HoldingsChannel.com
Mount Vernon Associates Inc. MD Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Apple Inc. 27,469 -1,160 $5,437
     AAPL27,469-1,160$5,437
Amazon.com Inc. 2,594 -142 $4,912
     AMZN2,594-142$4,912
Microsoft Corporation 27,520 -125 $3,687
     MSFT27,520-125$3,687
Paypal 31,315 -1,150 $3,584
     PYPL31,315-1,150$3,584
Costco Wholesale Corp 13,006 +35 $3,437
     COST13,006+35$3,437
JPMorgan Chase & Co 25,619 +55 $2,864
     JPM25,619+55$2,864
Cisco Systems Inc. 46,190 -300 $2,528
     CSCO46,190-300$2,528
Facebook Inc. 12,943 -35 $2,498
     FB12,943-35$2,498
Bank of America Corp 84,221 -650 $2,442
     BAC84,221-650$2,442
Alphabet Inc. Cl C 2,137 -2 $2,310
     GOOG2,137-2$2,310
Honeywell Intl Inc 12,882 -600 $2,249
     HON12,882-600$2,249
Intel Corporation 46,004 +200 $2,202
     INTC46,004+200$2,202
Starbucks Corporation 25,375 +42 $2,127
     SBUX25,375+42$2,127
American Express Co. 16,821 -150 $2,076
     AXP16,821-150$2,076
Tractor Supply Co. 16,480 UNCH $1,793
     TSCO16,480UNCH$1,793
Delta Air Lines Inc. 31,291 UNCH $1,776
     DAL31,291UNCH$1,776
Texas Instruments Inc. 13,660 -100 $1,568
     TXN13,660-100$1,568
Citigroup Inc. 21,317 -100 $1,493
     C21,317-100$1,493
Winnebago Industries Inc. 38,562 UNCH $1,490
     WGO38,562UNCH$1,490
Pfizer Inc. 32,688 -150 $1,416
     PFE32,688-150$1,416
Verizon Communications Inc. 21,337 UNCH $1,219
     VZ21,337UNCH$1,219
Bristol Myers Squibb Co. 26,428 UNCH $1,199
     BMY26,428UNCH$1,199
Trex Company Inc. 15,850 +15,850 $1,136
     com15,850+15,850$1,136
AT&T Inc. 26,441 UNCH $886
     T26,441UNCH$886
IBM Corp 6,405 -300 $883
     IBM6,405-300$883
Spotify Technology S.A. 5,950 UNCH $870
     SPOT5,950UNCH$870
American Intl Group Inc. 15,651 -800 $834
     AIG15,651-800$834
General Electric Co 77,200 UNCH $811
     GE77,200UNCH$811
Hartford Financial Services 14,284 -600 $796
     HIG14,284-600$796
Exxon Mobil Corporation 7,320 UNCH $561
     XOM7,320UNCH$561
Wyndham Hotels & Resorts Inc. 9,066 UNCH $505
     WH9,066UNCH$505
International Paper Co. 11,086 UNCH $480
     IP11,086UNCH$480
DuPont de Nemours & Co. 5,892 +5,892 $442
     com5,892+5,892$442
Williams Companies 14,435 -2,200 $405
     WMB14,435-2,200$405
PNC Financial Services 2,800 UNCH $384
     PNC2,800UNCH$384
Johnson & Johnson 2,730 UNCH $380
     JNJ2,730UNCH$380
Williams Sonoma Inc. 4,895 UNCH $318
     WSM4,895UNCH$318
Telkonet Inc. 2,553,500 UNCH $315
     com2,553,500UNCH$315
Merck & Co. Inc. 3,470 UNCH $291
     MRK3,470UNCH$291
Freeport McMoran Copper & Gold 24,481 UNCH $284
     FCX24,481UNCH$284
Mastercard Inc. A 1,075 -50 $284
     MA1,075-50$284
VISA Inc. 1,600 UNCH $278
     V1,600UNCH$278
Caterpillar Inc 2,026 UNCH $276
     CAT2,026UNCH$276
Capital One Financial Corp. 2,988 UNCH $271
     COF2,988UNCH$271
Dow Inc. 5,466 +5,466 $270
     com5,466+5,466$270
Eli Lilly & Co. 1,824 UNCH $202
     LLY1,824UNCH$202
YogaWorks Inc. 328,500 +118,243 $197
     YOGA328,500+118,243$197
Energy Transfer LP 12,552 +1 $177
     ETP12,552+1$177
Ford Motor Company 17,050 UNCH $174
     F17,050UNCH$174
Genworth Financial Inc. 27,800 -8,000 $103
     GNW27,800-8,000$103

See Full List: All Stocks Held By Mount Vernon Associates Inc. MD
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Mount Vernon Associates Inc. MD

Size ($ in 1000's)
At 06/30/2019: $67,215
At 03/31/2019: $65,520

Mount Vernon Associates Inc. MD holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Mount Vernon Associates Inc. MD 13F filings. Link to 13F filings: SEC filings

Mount Vernon Associates Inc. MD Top Holdings 13F Filings | www.HoldingsChannel.com

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