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Institutional

MOUNT VERNON ASSOCIATES INC /MD/

CIK 0000799003
$153,418
Reported AUM
62
Positions
Q2 2026
Period
2026-07-24
Filed

Editorial summary

Summary for MOUNT VERNON ASSOCIATES INC /MD/ · Q2 2026 is not yet generated. It will appear here after the next nightly run.

Portfolio · Q2 2026

AAPL$16,221GOOG$13,243AMZN$9,667COST$8,585MSFT$8,117JPMMETAINTCAXPCSCOBACGEOther$57,458M/

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1AAPLApple Inc.$333.60-1.36%65.41%124.96%$16K10.57%HELD
2GOOGAlphabet Inc. Cl C$333.53-0.66%77.27%132.86%$13K8.63%HELD
3AMZNAmazon.Com Inc.$235.663.98%5.54%30.60%$10K6.30%HELD
4COSTCostco Wholesale Corp$954.15-2.04%0.49%120.47%$9K5.60%HELD
5MSFTMicrosoft Corporation$451.1415.52%-13.24%55.41%$8K5.29%HELD
6JPMJ.P. Morgan Chase & Co Chase &$350.931.80%21.40%144.23%$8K4.93%HELD
7METAMeta Platforms, Inc$539.74-7.83%-21.66%55.72%$7K4.56%HELD
8INTCIntel Corporation$91.1911.37%371.93%83.02%$6K4.20%HELD
9AXPAmerican Express Co.$337.521.82%15.92%116.12%$6K3.97%HELD
10CSCOCisco Systems Inc.$113.560.96%71.43%119.60%$4K2.89%HELD
11BACBank Of America Corp$61.761.13%37.29%66.09%$4K2.84%HELD
12GEGE Aerospace$355.041.26%32.47%453.71%$4K2.78%HELD
13AFRMAffirm Holdings, Inc.$73.254.48%6.69%-26.45%$3K2.26%HELD
14DALDelta Air Lines, Inc.$88.592.71%75.09%126.95%$3K2.24%HELD
15TXNTexas Instruments, Inc.$278.442.63%53.11%62.90%$3K2.00%HELD
16SPOTSpotify Technology S.A.$522.71-0.25%-16.67%123.01%$3K1.94%HELD
17UBERUber Technologies, Inc.$70.37-1.17%-20.38%76.79%$3K1.89%HELD
18NFLXNetflix Inc.$73.19-0.60%-36.45%29.36%$3K1.88%HELD
19SCHWSchwab (Charles) Corp$104.33-0.13%9.66%51.38%$3K1.68%HELD
20TSLATesla Motors Inc.$308.803.51%-1.42%21.64%$2K1.55%HELD
21PPLPPL Corporation$35.56-0.39%3.29%45.44%$2K1.42%HELD
22SBUXStarbucks Corporation$105.851.64%27.23%2.58%$2K1.38%HELD
23MUMicron Technology Inc$875.0318.41%662.58%1011.70%$2K1.35%HELD
24TSCOTractor Supply Co.$30.21-2.55%-47.77%-17.32%$2K1.31%HELD
25NVDANvidia Corp$195.052.66%9.52%751.61%$2K1.23%HELD
26CSXCSX Corporation$50.19-1.08%46.98%66.46%$2K1.20%HELD
27BMYBristol-Myers Squibb Co.$64.882.81%49.51%15.83%$2K1.11%HELD
28IBMIBM Corp$221.64-2.12%-7.13%102.90%$1K0.94%HELD
29TREXTrex Company, Inc.$43.933.63%-32.32%-60.90%$1K0.86%HELD
30HONHoneywell Intl Inc$241.930.34%12.79%14.50%$1K0.84%HELD
31HONAHoneywell Aerospace Inc.$204.35-0.41%$1K0.83%HELD
32ABNBAirbnb, Inc.$152.08-0.61%$1K0.74%HELD
33LLYEli Lilly & Co.$1155.56-4.50%$1K0.72%HELD
34GEHCGe Healthcare Technologies$69.94-2.73%$1K0.67%HELD
35CCitigroup, Inc.$132.324.08%$9340.61%HELD
36PFEPfizer Inc.$24.91-0.97%$9320.61%HELD
37CATCaterpillar Inc$808.913.35%$8520.56%HELD
38VZVerizon Communications, Inc.$46.11-2.35%$7840.51%HELD
39HIGHartford Financial Services$143.05-1.81%$6010.39%HELD
40XOMExxon Mobil Corporation$157.130.25%$5980.39%HELD
41TAT&T Inc.$23.21-3.05%$5720.37%HELD
42JNJJohnson & Johnson$255.84-3.65%$5510.36%HELD
43CMPSCompass Pathways PLC$11.576.15%$5380.35%HELD
44AMDAdvanced Micro Device In$485.4613.01%$5140.34%HELD
45ENPHEnphase Energy, Inc.$37.386.59%$4080.27%HELD
46IVViShares Core S&p 500 Etf$745.231.65%$4070.27%HELD
47COFCapital One Financial Corp.$210.140.69%$3610.24%HELD
48NVRNVR,inc.$6288.68-1.46%$3410.22%HELD
49Dupont De Nemours & Co.$3380.22%HELD
50PNCPNC Financial Services$248.710.09%$3370.22%HELD
51HDHome Depot Inc.$333.33-1.46%$2930.19%HELD
52WHWyndham Hotels & Resorts, Inc.$76.110.70%$2900.19%HELD
53WMBWilliams Companies$70.911.11%$2660.17%HELD
54IPInternational Paper Co.$43.151.20%$2610.17%HELD
55IRENIREN Ltd F$38.3130.71%$2400.16%HELD
56PMPhilip Morris Intl$192.00-3.25%$2350.15%HELD
57PGProcter & Gamble Co.$143.95-1.47%$2150.14%HELD
58GOOGLAlphabet Inc - Cl A$333.62-0.92%$2140.14%HELD
59RYRoyal Bank Of Canada$210.121.78%$2070.13%HELD
60ANNXAnnexon Inc$5.278.44%$600.04%HELD
61Telkonet, Inc.$160.01%HELD
62Yogaworks, Inc.HELD

Source: SEC EDGAR · accession 0000799003-26-000003. 13F discloses long positions only — shorts, foreign equities, and options are excluded.