0001373017-21-000002.txt : 20210210
0001373017-21-000002.hdr.sgml : 20210210
20210210122353
ACCESSION NUMBER: 0001373017-21-000002
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20201231
FILED AS OF DATE: 20210210
DATE AS OF CHANGE: 20210210
EFFECTIVENESS DATE: 20210210
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: BCM ADVISORS, LLC
CENTRAL INDEX KEY: 0001373017
IRS NUMBER: 721199630
STATE OF INCORPORATION: LA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-12053
FILM NUMBER: 21612552
BUSINESS ADDRESS:
STREET 1: P.O. BOX 51162
CITY: LAFAYETTE
STATE: LA
ZIP: 70505
BUSINESS PHONE: 337-233-7758
MAIL ADDRESS:
STREET 1: P.O. BOX 51162
CITY: LAFAYETTE
STATE: LA
ZIP: 70505
FORMER COMPANY:
FORMER CONFORMED NAME: BILLEAUD CAPITAL MANAGEMENT, LLC
DATE OF NAME CHANGE: 20200415
FORMER COMPANY:
FORMER CONFORMED NAME: Billeaud Capital Management, Inc.
DATE OF NAME CHANGE: 20060816
13F-HR
1
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0001373017
XXXXXXXX
12-31-2020
12-31-2020
BCM ADVISORS, LLC
P.O. BOX 51162
LAFAYETTE
LA
70505
13F HOLDINGS REPORT
028-12053
N
HILLE DOMINGUE
CHIEF COMPLIANCE OFFICER
3343440098
HILLE DOMINGUE
LAFAYETTE
LA
02-10-2021
0
53
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INFORMATION TABLE
2
2020_Q4_13F.xml
Advanced Micro Devices
COM
007903107
1101
12000
SH
SOLE
0
0
12000
Aes Corp
COM
00130H105
625
26600
SH
SOLE
0
0
26600
Aflac Inc
COM
001055102
445
10000
SH
SOLE
0
0
10000
Amern Tower Corp Class A
COM
03027X100
404
1800
SH
SOLE
0
0
1800
Apple Inc
COM
037833100
540
4070
SH
SOLE
0
0
4070
Archer-Daniels-Midln
COM
039483102
705
13985
SH
SOLE
0
0
13985
Atmos Energy Corp
COM
049560105
4290
44955
SH
SOLE
0
0
44955
AXA SA
COM
054536107
1102
46000
SH
SOLE
0
0
46000
Berkshire Hathaway Cl B
CL B NEW
084670702
232
1000
SH
SOLE
0
0
1000
Broadcom Ltd
COM
11135F101
1106
2525
SH
SOLE
0
0
2525
Caterpillar Inc
COM
149123101
1274
7000
SH
SOLE
0
0
7000
Centerpoint Energy
COM
15189T107
541
25000
SH
SOLE
0
0
25000
Coca Cola Company
COM
191216100
5486
100036
SH
SOLE
0
0
100036
Colgate-Palmolive Co
COM
194162103
5091
59532
SH
SOLE
0
0
59532
Conocophillips
COM
20825C104
870
21750
SH
SOLE
0
0
21750
Consolidated Edison Inc
COM
209115104
4069
56309
SH
SOLE
0
0
56309
Costco Whsl Corp New
COM
22160K105
1258
3338
SH
SOLE
0
0
3338
Deere & Co
COM
244199105
1549
5758
SH
SOLE
0
0
5758
Dominion Res Inc Va New
COM
25746U109
767
10200
SH
SOLE
0
0
10200
Du Pont E I De Nemour&Co
COM
26614N102
887
12470
SH
SOLE
0
0
12470
Duke Energy Corporation
COM
26441C204
5786
63196
SH
SOLE
0
0
63196
Enterprise Products Partners L.P.
COM
293792107
2459
125538
SH
SOLE
0
0
125538
ETFS Gold Trust
PHYSCL GOLD SHS
00326A104
3820
208981
SH
SOLE
0
0
208981
Exxon Mobil Corporation
COM
30231G102
2241
54358
SH
SOLE
0
0
54358
Facebook
COM
30303M102
209
765
SH
SOLE
0
0
765
General Dynamics Corp
COM
369550108
978
6575
SH
SOLE
0
0
6575
General Mills Inc
COM
370334104
3172
53954
SH
SOLE
0
0
53954
Home Bancorp Inc
COM
43689E107
339
12124
SH
SOLE
0
0
12124
Honeywell International
COM
438516106
957
4500
SH
SOLE
0
0
4500
International Paper Co
COM
460146103
1392
28000
SH
SOLE
0
0
28000
iShares MSCI USA Min Volatility
MSCI USA MIN VOL
46429B697
49897
735076
SH
SOLE
0
0
735076
Ishares Tr Barclays Bond
20 YR TR BD ETF
464287432
18237
115623
SH
SOLE
0
0
115623
J.P. Morgan Chase
COM
46625H100
344
2708
SH
SOLE
0
0
2708
JB Hunt Transport Services Inc
COM
445658107
888
6500
SH
SOLE
0
0
6500
Johnson & Johnson
COM
478160104
6669
42376
SH
SOLE
0
0
42376
Kinder Morgan Inc
COM
49456B101
1107
81000
SH
SOLE
0
0
81000
L3Harris Technologies Inc
COM
502431109
586
3100
SH
SOLE
0
0
3100
Pepsico Incorporated
COM
713448108
3284
22142
SH
SOLE
0
0
22142
Pfizer Incorporated
COM
717081103
224
6074
SH
SOLE
0
0
6074
Powershares S&P Midcap
S&P MIDCP LOW
46138E198
987
20519
SH
SOLE
0
0
20519
Ppl Corp
COM
69351T106
959
34000
SH
SOLE
0
0
34000
Procter & Gamble
COM
742718109
377
2710
SH
SOLE
0
0
2710
S P D R TRUST Unit SR
TR UNIT
78462F103
2221
5940
SH
SOLE
0
0
5940
S&P500 Catholic Values
S&P 500 CATHOLIC
37954Y889
12007
259889
SH
SOLE
0
0
259889
SPDR Gold Share
GOLD SHARES
78463V107
47919
268667
SH
SOLE
0
0
268667
SPDR Long Term Govt Bond
PORTFOLIO LN TSR
78464A664
3746
83013
SH
SOLE
0
0
83013
Sysco Corporation
COM
871829107
951
12800
SH
SOLE
0
0
12800
The Southern Company
COM
842587107
4754
77391
SH
SOLE
0
0
77391
Valero Energy Corp New
COM
91913Y100
566
10000
SH
SOLE
0
0
10000
Vanguard Intermediate Bond
INTERMED TERM
921937819
39697
427538
SH
SOLE
0
0
427538
Vanguard Short Term Bond Index
SHORT TRM BOND
921937827
297
3579
SH
SOLE
0
0
3579
Vanguard Total Stock Mkt
TOTAL STK MKT
922908769
51690
265569
SH
SOLE
0
0
265569
Verizon Communications
COM
92343V104
3384
57599
SH
SOLE
0
0
57599