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Humidity70%
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Rain86%
Sunrise05:58 AM
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Time6:05 PM
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Cayman Journal
29 April 2026
13F HOLDINGS REPORT

HYMAN CHARLES D

Quarter ended Q2 2024 · Filed July 25, 2024 · Accession 0001135077-24-000003

Total Value
$1.79B
Positions
242
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (242)

#IssuerTicker / CUSIPSharesValue% of Filing
1BERKSHIRE HATHAWAY INC DELBRK-A326,378$132.8M7.40%
2MICROSOFT CORPMSFT275,311$123.0M6.86%
3APPLE INCAAPL481,246$101.4M5.65%
4COSTCO WHSL CORP NEW22160K10572,988$62.0M3.46%
5FRP HLDGS INCFRPH1,937,268$55.3M3.08%
6CATERPILLAR INCCAT160,161$53.4M2.97%
7VULCAN MATLS CO929160109197,694$49.2M2.74%
8ORACLE CORPORCL-PD324,089$45.8M2.55%
9MASTERCARD INCORPORATEDMA103,434$45.6M2.54%
10JOHNSON & JOHNSONJNJ297,667$43.5M2.42%
11SPDR S&P MIDCAP 400 ETF TRMDY77,241$41.3M2.30%
12MCDONALDS CORPMCD157,522$40.1M2.24%
13JPMORGAN CHASE & CO.VYLD185,884$37.6M2.10%
14AMAZON COM INCAMZN186,035$36.0M2.00%
15HOME DEPOT INCHD102,374$35.2M1.96%
16SOUTHERN COSOMN451,187$35.0M1.95%
17DEERE & CODE93,098$34.8M1.94%
18PEPSICO INCPEP190,850$31.5M1.75%
19PROCTER AND GAMBLE CO742718109184,930$30.5M1.70%
20EMERSON ELEC COEMR270,604$29.8M1.66%
21CSX CORPCSX786,843$26.3M1.47%
22PHILLIPS 66PSX169,271$23.9M1.33%
23MERCK & CO INCMRK189,656$23.5M1.31%
24AFLAC INCAFL248,206$22.2M1.24%
25INTUITIVE SURGICAL INCISRG49,507$22.0M1.23%
26CHEVRON CORP NEWCVX137,119$21.4M1.20%
27HEICO CORP NEWHEI-A94,910$21.2M1.18%
28NORFOLK SOUTHN CORP65584410894,824$20.4M1.13%
29LOCKHEED MARTIN CORPLMT43,121$20.1M1.12%
30FREEPORT-MCMORAN INCFCX406,870$19.8M1.10%
31GOLDMAN SACHS GROUP INCGSCE41,024$18.6M1.03%
32INTERNATIONAL BUSINESS MACHSINTR106,988$18.5M1.03%
33COCA COLA COKO273,000$17.4M0.97%
34DUKE ENERGY CORP NEWDUKB170,889$17.1M0.95%
35CONOCOPHILLIPSCOP142,693$16.3M0.91%
36VERIZON COMMUNICATIONS INCVZ388,430$16.0M0.89%
37AIR PRODS & CHEMS INCAIIR58,320$15.0M0.84%
38STARBUCKS CORPSBUX177,556$13.8M0.77%
39ELI LILLY & COLLY15,143$13.7M0.76%
40EXXON MOBIL CORPXOM111,109$12.8M0.71%
41RTX CORPORATIONRTX100,054$10.0M0.56%
42NVIDIA CORPORATIONNVDA80,214$9.9M0.55%
43BANK AMERICA CORP060505104248,963$9.9M0.55%
44NORTHROP GRUMMAN CORPNOC21,218$9.3M0.52%
45PACKAGING CORP AMER69515610946,535$8.5M0.47%
46HONEYWELL INTL INC43851610637,878$8.1M0.45%
47ALPHABET INCGOOG43,957$8.1M0.45%
48BRISTOL-MYERS SQUIBB COCELG-RI190,354$7.9M0.44%
49ELEVANCE HEALTH INCELV13,928$7.5M0.42%
50VANGUARD INDEX FDS92290836314,380$7.2M0.40%
51PHILIP MORRIS INTL INC71817210959,458$6.0M0.34%
52SPDR GOLD TRGLD27,550$5.9M0.33%
53COLGATE PALMOLIVE COCL59,320$5.8M0.32%
54TRAVELERS COMPANIES INCTRV27,106$5.5M0.31%
55SALESFORCE INCCRM21,379$5.5M0.31%
56NIKE INCNKE70,967$5.3M0.30%
57ISHARES TR46428888567,088$5.3M0.29%
58ABBVIE INCABBV29,433$5.0M0.28%
59INVESCO QQQ TRIVZ10,054$4.8M0.27%
60WALMART INCWMT70,612$4.8M0.27%
61ABBOTT LABSABLZF44,635$4.6M0.26%
62AUTOMATIC DATA PROCESSING INADP19,426$4.6M0.26%
63ALTRIA GROUP INCMO100,926$4.6M0.26%
64VISA INCV16,367$4.3M0.24%
65KIMBERLY-CLARK CORPKMB31,028$4.3M0.24%
66UNITEDHEALTH GROUP INCUNH8,357$4.3M0.24%
673M COMMM41,381$4.2M0.24%
68PFIZER INCPFE150,341$4.2M0.23%
69ALPHABET INCGOOG22,927$4.2M0.23%
70INTUITINTU6,188$4.1M0.23%
71THE CIGNA GROUP12552310012,260$4.1M0.23%
72MONDELEZ INTL INC60920710561,468$4.0M0.22%
73TRUIST FINL CORP89832Q10999,991$3.9M0.22%
74NEXTERA ENERGY INCNEE-PW52,688$3.7M0.21%
75ILLINOIS TOOL WKS INC45230810915,330$3.6M0.20%
76DISNEY WALT CO25468710636,442$3.6M0.20%
77ENBRIDGE INCENNPF99,841$3.6M0.20%
78CISCO SYS INCCSCO68,692$3.3M0.18%
79ISHARES TR46428751536,945$3.2M0.18%
80FEDEX CORPFDX10,405$3.1M0.17%
81VANGUARD INDEX FDS92290861116,030$2.9M0.16%
82PAYCHEX INCPAYX22,856$2.7M0.15%
83WEYERHAEUSER CO MTN BEWY94,802$2.7M0.15%
84GENERAL MLS INC37033410438,245$2.4M0.13%
85AMGEN INCAMGN7,619$2.4M0.13%
86TEXAS INSTRS INC88250810411,780$2.3M0.13%
87GENUINE PARTS COGPC16,064$2.2M0.12%
88CHUBB LIMITEDCB8,400$2.1M0.12%
89UNION PAC CORPUNP9,367$2.1M0.12%
90QUALCOMM INCQCOM10,608$2.1M0.12%
91VANGUARD INDEX FDS9229086298,667$2.1M0.12%
92AMERICAN EXPRESS COAXP9,043$2.1M0.12%
93BLACKSTONE INCBX16,873$2.1M0.12%
94BROADCOM INCAVGO1,297$2.1M0.12%
95WELLS FARGO CO NEW94974610134,951$2.1M0.12%
96PROSHARES TR74347R10724,800$2.0M0.11%
97SPDR S&P 500 ETF TRSPY3,753$2.0M0.11%
98AT&T INCT-PC103,386$2.0M0.11%
99DANAHER CORPORATION2358511027,736$1.9M0.11%
100THERMO FISHER SCIENTIFIC INCTMO3,343$1.8M0.10%
101META PLATFORMS INCMETA3,625$1.8M0.10%
102FORD MTR CO DEL345370860145,743$1.8M0.10%
103ARISTA NETWORKS INCANET5,123$1.8M0.10%
104AMERICAN TOWER CORP NEW03027X1009,134$1.8M0.10%
105ISHARES TR4642872003,108$1.7M0.09%
106VANGUARD WORLD FD92204A7022,892$1.7M0.09%
107ISHARES INC46428610364,415$1.6M0.09%
108NUCOR CORPNUE9,600$1.5M0.08%
109SELECT SECTOR SPDR TR81369Y85217,613$1.5M0.08%
110EATON CORP PLCETN4,792$1.5M0.08%
111STRYKER CORPORATIONSYK4,412$1.5M0.08%
112DIAGEO PLCDGEAF11,468$1.4M0.08%
113ADOBE INCADBE2,491$1.4M0.08%
114SYNOPSYS INCSNPS2,304$1.4M0.08%
115ADVANCED MICRO DEVICES INCAMD8,354$1.4M0.08%
116BOEING COBA-PA7,224$1.3M0.07%
117GENERAL DYNAMICS CORPGD4,516$1.3M0.07%
118VANGUARD INDEX FDS9229085954,819$1.2M0.07%
119WESCO INTL INC95082P1057,480$1.2M0.07%
120BLACKROCK INCBLK1,488$1.2M0.07%
121YUM BRANDS INCYUM8,475$1.1M0.06%
122GENERAL MTRS CO37045V10023,210$1.1M0.06%
123MASCO CORPMAS15,600$1.0M0.06%
124SPROTT PHYSICAL GOLD & SILVESII46,655$1.0M0.06%
125SYSCO CORPSYY14,266$1.0M0.06%
126TJX COS INC NEW8725401098,241$907,0000.05%
127ZOETIS INCZTS5,184$899,0000.05%
128NEWMONT CORPNEMCL21,400$896,0000.05%
129DUPONT DE NEMOURS INCDD10,592$853,0000.05%
130MARRIOTT INTL INC NEW5719032023,423$828,0000.05%
131ISHARES TR4642877215,436$818,0000.05%
132CINTAS CORPCTAS1,164$815,0000.05%
133FLOWERS FOODS INCFLO36,473$810,0000.05%
134HCA HEALTHCARE INCHCA2,464$792,0000.04%
135WASTE MGMT INC DEL94106L1093,641$777,0000.04%
136CARLISLE COS INC1423391001,900$770,0000.04%
137INTERACTIVE BROKERS GROUP IN45841N1076,100$748,0000.04%
138CONSOLIDATED EDISON INCED8,310$743,0000.04%
139AMERICAN ELEC PWR CO INC0255371018,419$739,0000.04%
140LOWES COS INC5486611073,300$728,0000.04%
141ALPS ETF TR00162Q45214,885$714,0000.04%
142MCKESSON CORPMCK1,214$709,0000.04%
143AUTODESK INCADSK2,824$699,0000.04%
144MORGAN STANLEYMS-PQ7,188$699,0000.04%
145L3HARRIS TECHNOLOGIES INCLHX3,091$694,0000.04%
146DOW INCDOW12,711$674,0000.04%
147SELECT SECTOR SPDR TR81369Y60516,322$671,0000.04%
148PPG INDS INC6935061075,209$656,0000.04%
149CTO RLTY GROWTH INC NEW22948Q10136,963$645,0000.04%
150DOVER CORPDOV3,428$619,0000.03%
151REGENCY CTRS CORP7588491039,862$613,0000.03%
152BECTON DICKINSON & COBDX2,550$596,0000.03%
153TAIWAN SEMICONDUCTOR MFG LTD8740391003,314$576,0000.03%
154CANADIAN NATL RY CO1363751024,860$574,0000.03%
155ENTERPRISE PRODS PARTNERS L29379210719,500$565,0000.03%
156SELECT SECTOR SPDR TR81369Y2093,837$559,0000.03%
157WHITE MTNS INS GROUP LTDG9618E107305$554,0000.03%
158ESCO TECHNOLOGIES INCESE5,235$550,0000.03%
159VANGUARD INTL EQUITY INDEX F9220427759,336$547,0000.03%
160TARGET CORPTGT3,685$546,0000.03%
161DEVON ENERGY CORP NEW25179M10311,471$544,0000.03%
162TRANE TECHNOLOGIES PLCTT1,650$543,0000.03%
163SOLVENTUM CORPSOLV10,187$539,0000.03%
164NASDAQ INCNDAQ8,895$536,0000.03%
165SCHLUMBERGER LTDSLB11,150$526,0000.03%
166SELECT SECTOR SPDR TR81369Y4072,875$524,0000.03%
167VANGUARD WHITEHALL FDS9219464064,286$508,0000.03%
168ANALOG DEVICES INCADI2,188$499,0000.03%
169SERVICENOW INCNOW616$485,0000.03%
170ISHARES TR4642876141,327$484,0000.03%
171VANGUARD SPECIALIZED FUNDS9219088442,620$478,0000.03%
172AMERICAN WTR WKS CO INC NEW0304201033,679$475,0000.03%
173DELL TECHNOLOGIES INCDELL3,255$449,0000.03%
174CADENCE DESIGN SYSTEM INCCDNS1,450$446,0000.02%
175CHURCH & DWIGHT CO INCCHD4,300$446,0000.02%
176UNITED PARCEL SERVICE INCUPS3,101$424,0000.02%
177MICROCHIP TECHNOLOGY INC.MCHPP4,570$418,0000.02%
178VANGUARD WORLD FD92204A6031,767$416,0000.02%
179AMEREN CORPAEE5,465$389,0000.02%
180LINDE PLCLIN870$382,0000.02%
181NOVARTIS AGNVSEF3,548$378,0000.02%
182GILEAD SCIENCES INCGILD5,476$376,0000.02%
183VERTEX PHARMACEUTICALS INCVRTX800$375,0000.02%
184ARES CAPITAL CORPARCC18,010$375,0000.02%
185CANADIAN PACIFIC KANSAS CITYCP4,750$374,0000.02%
186SPDR SER TR78464A7632,900$369,0000.02%
187CONSTELLATION ENERGY CORPCEG1,833$367,0000.02%
188ISHARES TR4642872348,215$350,0000.02%
189CORTEVA INCCTVA6,453$348,0000.02%
190ATMOS ENERGY CORPATO2,925$341,0000.02%
191SCHWAB CHARLES CORPSCHW-PJ4,595$339,0000.02%
192SMUCKER J M CO8326964053,099$338,0000.02%
193ROCKWELL AUTOMATION INCROK1,204$331,0000.02%
194AMERIPRISE FINL INC03076C106755$323,0000.02%
195ISHARES TR4642875562,319$318,0000.02%
196VANGUARD TAX-MANAGED FDS9219438586,359$314,0000.02%
197SELECT SECTOR SPDR TR81369Y5063,427$312,0000.02%
198PNC FINL SVCS GROUP INC6934751052,005$312,0000.02%
199CUMMINS INCCMI1,114$309,0000.02%
200ISHARES TR46432F8424,194$305,0000.02%
201FLOWSERVE CORPFLS6,300$303,0000.02%
202SELECT SECTOR SPDR TR81369Y8031,328$300,0000.02%
203CHARTER COMMUNICATIONS INC N16119P1081,004$300,0000.02%
204ISHARES TR4642875075,090$298,0000.02%
205AVERY DENNISON CORPAVY1,344$294,0000.02%
206EOG RES INCEOG2,331$293,0000.02%
207ANSYS INC03662Q105900$289,0000.02%
208PROLOGIS INC.PLDGP2,536$285,0000.02%
209AMERIS BANCORPABCB5,644$284,0000.02%
210CITIGROUP INCC-PR4,274$271,0000.02%
211DOMINION ENERGY INCD5,539$271,0000.02%
212SOUTHSTATE CORPORATIONSSB3,534$270,0000.02%
213EVEREST GROUP LTDEG700$267,0000.01%
214SELECT SECTOR SPDR TR81369Y3083,480$266,0000.01%
215VALLEY NATL BANCORP91979410737,934$265,0000.01%
216BARRICK GOLD CORP06790110815,805$264,0000.01%
217SNAP ON INCSNA995$260,0000.01%
218KINDER MORGAN INC DELEP-PC12,468$248,0000.01%
219VANGUARD WORLD FD92204A4052,470$247,0000.01%
220ISHARES TR46432F3391,445$247,0000.01%
221UNILEVER PLCUNLYF4,465$246,0000.01%
222DTE ENERGY CODTK2,200$244,0000.01%
223GRAINGER W W INC384802104270$244,0000.01%
224SEA LTDSE3,400$243,0000.01%
225SPROUTS FMRS MKT INC85208M1022,896$242,0000.01%
226VERALTO CORPVLTO2,523$241,0000.01%
227MASTEC INCMTZ2,252$241,0000.01%
228LANDSTAR SYS INCLSTR1,300$240,0000.01%
229ISHARES TR4642874812,117$234,0000.01%
230MICRON TECHNOLOGY INCMU1,757$231,0000.01%
231SYNOVUS FINL CORP87161C5015,521$222,0000.01%
232TELEFLEX INCORPORATEDTFX1,036$218,0000.01%
233SELECT SECTOR SPDR TR81369Y7041,743$212,0000.01%
234SELECT SECTOR SPDR TR81369Y8863,107$212,0000.01%
235ISHARES TR4642874992,595$210,0000.01%
236SHAKE SHACK INCSHAK2,325$209,0000.01%
237ISHARES TR4642874081,150$209,0000.01%
238NETFLIX INCNFLX304$205,0000.01%
239VANECK ETF TRUST92189F7261,200$202,0000.01%
240CALAMOS CONV OPPORTUNITIES &12811710811,050$129,0000.01%
241MEDICAL PPTYS TRUST INC58463J30416,548$71,0000.00%
242MATINAS BIOPHARMA HLDGS INCMTNB79,800$13,0000.00%