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Clark & Stuart, Inc

All holdings · as of Dec 31, 2025

51 positions

CompanyClassValueShares% of portfolio
Merck & Co., Inc.$11.28M106,3847.8%
NEW YORK TIMES CO$10.62M153,0427.3%
JOHNSON & JOHNSON$10.55M50,9877.3%
3M CO$8.87M55,4216.1%
United Parcel Service Inc$8.25M83,1985.7%
SYSCO CORP$6.92M93,8434.8%
J M SMUCKER Co$6.75M68,9764.6%
Fastenal Co$6.69M166,6474.6%
PEPSICO INC$6.21M43,2654.3%
KIMBERLY CLARK CORP$5.81M56,8834.0%
NORDSON CORP$5.17M21,4223.6%
COMMERCE BANCSHARES INC /MO$4.49M85,7413.1%
ISHARES TR$4.28M9,0442.9%
RPM International Inc$4.12M39,6302.8%
AUTOMATIC DATA PROCESSING INC$3.75M14,4912.6%
SLB LIMITED/NV$3.57M92,4342.5%
Air Products & Chemicals, Inc.$3.42M13,8482.4%
STRYKER CORP$3.08M8,7352.1%
Apple Inc.$2.58M9,5041.8%
ADOBE INC.$2.37M6,7661.6%
CHEVRON CORP$2.30M15,0851.6%
GENUINE PARTS CO$2.25M18,1851.6%
ABBOTT LABORATORIES$1.92M15,3421.3%
EXXON MOBIL CORP$1.82M15,0971.3%
EMERSON ELECTRIC CO$1.58M11,9301.1%
COCA COLA CO$1.53M21,8631.1%
ILLINOIS TOOL WORKS INC$1.50M6,0491.0%
MICROSOFT CORP$1.48M3,0521.0%
HERSHEY CO$1.41M7,7251.0%
JPMORGAN CHASE & CO$1.25M3,8900.9%
PROCTER & GAMBLE Co$1.16M8,0750.8%
W.W. GRAINGER, INC.$999.0K9900.7%
ECOLAB INC.$742.4K2,8210.5%
Alphabet Inc.$609.5K1,9420.4%
Medtronic plc$563.9K5,8270.4%
GENERAL ELECTRIC CO$533.6K1,7300.4%
INTEL CORP$530.7K14,3820.4%
CAMDEN NATIONAL CORP$440.3K10,1500.3%
IDEXX LABORATORIES INC /DE$435.9K6440.3%
STARBUCKS CORP$433.7K5,1500.3%
Alphabet Inc.$350.9K1,1210.2%
Parker-Hannifin Corp$335.8K3820.2%
Warren E. Buffett$305.1K6070.2%
AppLovin Corp$270.2K4010.2%
NVIDIA Corp$259.2K1,3900.2%
REPLIGEN CORP$229.4K1,4000.2%
Cigna Group$228.4K8300.2%
INTERNATIONAL BUSINESS MACHINES CORP$227.2K7670.2%
The Boeing Company$217.6K1,0020.1%
VERIZON COMMUNICATIONS INC$212.8K5,2250.1%
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