Institutions / Mount Vernon Associates Inc /Md

Mount Vernon Associates Inc /Md

CIK 799003 · Institution · as of Dec 31, 2025
Portfolio value
$148.7K
Positions
60
As of
Dec 31, 2025

Top holdings

Dec 31, 2025View all 60 →
CompanyClassValueShares% of portfolio
Apple Inc.$16.3K59,80910.9%
Alphabet Inc.$12.8K40,8738.6%
Microsoft Corp$11.0K22,7087.4%
Amazon.com Inc$9.8K42,6156.6%
Meta Platforms Inc$8.7K13,1545.8%
Costco Wholesale Corp /New$8.4K9,7325.6%
JPMORGAN CHASE & CO$7.8K24,2615.3%
American Express Co$6.9K18,7024.7%
Bank of America Corp /De$4.5K82,6693.1%
Spotify Technology S.A.$4.1K7,1402.8%
GE Aerospace$3.5K11,2932.3%
Tractor Supply Co /De$3.4K67,0702.3%
Uber Technologies, Inc$3.3K39,9252.2%
Affirm Holdings Inc Class a$3.2K42,9252.1%
Cisco Systems, Inc.$3.2K40,9792.1%
Schwab Charles Corp$3.0K29,8002.0%
Delta Air Lines, Inc.$2.8K40,0001.9%
Tesla Inc$2.5K5,6451.7%
PPL Corp$2.3K65,1501.5%
Honeywell International Inc$2.2K11,4291.5%
NVIDIA Corp$1.9K10,3591.3%
Intel Corp$1.8K49,9371.2%
Starbucks Corp$1.8K21,2521.2%
Texas Instruments Inc$1.8K10,1901.2%
Bristol Myers Squibb Co$1.7K31,7041.2%

Activity

Dec 31, 2025
InsidersInstitutions
This fund's 13F position changes — what it's buying and selling.
No quarter-over-quarter changes yet — position changes appear once we've ingested two consecutive 13F filings for this manager. We currently hold 1 quarter of holdings.