0001085146-23-001866.txt : 20230425
0001085146-23-001866.hdr.sgml : 20230425
20230425150533
ACCESSION NUMBER: 0001085146-23-001866
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20230331
FILED AS OF DATE: 20230425
DATE AS OF CHANGE: 20230425
EFFECTIVENESS DATE: 20230425
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Chapman Investment Management, LLC
CENTRAL INDEX KEY: 0001751006
IRS NUMBER: 461869323
STATE OF INCORPORATION: CA
FISCAL YEAR END: 1231
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-19680
FILM NUMBER: 23844367
BUSINESS ADDRESS:
STREET 1: 701 BUTTERFIELD RD
CITY: SAN ANSELMO
STATE: CA
ZIP: 94960
BUSINESS PHONE: 4154973885
MAIL ADDRESS:
STREET 1: 701 BUTTERFIELD RD
CITY: SAN ANSELMO
STATE: CA
ZIP: 94960
13F-HR
1
primary_doc.xml
X0202
13F-HR
LIVE
false
false
false
0001751006
XXXXXXXX
03-31-2023
03-31-2023
false
Chapman Investment Management, LLC
701 Butterfield Rd
San Anselmo
CA
94960
13F HOLDINGS REPORT
028-19680
N
Scott A Chapman
CEO
415-497-3885
/s/ Scott A Chapman
San Anselmo
CA
04-24-2023
0
36
121533474
false
INFORMATION TABLE
2
infotable.xml
INFORMATION TABLE
ACCENTURE PLC IRELAND
SHS CLASS A
G1151C101
6091469
21313
SH
SOLE
8000
0
13313
ADOBE SYSTEMS INCORPORATED
COM
00724F101
1031250
2676
SH
SOLE
830
0
1846
AMAZON COM INC
COM
023135106
5166566
50020
SH
SOLE
12400
0
37620
AMERICAN EXPRESS CO
COM
025816109
3210917
19466
SH
SOLE
7100
0
12366
APPLE INC
COM
037833100
7481780
45372
SH
SOLE
13580
0
31792
BANK AMERICA CORP
COM
060505104
348517
12186
SH
SOLE
0
0
12186
BERKSHIRE HATHAWAY INC DEL
CL B NEW
084670702
960275
3110
SH
SOLE
0
0
3110
CHEVRON CORP NEW
COM
166764100
2218160
13595
SH
SOLE
5200
0
8395
CHIPOTLE MEXICAN GRILL INC
COM
169656105
298951
175
SH
SOLE
175
0
0
CINTAS CORP
COM
172908105
2911645
6293
SH
SOLE
2300
0
3993
COCA COLA CO
COM
191216100
219152
3533
SH
SOLE
0
0
3533
COSTCO WHSL CORP NEW
COM
22160K105
8130781
16364
SH
SOLE
6020
0
10344
DISNEY WALT CO
COM
254687106
4456293
44505
SH
SOLE
13040
0
31465
EXPEDITORS INTL WASH INC
COM
302130109
2759938
25063
SH
SOLE
5800
0
19263
EXXON MOBIL CORP
COM
30231G102
7171325
65396
SH
SOLE
27000
0
38396
GE HEALTHCARE TECHNOLOGIES I
COMMON STOCK
36266G107
6986659
85172
SH
SOLE
27200
0
57972
JPMORGAN CHASE & CO
COM
46625H100
1864997
14312
SH
SOLE
11400
0
2912
KLA CORP
COM NEW
482480100
955613
2394
SH
SOLE
0
0
2394
LOCKHEED MARTIN CORP
COM
539830109
501094
1060
SH
SOLE
1060
0
0
M & T BK CORP
COM
55261F104
819652
6855
SH
SOLE
5000
0
1855
MARRIOTT INTL INC NEW
CL A
571903202
3827554
23052
SH
SOLE
8100
0
14952
MASTERCARD INCORPORATED
CL A
57636Q104
8402766
23122
SH
SOLE
8515
0
14607
MERCADOLIBRE INC
COM
58733R102
5633388
4274
SH
SOLE
1795
0
2479
MERCK & CO INC
COM
58933Y105
204269
1920
SH
SOLE
0
0
1920
MICROSOFT CORP
COM
594918104
8988048
31176
SH
SOLE
8770
0
22406
PFIZER INC
COM
717081103
272626
6682
SH
SOLE
0
0
6682
S&P GLOBAL INC
COM
78409V104
211689
614
SH
SOLE
0
0
614
SCHWAB CHARLES CORP
COM
808513105
3974175
75872
SH
SOLE
21600
0
54272
SPDR S&P 500 ETF TR
TR UNIT
78462F103
836384
2043
SH
SOLE
0
0
2043
SPDR SER TR
SPDR S&P 500 ETF
78468R796
6348475
190989
SH
SOLE
0
0
190989
THE CIGNA GROUP
COM
125523100
204424
800
SH
SOLE
0
0
800
UNITED PARCEL SERVICE INC
CL B
911312106
3723832
19196
SH
SOLE
9300
0
9896
VISA INC
COM CL A
92826C839
7005947
31074
SH
SOLE
10641
0
20433
WASTE MGMT INC DEL
COM
94106L109
4391729
26915
SH
SOLE
13200
0
13715
WHITE MTNS INS GROUP LTD
COM
G9618E107
413247
300
SH
SOLE
0
0
300
ZOETIS INC
CL A
98978V103
3509887
21088
SH
SOLE
9055
0
12033