1,034 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: 2019-12-31 — the full history is in the tables below. 3 rows have no parseable trade date · 6 date-anomaly rows are excluded (impossible trade dates).
| 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 | TORIX | As filed: Tortoise MlP & Pipeline Fund (ToRIX) [HN] · type code HN: Hedge Funds & Private Equity Funds (non-EIF) | Purchases $500K–$1M; sales — | 1 | 0 | $500K to $1.0M net accumulation | 2019-04-01 |
| NET BUY | UCON | As filed: First Trust TCW unconstrained Plus Bond ETF (uCON) [sT] | Purchases $100K–$250K; sales — | 1 | 0 | $100K to $250K net accumulation | 2019-09-03 |
| NET BUY | JAZZ | As filed: Jazz Pharmaceuticals plc - ordinary shares (JaZZ) [sT] | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation | 2019-07-15 |
| NET BUY | MET | As filed: Metlife, Inc. (MET) [sT] | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2019-07-15 |
| NET BUY | SXL | As filed: sunoco logistics Partners lP Common units representing limited partner interests (sXl) | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2017-02-03 |
| NET BUY | ETE | As filed: Energy Transfer Equity, l.P. Energy Transfer Equity, l.P. Common units representing limited Partnership interests (ETE) [sT] | Purchases $134K–$410K; sales $52K–$130K | 7 | 3 | $4.0K to $358K net accumulation≈ | 2018-10-17 |
| NET BUY | AES | As filed: The aEs Corporation (aEs) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | EXC | As filed: Exelon Corporation (EXC) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | HCA | As filed: HCa Healthcare, Inc. (HCa) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | HPE | As filed: Hewlett Packard Enterprise Company (HPE) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | HUN | As filed: Huntsman Corporation (HuN) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | JLL | As filed: Jones lang lasalle Incorporated (Jll) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | KSS | As filed: Kohl's Corporation (Kss) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | TAP | As filed: Molson Coors Brewing Company Class B (TaP) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | TDS | As filed: Telephone and Data systems, Inc. Common shares (TDs) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | VLO | As filed: Valero Energy Corporation (VlO) [sT] | Purchases $2K–$30K; sales — | 2 | 0 | $2.0K to $30.0K net accumulation≈ | 2019-05-08 |
| NET BUY | WPZ | As filed: Williams Partners, l.P. Common units Representing limited Partner Interests (WPZ) [sT] | Purchases $16K–$65K; sales $1K–$15K | 2 | 1 | $1.0K to $64.0K net accumulation≈ | 2018-05-10 |
| NET BUY | ALLY | As filed: ally Financial Inc. (allY) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | C | As filed: Citigroup, Inc. (C) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | CFG | As filed: Citizens Financial group, Inc. (CFg) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | DKS | As filed: Dick's sporting goods Inc (DKs) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | FITB | As filed: Fifth Third Bancorp (FITB) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | KR | As filed: Kroger Company (KR) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | MAN | As filed: Manpowergroup (MaN) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | MCK | As filed: McKesson Corporation (MCK) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | MLPX | As filed: global X MlP & Energy Infrastructure ETF (MlPX) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2018-09-27 |
| NET BUY | MS | As filed: Morgan stanley (Ms) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | OMC | As filed: Omnicom group Inc. (OMC) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | PCAR | As filed: PaCCaR Inc. (PCaR) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | SC | As filed: santander Consumer usa Holdings Inc. (sC) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| NET BUY | SPN | As filed: superior Energy services, Inc. (sPN) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-12-19 |
| NET BUY | SYF | As filed: synchrony Financial (sYF) [sT] | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2019-03-25 |
| ± net range spans zero | LUV | As filed: southwest airlines Company (luV) [sT] | Purchases $15K–$50K; sales $1K–$15K | 1 | 1 | $0 to $49.0K≈ | 2019-09-19 |
| ± net range spans zero | WES | As filed: Western gas Partners, lP limited Partner Interests (WEs) | Purchases $15K–$50K; sales $1K–$15K | 1 | 1 | $0 to $49.0K≈ | 2015-12-30 |
| ± net range spans zero | AMGN | As filed: amgen Inc. (aMgN) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2019-09-19 |
| ± net range spans zero | MPC | As filed: Marathon Petroleum Corporation (MPC) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2019-06-14 |
| ± net range spans zero | PBF | As filed: PBF Energy Inc. Class A (PBF) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2019-06-14 |
| ± net range spans zero | PSX | As filed: Phillips 66 (PsX) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2019-09-19 |
| ± net range spans zero | TRP | As filed: TransCanada Corporation (TRP) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2018-10-31 |
| ± net range spans zero | WBA | As filed: Walgreens Boots alliance, Inc. (WBa) [sT] | Purchases $2K–$30K; sales $1K–$15K | 2 | 1 | −$13.0K to $29.0K≈ | 2019-09-19 |
| FLAT the net range spans zero | AVGO | As filed: Broadcom Inc. (aVgO) [sT] | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2019-10-02 |
| FLAT the net range spans zero | IYH | ishares u.s. Healthcare ETF | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2016-11-29 |
| FLAT the net range spans zero | LM | As filed: legg Mason, Inc. (lM) [sT] | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2019-09-19 |
| FLAT the net range spans zero | TEX | As filed: Terex Corporation (TEX) [sT] | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2019-04-10 |
| NET SELL | CDK | CDK global, Inc. | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-10-07 |
| NET SELL | EQM | As filed: EQT Midstream Partners, lP Common units representing limited Partner Interests (EQM) [sT] | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2018-09-25 |
| NET SELL | HD | As filed: Home Depot, Inc. (HD) [sT] | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2019-03-22 |
| NET SELL | OGS | As filed: oNE gas, Inc. (ogs) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-02-05 |
| NET SELL | TPR | Tapestry, Inc. | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2017-12-27 |
| NET SELL | TXN | As filed: Texas Instruments Incorporated (TXN) [sT] | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2019-03-22 |
| NET SELL | VLP | As filed: Valero Energy Partners lP Common units representing limited partner interests (VlP) [sT] | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2018-10-16 |
| ± net range spans zero | TEP | Tallgrass Energy Partners, lP Common units representing limited partner interests | Purchases $19K–$110K; sales $3K–$45K | 5 | 3 | −$26.0K to $107K≈ | 2017-09-26 |
| ± net range spans zero | LNG | As filed: Cheniere Energy, Inc. (lNg) [sT] | Purchases $21K–$140K; sales $15K–$50K | 7 | 1 | −$29.0K to $125K≈ | 2019-04-01 |
| ± net range spans zero | JPM | As filed: JP Morgan Chase & Co. (JPM) [sT] | Purchases $1K–$15K; sales $2K–$30K | 1 | 2 | −$29.0K to $13.0K≈ | 2019-03-22 |
| ± net range spans zero | ABT | As filed: abbott laboratories (aBT) | Purchases $16K–$65K; sales $15K–$50K | 2 | 1 | −$34.0K to $50.0K≈ | 2014-06-10 |
| ± net range spans zero | TGT | As filed: Target Corporation (TgT) | Purchases $16K–$65K; sales $15K–$50K | 2 | 1 | −$34.0K to $50.0K≈ | 2014-06-10 |
| ± net range spans zero | RMP | As filed: Rice Midstream Partners lP Common units representing limited partner interests (RMP) [sT] | Purchases $16K–$65K; sales $4K–$60K | 2 | 4 | −$44.0K to $61.0K≈ | 2018-05-24 |
| ± net range spans zero | BPMP | As filed: BP Midstream Partners lP Common units representing limited Partner Interests (BPMP) [sT] | Purchases $19K–$110K; sales $16K–$65K | 5 | 2 | −$46.0K to $94.0K≈ | 2019-04-01 |
| ± net range spans zero | AFL | As filed: aFlaC Incorporated (aFl) | Purchases $17K–$80K; sales $16K–$65K | 3 | 2 | −$48.0K to $64.0K≈ | 2016-03-28 |
| ± net range spans zero | CVS | As filed: CVs Health Corporation (CVs) [sT] | Purchases $2K–$30K; sales $15K–$50K | 2 | 1 | −$48.0K to $15.0K≈ | 2019-06-14 |
| ± net range spans zero | WDC | As filed: Western Digital Corporation (WDC) [sT] | Purchases $2K–$30K; sales $15K–$50K | 2 | 1 | −$48.0K to $15.0K≈ | 2019-08-07 |
| ± net range spans zero | LINE | Linn Energy, LLC - Common units representing limited liability company interests | Purchases $50K–$100K; sales $50K–$100K | 1 | 1 | −$50.0K to $50.0K≈ | 2014-04-24 |
| ± net range spans zero | XLK | As filed: sPDR select sector Fund - Technology (XlK) | Purchases $50K–$100K; sales $50K–$100K | 1 | 1 | −$50.0K to $50.0K≈ | 2016-03-28 |
| ± net range spans zero | PBA | As filed: Pembina Pipeline Corp. ordinary shares (PBa) [sT] | Purchases $15K–$50K; sales $16K–$65K | 1 | 2 | −$50.0K to $34.0K≈ | 2019-04-01 |
| ± net range spans zero | GILD | As filed: gilead sciences, Inc. (gIlD) [sT] | Purchases $17K–$80K; sales $5K–$75K | 3 | 5 | −$58.0K to $75.0K≈ | 2019-09-19 |
| ± net range spans zero | SEMG | As filed: semgroup Corporation Class a (sEMg) [sT] | Purchases $101K–$265K; sales $34K–$160K | 2 | 6 | −$59.0K to $231K≈ | 2019-02-04 |
| ± net range spans zero | PSXP | As filed: Phillips 66 Partners lP Common units representing limited partner interest in the Partnership (PsXP) [sT] | Purchases $5K–$75K; sales $16K–$65K | 5 | 2 | −$60.0K to $59.0K≈ | 2019-04-01 |
| ± net range spans zero | SHLX | As filed: shell Midstream Partners, l.P. Common units representing limited Partner Interests (sHlX) [sT] | Purchases $18K–$95K; sales $17K–$80K | 4 | 3 | −$62.0K to $78.0K≈ | 2019-04-01 |
| ± net range spans zero | MSFT | As filed: Microsoft Corporation (MsFT) | Purchases $16K–$65K; sales $17K–$80K | 2 | 3 | −$64.0K to $48.0K≈ | 2016-02-17 |
| ± net range spans zero | LYB | As filed: lyondellBasell Industries NV Ordinary shares Class a (lYB) [sT] | Purchases $4K–$60K; sales $5K–$75K | 4 | 5 | −$71.0K to $55.0K≈ | 2019-05-08 |
| ± net range spans zero | ENLK | As filed: Enlink Midstream Partners, lP Common units Representing limited Partnership Interests (ENlK) [sT] | Purchases $1K–$15K; sales $5K–$75K | 1 | 5 | −$74.0K to $10.0K≈ | 2018-10-02 |
| NET SELL | BLDP | As filed: Ballard Power systems, Inc. - Common shares (BlDP) | Purchases —; sales $5K–$75K | 0 | 5 | −$75.0K to −$5.0K net disposal≈ | 2015-12-10 |
| ± net range spans zero | GEL | As filed: genesis Energy, l.P. Common units (gEl) [sT] | Purchases $25K–$200K; sales $19K–$110K | 11 | 5 | −$85.0K to $181K≈ | 2019-04-01 |
| ± net range spans zero | AM | As filed: antero Midstream Corporation (aM) [sT] | Purchases $19K–$110K; sales $19K–$110K | 5 | 5 | −$91.0K to $91.0K≈ | 2019-04-01 |
| NET SELL | ET | As filed: Energy Transfer lP Common units (ET) [sT] | Purchases $2K–$30K; sales $50K–$100K | 2 | 1 | −$98.0K to −$20.0K net disposal≈ | 2019-04-01 |
| NET SELL | COP | As filed: ConocoPhillips (COP) [sT] | Purchases $15K–$50K; sales $51K–$115K | 1 | 2 | −$100K to −$1.0K net disposal≈ | 2019-09-19 |
| NET SELL | VZ | Verizon Communications Inc. | Purchases —; sales $30K–$100K | 0 | 2 | −$100K to −$30.0K net disposal≈ | 2014-07-08 |
| NET SELL | BMY | Bristol-Myers squibb Company | Purchases —; sales $50K–$100K | 0 | 1 | −$100K to −$50.0K net disposal≈ | 2014-02-05 |
| NET SELL | CVX | Chevron Corporation | Purchases —; sales $50K–$100K | 0 | 1 | −$100K to −$50.0K net disposal≈ | 2014-10-17 |
| NET SELL | PFE | Pfizer, Inc. | Purchases —; sales $50K–$100K | 0 | 1 | −$100K to −$50.0K net disposal≈ | 2014-07-08 |
| NET SELL | PG | As filed: Procter & gamble Company (Pg) | Purchases —; sales $50K–$100K | 0 | 1 | −$100K to −$50.0K net disposal≈ | 2014-06-10 |
| NET SELL | RDS.A | As filed: Royal Dutch shell PLC Royal Dutch shell American Depositary shares (RDs.A) | Purchases —; sales $50K–$100K | 0 | 1 | −$100K to −$50.0K net disposal≈ | 2013-12-30 |
| ± net range spans zero | COF | As filed: Capital One Financial Corporation (COF) [sT] | Purchases $16K–$65K; sales $8K–$120K | 2 | 8 | −$104K to $57.0K≈ | 2019-03-22 |
| ± net range spans zero | NBLX | As filed: Noble Midstream Partners lP Common units Representing limited Partner Interests (NBlX) [sT] | Purchases $22K–$155K; sales $32K–$130K | 8 | 4 | −$108K to $123K≈ | 2019-04-01 |
| NET SELL | TGE | As filed: Tallgrass Energy, lP Class a shares (TgE) [sT] | Purchases —; sales $19K–$110K | 0 | 5 | −$110K to −$19.0K net disposal≈ | 2018-07-31 |
| NET SELL | ANDX | As filed: andeavor logistics lP Common units representing limited Partner Interests (aNDX) [sT] | Purchases $1K–$15K; sales $31K–$115K | 1 | 3 | −$114K to −$16.0K net disposal≈ | 2018-05-10 |
| ± net range spans zero | ETP | As filed: Energy Transfer Partners, l.P. Common units representing limited partner interests (ETP) [sT] | Purchases $20K–$125K; sales $33K–$145K | 6 | 5 | −$125K to $92.0K≈ | 2018-08-16 |
| ± net range spans zero | PAA | As filed: Plains all american Pipeline, l.P. (Paa) [sT] | Purchases $39K–$235K; sales $66K–$165K | 11 | 3 | −$126K to $169K≈ | 2019-04-01 |
| ± net range spans zero | EMR | As filed: Emerson Electric Company (EMR) [sT] | Purchases $17K–$80K; sales $10K–$150K | 3 | 10 | −$133K to $70.0K≈ | 2019-03-22 |
| ± net range spans zero | STX | As filed: seagate Technology PlC - ordinary shares (sTX) | Purchases $6K–$90K; sales $21K–$140K | 6 | 7 | −$134K to $69.0K≈ | 2017-12-27 |
| ± net range spans zero | MIE | Cohen & steers MlP Income and Energy opportunity Fund, Inc. | Purchases $115K–$300K; sales $100K–$250K | 2 | 1 | −$135K to $200K≈ | 2014-02-03 |
| ± net range spans zero | NML | As filed: Neuberger Berman MlP Income Fund Inc. (NMl) | Purchases $115K–$300K; sales $100K–$250K | 2 | 1 | −$135K to $200K≈ | 2014-02-03 |
| ± net range spans zero | WGP | As filed: Western gas Equity Partners, lP Common units Representing limited Partner Interests (WgP) [sT] | Purchases $163K–$495K; sales $87K–$305K | 8 | 10 | −$142K to $408K≈ | 2018-11-09 |
| ± net range spans zero | MMM | As filed: 3M Company (MMM) [sT] | Purchases $5K–$75K; sales $10K–$150K | 5 | 10 | −$145K to $65.0K≈ | 2019-03-22 |
| ± net range spans zero | COH | As filed: Coach, Inc. (CoH) | Purchases $19K–$110K; sales $11K–$165K | 5 | 11 | −$146K to $99.0K≈ | 2017-05-08 |
| ± net range spans zero | XOM | As filed: Exxon Mobil Corporation (XOM) [sT] | Purchases $18K–$95K; sales $11K–$165K | 4 | 11 | −$147K to $84.0K≈ | 2019-03-22 |
| ± net range spans zero | PAGP | As filed: Plains group Holdings, l.P. Class a shares representing limited partner interests (PagP) | Purchases $101K–$265K; sales $95K–$250K | 2 | 4 | −$149K to $170K≈ | 2016-09-26 |
| ± net range spans zero | CEN | Center Coast MlP & Infrastructure Fund Common shares of Beneficial Interest | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-02-03 |
| ± net range spans zero | EQGP | As filed: EQT gP Holdings, lP Common units representing limited partner interests (EQgP) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2016-09-26 |
| ± net range spans zero | FEI | First Trust MlP and Energy Income Fund Common shares of Beneficial Interest | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-02-03 |
| ± net range spans zero | JMF | Nuveen Energy MlP Total Return Fund Common shares of Beneficial Interest | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-02-03 |
| ± net range spans zero | LGCY | As filed: Legacy Reserves LP - units Representing Limited Partner Interests (LgCY) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-04-24 |
| ± net range spans zero | MMLP | As filed: Martin Midstream Partners l.P. - Common units Representing limited Partnership Interests (MMlP) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-08-08 |
| ± net range spans zero | SDLP | As filed: seadrill Partners llC Common units Representing limited liability Company Interests (sDlP) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-07-25 |
| ± net range spans zero | SMLP | As filed: summit Midstream Partners, LP Common units Representing Limited Partner Interests (sMLP) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-04-22 |
| ± net range spans zero | TGP | As filed: Teekay lNg Partners l.P. (TgP) | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-08-08 |
| ± net range spans zero | TTP | Tortoise Pipeline & Energy Fund, Inc. | Purchases $100K–$250K; sales $100K–$250K | 1 | 1 | −$150K to $150K≈ | 2014-02-03 |
| NET SELL | ABBV | As filed: abbVie Inc. (aBBV) | Purchases —; sales $65K–$150K | 0 | 2 | −$150K to −$65.0K net disposal≈ | 2015-12-29 |
| NET SELL | DD | E.I. du Pont de Nemours and Company | Purchases —; sales $65K–$150K | 0 | 2 | −$150K to −$65.0K net disposal≈ | 2014-02-05 |
| ± net range spans zero | MPLX | As filed: MPlX lP Common units Representing limited Partner Interests (MPlX) [sT] | Purchases $19K–$110K; sales $23K–$170K | 5 | 9 | −$151K to $87.0K≈ | 2019-04-01 |
| ± net range spans zero | JNJ | As filed: Johnson & Johnson (JNJ) [sT] | Purchases $19K–$110K; sales $12K–$180K | 5 | 12 | −$161K to $98.0K≈ | 2019-03-22 |
| ± net range spans zero | OKE | As filed: oNEoK, Inc. (oKE) [sT] | Purchases $148K–$445K; sales $88K–$320K | 7 | 11 | −$172K to $357K≈ | 2018-10-31 |
| ± net range spans zero | CL | As filed: Colgate-Palmolive Company (Cl) [sT] | Purchases $32K–$130K; sales $14K–$210K | 4 | 14 | −$178K to $116K≈ | 2019-03-22 |
| ± net range spans zero | TEGP | As filed: Tallgrass Energy gP, lP Class a shares (TEgP) | Purchases $181K–$465K; sales $151K–$365K | 5 | 3 | −$184K to $314K≈ | 2017-12-18 |
| ± net range spans zero | CBA | As filed: ClearBridge american Energy MlP Fund Inc. (CBa) | Purchases $315K–$650K; sales $250K–$500K | 3 | 1 | −$185K to $400K≈ | 2014-02-03 |
| ± net range spans zero | ACN | As filed: accenture plc Class a Ordinary shares (aCN) [sT] | Purchases $3K–$45K; sales $13K–$195K | 3 | 13 | −$192K to $32.0K≈ | 2019-03-22 |
| ± net range spans zero | IBM | As filed: International Business Machines Corporation (IBM) [sT] | Purchases $50K–$225K; sales $28K–$245K | 8 | 14 | −$195K to $197K≈ | 2019-10-02 |
| ± net range spans zero | LLY | As filed: Eli lilly and Company (llY) | Purchases $24K–$185K; sales $38K–$220K | 10 | 10 | −$196K to $147K≈ | 2016-11-29 |
| ± net range spans zero | PM | As filed: Philip Morris International Inc (PM) [sT] | Purchases $3K–$45K; sales $25K–$200K | 3 | 11 | −$197K to $20.0K≈ | 2019-03-22 |
| ± net range spans zero | UPS | As filed: united Parcel service, Inc. (uPs) [sT] | Purchases $20K–$125K; sales $15K–$225K | 6 | 15 | −$205K to $110K≈ | 2019-03-22 |
| ± net range spans zero | AAPL | As filed: apple Inc. (aaPl) [sT] | Purchases $4K–$60K; sales $14K–$210K | 4 | 14 | −$206K to $46.0K≈ | 2019-03-22 |
| ± net range spans zero | ADP | As filed: automatic Data Processing, Inc. (aDP) [sT] | Purchases $5K–$75K; sales $27K–$230K | 5 | 13 | −$225K to $48.0K≈ | 2019-03-22 |
| ± net range spans zero | GIS | As filed: general Mills, Inc. (gIs) [sT] | Purchases $49K–$210K; sales $30K–$275K | 7 | 16 | −$226K to $180K≈ | 2019-03-22 |
| ± net range spans zero | TJX | As filed: TJX Companies, Inc. (TJX) [sT] | Purchases $19K–$110K; sales $28K–$245K | 5 | 14 | −$226K to $82.0K≈ | 2019-03-22 |
| ± net range spans zero | MA | As filed: Mastercard Incorporated (Ma) [sT] | Purchases $4K–$60K; sales $27K–$230K | 4 | 13 | −$226K to $33.0K≈ | 2019-03-22 |
| ± net range spans zero | ACMP | As filed: access Midstream Partners, l.P. Common units Representing limited Partner Interests (aCMP) | Purchases $200K–$500K; sales $200K–$450K | 2 | 3 | −$250K to $300K≈ | 2014-08-08 |
| ± net range spans zero | KMP | Kinder Morgan Energy Partners, L.P. | Purchases $250K–$500K; sales $200K–$500K | 1 | 2 | −$250K to $300K≈ | 2014-04-24 |
| ± net range spans zero | GMLP | As filed: golar LNg Partners LP - Common units Representing Limited Partnership (gMLP) | Purchases $250K–$500K; sales $250K–$500K | 1 | 1 | −$250K to $250K≈ | 2013-12-27 |
| ± net range spans zero | INTC | As filed: Intel Corporation (INTC) [sT] | Purchases $5K–$75K; sales $29K–$260K | 5 | 15 | −$255K to $46.0K≈ | 2019-03-22 |
| ± net range spans zero | TRGP | As filed: Targa Resources, Inc. (TRgP) [sT] | Purchases $157K–$455K; sales $146K–$415K | 9 | 5 | −$258K to $309K≈ | 2019-04-01 |
| NET SELL | MO | As filed: altria group, Inc. (Mo) | Purchases $1K–$15K; sales $29K–$260K | 1 | 15 | −$259K to −$14.0K net disposal≈ | 2017-12-27 |
| ± net range spans zero | LMT | As filed: lockheed Martin Corporation (lMT) [sT] | Purchases $20K–$125K; sales $31K–$290K | 6 | 17 | −$270K to $94.0K≈ | 2019-03-22 |
| ± net range spans zero | NMM | Navios Maritime Partners lP Common units Representing limited Partner Interests | Purchases $350K–$750K; sales $315K–$650K | 2 | 3 | −$300K to $435K≈ | 2014-03-11 |
| ± net range spans zero | KMI | Kinder Morgan, Inc. | Purchases $250K–$500K; sales $265K–$550K | 1 | 2 | −$300K to $235K≈ | 2014-02-20 |
| ± net range spans zero | T | As filed: aT&T Inc. (T) [sT] | Purchases $7K–$105K; sales $44K–$310K | 7 | 16 | −$303K to $61.0K≈ | 2019-08-20 |
| NET SELL | PEP | As filed: Pepsico, Inc. (PEP) [sT] | Purchases $2K–$30K; sales $32K–$305K | 2 | 18 | −$303K to −$2.0K net disposal≈ | 2019-03-22 |
| ± net range spans zero | MCD | As filed: McDonald's Corporation (MCD) [sT] | Purchases $18K–$95K; sales $59K–$360K | 4 | 17 | −$342K to $36.0K≈ | 2019-03-22 |
| ± net range spans zero | ENLC | As filed: Enlink Midstream, llC Common units representing limited Partner Interests (ENlC) | Purchases $266K–$665K; sales $231K–$615K | 5 | 5 | −$349K to $434K≈ | 2017-02-03 |
| ± net range spans zero | NGL | As filed: Ngl ENERgY PaRTNERS lP Common units representing limited Partner Interests (Ngl) | Purchases $331K–$715K; sales $352K–$780K | 5 | 4 | −$449K to $363K≈ | 2017-08-23 |
| ± net range spans zero | EVEP | EV Energy Partners, L.P. - common units representing limited partnership interest | Purchases $400K–$850K; sales $400K–$850K | 3 | 3 | −$450K to $450K≈ | 2014-04-24 |
| NET SELL | TLLP | As filed: Tesoro logistics lP Common units representing limited Partner Interests (TllP) | Purchases $18K–$95K; sales $250K–$500K | 4 | 1 | −$482K to −$155K net disposal≈ | 2017-06-12 |
| NET SELL | NGLS | As filed: Targa Resources Partners lP Common units Representing limited Partnership Interests (Ngls) | Purchases $1K–$15K; sales $250K–$500K | 1 | 1 | −$499K to −$235K net disposal≈ | 2014-01-24 |
| NET SELL | BBEP | BreitBurn Energy Partners, L.P. - Common units Representing Limited Partnership | Purchases —; sales $250K–$500K | 0 | 1 | −$500K to −$250K net disposal≈ | 2013-12-04 |
| ± net range spans zero | MWE | MarkWest Energy Partners, lP Common units representing limited partnership units | Purchases $165K–$400K; sales $350K–$750K | 3 | 2 | −$585K to $50.0K≈ | 2014-03-21 |
| NET SELL | EPD | As filed: Enterprise Products Partners l.P. (EPD) [sT] | Purchases $56K–$190K; sales $304K–$660K | 7 | 6 | −$604K to −$114K net disposal≈ | 2019-04-01 |
| ± net range spans zero | APU | As filed: amerigas Partners, l.P. (aPu) | Purchases $600K–$1.2M; sales $600K–$1.3M | 4 | 3 | −$650K to $600K≈ | 2014-07-28 |
| ± net range spans zero | WMB | As filed: Williams Companies, Inc. (WMB) [sT] | Purchases $253K–$720K; sales $593K–$1.4M | 14 | 13 | −$1.2M to $127K≈ | 2019-04-01 |
1–20 of 147 tickers
distinct default-view filings for this member, including paper (needs-OCR) filings that carry zero machine-readable rows: 71 · transactions: 1,034 · 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: +26d · rows filed past the STOCK Act's 45-day window: 16
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 | 340 | $1.1M–$6.9M |
| Transportation, Communications, Electric, Gas, and Sanitary Services | 220 | $4.3M–$11.8M |
| Services | 62 | $316K–$1.5M |
| Retail Trade | 51 | $177K–$1.1M |
| Finance, Insurance, and Real Estate | 29 | $183K–$745K |
| Mining | 3 | $31K–$115K |
| Wholesale Trade | 3 | $201K–$515K |
| ticker not resolved to an issuer coverage | 219 | $9.5M–$23.1M |
| no ticker disclosed coverage | 104 | Over $2M |
| issuer has no SIC on record coverage | 3 | $215K–$550K |
| 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 | — | As filed: salient MlP Fund [HN] | — | $100K–$250K | no ticker | Traded → Filed +9d | |
| BUY | SPN | As filed: superior Energy services, Inc. (sPN) [sT] | — | $1K–$15K | Traded → Filed +21d | ||
| BUY | — | As filed: Hyatt Hotels Corp Notes; 03/15/2026; 4.85% [Cs] | — | $50K–$100K | no ticker | Traded → Filed +34d | |
| SELL | — | As filed: salient MlP Fund, lP [HN] | partial (partial sale) | $100K–$250K | no ticker | Traded → Filed +18d | |
| BUY | IBM | As filed: International Business Machines Corporation (IBM) [sT] | — | $1K–$15K | Traded → Filed +39d | ||
| SELL | AVGO | As filed: Broadcom Inc. (aVgO) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +39d | ||
| BUY | GILD | As filed: gilead sciences, Inc. (gIlD) [sT] | — | $1K–$15K | Traded → Filed +18d | ||
| SELL | LM | As filed: legg Mason, Inc. (lM) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +18d | ||
| BUY | WBA | As filed: Walgreens Boots alliance, Inc. (WBa) [sT] | — | $1K–$15K | Traded → Filed +18d | ||
| SELL | PSX | As filed: Phillips 66 (PsX) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +18d | ||
| BUY | AMGN | As filed: amgen Inc. (aMgN) [sT] | — | $1K–$15K | Traded → Filed +18d | ||
| SELL | LUV | As filed: southwest airlines Company (luV) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +18d | ||
| SELL | COP | As filed: ConocoPhillips (COP) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +18d | ||
| BUY | UCON | As filed: First Trust TCW unconstrained Plus Bond ETF (uCON) [sT] | — | $100K–$250K | Traded → Filed +34d | ||
| SELL | — | As filed: aIM Bridge llC [HN] | partial (partial sale) | $1K–$15K | no ticker | Traded → Filed +39d | |
| SELL | — | As filed: american Infrastructure MlP associates Fund lP [HN] | partial (partial sale) | $1K–$15K | no ticker | Traded → Filed +15d | |
| SELL | — | As filed: general Electric--2/11/2021/ 5.3% [Cs] | — | $50K–$100K | no ticker | Traded → Filed +16d | |
| BUY | T | As filed: aT&T Inc. (T) [sT] | — | $1K–$15K | Traded → Filed +24d | ||
| SELL | WDC | As filed: Western Digital Corporation (WDC) [sT] | partial (partial sale) | $15K–$50K | Traded → Filed +37d | ||
| SELL | — | As filed: american Infrastructure MlP associates Fund lP [HN] | partial (partial sale) | $15K–$50K | no ticker | Traded → Filed +24d | |
| SELL | — | As filed: aIM Bridge llC [HN] | partial (partial sale) | $1K–$15K | no ticker | Traded → Filed +24d | |
| BUY | — | As filed: TPH Partners II lP [HN] | — | $1K–$15K | no ticker | Traded → Filed +26d | |
| BUY | MET | As filed: Metlife, Inc. (MET) [sT] | — | $15K–$50K | Traded → Filed +28d | ||
| BUY | JAZZ | As filed: Jazz Pharmaceuticals plc - ordinary shares (JaZZ) [sT] | — | $15K–$50K | Traded → Filed +28d | ||
| BUY | COP | As filed: ConocoPhillips (CoP) [sT] | — | $15K–$50K | Traded → Filed +28d | ||
| BUY | — | As filed: TPH Partners II LP [HN] | — | $1K–$15K | date anomalyno ticker | Traded → Filed filed −5d before trade | |
| SELL | MPC | As filed: Marathon Petroleum Corporation (MPC) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +28d | ||
| SELL | PBF | As filed: PBF Energy Inc. Class A (PBF) [sT] | partial (partial sale) | $1K–$15K | Traded → Filed +28d | ||
| SELL | CVS | As filed: CVs Health Corporation (CVs) [sT] | partial (partial sale) | $15K–$50K | Traded → Filed +28d | ||
| SELL | — | As filed: TPH Partners lP [HN] | partial (partial sale) | $1K–$15K | no ticker | Traded → Filed +13d | |
| SELL | — | As filed: salient MlP Fund lP [HN] | partial (partial sale) | $100K–$250K | no ticker | Traded → Filed +31d | |
| BUY | AES | As filed: The aEs Corporation (aEs) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| SELL | WBA | As filed: Walgreens Boots alliance, Inc. (WBa) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| SELL | GILD | As filed: gilead sciences, Inc. (gIlD) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | LYB | As filed: lyondellBasell Industries NV Ordinary shares Class a (lYB) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| SELL | AMGN | As filed: amgen Inc. (aMgN) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | WDC | As filed: Western Digital Corporation (WDC) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | EXC | As filed: Exelon Corporation (EXC) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | MPC | As filed: Marathon Petroleum Corporation (MPC) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | PBF | As filed: PBF Energy Inc. Class a (PBF) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | PSX | As filed: Phillips 66 (PsX) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | VLO | As filed: Valero Energy Corporation (VlO) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | KSS | As filed: Kohl's Corporation (Kss) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | CVS | As filed: CVs Health Corporation (CVs) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | HPE | As filed: Hewlett Packard Enterprise Company (HPE) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | TDS | As filed: Telephone and Data systems, Inc. Common shares (TDs) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | HCA | As filed: HCa Healthcare, Inc. (HCa) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | TAP | As filed: Molson Coors Brewing Company Class B (TaP) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | JLL | As filed: Jones lang lasalle Incorporated (Jll) [sT] | — | $1K–$15K | Traded → Filed +36d | ||
| BUY | HUN | As filed: Huntsman Corporation (HuN) [sT] | — | $1K–$15K | Traded → Filed +36d |
| Filed | Rows | Receipt |
|---|---|---|
| 2020-01-09 | 3 | |
| 2019-12-18 | 1 | |
| 2019-11-10 | 2 | |
| 2019-10-07 | 9 | |
| 2019-09-13 | 4 | |
| 2019-08-12 | 6 | |
| 2019-07-12 | 4 | |
| 2019-06-13 | 22 | |
| 2019-05-14 | 19 | |
| 2019-04-04 | 58 | |
| 2019-03-08 | 3 | |
| 2019-02-11 | 1 | |
| 2019-01-10 | 8 | |
| 2018-12-14 | 13 | |
| 2018-11-14 | 26 | |
| 2018-10-09 | 18 | |
| 2018-09-07 | 16 | |
| 2018-08-08 | 7 | |
| 2018-07-13 | 11 | |
| 2018-06-22 | 32 | |
| 2018-01-19 | 41 | |
| 2017-12-07 | 3 | |
| 2017-11-01 | 2 | |
| 2017-10-04 | 20 | |
| 2017-10-04 | 7 | |
| 2017-07-13 | 3 | |
| 2017-06-19 | 32 | |
| 2017-05-05 | 8 | |
| 2017-04-05 | 33 | |
| 2017-03-08 | 43 | |
| 2017-02-13 | 8 | |
| 2017-01-17 | 28 | |
| 2016-12-11 | 46 | |
| 2016-11-15 | 57 | |
| 2016-10-06 | 16 | |
| 2016-09-11 | 2 | |
| 2016-08-02 | 27 | |
| 2016-08-02 | 2 | |
| 2016-07-06 | 1 | |
| 2016-06-20 | 12 | |
| 2016-05-30 | 28 | |
| 2016-04-13 | 9 | |
| 2016-03-15 | 18 | |
| 2016-03-15 | 1 | |
| 2016-02-24 | 14 | |
| 2016-01-15 | 51 | |
| 2015-12-10 | 5 | |
| 2015-11-16 | 9 | |
| 2015-11-16 | 2 | |
| 2015-11-16 | 1 | |
| 2015-08-04 | 3 | |
| 2015-08-01 | 4 | |
| 2015-07-08 | 1 | |
| 2015-06-12 | 23 | |
| 2015-04-14 | 3 | |
| 2015-03-11 | 5 | |
| 2015-03-11 | 1 | |
| 2015-02-10 | 1 | |
| 2015-01-12 | 5 | |
| 2014-12-04 | 2 | |
| 2014-11-10 | 9 | |
| 2014-10-05 | 3 | |
| 2014-09-10 | 23 | |
| 2014-08-12 | 14 | |
| 2014-07-10 | 19 | |
| 2014-06-12 | 3 | |
| 2014-05-09 | 11 | |
| 2014-04-10 | 13 | |
| 2014-03-12 | 39 | |
| 2014-02-12 | 12 | |
| 2014-01-07 | 48 |
1–12 of 71 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 · 708 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.