Tufton Capital Management

CIK 0001055963 · HUNT VALLEY, MD · Quarter end: 2026-06-30 · Filed on: 2026-07-27 · Open the SEC source

Tufton Capital Management reported 127 positions worth $596.0K as of June 30, 2026 (13F filed July 27, 2026). Largest holding: GLW (6.2%).

Portfolio Value (AUM)Total value of the fund's US stock portfolio reported to the SEC.
$596.0K
2026 Q2
Positions
127
Top-10 ConcentrationHow much of the portfolio sits in the 10 largest holdings. High = concentrated bets.
38.0%
Est. Net Flow (Q)
2026 Q2
10 / 127 positions shown
#SymbolCompanyTypeValue% Port.Shares1YYTD
1GLWCORNING INC COMSH$36.7K6.16%143,707
2GOOGALPHABET INC CAP STK CL CSH$29.2K4.90%82,589
3MSFTMICROSOFT CORP COMSH$27.1K4.54%72,618
4AAPLAPPLE INC COMSH$27.0K4.53%93,351
5CATCATERPILLAR INC COMSH$23.2K3.90%21,801
6JPMJPMORGAN CHASE & CO COMSH$22.9K3.83%69,812
7TJXTJX COS INC NEW COMSH$17.7K2.97%116,836
8AMZNAMAZON COM INC COMSH$15.9K2.68%66,916
9JNJJOHNSON & JOHNSON COMSH$13.6K2.28%53,500
10ABBVABBVIE INC COMSH$13.5K2.26%53,477

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Read the 2026-Q2 quarterly report · 13F Filing Calendar

Frequently Asked Questions

What stocks does Tufton Capital Management hold as of Q2 2026?

Tufton Capital Management reported 127 positions worth $596.0K in its Q2 2026 13F filing. Largest positions: GLW (6.2%), GOOG (4.9%), MSFT (4.5%), AAPL (4.5%) and CAT (3.9%).

What did Tufton Capital Management buy in Q2 2026?

No previous quarter is available yet; the comparison appears with the next filing.

What did Tufton Capital Management sell in Q2 2026?

No previous quarter is available yet.

13F data shows quarter-end positions, is delayed by up to 45 days and covers only long positions in US-listed securities; short positions, most derivatives and non-US assets are not reported.