Hutner Capital Management Inc Portfolio Stock Holdings

According to the SEC 13F filed on August 14, 2026, Hutner Capital Management Inc disclosed 43 stock positions valued at approximately $252.14M as of quarter-end June 30, 2026. The largest holdings include Berkshire Hathaway Inc Cl A, Berkshire Hathaway Inc Cl B, and Alphabet Inc Class C.

Report Period
June 30, 2026
No. of Stocks
43
Portfolio Value
$252.14M
Holdings by Sector
Hutner Capital Management Inc Portfolio Holdings in Q2 2026

42 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
Berkshire Hathaway Inc Cl ABRK-AFinancial Services12.18%41--$30,702,850
Berkshire Hathaway Inc Cl BBRK-BFinancial Services7.80%39,297-2,665-6.35%$19,663,714
Alphabet Inc Class CGOOGCommunication Services5.75%41,045+1,173+2.94%$14,502,268
Costco Whsl CorpCOSTConsumer Defensive5.26%14,183+98+0.70%$13,267,447
Philip Morris International InPMConsumer Defensive5.15%71,834-249-0.35%$12,995,519
Coca-Cola CompanyKOConsumer Defensive4.96%154,028+372+0.24%$12,517,851
Johnson & JohnsonJNJHealthcare4.54%45,099+37+0.08%$11,453,769
Franco-Nevada CorpFNVBasic Materials4.00%48,444+1,218+2.58%$10,097,636
AbbVie IncABBVHealthcare3.99%40,013+7+0.02%$10,068,932
McDonald's CorpMCDConsumer Cyclical3.78%35,234+130+0.37%$9,524,063
PepsiCo IncPEPConsumer Defensive3.66%68,143+1,651+2.48%$9,226,618
Enbridge IncENBEnergy3.48%161,690+1,034+0.64%$8,765,234
Altria Group IncMOConsumer Defensive3.23%113,040-294-0.26%$8,133,233
Procter & Gamble CoPGConsumer Defensive3.09%53,101-373-0.70%$7,786,743
American Express CompanyAXPFinancial Services2.80%20,835+239+1.16%$7,047,445
Walmart IncWMTConsumer Defensive2.59%57,724-292-0.50%$6,537,866
Apple IncAAPLTechnology2.56%22,289+218+0.99%$6,449,434
Enterprise Prods Partners LPEPDEnergy2.02%138,729+1,676+1.22%$5,099,678
Analog Devices IncADITechnology1.85%11,731--$4,659,336
Abbott LabsABTHealthcare1.58%43,797-225-0.51%$3,974,136
Union Pacific CorpUNPIndustrials1.41%13,053+538+4.30%$3,550,518
Realty Income CorpOReal Estate1.33%54,267+1,313+2.48%$3,362,387
Verisk AnalyticsVRSKIndustrials1.26%17,641+5,883+50.03%$3,167,044
Visa IncVFinancial Services1.15%8,478+955+12.69%$2,908,888
Genuine Parts CoGPCConsumer Cyclical1.11%23,654+1+0.00%$2,790,750
O'Reilly Automotive IncORLYConsumer Cyclical1.08%29,674+210+0.71%$2,732,721
Norfolk Southern CorpNSCIndustrials0.93%7,454--$2,344,940
Yum Brands IncYUMConsumer Cyclical0.68%10,693+376+3.64%$1,709,345
Restaurant Brands InternationaQSRConsumer Cyclical0.68%23,563+5,566+30.93%$1,708,562
Hershey CompanyHSYConsumer Defensive0.65%9,378+91+0.98%$1,645,449
Progressive CorpPGRFinancial Services0.53%6,093+50+0.83%$1,331,097
Sherwin-Williams Co.SHWBasic Materials0.51%3,731--$1,284,727
Wells Fargo & CoWFCFinancial Services0.49%14,953-34-0.23%$1,235,686
Novartis International AG ADRNVSHealthcare0.43%6,891+57+0.83%$1,079,925
Expeditors InternationalEXPDIndustrials0.42%6,485--$1,056,987
Diageo PLC Sponsored ADRDEOConsumer Defensive0.29%9,194-250-2.65%$738,996
WEC Energy Group IncWECUtilities0.25%5,336--$623,085
Oneok, IncOKEEnergy0.24%6,962--$605,276
Moody's CorpMCOFinancial Services0.17%945--$428,009
Alphabet Inc Class AGOOGLCommunication Services0.11%795+1+0.13%$283,940
United Parcel Svc Inc Cl BUPSIndustrials0.10%2,411-33-1.35%$259,157
Corning IncGLWTechnology0.08%800+800+100.00%$204,344