
7 SOUTHERN CO 299,155 13,372,000 2.34%
8 MCDONALDS CORP 134,441 13,246,000 2.32%
9 3M Co 87,953 12,469,000 2.18%
10 PROCTER AND GAMBLE CO 172,456 12,407,000 2.17%
11 BRISTOL MYERS SQUIBB CO 204,126 12,084,000 2.12%
12 FORD MTR CO DEL 867,210 11,768,000 2.06%
13 Exxon Mobil Corp 148,684 11,055,000 1.94%
14 BOEING CO 83,697 10,960,000 1.92%
15 CONOCOPHILLIPS 221,441 10,620,000 1.86%
16 WELLS FARGO & CO NEW 204,600 10,506,000 1.84%
17 EMERSON ELEC CO 234,953 10,378,000 1.82%
18 WALGREENS BOOTS ALLIANCE INC 122,935 10,216,000 1.79%
19 FRP HLDGS INC COM 329,699 9,937,000 1.74%
20 CATERPILLAR INC 149,855 9,795,000 1.72%
21 INTERNATIONAL BUSINESS MACHS 66,537 9,646,000 1.69%
22 GOLDMAN SACHS GROUP PFD SERIES A 488,739 9,345,000 1.64%
23 PHILLIPS 66 115,208 8,853,000 1.55%
24 DUKE ENERGY CORPORATION HOLDIN 122,668 8,825,000 1.55%
25 INTEL CORP 285,213 8,596,000 1.51%
26 AIR PRODS & CHEMS INC 67,018 8,550,000 1.50%
27 EverBank Financial Corp. 339,300 8,516,000 1.49%
28 VULCAN MATLS CO 93,764 8,364,000 1.46%
29 COCA COLA CO 205,500 8,245,000 1.44%
30 CSX CORP 293,683 7,900,000 1.38%
31 DEERE & CO 103,993 7,695,000 1.35%
32 AMERICAN NATL INS CO COM 78,716 7,686,000 1.35%
33 ALTRIA GROUP INC 141,193 7,681,000 1.34%
34 VERIZON COMMUNICATIONS INC 175,549 7,638,000 1.34%
35 UNITED TECHNOLOGIES CORP 84,972 7,562,000 1.32%
36 EXPRESS SCRIPTS HOLDING COMPAN 89,956 7,283,000 1.28%
37 NORFOLK SOUTHN CORP 92,035 7,031,000 1.23%
38 CHEVRON CORP NEW 80,645 6,361,000 1.11%
39 ORACLE CORP 173,016 6,249,000 1.09%
40 PHILIP MORRIS INTL INC 70,805 5,617,000 0.98%
41 MICROSOFT CORP 108,505 4,802,000 0.84%
42 APPLE INC 42,987 4,741,000 0.83%
43 COLGATE PALMOLIVE CO 73,206 4,646,000 0.81%
44 SPECTRA ENERGY CORP 169,788 4,460,000 0.78%
45 SPDR GOLD TR 40,837 4,364,000 0.76%
46 DISNEY WALT CO 42,360 4,329,000 0.76%
47 PFIZER INC 134,677 4,230,000 0.74%
48 JOHNSON CTLS INTL PLC 92,925 3,843,000 0.67%
49 STARBUCKS CORP 64,610 3,672,000 0.64%
50 BB&T CORP 102,375 3,645,000 0.64%
Page 1 of 3

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001135077-15-000008, filed 2015.10.27).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.