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  Name: MOUNT VERNON ASSOCIATES INC /MD/
  City: BALTIMORE
  State: MD
  Zip: 21209
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $117,848,000
  Total Value Change : $15,856,000
  Securities Held Change : 1
   
All Securities Held : 53
  New Positions : 2
  Closed Positions : 1
  Increased Positions : 8
  Unchanged Positions : 26
  Decreased Positions : 17

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
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Holdings Found : 26     View All Holdings Currently Viewing:  Unchanged Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (TSCO)1 Year Chart         TSCO Tractor Supply Co 10 - $282.00 $3,577,000 13,669 3.04% 638,000 0 0.012    Specialty Retail, Other
   (UBER)1 Year Chart         UBER Uber Technologies, Inc 12 - $64.26 $2,983,000 38,750 2.53% 597,000 0 0.002    N/A
   (HON)1 Year Chart         HON Honeywell International Inc 14 - $199.69 $2,383,000 11,609 2.02% -52,000 0 0.002    Conglomerates
   (CSCO)1 Year Chart         CSCO Cisco Systems Inc 16 - $46.42 $2,082,000 41,723 1.77% -26,000 0 0.001    Networking & Communic...
   (SBUX)1 Year Chart         SBUX Starbucks Corp 17 - $78.87 $2,061,000 22,557 1.75% -105,000 0 0.002    Specialty Eateries
   (GE)1 Year Chart         GE General Electric Co 18 - $167.33 $2,048,000 11,666 1.74% 559,000 0 0.001    Conglomerates
   (SPOT)1 Year Chart         SPOT Spotify Technology SA 20 - $308.16 $1,916,000 7,260 1.63% 552,000 0 0.004    N/A
   (TXN)1 Year Chart         TXN Texas Instruments Inc 21 - $199.18 $1,876,000 10,770 1.59% 40,000 0 0.001    Semiconductor- Broad...
   (PPL)1 Year Chart         PPL PPL Corp 22 - $28.68 $1,792,000 65,075 1.52% 28,000 0 0.008    Electric Utilities
   (DAL)1 Year Chart         DAL Delta Air Lines Inc 23 - $46.55 $1,788,000 37,350 1.52% 285,000 0 0.006    Major Airlines
   (GEHC)1 Year Chart         GEHC Ge Healthcare Holding Llc 24 - $79.85 $1,611,000 17,720 1.37% 241,000 0 0.004    N/A
   (LUV)1 Year Chart         LUV Southwest Airlines Co 29 - $26.84 $1,061,000 36,350 0.9% 11,000 0 0.006    Regional Airlines
   (IBM)1 Year Chart         IBM International Business Mach... 30 - $170.89 $1,051,000 5,505 0.89% 151,000 0 0.001    Diversified Computer ...
   (WSM)1 Year Chart         WSM Williams Sonoma Inc 32 - $287.81 $984,000 3,100 0.83% 358,000 0 0.004    Home Furnishing Stores
   (VZ)1 Year Chart         VZ Verizon Communications Inc 35 - $39.74 $842,000 20,061 0.71% 86,000 0 0    Telecom Services - Do...
   (DD)1 Year Chart         DD DuPont de Nemours Inc 37 - $81.12 $723,000 9,432 0.61% -3,000 0 0.001    Diversified Chemicals
   (C)1 Year Chart         C Citigroup Inc 38 - $63.58 $586,000 9,270 0.5% 109,000 0 0    Domestic Money Center...
   (T)1 Year Chart         T AT&T Corp 39 - $17.50 $572,000 32,519 0.49% 26,000 0 0    Long Distance Carriers
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 40 - $113.42 $531,000 4,572 0.45% 74,000 0 0    Integrated Oil & Gas
   (DOW)1 Year Chart         DOW DOW Inc 41 - $57.76 $468,000 8,082 0.4% 25,000 0 0.001    Diversified Chemicals
   (NVR)1 Year Chart         NVR NVR Inc 43 - $7,416.32 $405,000 50 0.34% 55,000 0 0.001    Residential Construct...
   (COF)1 Year Chart         COF Capital One Financial Corp 45 - $137.62 $365,000 2,450 0.31% 44,000 0 0.001    Credit Services
   (IP)1 Year Chart         IP International Paper Co 47 - $45.46 $283,000 7,244 0.24% 21,000 0 0.002    Paper & Paper Products
   (F)1 Year Chart         F Ford Motor Co 48 - $12.50 $276,000 20,750 0.23% 23,000 0 0.001    Auto Manufacturers
   (PG)1 Year Chart         PG Procter & Gamble Co 49 - $165.33 $264,000 1,628 0.22% 25,000 0 0    Cleaning Products
   (TKOI)1 Year Chart         TKOI Telkonet Inc 52 - $0.01 $18,000 1,405,800 0.02% 10,000 0 1.054    Information Technolog...

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