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HUTNER CAPITAL MANAGEMENT INC

Q2 2025 · 13F-HR

HUTNER CAPITAL MANAGEMENT INCholdings as filed

Filed 2025-08-13 · accession 0000944733-25-000003

$219.8M
Reported value
44
Positions
2025-06-30
Period end
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The Brief · HUTNER CAPITAL MANAGEMENT INC · Q2 2025

AI · grounded in 13F

HUTNER CAPITAL MANAGEMENT INC established a new position in Berkshire Hathaway Inc Cl A BRK/A valued at $30.6M. The fund also initiated new stakes in Berkshire Hathaway Inc Cl B BRK/B for $20.1M and Costco Whsl Corp COST for $14.1M. Additional new positions include Philip Morris International In PM at $13.4M and Coca-Cola Company KO at $10.8M.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
084670108BRK/ABerkshire Hathaway Inc Cl A$30.6M13.9%42CommonSOLE
084670702BRK/BBerkshire Hathaway Inc Cl B$20.1M9.13%41,301CommonSOLE
22160K105COSTCostco Whsl Corp$14.1M6.41%14,227CommonSOLE
718172109PMPhilip Morris International In$13.4M6.10%73,616CommonSOLE
191216100KOCoca-Cola Company$10.8M4.92%153,003CommonSOLE
580135101MCDMcDonald's Corp$10.0M4.57%34,351CommonSOLE
742718109PGProcter & Gamble Co$8.5M3.86%53,226CommonSOLE
00287Y109ABBVAbbVie Inc$7.8M3.54%41,964CommonSOLE
351858105FNVFranco-Nevada Corp$7.4M3.35%44,995CommonSOLE
713448108PEPPepsiCo Inc$7.3M3.30%54,957CommonSOLE
02079K107GOOGAlphabet Inc Class C$6.9M3.13%38,790CommonSOLE
29250N105ENBEnbridge Inc$6.7M3.04%147,628CommonSOLE
025816109AXPAmerican Express Company$6.6M3.00%20,659CommonSOLE
478160104JNJJohnson & Johnson$6.5M2.96%42,631CommonSOLE
02209S103MOAltria Group Inc$6.5M2.96%110,894CommonSOLE
931142103WMTWalmart Inc$5.9M2.66%59,899CommonSOLE
002824100ABTAbbott Labs$5.6M2.57%41,474CommonSOLE
293792107EPDEnterprise Prods Partners LP$4.2M1.93%136,489CommonSOLE
037833100AAPLApple Inc$4.1M1.88%20,094CommonSOLE
92345Y106VRSKVerisk Analytics$3.5M1.59%11,200CommonSOLE
h1467j104Chubb Limited$2.8M1.29%9,816CommonSOLE
907818108UNPUnion Pacific Corp$2.7M1.25%11,948CommonSOLE
372460105GPCGenuine Parts Co$2.7M1.25%22,622CommonSOLE
756109104ORealty Income Corp$2.6M1.18%45,140CommonSOLE
67103H107ORLYO'Reilly Automotive Inc$2.6M1.17%28,607CommonSOLE
032654105ADIAnalog Devices Inc$2.5M1.14%10,546CommonSOLE
655844108NSCNorfolk Southern Corp$1.9M0.86%7,344CommonSOLE
25243Q205DEODiageo PLC Sponsored ADR$1.7M0.77%16,768CommonSOLE
682680103OKEOneok, Inc$1.6M0.74%19,984CommonSOLE
92826C839VVisa Inc$1.5M0.70%4,334CommonSOLE
743315103PGRProgressive Corp$1.4M0.65%5,354CommonSOLE
427866108HSYHershey Company$1.3M0.57%7,595CommonSOLE
949746101WMT2Wells Fargo & Co$1.2M0.55%15,118CommonSOLE
76131D103QSRRestaurant Brands Internationa$1.1M0.48%15,954CommonSOLE
988498101YUMYum Brands Inc$937,0830.43%6,324CommonSOLE
824348106SHWSherwin-Williams Co.$932,1790.42%2,715CommonSOLE
302130109EXPDExpeditors International$745,6440.34%6,526CommonSOLE
66987V109NVSNovartis International AG ADR$700,2540.32%5,787CommonSOLE
92939U106WECWEC Energy Group Inc$565,4930.26%5,427CommonSOLE
615369105MCOMoody's Corp$474,0030.22%945CommonSOLE
911312106UPSUnited Parcel Svc Inc Cl B$444,4150.20%4,403CommonSOLE
03027X100AMTAmerican Tower Systems Corp Cl$339,8420.15%1,538CommonSOLE
98978v103Zoetis Inc Cl A$308,2920.14%1,977CommonSOLE
609207105MDLZMondelez International Inc$229,1610.10%3,398CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.