HoldingsChannel.com
Clark Estates Inc. NY Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
VERIZON COMMUNICATIONS INC 1,100,790 +43,000 $60,687
     VZ1,100,790+43,000$60,687
FACEBOOK INC 178,500 -47,500 $40,532
     FB178,500-47,500$40,532
ALPHABET INC 16,500 -5,500 $23,398
     GOOGL16,500-5,500$23,398
WESTROCK CO 681,495 -300,000 $19,259
     WRK681,495-300,000$19,259
CORTEVA INC 625,000 -209,993 $16,744
     CTVA625,000-209,993$16,744
F M C CORP 165,000 +15,000 $16,437
     FMC165,000+15,000$16,437
AT&T INC 483,655 +500 $14,621
     T483,655+500$14,621
INTERPUBLIC GROUP COS INC 791,000 +585,000 $13,574
     IPG791,000+585,000$13,574
INTERNATIONAL BUSINESS MACHS 107,711 +9,000 $13,008
     IBM107,711+9,000$13,008
MICROSOFT CORP 62,000 UNCH $12,618
     MSFT62,000UNCH$12,618
MERCK & CO. INC 160,000 +110,000 $12,373
     MRK160,000+110,000$12,373
WHIRLPOOL CORP 94,000 +94,000 $12,176
     WHR94,000+94,000$12,176
PFIZER INC 351,550 +40,450 $11,496
     PFE351,550+40,450$11,496
DUPONT DE NEMOURS INC 200,000 +200,000 $10,626
     DD200,000+200,000$10,626
FIAT CHRYSLER AUTOMOBILES N 1,000,000 -200,000 $10,240
     FCAU1,000,000-200,000$10,240
3 D SYS CORP DEL 1,426,390 UNCH $9,970
     DDD1,426,390UNCH$9,970
AMAZON COM INC 3,512 -688 $9,689
     AMZN3,512-688$9,689
GLAXOSMITHKLINE PLC 235,000 UNCH $9,586
     GSK235,000UNCH$9,586
SS&C TECHNOLOGIES HLDGS INC 165,000 -23,000 $9,319
     SSNC165,000-23,000$9,319
APPLE INC 24,000 -4,000 $8,755
     AAPL24,000-4,000$8,755
BRISTOL MYERS SQUIBB CO 135,000 +65,000 $7,938
     BMY135,000+65,000$7,938
FOX CORP 280,000 +180,000 $7,510
     FOXA280,000+180,000$7,510
LYFT INC 220,000 -20,000 $7,262
     LYFT220,000-20,000$7,262
ABBVIE INC 66,400 +18,400 $6,519
     ABBV66,400+18,400$6,519
WYNDHAM DESTINATIONS INC 200,000 -56,000 $5,636
     WYND200,000-56,000$5,636
POLARIS INC 60,000 +60,000 $5,553
     PII60,000+60,000$5,553
GENERAL MLS INC 90,000 UNCH $5,549
     GIS90,000UNCH$5,549
HP INC 272,000 +71,000 $4,741
     HPQ272,000+71,000$4,741
BERKSHIRE HATHAWAY INC DEL      $4,284
     BRK.B24,000+24,000$4,284
AMERISOURCEBERGEN CORP 41,000 UNCH $4,132
     ABC41,000UNCH$4,132
GILEAD SCIENCES INC 53,000 UNCH $4,078
     GILD53,000UNCH$4,078
MASTEC INC 90,000 UNCH $4,038
     MTZ90,000UNCH$4,038
QURATE RETAIL INC 420,000 UNCH $3,990
     QRTEA420,000UNCH$3,990
ASGN INC 59,200 UNCH $3,947
     ASGN59,200UNCH$3,947
COMCAST CORP NEW 100,000 +100,000 $3,898
     CMCSA100,000+100,000$3,898
HERBALIFE NUTRITION LTD 80,900 UNCH $3,639
     HLF80,900UNCH$3,639
CISCO SYS INC 77,500 UNCH $3,615
     CSCO77,500UNCH$3,615
PHILIP MORRIS INTL INC 51,300 UNCH $3,594
     PM51,300UNCH$3,594
PERDOCEO ED CORP 223,000 UNCH $3,552
     PRDO223,000UNCH$3,552
PREMIER INC 103,000 UNCH $3,531
     PINC103,000UNCH$3,531
NU SKIN ENTERPRISES INC 92,000 UNCH $3,517
     NUS92,000UNCH$3,517
KORN FERRY 113,700 UNCH $3,494
     KFY113,700UNCH$3,494
BEST BUY INC 38,300 -13,000 $3,342
     BBY38,300-13,000$3,342
SNAP ON INC 24,000 UNCH $3,324
     SNA24,000UNCH$3,324
MERITOR INC 167,000 UNCH $3,307
     MTOR167,000UNCH$3,307
MSC INDL DIRECT INC 44,500 UNCH $3,240
     MSM44,500UNCH$3,240
EMCOR GROUP INC 48,700 UNCH $3,221
     EME48,700UNCH$3,221
ALLISON TRANSMISSION HLDGS I 86,500 UNCH $3,181
     ALSN86,500UNCH$3,181
CRANE CO 52,500 +4,500 $3,122
     CR52,500+4,500$3,122
LEAR CORP 28,000 UNCH $3,053
     LEA28,000UNCH$3,053

See Full List: All Stocks Held By Clark Estates Inc. NY
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Clark Estates Inc. NY

Size ($ in 1000's)
At 06/30/2020: $571,533
At 03/31/2020: $491,315

Clark Estates Inc. NY holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Clark Estates Inc. NY 13F filings. Link to 13F filings: SEC filings

Clark Estates Inc. NY Top Holdings 13F Filings | www.HoldingsChannel.com

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