Fund HoldingsMOUNT VERNON ASSOCIATES INC /MD/

Total Portfolio Value
$153.4K
Total Bought
$4.1K
Total Sold
$26.5K
Net Transaction
-$22.4K
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
Intel Corporation(INTC)50,01146,121-3,890264.20%+4
Alphabet Inc. Cl C(GOOG)39,91637,481-2,43511138.63%+2
Affirm Holdings, Inc.(AFRM)43,47542,575-900232.26%+1
Apple Inc.(AAPL)58,32956,059-2,270151610.57%+1
Micron Technology Inc(MU)2,0501,800-250121.35%+1
Honeywell Intl Inc05,763+5,763010.84%+1
Honeywell Aerospace Inc.05,763+5,763010.83%+1
Cisco Systems Inc.(CSCO)41,05437,704-3,350342.89%+1
Texas Instruments, Inc.(TXN)10,28010,2800232.00%+1
GE Aerospace(GE)11,48311,395-88342.78%+1
Delta Air Lines, Inc.(DAL)39,70036,700-3,000332.24%+1
Amazon.Com Inc.(AMZN)42,70540,561-2,1449106.30%+1
Compass Pathways PLC(CMPS)038,000+38,000010.35%+1
American Express Co.(AXP)18,93218,017-915663.97%0
J.P. Morgan Chase & Co Chase &(JPM)24,64423,084-1,560784.93%0
Bank Of America Corp83,11976,419-6,700442.84%0
Caterpillar Inc(CAT)8008000110.56%0
Eli Lilly & Co.(LLY)890920+30110.72%0
Trex Company, Inc.(TREX)28,55026,350-2,200110.86%0
Tesla Motors Inc.(TSLA)5,6455,6450221.55%0
IREN Ltd F
ORDINARY SHARES
05,250+5,250000.16%0
Starbucks Corporation(SBUX)21,00220,752-250221.38%0
Alphabet Inc - Cl A(GOOG)0600+600000.14%0
Royal Bank Of Canada(RY)01,000+1,000000.13%0
CSX Corporation(CSX)40,30038,750-1,550221.20%0
Citigroup, Inc.(C)6,6706,6700110.61%0
Advanced Micro Device In(AMD)1,935885-1,050010.34%0
IBM Corp(IBM)5,6455,145-500110.94%0
Nvidia Corp(NVDA)10,3599,399-960221.23%0
Uber Technologies, Inc.(UBER)39,46040,110+650331.89%0
PNC Financial Services(PNC)1,3701,3700000.22%0
iShares Core S&p 500 Etf5435430000.27%0
Capital One Financial Corp.(COF)1,8001,8000000.24%0
Home Depot Inc.(HD)8308300000.19%0
Philip Morris Intl(PM)1,3001,3000000.15%0
Johnson & Johnson(JNJ)2,1862,171-15110.36%0
International Paper Co.(IP)6,8506,8500000.17%0
Enphase Energy, Inc.(ENPH)10,4808,280-2,200000.27%0
NVR,inc.(NVR)50500000.22%0
Wyndham Hotels & Resorts, Inc.(WH)3,4433,4430000.19%0
Airbnb, Inc.8,8957,895-1,000110.74%0
Williams Companies(WMB)3,5833,5830000.17%0
Procter & Gamble Co.(PG)1,4651,4650000.14%0
Telkonet, Inc.1,050,5001,050,5000000.01%0
Annexon Inc(ANNX)10,50010,5000000.04%0
Yogaworks, Inc.93,50093,5000000
Hartford Financial Services(HIG)4,5344,5340110.39%-0
Dupont De Nemours & Co.8,7642,492-6,272000.22%-0
Exxon Mobil Corporation4,4724,372-100110.39%-0
Solstice Advanced Materials In(SOLS)2,7360-2,73600-0
Schwab (Charles) Corp(SCHW)29,80028,000-1,800331.68%-0
Bristol-Myers Squibb Co.(BMY)31,92929,429-2,500221.11%-0
Pfizer Inc.(PFE)41,91938,719-3,200110.61%-0
Verizon Communications, Inc.(VZ)20,58418,525-2,059110.51%-0
Ge Healthcare Technologies(GEHC)18,16516,177-1,988110.67%-0
First Solar Inc.(FSLR)1,5000-1,50000-0
PPL Corporation(PPL)65,15060,150-5,000221.42%-0
Microsoft Corporation(MSFT)22,76521,760-1,005885.29%-0
AT&T Inc.(T)31,65527,655-4,000110.37%-0
Spotify Technology S.A.(SPOT)7,1406,490-650331.94%-0
Qnity Electronics(Q)4,3810-4,38110-1
Meta Platforms, Inc(META)13,11912,419-700874.56%-1
Tractor Supply Co.(TSCO)67,07063,570-3,500321.31%-1
Costco Wholesale Corp(COST)9,7179,177-5401095.60%-1
Netflix Inc.(NFLX)42,80040,300-2,500431.88%-1
Honeywell Intl Inc(HON)11,5290-11,52930-3
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