CLARK FINANCIAL SERVICES GROUP INC /BD at 2023-03-31

Filling information for CLARK FINANCIAL SERVICES GROUP INC /BD as Treemap, investor disclosed 57 total holdings based on 2023-03-31 SEC fillings. A list of the exposed holdings

Product name

Product description

Changed holding value / amount

Details
Total Holding Value, based on SEC fillings over time
CUSIP Symbol Name Title Of Class Value in 1000's Amount
907818108 907818108 Union Pacific Corp Common Stock 520 2584
20717M103 20717M103 Confluent Inc Com Common Stock 207 8608
14808P109 14808P109 Cass Information Systems Inc Common Stock 476 11000
097023105 097023105 Boeing Co Common Stock 231 1086
372460105 372460105 Genuine Parts Co Common Stock 363 2167
00206R102 00206R102 AT&T Inc Common Stock 287 14902
88322Q108 88322Q108 TG Therapeutics Inc Common Stock 260 17276
7591EP100 7591EP100 Regions Financial Corp Common Stock 202 10886
525327102 525327102 Leidos Holdings Inc Common Stock 356 3867
G9456A100 G9456A100 Golar LNG Ltd Common Stock 329 15215
00287Y109 00287Y109 AbbVie Inc Common Stock 712 4472
922908512 922908512 Vanguard Mid-Cap Value ETF Exchange Traded Fund 1446 10782
922908736 922908736 Vanguard Growth ETF Exchange Traded Fund 6338 25408
86745K104 86745K104 Sunnova Energy Intl Inc Common Stock 253 16168
14149Y108 14149Y108 Cardinal Health Inc Common Stock 526 6971
61945C103 61945C103 Mosaic Co Common Stock 730 15905
369550108 369550108 General Dynamics Corporation Common Stock 679 2974
594918104 594918104 Microsoft Corp Common Stock 2474 8583
713448108 713448108 Pepsico Incorporated Common Stock 223 1220
00507V109 00507V109 Activision Blizzard Inc Common Stock 377 4409
023135106 023135106 Amazon.com Inc Common Stock 390 3776
30231G102 30231G102 Exxon Mobil Corporation Common Stock 202 1838
037833100 037833100 Apple Inc Common Stock 5616 34058
437076102 437076102 Home Depot Inc Common Stock 246 835
78462F103 78462F103 SPDR S&P 500 Trust Exchange Traded Fund 328 802
20030N101 20030N101 Comcast Corp A Common Stock 203 5357
92826C839 92826C839 Visa Inc Common Stock 460 2042
11135F101 11135F101 Broadcom Inc Common Stock 890 1388
855244109 855244109 Starbucks Corp Common Stock 224 2155
459200101 459200101 International Business Machines Common Stock 881 6720
302491303 302491303 FMC Corp Common Stock 394 3225
038222105 038222105 Applied Materials Inc Common Stock 208 1695
02005N100 02005N100 Ally Financial Inc Common Stock 241 9473
922908363 922908363 Vanguard S&P 500 Exchange Traded Fund 18078 48071
G39342103 G39342103 Global Cord Blood Corp Common Stock 37 12275
278865100 278865100 Ecolab Inc Common Stock 326 1969
25179M103 25179M103 Devon Energy Corporation Common Stock 872 17228
922908538 922908538 Vanguard Mid-Cap Growth ETF Exchange Traded Fund 2629 13490
61174X109 61174X109 Monster Beverage Corp Common Stock 330 6108
023608102 023608102 Ameren Corp Common Stock 842 9746
110122108 110122108 Bristol-Myers Squibb Company Common Stock 444 6402
166764100 166764100 Chevron Corp Common Stock 687 4207
084670702 084670702 Berkshire Hathaway Inc Class B Common Stock 257 833
293594107 293594107 Enovix Corporation Common Stock 537 36016
552690109 552690109 MDU Resources Group Inc Common Stock 1593 52269
G16962105 G16962105 Bunge Ltd Common Stock 746 7807
91324P102 91324P102 UnitedHealth Group Inc Common Stock 369 781
922908744 922908744 Vanguard Value ETF Exchange Traded Fund 9133 66130
57636Q104 57636Q104 Mastercard Inc Common Stock 618 1701
512807108 512807108 Lam Research Corp Common Stock 509 959
931427108 931427108 Walgreens Boots Alliance Common Stock 315 9098
74736K101 74736K101 Qorvo Inc Common Stock 277 2731
15961R105 15961R105 Chargepoint Holdings Common Stock 296 28287
02209S103 02209S103 Altria Group Inc Common Stock 396 8873
731068102 731068102 Polaris Inc Common Stock 379 3424
87724P106 87724P106 Taylor Morrison Home Corp Common Stock 574 14997
02079K305 02079K305 Alphabet Inc Class A Common Stock 219 2104

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