
CLARK ESTATES INC/NY
Latest 13F filing data - Q1 2026
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | STTK | 1.48M | $9.49M |
![]() | DDD | 1.42M | $2.67M |
![]() | HLN | 1.40M | $14.01M |
![]() | AVNS | 845K | $11.84M |
![]() | BLCO | 825K | $13.12M |
![]() | SONY | 692K | $14.32M |
![]() | WMG | 650K | $16.60M |
![]() | JBI | 382K | $1.96M |
![]() | TASK | 311K | $2.08M |
![]() | UL | 305K | $17.38M |
![]() | SOLV | 290K | $18.94M |
![]() | AMRZ | 285K | $15.97M |
![]() | WU | 246K | $2.15M |
![]() | DH | 240K | $294.75K |
![]() | SNN | 220K | $6.99M |
![]() | DIS | 200K | $19.28M |
![]() | OSPN | 177K | $1.86M |
![]() | VTRS | 172K | $2.32M |
![]() | CARS | 164K | $1.33M |
![]() | MDT | 155K | $13.43M |

Shattuck Labs, Inc.
STTK
Shares Held
1.48M
Value
$9.49M

3D Systems Corporation
DDD
Shares Held
1.42M
Value
$2.67M

Haleon plc
HLN
Shares Held
1.40M
Value
$14.01M

Avanos Medical, Inc.
AVNS
Shares Held
845K
Value
$11.84M

Bausch + Lomb Corporation
BLCO
Shares Held
825K
Value
$13.12M

Sony Group Corporation
SONY
Shares Held
692K
Value
$14.32M

Warner Music Group Corp.
WMG
Shares Held
650K
Value
$16.60M

Janus International Group, Inc.
JBI
Shares Held
382K
Value
$1.96M

TaskUs, Inc.
TASK
Shares Held
311K
Value
$2.08M

Unilever PLC
UL
Shares Held
305K
Value
$17.38M

Solventum Corporation
SOLV
Shares Held
290K
Value
$18.94M

Amrize Ltd
AMRZ
Shares Held
285K
Value
$15.97M

The Western Union Company
WU
Shares Held
246K
Value
$2.15M

Definitive Healthcare Corp.
DH
Shares Held
240K
Value
$294.75K

Smith & Nephew plc
SNN
Shares Held
220K
Value
$6.99M

The Walt Disney Company
DIS
Shares Held
200K
Value
$19.28M

OneSpan Inc.
OSPN
Shares Held
177K
Value
$1.86M

Viatris Inc.
VTRS
Shares Held
172K
Value
$2.32M

Cars.com Inc.
CARS
Shares Held
164K
Value
$1.33M

Medtronic plc
MDT
Shares Held
155K
Value
$13.43M
