| Ticker | % Inc. |
|---|---|
| nvidia corp | 26.67 |
| first solar inc. | 15.38 |
| airbnb, inc. | 9.15 |
| enphase energy, inc. | 3.13 |
| bristol-myers squibb co. | 2.25 |
| american express co. | 0.46 |
| tesla motors inc. | 0.32 |
| ge healthcare technologies | 0.28 |
| Ticker | % Reduced |
|---|---|
| csx corporation | -50.00 |
| citigroup, inc. | -21.25 |
| caterpillar inc | -21.05 |
| microsoft corporation | -8.39 |
| dupont de nemours & co. | -7.4 |
| procter & gamble co. | -7.16 |
| eli lilly & co. | -5.32 |
| wyndham hotels & resorts, inc. | -3.35 |
MOUNT VERNON ASSOCIATES INC /MD/ has about 30.6% of it's holdings in Technology sector.
| Sector | % |
|---|---|
| Technology | 30.6 |
| Financial Services | 16.2 |
| Communication Services | 15.1 |
| Consumer Cyclical | 13.7 |
| Industrials | 8 |
| Consumer Defensive | 6.6 |
| Others | 4.6 |
| Healthcare | 2.5 |
| Utilities | 1.7 |
MOUNT VERNON ASSOCIATES INC /MD/ has about 92% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| MEGA-CAP | 57.4 |
| LARGE-CAP | 34.6 |
| UNALLOCATED | 4.6 |
| MID-CAP | 3.4 |
About 89.2% of the stocks held by MOUNT VERNON ASSOCIATES INC /MD/ either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 89.2 |
| Others | 10.8 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
MOUNT VERNON ASSOCIATES INC /MD/ has 55 stocks in it's portfolio. About 61.7% of the portfolio is in top 10 stocks. COST proved to be the most loss making stock for the portfolio. AAPL was the most profitable stock for MOUNT VERNON ASSOCIATES INC /MD/ last quarter.
Last Reported on: 24 Oct, 2025| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAPL | apple inc. | 10.79 | 60,689 | 15,453,000 | reduced | -1.41 | ||
| ABNB | airbnb, inc. | 0.83 | 9,840 | 1,195,000 | added | 9.15 | ||
| AFRM | affirm holdings, inc. | 2.18 | 42,725 | 3,122,000 | reduced | -1.84 | ||
| AMD | advanced micro device in | 0.22 | 1,935 | 313,000 | unchanged | 0.00 | ||
| AMZN | amazon.com inc. | 6.50 | 42,410 | 9,312,000 | reduced | -1.87 | ||
| AXP | american express co. | 4.32 | 18,652 | 6,195,000 | added | 0.46 | ||
| BAC | bank of america corp | 2.97 | 82,419 | 4,252,000 | reduced | -2.08 | ||
| BMY | bristol-myers squibb co. | 1.00 | 31,804 | 1,434,000 | added | 2.25 | ||
| C | citigroup, inc. | 0.47 | 6,670 | 677,000 | reduced | -21.25 | ||
| CAT | caterpillar inc | 0.25 | 750 | 358,000 | reduced | -21.05 | ||
| COF | capital one financial corp. | 0.27 | 1,825 | 388,000 | unchanged | 0.00 | ||
| COST | costco wholesale corp | 6.29 | 9,737 | 9,013,000 | reduced | -1.7 | ||
| CSCO | cisco systems inc. | 1.96 | 40,979 | 2,804,000 | reduced | -0.97 | ||
| CSX | csx corporation | 1.11 | 45,000 | 1,598,000 | reduced | -50.00 | ||
| DAL | delta air lines, inc. | 1.59 | 40,100 | 2,276,000 | unchanged | 0.00 | ||
| DD | dupont de nemours & co. | 0.48 | 8,764 | 683,000 | reduced | -7.4 | ||
| ENPH | enphase energy, inc. | 0.32 | 13,160 | 466,000 | added | 3.13 | ||
| FSLR | first solar inc. | 0.23 | 1,500 | 331,000 | added | 15.38 | ||
| GE | ge aerospace | 2.33 | 11,093 | 3,337,000 | reduced | -2.2 | ||
| GOOG | alphabet inc. cl c | 7.11 | 41,798 | 10,180,000 | reduced | -1.62 | ||