Clark Estates

Latest statistics and disclosures from Clark Estates's latest quarterly 13F-HR filing:

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Positions held by Clark Estates consolidated in one spreadsheet with up to 7 years of data

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Portfolio Holdings for Clark Estates

Clark Estates holds 86 positions in its portfolio as reported in the June 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Ea Series Trust Euclidean Fundam (ECML) 20.1 $107M 3.4M 31.78
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Dun & Bradstreet Hldgs (DNB) 4.5 $24M +3% 2.6M 9.26
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Philip Morris International (PM) 4.3 $23M -9% 225k 101.33
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Haleon Spon Ads (HLN) 4.1 $22M 2.7M 8.26
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Medtronic SHS (MDT) 4.1 $22M +7% 275k 78.71
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Unilever Spon Adr New (UL) 3.9 $21M -6% 375k 54.99
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Smith & Nephew Spdn Adr New (SNN) 3.5 $19M -6% 750k 24.78
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Kenvue (KVUE) 3.4 $18M -20% 1.0M 18.18
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L3harris Technologies (LHX) 3.4 $18M -15% 80k 224.58
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Fiserv (FI) 2.8 $15M -23% 100k 149.04
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Ge Healthcare Technologies I Common Stock (GEHC) 2.8 $15M -15% 190k 77.92
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Alphabet Cap Stk Cl A (GOOGL) 2.1 $11M -7% 61k 182.15
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Bausch Plus Lomb Corp Common Shares (BLCO) 2.0 $10M +16% 719k 14.52
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Shattuck Labs (STTK) 1.1 $5.7M 1.5M 3.86
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3-d Sys Corp Del Com New (DDD) 0.8 $4.4M 1.4M 3.07
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United Therapeutics Corporation (UTHR) 0.8 $4.2M -14% 13k 318.55
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Adtalem Global Ed (ATGE) 0.8 $4.1M -8% 60k 68.21
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Wiley John & Sons Cl A (WLY) 0.7 $3.9M -10% 96k 40.70
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eBay (EBAY) 0.7 $3.9M -4% 72k 53.72
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ABM Industries (ABM) 0.7 $3.9M -4% 77k 50.57
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Lantheus Holdings Inc Common Stock Usd 0.01 (LNTH) 0.7 $3.8M NEW 47k 80.29
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Cigna Corp (CI) 0.7 $3.8M -5% 11k 330.57
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Gates Indl Corp Ord Shs (GTES) 0.7 $3.8M -7% 237k 15.81
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Hp (HPQ) 0.7 $3.7M -9% 106k 35.02
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Perdoceo Ed Corp (PRDO) 0.7 $3.7M -20% 173k 21.42
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Altria (MO) 0.7 $3.7M -2% 81k 45.55
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Acuity Brands (AYI) 0.7 $3.6M -8% 15k 241.44
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Heidrick & Struggles International (HSII) 0.7 $3.6M -4% 113k 31.58
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Arrow Electronics (ARW) 0.7 $3.6M -2% 29k 120.76
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Incyte Corporation (INCY) 0.7 $3.5M NEW 59k 60.62
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Crocs (CROX) 0.7 $3.5M -27% 24k 145.94
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Skyworks Solutions (SWKS) 0.7 $3.5M -2% 33k 106.58
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InterDigital (IDCC) 0.7 $3.5M -2% 30k 116.56
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Expedia Group Com New (EXPE) 0.7 $3.5M +25% 28k 125.99
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Catalyst Pharmaceutical Partners (CPRX) 0.7 $3.5M -2% 225k 15.49
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Nexstar Media Group Common Stock (NXST) 0.7 $3.5M -2% 21k 166.01
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Solarwinds Corp Com New (SWI) 0.6 $3.4M +118% 286k 12.05
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Ss&c Technologies Holding (SSNC) 0.6 $3.4M -2% 55k 62.67
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Allison Transmission Hldngs I (ALSN) 0.6 $3.4M -2% 45k 75.90
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Omni (OMC) 0.6 $3.4M -2% 38k 89.70
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Frontdoor (FTDR) 0.6 $3.4M NEW 101k 33.79
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SYNNEX Corporation (SNX) 0.6 $3.3M -12% 29k 115.40
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Resideo Technologies (REZI) 0.6 $3.2M -2% 165k 19.56
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Everi Hldgs (EVRI) 0.6 $3.2M +25% 382k 8.40
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Halliburton Company (HAL) 0.6 $3.2M -2% 95k 33.78
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Kraft Heinz (KHC) 0.6 $3.2M NEW 99k 32.22
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Amdocs SHS (DOX) 0.6 $3.2M NEW 40k 78.92
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Western Union Company (WU) 0.6 $3.1M -2% 256k 12.22
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Cisco Systems (CSCO) 0.6 $3.1M -2% 65k 47.51
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Harley-Davidson (HOG) 0.6 $3.1M -2% 92k 33.54
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American Woodmark Corporation (AMWD) 0.6 $3.1M -2% 39k 78.60
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Viatris (VTRS) 0.6 $3.1M -3% 287k 10.63
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Black Stone Minerals Com Unit (BSM) 0.6 $3.0M -2% 194k 15.67
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AGCO Corporation (AGCO) 0.6 $3.0M -2% 31k 97.88
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Gilead Sciences (GILD) 0.6 $3.0M -3% 44k 68.61
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Match Group (MTCH) 0.6 $3.0M +52% 98k 30.38
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Tapestry (TPR) 0.6 $2.9M -3% 69k 42.79
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Vector (VGR) 0.5 $2.9M -3% 273k 10.57
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Comcast Corp Cl A (CMCSA) 0.5 $2.9M -3% 74k 39.16
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Cognizant Technology Solutio Cl A (CTSH) 0.5 $2.8M -3% 41k 68.00
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Concentrix Corp (CNXC) 0.5 $2.8M +14% 44k 63.28
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Manpower (MAN) 0.5 $2.7M -3% 39k 69.80
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Premier Cl A (PINC) 0.5 $2.7M -3% 146k 18.67
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NetScout Systems (NTCT) 0.5 $2.7M -3% 149k 18.29
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J Global (ZD) 0.5 $2.7M -3% 49k 55.05
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Tegna (TGNA) 0.5 $2.7M -3% 195k 13.94
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Wright Express (WEX) 0.5 $2.6M -3% 15k 177.14
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Mednax (MD) 0.5 $2.6M -3% 343k 7.55
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Molson Coors Beverage CL B (TAP) 0.5 $2.6M -3% 51k 50.83
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Dxc Technology (DXC) 0.5 $2.6M -3% 135k 19.09
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Resources Connection (RGP) 0.5 $2.5M -3% 224k 11.04
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CVS Caremark Corporation (CVS) 0.5 $2.5M -3% 42k 59.06
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Bristol Myers Squibb (BMY) 0.4 $2.4M -3% 58k 41.53
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Embecta Corp Common Stock (EMBC) 0.4 $2.2M -3% 176k 12.50
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Definitive Healthcare Corp Class A Com (DH) 0.4 $2.2M NEW 401k 5.46
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Thryv Hldgs Com New (THRY) 0.4 $2.0M -4% 113k 17.82
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Procter & Gamble Company (PG) 0.2 $948k 5.8k 164.92
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Apple (AAPL) 0.1 $655k 3.1k 210.62
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Johnson & Johnson (JNJ) 0.1 $600k 4.1k 146.16
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Spdr S&p 500 Etf Tr Tr Unit (SPY) 0.1 $574k 1.1k 544.22
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International Business Machines (IBM) 0.1 $528k 3.1k 172.95
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Amazon (AMZN) 0.1 $472k 2.4k 193.25
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Microsoft Corporation (MSFT) 0.1 $381k 853.00 446.95
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Vanguard Index Fds Small Cp Etf (VB) 0.1 $294k 1.4k 218.04
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Exxon Mobil Corporation (XOM) 0.0 $256k 2.2k 115.12
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Chubb (CB) 0.0 $204k 800.00 255.08
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Past Filings by Clark Estates

SEC 13F filings are viewable for Clark Estates going back to 2011

View all past filings