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Fund profile

Tickers
SFYF
Fund manager
Total assets
$21.77M
Liabilities
$5.22M
Net assets
$16.55M
Number of holdings
52

SFYF stock data

52 Holdings

As of May 2021
Security $Holding Balance % of Fund Category Position Country
Mount Vernon Liquid Assets Portfolio, LLC 5.22M 5.22M shares 31.53 Short-term investment vehicle Long USA
MDP Meredith Corp. 1.95M 74.67K shares 11.79 Common equity Long USA
TSLA Tesla Inc 1.08M 1.73K shares 6.53 Common equity Long USA
AAPL Apple Inc 1.02M 8.16K shares 6.15 Common equity Long USA
GME Gamestop Corporation 958.15K 4.32K shares 5.79 Common equity Long USA
NIO NIO Inc 726.94K 18.82K shares 4.39 Common equity Long China
AMZN Amazon.com Inc. 699.41K 217 shares 4.23 Common equity Long USA
MSFT Microsoft Corporation 625.2K 2.5K shares 3.78 Common equity Long USA
DIS Walt Disney Co 600.26K 3.36K shares 3.63 Common equity Long USA
PLTR Palantir Technologies Inc 575.98K 25.1K shares 3.48 Common equity Long USA
NVDA NVIDIA Corp 434.05K 668 shares 2.62 Common equity Long USA
COIN Coinbase Global Inc 418.91K 1.77K shares 2.53 Common equity Long USA
DAL Delta Air Lines, Inc. 380.06K 7.97K shares 2.30 Common equity Long USA
BA Boeing Co. 379.92K 1.54K shares 2.30 Common equity Long USA
LCID Lucid Group Inc 345.91K 17.54K shares 2.09 Common equity Long USA
SHOP Shopify Inc 324.39K 261 shares 1.96 Common equity Long Canada
GOOG Alphabet Inc 320.53K 136 shares 1.94 Common equity Long USA
SQ Square Inc 301.96K 1.36K shares 1.82 Common equity Long USA
CCL Carnival Corp. (Paired Stock) 291.79K 9.87K shares 1.76 Common equity Long USA
AMD Advanced Micro Devices Inc. 266.83K 3.33K shares 1.61 Common equity Long USA
AAL American Airlines Group, Inc. 254.96K 10.52K shares 1.54 Common equity Long USA
MRNA Moderna Inc 251.8K 1.36K shares 1.52 Common equity Long USA
BABA Alibaba Group Holding Ltd 240.92K 1.13K shares 1.46 Common equity Long China
F Ford Motor Co. 218.33K 15.03K shares 1.32 Common equity Long USA
T AT&T, Inc. 213.37K 7.25K shares 1.29 Common equity Long USA
BRK.A Berkshire Hathaway Inc. 212.16K 733 shares 1.28 Common equity Long USA
FB Facebook Inc 208.09K 633 shares 1.26 Common equity Long USA
PFE Pfizer Inc. 197.72K 5.11K shares 1.20 Common equity Long USA
XOM Exxon Mobil Corp. 188.36K 3.23K shares 1.14 Common equity Long USA
SNDL Sundial Growers Inc 185.79K 191.53K shares 1.12 Common equity Long Canada
PYPL PayPal Holdings Inc 185.39K 713 shares 1.12 Common equity Long USA
NFLX NetFlix Inc 175.98K 350 shares 1.06 Common equity Long USA
SPCE Virgin Galactic Holdings Inc 171.86K 5.5K shares 1.04 Common equity Long USA
ZM Zoom Video Communications Inc 170.07K 513 shares 1.03 Common equity Long USA
COST Costco Wholesale Corp 169.09K 447 shares 1.02 Common equity Long USA
NOK Nokia Corp 159.37K 30.89K shares 0.96 Common equity Long Finland
ACB Aurora Cannabis Inc 153.89K 15.93K shares 0.93 Common equity Long Canada
LUV Southwest Airlines Co 147.38K 2.4K shares 0.89 Common equity Long USA
WMT Walmart Inc 136.77K 963 shares 0.83 Common equity Long USA
JNJ Johnson & Johnson 132.69K 784 shares 0.80 Common equity Long USA
SBUX Starbucks Corp. 131.65K 1.16K shares 0.80 Common equity Long USA
KO Coca-Cola Co 120.59K 2.18K shares 0.73 Common equity Long USA
BB BlackBerry Ltd 116.51K 11.57K shares 0.70 Common equity Long Canada
GE General Electric Co. 112.92K 8.03K shares 0.68 Common equity Long USA
UBER Uber Technologies Inc 110.91K 2.18K shares 0.67 Common equity Long USA
BYND Beyond Meat Inc 108.92K 749 shares 0.66 Common equity Long USA
TGT Target Corp 89.63K 395 shares 0.54 Common equity Long USA
ZOM Zomedica Corp 77.96K 92.81K shares 0.47 Common equity Long USA
NKE Nike, Inc. 66.46K 487 shares 0.40 Common equity Long USA
CGC Canopy Growth Corporation 63.01K 2.42K shares 0.38 Common equity Long Canada
MMM 3M Co. 61.12K 301 shares 0.37 Common equity Long USA
First American Government Obligations Fund 4.53K 4.53K shares 0.03 Short-term investment vehicle Long USA