Universe · entity

CLARK ESTATES INC/NY

Institutional manager (13F) · CIK 1056466
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $356M
#IssuerValueShares
1EA SERIES TRUST$77M2,119,482
2DISNEY WALT CO$19M200,000
3SOLVENTUM CORP$19M290,000
4UNILEVER PLC$17M305,000
5WARNER MUSIC GROUP CORP$17M650,000
6IQVIA HLDGS INC$16M95,200
7AMRIZE LTD$16M285,000
8SONY GROUP CORP$14M691,600
9HALEON PLC$14M1,400,000
10MEDTRONIC PLC$13M155,000
11BAUSCH PLUS LOMB CORP$13M825,000
12AVANOS MED INC$12M845,000
13SHATTUCK LABS INC$9M1,475,648
14SMITH & NEPHEW PLC$7M220,000
15GILEAD SCIENCES INC$4M26,022
16ALTRIA GROUP INC$3M48,613
17LANTHEUS HLDGS INC$3M42,000
18ZIFF DAVIS INC$3M69,700
19TD SYNNEX CORPORATION$3M17,299
20HALOZYME THERAPEUTICS INC$3M44,868
21NETSCOUT SYS INC$3M88,912
22CATALYST PHARMACEUTICALS INC$3M113,918
23INDIVIOR PHARMACEUTICALS INC$3M92,300
24BIOGEN INC$3M15,300
25PEDIATRIX MEDICAL GROUP INC$3M129,000
26PFIZER INC$3M96,750
273D SYS CORP DEL$3M1,418,614
28BRISTOL-MYERS SQUIBB CO$3M43,000
29EXPEDIA GROUP INC$3M11,100
30WILEY JOHN & SONS INC$3M67,000
31TERADATA CORP DEL$3M97,700
32CROCS INC$2M28,900
33BOOZ ALLEN HAMILTON HLDG COR$2M30,550
34INCYTE CORP$2M25,000
35BORGWARNER INC$2M43,000
36VIATRIS INC$2M171,566
37KORN FERRY$2M36,800
38WEX INC$2M15,100
39MATCH GROUP INC NEW$2M74,800
40STRATEGIC ED INC$2M27,600
41HARMONY BIOSCIENCES HLDGS IN$2M81,300
42NEXSTAR MEDIA GROUP INC$2M12,457
43AMDOCS LTD$2M34,200
44CDW CORP$2M18,275
45DORMAN PRODS INC$2M21,000
46ADOBE INC$2M8,990
47COGNIZANT TECHNOLOGY SOLUTIO$2M35,600
48YETI HLDGS INC$2M59,200
49VONTIER CORPORATION$2M60,674
50DECKERS OUTDOOR CORP$2M21,500
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.