DRIPX Holdings — The MP63 Fund, Inc.

All 69 reported holdings of The MP63 Fund, Inc. (DRIPX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Qualcomm, Inc.3.69%$3.70M
Alphabet, Inc.3.22%$3.22M
RTX Corp.3.07%$3.08M
Microsoft Corp.3.06%$3.06M
Corning, Inc.3.05%$3.05M
Caterpillar, Inc.2.81%$2.81M
NextEra Energy, Inc.2.54%$2.54M
Exxon Mobile Corp.2.46%$2.47M
The Travelers Cos., Inc.2.42%$2.43M
Union Pacific Corp.2.33%$2.33M
Emerson Electric Co.2.27%$2.27M
Amazon.com, Inc.2.20%$2.21M
Waste Management, Inc.2.15%$2.16M
Bank of America Corp.2.06%$2.06M
Dover Corp.2.02%$2.03M
Nucor Corp.2.02%$2.02M
RPM International, Inc.1.93%$1.93M
AbbVie, Inc.1.89%$1.89M
Duke Energy Corp.1.85%$1.86M
Texas Instruments, Inc.1.83%$1.83M
Illinois Tool Works, Inc.1.76%$1.77M
AFLAC, Inc.1.75%$1.75M
Yum! Brands, Inc.1.71%$1.71M
Cisco Systems, Inc.1.70%$1.70M
US Bancorp1.69%$1.69M
National Fuel Gas Co.1.66%$1.67M
Ecolab, Inc.1.60%$1.61M
Essential Utilities, Inc.1.55%$1.55M
Enterprise Products Partners LP1.48%$1.49M
Deere & Co.1.47%$1.47M
JPMorgan Chase & Co.1.47%$1.48M
The Home Depot, Inc.1.45%$1.45M
Becton Dickinson & Co.1.42%$1.43M
Merck & Co., Inc.1.41%$1.41M
NVIDIA Corp.1.36%$1.36M
Paychex, Inc.1.29%$1.29M
The Procter & Gamble Co.1.25%$1.25M
Genuine Parts Co.1.23%$1.23M
Colgate-Palmolive Co.1.23%$1.23M
Abbott Laboratories1.21%$1.21M
American Express Co.1.20%$1.21M
The Coca-Cola Co.1.16%$1.17M
Johnson & Johnson1.10%$1.10M
Simon Property Group, Inc.1.08%$1.09M
Apple, Inc.1.08%$1.08M
Medtronic plc1.06%$1.07M
Tennant Co.1.05%$1.06M
The PNC Financial Services Group, Inc.1.02%$1.02M
Comcast Corp.1.01%$1.01M
Taiwan Semiconductor Manufacturing Co. Ltd.0.99%$987.54K
Capital One Financial Corp.0.97%$971.60K
Costco Wholesale Corp.0.93%$929.54K
PepsiCo, Inc.0.84%$838.03K
Versant Media Group, Inc.0.79%$792.74K
Hormel Foods Corp.0.77%$769.31K
Truist Financial Corp.0.73%$735.06K
Kimberly-Clark Corp.0.73%$732.98K
Carrier Global Corp.0.71%$711.38K
Fidelity Institutional Cash Portfolios0.68%$679.86K
Amcor plc0.68%$679.89K
Lockheed Martin Corp.0.50%$497.03K
Verizon Communications, Inc.0.47%$469.35K
Waters Corp.0.46%$462.97K
The Walt Disney Co.0.46%$458.95K
Wal-Mart Stores, Inc.0.27%$268.77K
General Mills, Inc.0.26%$255.60K
Tesla, Inc.0.18%$185.21K
Johnson Controls International plc0.13%$127.63K
GE Vernova, Inc.0.01%$9.68K

DRIPX overview: performance, fees, allocation and SEC filings