Congress trading
Every stock trade disclosed by Congress
Every line of every STOCK Act report we hold, from House Clerk and Senate recordsEvery STOCK Act trade since 2014. Newest filing first, as of Oct 4, 2026; narrow the record by member, party, chamber, ticker, account or size, and every name and ticker opens its own page.
1,874 fund trades filed since 2014
Across 598 reports by 91 members · newest filing first
Bands are as reported, never a figure. Since the trade is the stock's move after it, estimated from market prices, not the member's result. Not investment advice.
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sold Lord Abbett Floating Rate Fund Class C FundTraded Dec 24, 2018, 32 days earlier$50,001 - $100,000n/a
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bought Inland Real Estate Income TR Com, 100% Interest FundJointTraded Jan 2, 2019, 13 days earlier$1,001 - $15,000n/a
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bought Fs Energy and Power Fund FundJointTraded Dec 4, 2018, 42 days earlier$1,001 - $15,000n/a
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sold RA Brookfield Real Assets Income Fund FundTraded Dec 27, 2018, 12 days earlier$15,001 - $50,000Since trade -37.3%S&P 500 +208.0% · 245.3 pts behind S&P 500
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bought GFAFX American Funds Growth Fund of Amer F1 FundJointTraded Dec 21, 2018, 13 days earlier$1,001 - $15,000n/a
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bought ARKK Ark Innovation ETF FundTraded Oct 24, 2018, 58 days earlier$1,001 - $15,000Since trade +126.6%S&P 500 +188.6% · 62.0 pts behind S&P 500
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sold IWN iShares Russell 2000 Value ETF FundTraded Jul 31, 2018, 143 days earlier$1,001 - $15,000Since trade +58.4%S&P 500 +172.3% · 113.8 pts behind S&P 500
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sold Gs International Equity Insights Fund Class P FundTraded Oct 3, 2018, 37 days earlier$1,000,001 - $5,000,000n/a
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sold Pear Tree Polaris Foreign Value Fund Institutional Mutual Fund FundTraded Oct 3, 2018, 37 days earlier$15,001 - $50,000n/a
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sold Pear Tree Polaris Foreign Value Fund Institutional Mutual Fund FundTraded Oct 3, 2018, 37 days earlier$250,001 - $500,000n/a
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sold in part IWF Ishares Russell 1000 Growth ETF FundJointTraded Oct 2, 2018, 30 days earlier$1,001 - $15,000Since trade +221.4%S&P 500 +162.5% · 58.9 pts ahead of S&P 500
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Traded Sep 10, 2018, 50 days earlier$1,001 - $15,000Since trade -16.8%S&P 500 +167.3% · 184.1 pts behind S&P 500
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Traded Sep 4, 2018, 56 days earlier$1,001 - $15,000Since trade -18.7%S&P 500 +165.6% · 184.3 pts behind S&P 500
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sold Lord Abbett Floating Rate Fund Class C FundTraded Aug 30, 2018, 30 days earlier$1,001 - $15,000n/a
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bought REGL Proshares S&P Midcap 400 Dividend Aristocrats ETF FundJointTraded Aug 23, 2018, 27 days earlier$15,001 - $50,000Since trade +51.8%S&P 500 +169.3% · 117.5 pts behind S&P 500
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sold VNQ Vanguard Real Estate ETF FundJointTraded Aug 21, 2018, 29 days earlier$15,001 - $50,000Since trade +7.8%S&P 500 +168.8% · 161.1 pts behind S&P 500
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Traded Sep 6, 2018, 6 days earlierBand not statedn/a
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Traded Aug 31, 2018, 12 days earlier$1,001 - $15,000Since trade -18.7%S&P 500 +165.3% · 184.0 pts behind S&P 500
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bought FDRR Fidelity Dividend ETF for Rising Rates FundTraded Aug 29, 2018, 13 days earlier$15,001 - $50,000Since trade +110.2%S&P 500 +162.3% · 52.1 pts behind S&P 500
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bought Market Fund In Two Separately Managed Accounts. the Money Manager Then Used the Funds To Acquire A Variety of Stocks. Fidelity Govt Mmkt Daily Money Class @ 1 FundTraded Jul 20, 2017, 396 days earlier$1,001 - $15,000n/a
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sold Market Fund In Two Separately Managed Accounts. the Money Manager Then Used the Funds To Acquire A Variety of Stocks. Fidelity Govt Mmkt Daily Money Class @ 1 FundTraded Jul 20, 2017, 396 days earlier$100,001 - $250,000n/a
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bought Market Fund In A Separately Managed Account. the Money Manager Then Used the Funds To Acquire A Variety of Stocks. Fidelity Govt Mmkt Daily Money Class @ 1 FundTraded Jul 14, 2017, 402 days earlier$100,001 - $250,000n/a
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bought RA Brookfield Real Assets Income Fund FundTraded Aug 9, 2018, 8 days earlier$15,001 - $50,000Since trade -50.5%S&P 500 +168.2% · 218.7 pts behind S&P 500
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bought BTO John Hancock Financial Opportunities Fund FundJointTraded Jun 13, 2018, 30 days earlier$1,001 - $15,000Since trade -7.1%S&P 500 +175.6% · 182.7 pts behind S&P 500
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sold Gs Short Duration Tax-Free Fund Institutional Shares FundTraded Jun 6, 2018, 35 days earlier$50,001 - $100,000n/a
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sold Russell Lifepoint Balanced Strategy Fund Class C FundJointTraded Jun 15, 2018, 20 days earlier$1,001 - $15,000n/a
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bought TOR Torchmark Corporation Cmn Altaba Inc. Close Ended Fund FundTraded May 15, 2018, 24 days earlier$1,001 - $15,000n/a
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sold Franklin Income Fund FundTraded Apr 10, 2018, 43 days earlier$1,001 - $15,000n/a
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sold Osterweis Strategic Income Fund FundTraded Apr 10, 2018, 43 days earlier$15,001 - $50,000n/a
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bought Tobacco Settlement Fund 5% FundTraded Apr 11, 2018, 41 days earlier$50,001 - $100,000n/a
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One card is one report. One line is one disclosed trade as we store it: two accounts reporting the same trade in the same band on the same day are one line here. The trade date, filing date, account and value band on each line are read from the report as the member filed it with the House Clerk or the Secretary of the Senate; the days on a line count from the trade to that filing, and the STOCK Act allows 45. A line says "Filed late" only where we have read the report against the original. Where a report has been read against the original, the count on the card is the lines we hold and links to the report itself; the late filings page prints the report's own count. The window is by filing date.
Reports are shown 20 to a page, each with its lines in trade date order. A report longer than 60 lines is shortened here, and so are the reports after the point where a page passes 250 lines; a shortened report says so, and the member's own page carries every line.
Since the trade: the stock's move from the trade date to the latest close we hold, as of Sep 29 to Oct 3, 2026, with the S&P 500 over the same window and the difference against it in points. The numbers describe the stock after the trade, not the member's result: a disclosure carries a band, not a fill, and a sale keeps the same sign, so a positive number after a sale means the stock kept rising. An option line carries the underlying stock's move. Estimates from market prices, not from the reports; n/a on assets with no market price. Not investment advice.