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MOUNT VERNON ASSOCIATES INC /MD/

Q1 2026 · 13F-HR

MOUNT VERNON ASSOCIATES INC /MD/holdings as filed

Filed 2026-04-28 · accession 0000799003-26-000002

$141,542
Reported value
60
Positions
2026-03-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
037833100AAPLApple Inc.$14,80310.5%58,329CommonSOLE
02079K107GOOGAlphabet Inc. Cl C$11,4508.09%39,916CommonSOLE
22160K105COSTCostco Wholesale Corp$9,6826.84%9,717CommonSOLE
023135106AMZNAmazon.Com Inc.$8,8946.28%42,705CommonSOLE
594918104MSFTMicrosoft Corporation$8,4275.95%22,765CommonSOLE
30303M102METAMeta Platforms, Inc$7,5065.30%13,119CommonSOLE
46625H100JPMJ.P. Morgan Chase & Co Chase &$7,2495.12%24,644CommonSOLE
025816109AXPAmerican Express Co.$5,7274.05%18,932CommonSOLE
64110L106NFLXNetflix Inc.$4,1152.91%42,800CommonSOLE
060505104BACBank Of America Corp$4,0522.86%83,119CommonSOLE
L8681T102SPOTSpotify Technology S.A.$3,4622.45%7,140CommonSOLE
369604103GEGE Aerospace$3,2592.30%11,483CommonSOLE
17275R102CSCOCisco Systems Inc.$3,1852.25%41,054CommonSOLE
892356106TSCOTractor Supply Co.$3,0382.15%67,070CommonSOLE
90353T100UBERUber Technologies, Inc.$2,8382.01%39,460CommonSOLE
808513105SCHWSchwab (Charles) Corp$2,8011.98%29,800CommonSOLE
247361702DALDelta Air Lines, Inc.$2,6391.86%39,700CommonSOLE
438516106HONHoneywell Intl Inc$2,6061.84%11,529CommonSOLE
69351T106PPLPPL Corporation$2,4891.76%65,150CommonSOLE
458140100INTCIntel Corporation$2,2071.56%50,011CommonSOLE
88160R101TSLATesla Motors Inc.$2,0991.48%5,645CommonSOLE
882508104TXNTexas Instruments, Inc.$1,9961.41%10,280CommonSOLE
00827B106AFRMAffirm Holdings, Inc.$1,9921.41%43,475CommonSOLE
110122108BMYBristol-Myers Squibb Co.$1,9361.37%31,929CommonSOLE
855244109SBUXStarbucks Corporation$1,8821.33%21,002CommonSOLE
67066G104NVDANvidia Corp$1,8071.28%10,359CommonSOLE
126408103CSXCSX Corporation$1,6541.17%40,300CommonSOLE
459200101IBMIBM Corp$1,3680.97%5,645CommonSOLE
36266G107GEHCGe Healthcare Technologies$1,2930.91%18,165CommonSOLE
717081103PFEPfizer Inc.$1,1770.83%41,919CommonSOLE
009066101ABNBAirbnb, Inc.$1,1230.79%8,895CommonSOLE
89531P105TREXTrex Company, Inc.$1,0400.73%28,550CommonSOLE
92343V104VZVerizon Communications, Inc.$1,0330.73%20,584CommonSOLE
00206R102TAT&T Inc.$9180.65%31,655CommonSOLE
532457108LLYEli Lilly & Co.$8190.58%890CommonSOLE
30231G102XOMExxon Mobil Corporation$7590.54%4,472CommonSOLE
172967424CCitigroup, Inc.$7560.53%6,670CommonSOLE
595112103MUMicron Technology Inc$6930.49%2,050CommonSOLE
416515104HIGHartford Financial Services$6130.43%4,534CommonSOLE
149123101CATCaterpillar Inc$5670.40%800CommonSOLE
478160104JNJJohnson & Johnson$5340.38%2,186CommonSOLE
74743L100QQnity Electronics$5050.36%4,381CommonSOLE
263534109Dupont De Nemours & Co.$4010.28%8,764CommonSOLE
29355A107ENPHEnphase Energy, Inc.$3960.28%10,480CommonSOLE
007903107AMDAdvanced Micro Device In$3940.28%1,935CommonSOLE
464287200IVViShares Core S&p 500 Etf$3550.25%543CommonSOLE
62944T105NVRNVR,inc.$3290.23%50CommonSOLE
14040H105COFCapital One Financial Corp.$3280.23%1,800CommonSOLE
336433107FSLRFirst Solar Inc.$2960.21%1,500CommonSOLE
693475105PNCPNC Financial Services$2850.20%1,370CommonSOLE
98311A105WHWyndham Hotels & Resorts, Inc.$2800.20%3,443CommonSOLE
437076102HDHome Depot Inc.$2730.19%830CommonSOLE
969457100WMBWilliams Companies$2610.18%3,583CommonSOLE
460146103IPInternational Paper Co.$2450.17%6,850CommonSOLE
718172109PMPhilip Morris Intl$2150.15%1,300CommonSOLE
742718109PGProcter & Gamble Co.$2120.15%1,465CommonSOLE
83443Q103SOLSSolstice Advanced Materials In$2080.15%2,736CommonSOLE
03589W102ANNXAnnexon Inc$580.04%10,500CommonSOLE
879604106Telkonet, Inc.$130.01%1,050,500CommonSOLE
986005106Yogaworks, Inc.$093,500CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.