0001905644-23-000004.txt : 20230504
0001905644-23-000004.hdr.sgml : 20230504
20230504162830
ACCESSION NUMBER: 0001905644-23-000004
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20230331
FILED AS OF DATE: 20230504
DATE AS OF CHANGE: 20230504
EFFECTIVENESS DATE: 20230504
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Linker Capital Management Inc.
CENTRAL INDEX KEY: 0001905644
IRS NUMBER: 610964690
STATE OF INCORPORATION: KY
FISCAL YEAR END: 0531
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-21476
FILM NUMBER: 23889217
BUSINESS ADDRESS:
STREET 1: 5924 TIMBER RIDGE DRIVE
STREET 2: SUITE 101
CITY: PROSPECT
STATE: KY
ZIP: 40059-8150
BUSINESS PHONE: 5025843313
MAIL ADDRESS:
STREET 1: 5924 TIMBER RIDGE DRIVE
STREET 2: SUITE 101
CITY: PROSPECT
STATE: KY
ZIP: 40059-8150
13F-HR
1
primary_doc.xml
X0202
13F-HR
LIVE
false
true
false
0001905644
XXXXXXXX
03-31-2023
03-31-2023
Linker Capital Management Inc.
5924 TIMBER RIDGE DRIVE
SUITE 101
PROSPECT
KY
40059-8150
13F HOLDINGS REPORT
028-21476
N
Stephen A. Linker
President
502-584-3313
Stephen A Linker
Prospect
KY
05-04-2023
0
39
91213
false
INFORMATION TABLE
2
Linker_13f_20230331.xml
Abbott Laboratories
Common
002824100
573
5663
SH
SOLE
NA
0
0
5663
Abbvie Inc Com
Common
00287Y109
903
5663
SH
SOLE
NA
0
0
5663
Accenture Plc Ireland
Common
G1151C101
3163
11068
SH
SOLE
NA
0
0
11068
AFLAC, Inc.
Common
001055102
4272
66210
SH
SOLE
NA
0
0
66210
Alphabet Inc Cl A
Common
02079K305
1778
17140
SH
SOLE
NA
0
0
17140
Alphabet Inc Cl C
Common
02079K107
1783
17140
SH
SOLE
NA
0
0
17140
American Express Co
Common
025816109
1592
9650
SH
SOLE
NA
0
0
9650
Apple Inc Com
Common
037833100
6973
42289
SH
SOLE
NA
0
0
42289
Berkshire Hathaway Inc Class B
Common
084670207
267
865
SH
SOLE
NA
0
0
865
Berkshire Hathaway Inc Del Conv Cl A Com
Common
084670108
2794
6
SH
SOLE
NA
0
0
6
Bristol-Myers Squibb Co
Common
110122108
561
8101
SH
SOLE
NA
0
0
8101
Charles Schwab Corp
Common
808513105
1125
21477
SH
SOLE
NA
0
0
21477
Chipotle Mexican Grill Com Cl A
Common
169656105
470
275
SH
SOLE
NA
0
0
275
Chubb Limited
Common
H1467J104
200
1032
SH
SOLE
NA
0
0
1032
Coca-Cola Co
Common
191216100
624
10060
SH
SOLE
NA
0
0
10060
Colgate-Palmolive Co
Common
194162103
1765
23490
SH
SOLE
NA
0
0
23490
Dell Technologies Inc
Common
24703L202
326
8108
SH
SOLE
NA
0
0
8108
Dow Jones Ind ETF Trust (SPDR)
ETF
78467X109
3318
9976
SH
SOLE
NA
0
0
9976
Fiserv, Inc.
Common
337738108
3972
35140
SH
SOLE
NA
0
0
35140
iShares MSCI EAFE Inx Fd
ETF
464287465
614
8591
SH
SOLE
NA
0
0
8591
IShares Russell 2000 Index Fd
ETF
464287655
1866
10460
SH
SOLE
NA
0
0
10460
IShares Russell Mid Cap Index
ETF
464287499
683
9769
SH
SOLE
NA
0
0
9769
Johnson - Johnson
Common
478160104
1011
6521
SH
SOLE
NA
0
0
6521
Merck - Company, Inc
Common
58933Y105
1306
12279
SH
SOLE
NA
0
0
12279
Microsoft Corp
Common
594918104
308
1070
SH
SOLE
NA
0
0
1070
Oracle Corp
Common
68389X105
1475
15875
SH
SOLE
NA
0
0
15875
Paypal Holdings Inc
Common
70450Y103
333
4390
SH
SOLE
NA
0
0
4390
S-P 500 ETF Trust (SPDR)
ETF
78462F103
11392
27827
SH
SOLE
NA
0
0
27827
S-P Midcap 400 ETF Tr (SPDR)
ETF
78467Y107
9760
21292
SH
SOLE
NA
0
0
21292
S-P Smallcap 600 IDX (SPDR)
ETF
464287804
484
5000
SH
SOLE
NA
0
0
5000
Sysco Corp
Common
871829107
1795
23236
SH
SOLE
NA
0
0
23236
Truist Financial Corporation
Common
89832Q109
529
15519
SH
SOLE
NA
0
0
15519
U. S. Bancorp
Common
902973304
367
10170
SH
SOLE
NA
0
0
10170
Vanguard Extd Mkt Index Fund
ETF
922908694
550
5171
SH
SOLE
NA
0
0
5171
Vanguard Index 500 Fund (Admr)
ETF
922908710
19137
50483
SH
SOLE
NA
0
0
50483
Vanguard Total Stock Market Vipers
ETF
922908769
804
3940
SH
SOLE
NA
0
0
3940
VMware Inc
Common
928563402
445
3563
SH
SOLE
NA
0
0
3563
Walt Disney Co
Common
254687106
1645
16432
SH
SOLE
NA
0
0
16432
Western Union Co
Common
959802109
250
22389
SH
SOLE
NA
0
0
22389