Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Berkshire Hathaway Inc Cl A | $40,049 | ||
BRK.A | 52 | UNCH | $28,217 |
BRK.B | 33,173 | -296 | $11,832 |
Costco Whsl Corp | 16,280 | -112 | $10,746 |
COST | 16,280 | -112 | $10,746 |
McDonald&apos s Corp | 30,392 | -143 | $9,012 |
MCD | 30,392 | -143 | $9,012 |
PepsiCo Inc | 47,645 | -209 | $8,092 |
PEP | 47,645 | -209 | $8,092 |
Coca Cola Company | 132,975 | -1,446 | $7,836 |
KO | 132,975 | -1,446 | $7,836 |
Procter & Gamble Co | 50,575 | -1,519 | $7,411 |
PG | 50,575 | -1,519 | $7,411 |
Johnson & Johnson | 44,457 | -398 | $6,968 |
JNJ | 44,457 | -398 | $6,968 |
Philip Morris International In | 71,676 | -1,000 | $6,743 |
PM | 71,676 | -1,000 | $6,743 |
AbbVie Inc | 39,058 | -832 | $6,053 |
ABBV | 39,058 | -832 | $6,053 |
Abbott Labs | 43,207 | -149 | $4,756 |
ABT | 43,207 | -149 | $4,756 |
American Express Company | 22,606 | -405 | $4,235 |
AXP | 22,606 | -405 | $4,235 |
Altria Group Inc | 102,035 | -110 | $4,116 |
MO | 102,035 | -110 | $4,116 |
Enbridge Inc | 111,777 | -19 | $4,026 |
ENB | 111,777 | -19 | $4,026 |
Franco Nevada Corp | 33,898 | -40 | $3,756 |
FNV | 33,898 | -40 | $3,756 |
Diageo PLC Sponsored ADR | 24,822 | -276 | $3,616 |
DEO | 24,822 | -276 | $3,616 |
Walmart Inc | 22,528 | -328 | $3,552 |
WMT | 22,528 | -328 | $3,552 |
Union Pacific Corp | 13,465 | -40 | $3,307 |
UNP | 13,465 | -40 | $3,307 |
Genuine Parts Co | 23,753 | -5 | $3,290 |
GPC | 23,753 | -5 | $3,290 |
Apple Inc | 16,849 | +20 | $3,244 |
AAPL | 16,849 | +20 | $3,244 |
Verisk Analytics | 13,400 | UNCH | $3,201 |
VRSK | 13,400 | UNCH | $3,201 |
Analog Devices Inc | 12,923 | +94 | $2,566 |
ADI | 12,923 | +94 | $2,566 |
Alphabet Inc Class C | 17,184 | +5,713 | $2,422 |
GOOG | 17,184 | +5,713 | $2,422 |
Enterprise Prods Partners LP | 90,782 | -260 | $2,392 |
EPD | 90,782 | -260 | $2,392 |
Realty Income Corp | 36,924 | +3,379 | $2,120 |
O | 36,924 | +3,379 | $2,120 |
Restaurant Brands Internationa | 23,208 | -5,566 | $1,813 |
QSR | 23,208 | -5,566 | $1,813 |
Norfolk Southern Corp | 7,600 | UNCH | $1,796 |
NSC | 7,600 | UNCH | $1,796 |
O&apos Reilly Automotive Inc | 1,759 | +101 | $1,671 |
ORLY | 1,759 | +101 | $1,671 |
Hershey Company | 8,477 | -19 | $1,580 |
HSY | 8,477 | -19 | $1,580 |
American Tower Systems Corp Cl | 5,304 | +16 | $1,145 |
AMT | 5,304 | +16 | $1,145 |
Oneok Inc | 16,081 | +4,470 | $1,129 |
OKE | 16,081 | +4,470 | $1,129 |
Expeditors International | 7,912 | +1 | $1,006 |
EXPD | 7,912 | +1 | $1,006 |
United Parcel Svc Inc Cl B | 5,615 | -3,284 | $883 |
UPS | 5,615 | -3,284 | $883 |
Wells Fargo & Co | 15,126 | -1,260 | $745 |
WFC | 15,126 | -1,260 | $745 |
Kraft Heinz Co | 17,714 | -6,866 | $655 |
KHC | 17,714 | -6,866 | $655 |
Chevron Corp | 4,375 | +7 | $653 |
CVX | 4,375 | +7 | $653 |
Yum Brands Inc | 4,933 | -144 | $645 |
YUM | 4,933 | -144 | $645 |
Sherwin Williams Co. | 2,063 | +1 | $643 |
SHW | 2,063 | +1 | $643 |
WEC Energy Group Inc | 5,427 | +736 | $457 |
WEC | 5,427 | +736 | $457 |
Moody&apos s Corp | 969 | -15 | $378 |
MCO | 969 | -15 | $378 |
Mondelez International Inc | 3,920 | -185 | $284 |
MDLZ | 3,920 | -185 | $284 |
Verizon Communications Inc | 6,687 | +5 | $252 |
VZ | 6,687 | +5 | $252 |
UnitedHealth Group Inc | 432 | UNCH | $227 |
UNH | 432 | UNCH | $227 |
Novartis International AG ADR | 2,040 | -180 | $206 |
NVS | 2,040 | -180 | $206 |
Activision Blizzard Inc | 0 | -2,550 | $0 (exited) |
ATVI | 0 | -2,550 | $0 |
See Summary: Hutner Capital Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Hutner Capital Management Inc.
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
ATVI | -2,550 | -$239 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
GOOG | +5,713 | +$910 |
OKE | +4,470 | +$393 |
O | +3,379 | +$445 |
WEC | +736 | +$79 |
ORLY | +101 | +$164 |
ADI | +94 | +$320 |
AAPL | +20 | +$363 |
AMT | +16 | +$275 |
CVX | +7 | -$84 |
VZ | +5 | +$35 |
Entity | Shares/Amount Change | Position Value Change |
---|---|---|
KHC | -6,866 | -$172 |
QSR | -5,566 | -$104 |
UPS | -3,284 | -$504 |
PG | -1,519 | -$187 |
KO | -1,446 | +$311 |
WFC | -1,260 | +$75 |
PM | -1,000 | +$15 |
ABBV | -832 | +$107 |
AXP | -405 | +$802 |
Size ($ in 1000's)
At 12/31/2023: $169,677 At 09/30/2023: $163,065 Hutner Capital Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Hutner Capital Management Inc. 13F filings. Link to 13F filings: SEC filings |