13F

Investor

CLARK ESTATES INC/NY

CIK 0001056466 · filed 2026-05-11 · SEC filing

13F book

$416.2M

Positions

97

13 new · 14 sold

Largest name

18.5%

Ea Series Trust

Est. mark

−$9.25M

Price effect on 84 names still held. Flow $13.4M.
NameTickerSharesValueWeightEst. markChange
Ea Series Trust2.12M$77M18.5%$6.2MCut$536.9K
Disney Walt Co200K$19.3M4.6%−$2.78MAdded$1.07M
Solventum CorpSOLV290K$18.9M4.5%−$3MAdded$1.9M
Unilever Plc305K$17.4M4.2%−$1.35MAdded$6.91M
Warner Music Group Corp.WMG650K$16.6M4.0%−$1.41MAdded$8.17M
Iqvia Hldgs Inc95.2K$16.2M3.9%−$3.3MAdded$2.67M
Amrize LtdAMRZ285K$16M3.8%$552.9KCut−$1.61M
Sony Group Corp691.6K$14.3M3.4%−$1.23MAdded$7.92M
Haleon Plc1.4M$14M3.4%−$140KCut−$4.18M
Medtronic PlcMDT155K$13.4M3.2%−$1.46MHeld
Bausch Plus Lomb Corp825K$13.1M3.2%−$973.5KHeld
Avanos Med Inc845K$11.8M2.8%$2.35MCut$1.86M
Shattuck Labs, Inc.STTK1.48M$9.49M2.3%$4.1MHeld
Smith & Nephew Plc220K$6.99M1.7%−$226.6KCut−$2.85M
Gilead Sciences, Inc.GILD26K$3.63M0.9%$432.7KHeld
Altria Group, Inc.MO48.6K$3.21M0.8%$404.9KHeld
Lantheus Hldgs Inc42K$3.19M0.8%$390.6KHeld
Ziff Davis, Inc.ZD69.7K$2.92M0.7%$474.7KHeld
Td Synnex CorpSNX17.3K$2.92M0.7%$319.7KHeld
Halozyme Therapeutics, Inc.HALO44.9K$2.9M0.7%−$119.8KHeld
Netscout Sys Inc88.9K$2.83M0.7%$420.6KHeld
Catalyst Pharmaceuticals Inc113.9K$2.82M0.7%$161.8KHeld
Indivior Pharmaceuticals, Inc.INDV92.3K$2.81M0.7%New
Biogen Inc.BIIB15.3K$2.8M0.7%$112.3KHeld
Pediatrix Medical Group, Inc.MD129K$2.76M0.7%$0Held
Pfizer IncPFE96.8K$2.72M0.7%$307.7KHeld
3-D Sys Corp Del1.42M$2.67M0.6%$156KHeld
Bristol-Myers Squibb Co43K$2.61M0.6%$288.5KHeld
Expedia Group, Inc.EXPE11.1K$2.56M0.6%New
Wiley John & Sons Inc67K$2.55M0.6%$500.5KHeld
Teradata Corp Del97.7K$2.5M0.6%−$469.9KHeld
Crocs, Inc.CROX28.9K$2.4M0.6%−$62.8KAdded$252.7K
Booz Allen Hamilton Hldg Cor30.6K$2.38M0.6%−$168.7KAdded$135.6K
Incyte CorpINCY25K$2.35M0.6%−$116.2KHeld
BorgWarner IncBWA43K$2.33M0.6%$395.6KHeld
Viatris IncVTRS171.6K$2.32M0.6%$181.9KHeld
Korn FerryKFY36.8K$2.32M0.6%New
WEX Inc.WEX15.1K$2.31M0.6%$61.3KHeld
Match Group Inc New74.8K$2.3M0.6%−$102.4KAdded$204.7K
Strategic Ed Inc27.6K$2.29M0.5%$76.2KHeld
Harmony Biosciences Hldgs In81.3K$2.28M0.5%−$633.3KAdded−$241.2K
Nexstar Media Group, Inc.NXST12.5K$2.25M0.5%−$276.8KHeld
Amdocs LtdDOX34.2K$2.23M0.5%−$411.8KAdded$58.1K
CDW CorpCDW18.3K$2.21M0.5%New
Dorman Prods Inc21K$2.19M0.5%New
Adobe Inc.ADBE8.99K$2.19M0.5%New
Cognizant Technology Solutio35.6K$2.18M0.5%−$535.2KAdded$132.2K
Yeti Hldgs Inc59.2K$2.17M0.5%−$448.7KHeld
Vontier CorpVNT60.7K$2.15M0.5%−$103.8KHeld
Deckers Outdoor CorpDECK21.5K$2.15M0.5%New
Western Un Co246K$2.15M0.5%−$142.7KHeld
Omnicom Group Inc.OMC28.4K$2.14M0.5%−$154.5KHeld
World Kinect CorpWKC91.6K$2.11M0.5%−$33KHeld
Qualys, Inc.QLYS24K$2.11M0.5%New
Molson Coors Beverage Co48.8K$2.1M0.5%−$176.7KHeld
Ss&C Technologies Hldgs Inc31K$2.09M0.5%New
TaskUs, Inc.TASK310.5K$2.08M0.5%New
Allison Transmission Hldgs I17.8K$2.08M0.5%$340.1KHeld
Upbound Group, Inc.UPBD113K$2.04M0.5%$55.4KHeld
Smucker J M Co21K$2.02M0.5%−$28.8KHeld
Frontdoor, Inc.FTDR38K$2.01M0.5%New
Janus International Group In381.5K$1.96M0.5%−$449.7KAdded−$151K
Kbr, Inc.KBR52.5K$1.94M0.5%−$175.4KHeld
Pvh Corporation27.3K$1.9M0.5%$74.8KHeld
Asgn IncEFOR48.8K$1.89M0.5%−$461.6KHeld
OneSpan Inc.OSPN177K$1.86M0.4%−$408.9KHeld
Dropbox, Inc.DBX80.8K$1.84M0.4%−$410.5KHeld
Blackbaud IncBLKB47.3K$1.83M0.4%−$872.3KAdded−$408.9K
Comcast Corp New62.1K$1.78M0.4%−$73.3KHeld
Maximus, Inc.MMS27.1K$1.74M0.4%−$603KHeld
Dxc Technology CoDXC130K$1.63M0.4%−$270.4KHeld
Yelp IncYELP65.1K$1.61M0.4%−$367.8KHeld
Simply Good Foods CoSMPL107.5K$1.54M0.4%−$528.9KAdded−$310.8K
Bellring Brands, Inc.BRBR94.1K$1.51M0.4%−$758.6KAdded−$391.8K
Bath & Body Works, Inc.BBWI75.6K$1.41M0.3%−$106.6KHeld
Cars.com Inc.CARS163.8K$1.33M0.3%−$668.3KHeld
Hp IncHPQ63.3K$1.22M0.3%−$194.4KHeld
Johnson & JohnsonJNJ4.11K$1M0.2%$153.9KHeld
Embecta Corp.EMBC105.2K$930.1K0.2%−$319.8KHeld
Xponential Fitness, Inc.XPOF144.7K$871.3K0.2%−$319.9KHeld
Procter And Gamble CoPG5.75K$830.5K0.2%$6.5KHeld
Apple Inc.AAPL3.11K$789.5K0.2%−$56.2KHeld
International Business Machs3.06K$740.5K0.2%−$164.4KHeld
Spdr S&P 500 Etf Tr1.05K$685.5K0.2%−$33.3KHeld
Henry Schein IncHSIC8K$589.6K0.1%New
Amazon Com IncAMZN2.44K$508.2K0.1%−$55KHeld
Helen Of Troy LtdHELE34.2K$493.2K0.1%−$233.6KHeld
Exxon Mobil Corp2.22K$377.3K0.1%$109.7KHeld
Vanguard Index Fds1.35K$353.6K0.1%$5.36KHeld
Alphabet Inc1.1K$316.3K0.1%−$28KHeld
Microsoft CorpMSFT853$315.8K0.1%−$96.8KHeld
Definitive Healthcare Corp.DH239.6K$294.7K0.1%−$393KHeld
Chubb Limited800$260.7K0.1%$11KHeld
Pepsico IncPEP1.65K$256.2K0.1%$19.4KHeld
Ishares Tr2.37K$230.2K0.1%$2.61KHeld
Jpmorgan Chase & Co.750$220.6K0.1%−$21KHeld
Northrop Grumman Corp305$208.1K0.1%New

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.