0001905644-22-000005.txt : 20220803 0001905644-22-000005.hdr.sgml : 20220803 20220803133616 ACCESSION NUMBER: 0001905644-22-000005 CONFORMED SUBMISSION TYPE: 13F-HR/A PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220630 FILED AS OF DATE: 20220803 DATE AS OF CHANGE: 20220803 EFFECTIVENESS DATE: 20220803 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/A SEC ACT: 1934 Act SEC FILE NUMBER: 028-21476 FILM NUMBER: 221131946 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/A 1 primary_doc.xml 13F-HR/A LIVE false true false 0001905644 XXXXXXXX 06-30-2022 06-30-2022 true 1 RESTATEMENT Linker Capital Management Inc.
5924 TIMBER RIDGE DRIVE SUITE 101 PROSPECT KY 40059-8150
13F HOLDINGS REPORT 028-21476 N
Stephen A. LInker President 5024573399 Stephen A. Linker Prospect KY 08-03-2022 0 36 80489 false
INFORMATION TABLE 2 Linker_13F_20220630.xml Abbott Laboratories Common 002824100 615 5663 SH SOLE NA 0 0 5663 Abbvie Inc Com Common 00287Y109 867 5663 SH SOLE NA 0 0 5663 Accenture Plc Ireland Common G1151C101 3101 11168 SH SOLE NA 0 0 11168 AFLAC, Inc. Common 001055102 3663 66210 SH SOLE NA 0 0 66210 American Express Co Common 025816109 1338 9650 SH SOLE NA 0 0 9650 Apple Inc Com Common 037833100 5826 42614 SH SOLE NA 0 0 42614 Berkshire Hathaway Inc Class B Common 084670207 236 865 SH SOLE NA 0 0 865 Berkshire Hathaway Inc Del Conv Cl A Com Common 084670108 2454 6 SH SOLE NA 0 0 6 Bristol-Myers Squibb Co Common 110122108 636 8262 SH SOLE NA 0 0 8262 Charles Schwab Corp Common 808513105 1357 21477 SH SOLE NA 0 0 21477 Chipotle Mexican Grill Com Cl A Common 169656105 359 275 SH SOLE NA 0 0 275 Coca-Cola Co Common 191216100 633 10060 SH SOLE NA 0 0 10060 Colgate-Palmolive Co Common 194162103 1882 23490 SH SOLE NA 0 0 23490 Dell Technologies Inc Common 24703L202 375 8108 SH SOLE NA 0 0 8108 Dow Jones Ind ETF Trust (SPDR) ETF 78467X109 3071 9976 SH SOLE NA 0 0 9976 Fiserv, Inc. Common 337738108 3126 35140 SH SOLE NA 0 0 35140 iShares MSCI EAFE Inx Fd ETF 464287465 537 8591 SH SOLE NA 0 0 8591 IShares Russell 2000 Index Fd ETF 464287655 1772 10460 SH SOLE NA 0 0 10460 IShares Russell Mid Cap Index ETF 464287499 632 9769 SH SOLE NA 0 0 9769 Johnson - Johnson Common 478160104 1158 6521 SH SOLE NA 0 0 6521 Merck - Company, Inc Common 58933Y105 1119 12279 SH SOLE NA 0 0 12279 Microsoft Corp Common 594918104 275 1070 SH SOLE NA 0 0 1070 Oracle Corp Common 68389X105 1116 15975 SH SOLE NA 0 0 15975 Paypal Holdings Inc Common 70450Y103 307 4390 SH SOLE NA 0 0 4390 S-P 500 ETF Trust (SPDR) ETF 78462F103 10498 27827 SH SOLE NA 0 0 27827 S-P Midcap 400 ETF Tr (SPDR) ETF 78467Y107 8804 21292 SH SOLE NA 0 0 21292 S-P Smallcap 600 IDX (SPDR) ETF 464287804 462 5000 SH SOLE NA 0 0 5000 Sysco Corp Common 871829107 1994 23536 SH SOLE NA 0 0 23536 Truist Financial Corporation Common 89832Q109 736 15519 SH SOLE NA 0 0 15519 U. S. Bancorp Common 902973304 468 10170 SH SOLE NA 0 0 10170 Vanguard Extd Mkt Index Fund ETF 922908694 515 5110 SH SOLE NA 0 0 5110 Vanguard Index 500 Fund (Admr) ETF 922908710 17414 49845 SH SOLE NA 0 0 49845 Vanguard Total Stock Market Vipers ETF 922908769 743 3940 SH SOLE NA 0 0 3940 VMware Inc Common 928563402 406 3563 SH SOLE NA 0 0 3563 Walt Disney Co Common 254687106 1625 17218 SH SOLE NA 0 0 17218 Western Union Co Common 959802109 369 22389 SH SOLE NA 0 0 22389