The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete. | |||||||||||||||||
UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F INFORMATION TABLE |
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COLUMN 1 | COLUMN 2 | COLUMN 3 | COLUMN 4 | COLUMN 5 | COLUMN 6 | COLUMN 7 | COLUMN 8 | ||||
VALUE | SHRS OR | SH/ | PUT/ | INVESTMENT | OTHER | VOTING AUTHORITY | |||||
NAME OF ISSUER | TITLE OF CLASS | CUSIP | (x$1000) | PRN AMT | PRN | CALL | DISCRETION | MANAGER | SOLE | SHARED | NONE |
AFLAC INC COM | COM | 001055102 | 458 | 6,850 | SH | SOLE | 0 | 6,850 | 0 | ||
AMERICAN EXPRESS COMPANY | COM | 025816109 | 6,306 | 69,499 | SH | SOLE | 0 | 69,499 | 0 | ||
AMERICAN INTL GROUP INC COM NEW | COM | 026874784 | 20,546 | 402,460 | SH | SOLE | 0 | 402,460 | 0 | ||
ANADARKO PETE CORP COM | COM | 032511107 | 254 | 3,200 | SH | SOLE | 0 | 3,200 | 0 | ||
BANK AMER CORP COM | COM | 060505104 | 13,001 | 835,010 | SH | SOLE | 0 | 835,010 | 0 | ||
BANK OF NEW YORK MELLON CORP COM | COM | 064058100 | 5,068 | 145,035 | SH | SOLE | 0 | 145,035 | 0 | ||
BERKSHIRE HATHAWAY INC DEL CL A | COM | 084670108 | 356 | 2 | SH | SOLE | 0 | 2 | 0 | ||
BERKSHIRE HATHAWAY INC DEL CL B NEW | COM | 084670702 | 15,051 | 126,951 | SH | SOLE | 0 | 126,951 | 0 | ||
BP PLC SPONS ADR | SPON ADR | 055622104 | 729 | 15,000 | SH | SOLE | 0 | 15,000 | 0 | ||
BRISTOL MYERS SQUIBB CO COM | COM | 110122108 | 12,676 | 238,490 | SH | SOLE | 0 | 238,490 | 0 | ||
CANADIAN NATURAL RES LTD ISIN#CA1363851017 | COM | 136385101 | 276 | 8,150 | SH | SOLE | 0 | 8,150 | 0 | ||
COCA COLA COMPANY | COM | 191216100 | 10,285 | 248,975 | SH | SOLE | 0 | 248,975 | 0 | ||
CONTAINER STORE GRP INC COM | COM | 210751103 | 585 | 12,550 | SH | SOLE | 0 | 12,550 | 0 | ||
DUNKIN BRANDS GROUP INC COM | COM | 265504100 | 7,050 | 146,257 | SH | SOLE | 0 | 146,257 | 0 | ||
EXXON MOBIL CORP COM | COM | 30231G102 | 1,326 | 13,100 | SH | SOLE | 0 | 13,100 | 0 | ||
FISERV INC COM | COM | 337738108 | 2,535 | 42,930 | SH | SOLE | 0 | 42,930 | 0 | ||
GENERAL MTRS CO COM | COM | 37045V100 | 5,281 | 129,210 | SH | SOLE | 0 | 129,210 | 0 | ||
GENUINE PARTS CO | COM | 372460105 | 1,324 | 15,920 | SH | SOLE | 0 | 15,920 | 0 | ||
GOLDMAN SACHS GROUP INC COM | COM | 38141G104 | 558 | 3,150 | SH | SOLE | 0 | 3,150 | 0 | ||
JOHNSON & JOHNSON COM | COM | 478160104 | 8,254 | 90,124 | SH | SOLE | 0 | 90,124 | 0 | ||
LEUCADIA NATL CORP COM | COM | 527288104 | 326 | 11,500 | SH | SOLE | 0 | 11,500 | 0 | ||
MORGAN STANLEY COM NEW | COM | 617446448 | 6,100 | 194,510 | SH | SOLE | 0 | 194,510 | 0 | ||
PEPSICO INC COM | COM | 713448108 | 11,341 | 136,739 | SH | SOLE | 0 | 136,739 | 0 | ||
PROCTER & GAMBLE CO COM | COM | 742718109 | 10,805 | 132,718 | SH | SOLE | 0 | 132,718 | 0 | ||
SYSCO CORP COM | COM | 871829107 | 4,480 | 124,110 | SH | SOLE | 0 | 124,110 | 0 | ||
TWITTER INC COM | COM | 90184L102 | 218 | 3,425 | SH | SOLE | 0 | 3,425 | 0 | ||
UNILEVER PLC SPON ADR NEW ISIN#US904767704 | SPON ADR | 904767704 | 2,129 | 51,675 | SH | SOLE | 0 | 51,675 | 0 | ||
VALEANT PHARMACEUTICALS INTL INC CDA COM I | COM | 91911K102 | 2,159 | 18,393 | SH | SOLE | 0 | 18,393 | 0 | ||
WALGREEN CO | COM | 931422109 | 3,255 | 56,665 | SH | SOLE | 0 | 56,665 | 0 | ||
WELLS FARGO & CO NEW COM | COM | 949746101 | 12,610 | 277,749 | SH | SOLE | 0 | 277,749 | 0 |