137 reported transactions
Amounts are the ranges in the filing. Purchases and sales are disclosures, not a statement of current holdings.
Disclosed flow by quarter. 24Q4: no purchases, no sales; 25Q1: no purchases, no sales; 25Q2: no purchases, no sales; 25Q3: no purchases, no sales; 25Q4: no purchases, no sales; 26Q1: no purchases, no sales; 26Q2: no purchases, no sales; 26Q3: no purchases, no sales
| Net | Ticker | Issuer | Buy ◂ ▸ Sellnet 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 zeronet 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 range ·§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 | 13FInstitutional overlap is not available in this build. |
|---|---|---|---|---|---|---|---|---|
| BUY | VCSH | Vanguard Short-Term Corporate Bond ETF (VCSH) | Purchases $32K–$130K; sales — | 4 | 0 | $32.0K to $130K net accumulation | 2016-02-18 | — |
| BUY | VCIT | Vanguard Intermediate-Term Corporate Bond ETF (VCIT) | Purchases $32K–$130K; sales $1K–$15K | 4 | 1 | $17.0K to $129K net accumulation≈ | 2017-03-01 | — |
| BUY | AMZN | Amazon.com, Inc. (AMZN) | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2016-10-28 | — |
| BUY | SPY | SPdR S&P 500 (SPY) | Purchases $15K–$50K; sales — | 1 | 0 | $15.0K to $50.0K net accumulation≈ | 2015-12-28 | — |
| BUY | MGK | Vanguard Mega Cap growth ETF (MgK) | Purchases $33K–$145K; sales $2K–$30K | 5 | 2 | $3.0K to $143K net accumulation≈ | 2016-02-18 | — |
| BUY | VYM | Vanguard High dividend Yield ETF - dNQ (VYM) | Purchases $18K–$95K; sales $1K–$15K | 4 | 1 | $3.0K to $94.0K net accumulation≈ | 2016-02-18 | — |
| BUY | QQQ | PowerShares QQQ Trust, Series 1 (QQQ) | Purchases $17K–$80K; sales $1K–$15K | 3 | 1 | $2.0K to $79.0K net accumulation≈ | 2016-02-18 | — |
| BUY | VXUS | Vanguard Total International Stock ETF (VXUS) | Purchases $1K–$15K; sales — | 1 | 0 | $1.0K to $15.0K net accumulation≈ | 2016-02-18 | — |
| MIXED | VB | Vanguard Small-Cap ETF - dNQ (VB) | Purchases $3K–$45K; sales $1K–$15K | 3 | 1 | −$12.0K to $44.0K≈ | 2016-02-18 | — |
| MIXED | VO | Vanguard Mid-Cap ETF - dNQ (Vo) | Purchases $3K–$45K; sales $1K–$15K | 3 | 1 | −$12.0K to $44.0K≈ | 2016-02-18 | — |
| MIXED | BRK.B | Berkshire Hathaway Inc. New (BRK.B) | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2016-10-28 | — |
| MIXED | XLV | SPdR Select Sector Fund - Health Care (XLV) | Purchases $1K–$15K; sales $1K–$15K | 1 | 1 | −$14.0K to $14.0K≈ | 2016-01-07 | — |
| SELL | AMLP | Alerian MLP ETF (AMLP) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-09 | — |
| SELL | BCE | BCE, Inc. (BCE) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-28 | — |
| SELL | CL | Colgate-Palmolive Company (CL) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 | — |
| SELL | COP | ConocoPhillips (CoP) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-12-28 | — |
| SELL | CWGL | Crimson Wine group Ltd. (CWgL) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-02-18 | — |
| SELL | DDD | 3D Systems Corporation (DDD) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-10-22 | — |
| SELL | DNKN | Dunkin' Brands group, Inc. (DNKN) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-05-22 | — |
| SELL | GIMO | gigamon Inc. (gIMO) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2014-05-22 | — |
| SELL | HYI | Western Asset High Yield defined Opportunity Fund Inc. (HYI) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 | — |
| SELL | IXP | iShares global Telecom ETF (IXP) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2015-06-30 | — |
| SELL | LUK | Leucadia National Corporation (LUK) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-02-18 | — |
| SELL | VXF | Vanguard Extended Market ETF - dNQ (VXF) | Purchases —; sales $1K–$15K | 0 | 1 | −$15.0K to −$1.0K net disposal≈ | 2016-01-29 | — |
| MIXED | RDIV | RevenueShares Ultra dividend Fund (RdIV) | Purchases $1K–$15K; sales $2K–$30K | 1 | 2 | −$29.0K to $13.0K≈ | 2016-01-15 | — |
| SELL | KMI | Kinder Morgan, Inc. (KMI) | Purchases —; sales $2K–$30K | 0 | 2 | −$30.0K to −$2.0K net disposal≈ | 2015-10-29 | — |
| MIXED | IYLD | iShares Morningstar Multi-Asset Income ETF (IYLd) | Purchases $15K–$50K; sales $15K–$50K | 1 | 1 | −$35.0K to $35.0K≈ | 2015-10-29 | — |
| MIXED | PKW | PowerShares Buyback Achievers (PKW) | Purchases $16K–$65K; sales $16K–$65K | 2 | 2 | −$49.0K to $49.0K≈ | 2016-01-29 | — |
| SELL | HD | Home depot, Inc. (Hd) | Purchases —; sales $15K–$50K | 0 | 1 | −$50.0K to −$15.0K net disposal≈ | 2016-01-29 | — |
| MIXED | VFH | Vanguard Financials ETF - dNQ (VFH) | Purchases $1K–$15K; sales $4K–$60K | 1 | 4 | −$59.0K to $11.0K≈ | 2016-01-29 | — |
| SELL | SDY | SPdR S&P dividend ETF (SdY) | Purchases $1K–$15K; sales $16K–$65K | 1 | 2 | −$64.0K to −$1.0K net disposal≈ | 2016-02-18 | — |
| SELL | DTN | WisdomTree dividend Ex-Financials Fund (dTN) | Purchases —; sales $16K–$65K | 0 | 2 | −$65.0K to −$16.0K net disposal≈ | 2016-01-29 | — |
| SELL | SCD | LMP Capital and Income Fund Inc. (SCd) | Purchases —; sales $16K–$65K | 0 | 2 | −$65.0K to −$16.0K net disposal≈ | 2015-08-05 | — |
| MIXED | TDIV | 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 | — |
| SELL | RWL | RevenueShares Large Cap (RWL) | Purchases $1K–$15K; sales $17K–$80K | 1 | 3 | −$79.0K to −$2.0K net disposal≈ | 2016-01-29 | — |
| MIXED | DIA | sPDR Dow Jones Industrial Average ETF (DIA) | Purchases $31K–$115K; sales $31K–$115K | 3 | 3 | −$84.0K to $84.0K≈ | 2016-08-30 | — |
| SELL | AAPL | Apple Inc. (AAPL) | Purchases —; sales $31K–$115K | 0 | 3 | −$115K to −$31.0K net disposal≈ | 2016-01-29 | — |
filings incl. 0 paper: 14distinct default-view filings for this member, including paper (needs-OCR) filings that carry zero machine-readable rows · transactions: 137 · disclosed flow · trailing 12m: —sum of statutory bucket bounds over the trailing 12 months — an interval, not an estimate of value · median lag: +17dmedian days between trade date and filing date, over rows that disclose both · late filings: 51rows filed past the STOCK Act's 45-day window
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 |
| transport-utilities | 3 | $3K–$45K |
| retail | 2 | $30K–$100K |
| services | 1 | $1K–$15K |
| ticker not resolved to an issuer coverage | 69 | $279K–$1.6M |
| no ticker disclosed coverage | 42 | $315K–$1.2M |
| issuer has no SIC on record coverage | 14 | $112K–$455K |
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.
| Kind | Ticker | Asset | OwnerFilings 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 |
|---|---|---|---|---|---|---|---|
| Sale | VCIT | Vanguard Intermediate-Term Corporate Bond ETF (VCIT) | · JT (jointly owned) | $1K–$15K | Traded → Filed +0d | ||
| Sale | BRK.B | Berkshire Hathaway Inc. New (BRK.B) | — | $1K–$15K | Traded → Filed +0d | ||
| Purchase | AMZN | Amazon.com, Inc. (AMZN) | — | $15K–$50K | Traded → Filed +0d | ||
| Sale | DIA | sPDR Dow Jones Industrial Average ETF (DIA) | · JT (jointly owned) | $15K–$50K | Traded → Filed +17d | ||
| Sale | — | 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 | |
| Purchase | VYM | Vanguard High dividend Yield ETF - dNQ (VYM) | · JT (jointly owned) | $15K–$50K | Traded → Filed LATE·109d | ||
| Purchase | VYM | Vanguard High dividend Yield ETF - dNQ (VYM) | · SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·119d | ||
| Purchase | VYM | Vanguard High dividend Yield ETF - dNQ (VYM) | — | $1K–$15K | Traded → Filed LATE·119d | ||
| Sale | AMLP | Alerian MLP ETF (AMLP) | · SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·128d | ||
| Purchase | VFH | Vanguard Financials ETF - dNQ (VFH) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·133d | ||
| Sale | IYLD | iShares Morningstar Multi-Asset Income ETF (IYLd) | · JT (jointly owned) | $15K–$50K | Traded → Filed LATE·169d | ||
| Purchase | BRK.B | Berkshire Hathaway Inc. New (BRK.B) | — | $1K–$15K | Traded → Filed LATE·206d | ||
| Sale | MGK | Vanguard Mega Cap growth ETF (MgK) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·217d | ||
| Purchase | DIA | SPdR dow Jones Industrial Average ETF (dIA) | · SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·227d | ||
| Purchase | DIA | SPdR dow Jones Industrial Average ETF (dIA) | — | $15K–$50K | Traded → Filed LATE·227d | ||
| Sale | MGK | Vanguard Mega Cap growth ETF (MgK) | — | $1K–$15K | Traded → Filed LATE·233d | ||
| Sale | SCD | LMP Capital and Income Fund Inc. (SCd) | · SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·254d | ||
| Sale | SCD | LMP Capital and Income Fund Inc. (SCd) | — | $15K–$50K | Traded → Filed LATE·254d | ||
| Sale | IXP | iShares global Telecom ETF (IXP) | — | $1K–$15K | Traded → Filed LATE·290d | ||
| Purchase | RWL | Oppenheimer Large Cap Revenue ETF (RWL) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·317d | ||
| Sale | SDY | SPdR S&P dividend ETF (SdY) | · JT (jointly owned) | $15K–$50K | Traded → Filed LATE·358d | ||
| Purchase | RDIV | Oppenheimer Ultra dividend Revenue ETF (RdIV) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·382d | ||
| Purchase | IYLD | iShares Morningstar Multi-Asset Income ETF (IYLd) | · JT (jointly owned) | $15K–$50K | Traded → Filed LATE·382d | ||
| Purchase | TDIV | First Trust NASdAQ Technology dividend Index Fund (TdIV) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| Purchase | XLV | SPdR Select Sector Fund - Health Care (XLV) | · JT (jointly owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| Purchase | TDIV | First Trust NASdAQ Technology dividend Index Fund (TdIV) | · SP (spouse-owned) | $1K–$15K | Traded → Filed LATE·444d | ||
| Purchase | TDIV | First Trust NASdAQ Technology dividend Index Fund (TdIV) | — | $1K–$15K | Traded → Filed LATE·444d | ||
| Purchase | PKW | PowerShares Buyback Achievers (PKW) | · JT (jointly owned) | $15K–$50K | Traded → Filed LATE·463d | ||
| Purchase | PKW | PowerShares Buyback Achievers (PKW) | — | $1K–$15K | Traded → Filed LATE·463d |
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 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.