137 reported transactions
Amounts are the ranges in the filing. Purchases and sales are disclosures, not a statement of current holdings.
No disclosed purchases or sales were traded in the chart window, 25Q1–26Q4 (2025-01-01 through 2026-10-01, the build date). Most recent disclosed trade: 2017-03-01 — the full history is in the tables below.
| Net | Ticker | The issuer as the ticker's newest trade names it, without the parts that repeat the row: a trailing “(TICKER)” that is the row's ticker, the stock code “[ST]” when it is the row's type (“Stocks (including ADRs)” in the House Clerk's list of asset type codes), and a trailing “Common Stock” or “Ordinary Shares”. No code is shown as words here, since the row nets every trade in the ticker. A name that differs from the filing in any other way is a button: its note gives the text as filed and its code. The filing itself is the exact record. | net disclosed flow = sum of purchase bucket bounds minus sum of sale bucket bounds, as a net range net = [pL−sU, pU−sL]. A side with no rows has summed zero — a fact, not an absence. A row with any wholly-undisclosed amount on either side is not rankable and sits in the labeled bucket below the ranked rows, never coerced to zero | Buys | Sells | net disclosed flow = sum of purchase bucket bounds minus sum of sale bucket bounds, as a net range net = [pL−sU, pU−sL]. A side with no rows has summed zero — a fact, not an absence. A row with any wholly-undisclosed amount on either side is not rankable and sits in the labeled bucket below the ranked rows, never coerced to zero·§ | Last traded |
|---|---|---|---|---|---|---|---|
| NET BUY | VCSH | Vanguard Short-Term Corporate Bond ETF | Purchases $32K–$130K; sales — | 4 | 0 | $32.0K to $130K net accumulation | 2016-02-18 |
| NET BUY | VCIT | Vanguard Intermediate-Term Corporate Bond ETF | Purchases $32K–$130K; sales $1K–$15K | 4 | 1 | $17.0K to $129K net accumulation≈ | 2017-03-01 |
| NET BUY | AMZN | Amazon.com, Inc. | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2016-10-28 |
| NET BUY | SPY | SPdR S&P 500 | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2015-12-28 |
| NET BUY | MGK | As filed: Vanguard Mega Cap growth ETF (MgK) | Purchases $33K–$145K; sales $2K–$30K | 5 | 2 | $3.0K to $143K net accumulation≈ | 2016-02-18 |
| NET BUY | VYM | Vanguard High dividend Yield ETF - dNQ | Purchases $18K–$95K; sales $1K–$15K | 4 | 1 | $3.0K to $94.0K net accumulation≈ | 2016-02-18 |
| NET BUY | QQQ | PowerShares QQQ Trust, Series 1 | Purchases $17K–$80K; sales $1K–$15K | 3 | 1 | $2.0K to $79.0K net accumulation≈ | 2016-02-18 |
| NET BUY | VXUS | Vanguard Total International Stock ETF | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2016-02-18 |
| ± net range spans zero | VB | Vanguard Small-Cap ETF - dNQ | Purchases $3K–$45K; sales $1K–$15K | 3 | 1 | −$12.0K to $44.0K≈ | 2016-02-18 |
| ± net range spans zero | VO | As filed: Vanguard Mid-Cap ETF - dNQ (Vo) | Purchases $3K–$45K; sales $1K–$15K | 3 | 1 | −$12.0K to $44.0K≈ | 2016-02-18 |
| FLAT the net range spans zero | BRK.B | Berkshire Hathaway Inc. New | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2016-10-28 |
| FLAT the net range spans zero | XLV | SPdR Select Sector Fund - Health Care | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2016-01-07 |
| NET SELL | AMLP | Alerian MLP ETF | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-09 |
| NET SELL | BCE | BCE, Inc. | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-28 |
| NET SELL | CL | Colgate-Palmolive Company | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 |
| NET SELL | COP | As filed: ConocoPhillips (CoP) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-28 |
| NET SELL | CWGL | As filed: Crimson Wine group Ltd. (CWgL) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-02-18 |
| NET SELL | DDD | 3D Systems Corporation | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-10-22 |
| NET SELL | DNKN | Dunkin' Brands group, Inc. | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-05-22 |
| NET SELL | GIMO | As filed: gigamon Inc. (gIMO) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-05-22 |
| NET SELL | HYI | Western Asset High Yield defined Opportunity Fund Inc. | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 |
| NET SELL | IXP | iShares global Telecom ETF | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-06-30 |
| NET SELL | LUK | Leucadia National Corporation | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-02-18 |
| NET SELL | VXF | Vanguard Extended Market ETF - dNQ | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 |
| ± net range spans zero | RDIV | As filed: RevenueShares Ultra dividend Fund (RdIV) | Purchases $1K–$15K; sales $2K–$30K | 1 | 2 | −$29.0K to $13.0K≈ | 2016-01-15 |
| NET SELL | KMI | Kinder Morgan, Inc. | Purchases —; sales $2K–$30K | 0 | 2 | −$30.0K to −$2.0K net disposal≈ | 2015-10-29 |
| ± net range spans zero | IYLD | As filed: iShares Morningstar Multi-Asset Income ETF (IYLd) | Purchases $15K–$50K; sales $15K–$50K | 1 | 1 | −$35.0K to $35.0K≈ | 2015-10-29 |
| ± net range spans zero | PKW | PowerShares Buyback Achievers | Purchases $16K–$65K; sales $16K–$65K | 2 | 2 | −$49.0K to $49.0K≈ | 2016-01-29 |
| NET SELL | HD | As filed: Home depot, Inc. (Hd) | Purchases —; sales $15K–$50K | 0 | 1 | −$50.0K to −$15.0K net disposal≈ | 2016-01-29 |
| ± net range spans zero | VFH | Vanguard Financials ETF - dNQ | Purchases $1K–$15K; sales $4K–$60K | 1 | 4 | −$59.0K to $11.0K≈ | 2016-01-29 |
| NET SELL | SDY | As filed: SPdR S&P dividend ETF (SdY) | Purchases $1K–$15K; sales $16K–$65K | 1 | 2 | −$64.0K to −$1.0K net disposal≈ | 2016-02-18 |
| NET SELL | DTN | As filed: WisdomTree dividend Ex-Financials Fund (dTN) | Purchases —; sales $16K–$65K | 0 | 2 | −$65.0K to −$16.0K net disposal≈ | 2016-01-29 |
| NET SELL | SCD | As filed: LMP Capital and Income Fund Inc. (SCd) | Purchases —; sales $16K–$65K | 0 | 2 | −$65.0K to −$16.0K net disposal≈ | 2015-08-05 |
| ± net range spans zero | TDIV | As filed: First Trust Exchange-Traded Fund VI First Trust NASdAQ Technology dividend Index Fund (TdIV) | Purchases $3K–$45K; sales $17K–$80K | 3 | 3 | −$77.0K to $28.0K≈ | 2016-01-29 |
| NET SELL | RWL | RevenueShares Large Cap | Purchases $1K–$15K; sales $17K–$80K | 1 | 3 | −$79.0K to −$2.0K net disposal≈ | 2016-01-29 |
| ± net range spans zero | DIA | sPDR Dow Jones Industrial Average ETF | Purchases $31K–$115K; sales $31K–$115K | 3 | 3 | −$84.0K to $84.0K≈ | 2016-08-30 |
| NET SELL | AAPL | Apple Inc. | Purchases —; sales $31K–$115K | 0 | 3 | −$115K to −$31.0K net disposal≈ | 2016-01-29 |
1–20 of 37 tickers
distinct default-view filings for this member, including paper (needs-OCR) filings that carry zero machine-readable rows: 14 · transactions: 137 · sum of statutory bucket bounds over the trailing 12 months — an interval, not an estimate of value: — · median days between trade date and filing date, over rows that disclose both: +17d · rows filed past the STOCK Act's 45-day window: 51
Medians are per member across the 298 House members with disclosed rows in this build — one observation each, so a high-volume filer does not become the chamber. Statistics describe the filing record, never intent.
| Sector | Trades | Flow range |
|---|---|---|
| Manufacturing | 6 | $34K–$160K |
| Transportation, Communications, Electric, Gas, and Sanitary Services | 3 | $3K–$45K |
| Retail Trade | 2 | $30K–$100K |
| Services | 1 | $1K–$15K |
| ticker not resolved to an issuer coverage | 73 | $297K–$1.7M |
| no ticker disclosed coverage | 42 | $315K–$1.2M |
| issuer has no SIC on record coverage | 10 | $94K–$360K |
| Kind | Ticker | The asset as filed, without the parts that repeat the row: a trailing “(TICKER)” that is the row's ticker, the stock code “[ST]” when it is the row's type (“Stocks (including ADRs)” in the House Clerk's list of asset type codes), and a trailing “Common Stock” or “Ordinary Shares”. Any other code is shown as its words from that list; a code not on it keeps its brackets. A name that differs from the filing in any other way is a button: its note gives the text as filed. The filing itself is the exact record. | Filings under this member include transactions by spouse (SP), dependent children (DC), and joint accounts (JT) — the STOCK Act does not distinguish who directed a trade. Owner codes ↗ | Range | Amount range | Traded → Filed | Source |
|---|---|---|---|---|---|---|---|
| SELL | VCIT | Vanguard Intermediate-Term Corporate Bond ETF | JT (jointly owned) | $1K–$15K | Traded → Filed +0d | ||
| SELL | BRK.B | Berkshire Hathaway Inc. New | — | $1K–$15K | Traded → Filed +0d | ||
| BUY | AMZN | Amazon.com, Inc. | — | $15K–$50K | Traded → Filed +0d | ||
| SELL | DIA | sPDR Dow Jones Industrial Average ETF | JT (jointly owned) | $15K–$50K | Traded → Filed +17d | ||
| SELL | — | LB, LLC- Edgewood in the Pines golf Course | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 500 Managed Volatility | SP (spouse-owned) | $15K–$50K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 400 Managed Volatility | SP (spouse-owned) | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Intermediate government Bond | SP (spouse-owned) | $50K–$100K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 500 Managed Volatility | — | $15K–$50K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 500 Managed Volatility | — | $15K–$50K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Core Bond Index | SP (spouse-owned) | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 400 Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 400 Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Core Bond Index | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Core Bond Index | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Intermediate government Bond | — | $50K–$100K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AllianceBernstein Short Duration government Bond | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AllianceBernstein Short Duration government Bond | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA International Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA International Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 2000 Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA International Managed Volatility | SP (spouse-owned) | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 2000 Managed Volatility | — | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AllianceBernstein Short Duration government Bond | SP (spouse-owned) | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | Intermediate government Bond | — | $15K–$50K | no ticker | Traded → Filed LATE·77d | |
| EXCHANGE | — | AXA 2000 Managed Volatility | SP (spouse-owned) | $1K–$15K | no ticker | Traded → Filed LATE·77d | |
| BUY | VYM | Vanguard High dividend Yield ETF - dNQ | JT (jointly owned) | $15K–$50K | Traded → Filed LATE·109d | ||
| BUY | VYM | Vanguard High dividend Yield ETF - dNQ | SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·119d | ||
| BUY | VYM | Vanguard High dividend Yield ETF - dNQ | — | $1K–$15K | Traded → Filed LATE·119d | ||
| SELL | AMLP | Alerian MLP ETF | SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·128d | ||
| BUY | VFH | Vanguard Financials ETF - dNQ | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·133d | ||
| SELL | IYLD | As filed: iShares Morningstar Multi-Asset Income ETF (IYLd) | JT (jointly owned) | $15K–$50K | Traded → Filed LATE·169d | ||
| BUY | BRK.B | Berkshire Hathaway Inc. New | — | $1K–$15K | Traded → Filed LATE·206d | ||
| SELL | MGK | As filed: Vanguard Mega Cap growth ETF (MgK) | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·217d | ||
| BUY | DIA | As filed: SPdR dow Jones Industrial Average ETF (dIA) | SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·227d | ||
| BUY | DIA | As filed: SPdR dow Jones Industrial Average ETF (dIA) | — | $15K–$50K | Traded → Filed LATE·227d | ||
| SELL | MGK | As filed: Vanguard Mega Cap growth ETF (MgK) | — | $1K–$15K | Traded → Filed LATE·233d | ||
| SELL | SCD | As filed: LMP Capital and Income Fund Inc. (SCd) | SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·254d | ||
| SELL | SCD | As filed: LMP Capital and Income Fund Inc. (SCd) | — | $15K–$50K | Traded → Filed LATE·254d | ||
| SELL | IXP | iShares global Telecom ETF | — | $1K–$15K | Traded → Filed LATE·290d | ||
| BUY | RWL | Oppenheimer Large Cap Revenue ETF | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·317d | ||
| SELL | SDY | As filed: SPdR S&P dividend ETF (SdY) | JT (jointly owned) | $15K–$50K | Traded → Filed LATE·358d | ||
| BUY | RDIV | As filed: Oppenheimer Ultra dividend Revenue ETF (RdIV) | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·382d | ||
| BUY | IYLD | As filed: iShares Morningstar Multi-Asset Income ETF (IYLd) | JT (jointly owned) | $15K–$50K | Traded → Filed LATE·382d | ||
| BUY | TDIV | As filed: First Trust NASdAQ Technology dividend Index Fund (TdIV) | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| BUY | XLV | SPdR Select Sector Fund - Health Care | JT (jointly owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| BUY | TDIV | As filed: First Trust NASdAQ Technology dividend Index Fund (TdIV) | SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| BUY | TDIV | As filed: First Trust NASdAQ Technology dividend Index Fund (TdIV) | — | $1K–$15K | Traded → Filed LATE·444d | ||
| BUY | PKW | PowerShares Buyback Achievers | JT (jointly owned) | $15K–$50K | Traded → Filed LATE·463d | ||
| BUY | PKW | PowerShares Buyback Achievers | — | $1K–$15K | Traded → Filed LATE·463d |
| Filed | Rows | Receipt |
|---|---|---|
| 2017-03-01 | 1 | |
| 2016-10-28 | 2 | |
| 2016-09-16 | 2 | |
| 2016-05-23 | 21 | |
| 2016-04-15 | 24 | |
| 2016-03-09 | 20 | |
| 2016-02-22 | 13 | |
| 2016-02-01 | 35 | |
| 2015-12-28 | 12 | |
| 2015-11-06 | 2 | |
| 2015-02-19 | 1 | |
| 2014-10-22 | 1 | |
| 2014-10-03 | 1 | |
| 2014-05-22 | 2 |
1–12 of 14 filings
No signals for this member in the retained window — a computed answer over the rules on /signals, not an absence of coverage.
PLANNED annual holdings · 13F overlap
No rankable disclosures in the trailing 90 days.
No committee memberships on record in the snapshot.
No disclosed trades fall inside this member's committee jurisdictions as of their trade dates · 12 trades predate the membership snapshot's validity window and are unanswerable, not cleared.
No tickers disclosed in the trailing 24 months.
Amounts are the ranges in the filing. Purchases and sales are disclosures, not a statement of current holdings.
Trade date and filing date are retained separately. Late and unparseable records stay identified in the data.
Periodic transaction reports do not establish a portfolio. Annual holdings and reconciliation require annual financial-disclosure records.