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MATTHEW 25 FUND | mxxvx

Mutual Fund
MATTHEW 25 FUND
Last update 2025-06-26 19 Stocks (2 new)
Value $271.00 Mil Turnover 7 %
Countries:
MATTHEW 25 FUND Top Holdings of 2025-03-31 View Full List
Ticker
Company
Shares
Value ($1000)
Shares Change %
Weighting %
Trade Impact %
% of Shares outstanding
3M Change %
YTD Change %
Market Cap $Mil
Industry
NVDA
NVIDIA Corp
438,500
47,524.6
+4.40%
17.510
+0.74%
0.000
+42.21%
+21.08%
3,964,812.0
Semiconductors
AMZN
Amazon.com Inc
145,000
27,587.7
+3.57%
10.170
+0.35%
0.000
+16.11%
+1.13%
2,355,556.3
Retail - Cyclical
MELI
MercadoLibre Inc
14,000
27,312.2
+6.87%
10.070
+0.65%
0.030
+25.78%
+46.51%
126,304.1
Retail - Cyclical
AAPL
Apple Inc
61,500
13,661.0
-1.60%
5.030
-0.08%
0.000
+5.34%
-16.26%
3,124,425.4
Hardware
BRK.A
Berkshire Hathaway Inc
17
13,573.5
-19.05%
5.000
-0.86%
0.000
-8.05%
+5.12%
1,030,262.8
Insurance
JPM
JPMorgan Chase & Co
55,000
13,491.5
-16.35%
4.970
-0.82%
0.000
+21.71%
+20.34%
788,859.9
Banks
PK
Park Hotels & Resorts Inc
1,232,500
13,163.1
+12.05%
4.850
+0.52%
0.620
+10.06%
-19.38%
2,162.8
REITs
GS
The Goldman Sachs Group Inc
24,000
13,111.0
-12.73%
4.830
-0.64%
0.010
+35.93%
+23.31%
214,514.2
Capital Markets
FLUT
Flutter Entertainment PLC
58,500
12,960.7
+70.80%
4.780
+1.98%
0.030
+20.48%
+10.33%
50,278.6
Travel & Leisure
TSLA
Tesla Inc
50,000
12,958.0
-13.04%
4.780
-0.96%
0.000
+8.42%
-26.92%
950,536.4
Vehicles & Parts

MATTHEW 25 FUND's Historical Top Holdings Breakdowns

MATTHEW 25 FUND's Top Stock Picks View Full List
Ticker
Company
Date
Action
Impact %
Price Range
Price
Price Change from Avrg%
Comment
Current Shares
Share Change
MGM
MGM Resorts International
2025-03-31
Sold Out
Sold Out
-2.58%
29.64 ($33.6) 40.37
$37.63
11.99%
Sold Out
0
-235,000
FLUT
Flutter Entertainment PLC
2025-03-31
Add
Add
+1.98%
221.55 ($259.01) 298.81
$285.14
10.09%
Add 70.8%
58,500
24,250
VNO
Vornado Realty Trust
2025-03-31
Sold Out
Sold Out
-1.63%
35.4 ($40.23) 43.26
$38.04
-5.44%
Sold Out
0
-122,500
TSM
Taiwan Semiconductor Manufacturing Co Ltd
Taiwan Semiconductor Manufacturing Co Ltd
2025-03-31
New Buy
New Buy
+1.22%
165.25 ($194.34) 224.62
$232.54
19.66%
New holding
20,000
20,000
NVO
Novo Nordisk AS
2025-03-31
New Buy
New Buy
+1.06%
69.3 ($82.59) 90.95
$69.58
-15.75%
New holding
41,500
41,500
TSLA
Tesla Inc
2025-03-31
Reduce
Reduce
-0.96%
222.15 ($333.26) 428.22
$295.11
-11.45%
Reduce -13.04%
50,000
-7,500
BRK.A
Berkshire Hathaway Inc
2025-03-31
Reduce
Reduce
-0.86%
663000 ($729331) 801950
$715,761.02
-1.86%
Reduce -19.05%
17
-4
JPM
JPMorgan Chase & Co
2025-03-31
Reduce
Reduce
-0.82%
225.19 ($254.94) 279.95
$283.86
11.34%
Reduce -16.35%
55,000
-10,750
FDX
FedEx Corp
2025-03-31
Reduce
Reduce
-0.76%
230.33 ($259.24) 281.53
$238.06
-8.17%
Reduce -15.89%
45,000
-8,500
NVDA
NVIDIA Corp
2025-03-31
Add
Add
+0.74%
106.98 ($126.74) 149.43
$162.58
28.27%
Add 4.4%
438,500
18,500

MATTHEW 25 FUND Total Holding History ($B)

To

MATTHEW 25 FUND's Asset Allocation

To

MATTHEW 25 FUND Past Portfolios

Portfolio Date Number of Stocks New Stocks Total Value ($Mil) Q/Q Turnover

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MATTHEW 25 FUND's Hypothetical Growth since 2025-03-31

MATTHEW 25 FUND's Yearly Returns

Year Portfolio % % Excess Gain %

MATTHEW 25 FUND's Holdings Heat Map

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MATTHEW 25 FUND's Holdings Bubble Chart

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