Congress trades

Global Partners LP (GLP)

NYSE · Energy · 17 congress trades · last filed 5 years ago

17
Congress disclosures shown
13d
Median delay on the congress disclosures
of the 45 day limit
10/7
Purchases and sales in the disclosures shown

About Global Partners LP

from the company's filings and listing
Exchange
NYSE
Sector
Energy
Industry
Oil & Gas Midstream
Chief executive
Eric Slifka
Employees
4,700
Listed since
Oct 4, 2005
Market value
$1.8B
Price to earnings
10.8
Earnings per share
$5.08
Dividend yield
5.72%

www.globalp.com

Earnings

6 reported quarters · next on Nov 6, 2026
QuarterEPSEPS expectedRevenueRevenue expectedResult
Q2 FY2026reported Aug 7, 2026$1.86$1.24$6.8B$7.5BEPS beatRevenue miss
Q1 FY2026reported May 8, 2026$1.85$0.33$5.3B$7.0BEPS beatRevenue miss
Q4 FY2025reported Feb 27, 2026$0.54$0.60$4.6B$6.9BEPS missRevenue miss
Q3 FY2025reported Nov 7, 2025$0.66$1.09$4.7B$6.9BEPS missRevenue miss
Q2 FY2025reported Aug 7, 2025$0.55$0.60$4.6B$6.5BEPS missRevenue miss
Q1 FY2025reported May 8, 2025$0.36-$0.03$4.6B$6.0BEPS beatRevenue miss

Actual against the consensus estimate at the time. A flag marks a beat or a miss of more than 1.5% either way; inside that band the quarter is in line. A flag marked GAAP compares a GAAP figure the company reported with an adjusted consensus, two different measures, so a one-time gain or charge can move it either way; basis unverified means we could not classify the reported figure. A flag reads n/a only when a number is missing. An estimate is a forecast made by analysts, not a company target.

Institutional holders

13F positions as of Jun 30, 2026
HolderValueSharesChangeOf company
ALPS Advisors Inc$272.3M5,844,099-3.3%17.23%
Invesco Ltd.$101.8M2,185,5650.0%6.44%
Mirae Asset Global Etfs Holdings Ltd.$96.0M2,061,121+1.2%6.08%
Pallas Capital Advisors LLC$80.7M1,731,170+0.2%5.10%
Morgan Stanley$32.7M702,122+37.3%2.07%
Goldman Sachs Group Inc$29.8M639,882+0.7%1.89%
Jpmorgan Chase & Co$27.4M582,477+13.2%1.72%
Kayne Anderson Capital Advisors LP$13.3M285,481+794.2%0.84%
Blackstone Inc.$10.7M230,015-4.4%0.68%
Royal Bank Of Canada$10.5M224,777+26.9%0.66%
Fractal Investments LLC$9.1M195,2340.0%0.58%
Bank Of America Corp$8.1M174,659+49.8%0.51%

A 13F reports long US equity positions 45 days after the quarter ends, so these are positions as they stood on Jun 30, 2026. For a manager's whole book see the fund directory.

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Congress trades in GLP

17 disclosures of 17 on record · median 13d of the 45 allowed
MemberTypeActionAmount disclosedSince the tradeTrade dateDisclosedDelay
Mark E. GreenStockSale$100,001 - $250,000+145.1%S&P +76.1% · vs S&P 500 +69.0%Oct 5, 2021Oct 18, 202113d
Mark E. GreenStockSale$250,001 - $500,000+147.6%S&P +75.3% · vs S&P 500 +72.3%Oct 6, 2021Oct 18, 202112d
Mark E. GreenStockPurchase$15,001 - $50,000+160.3%S&P +71.5% · vs S&P 500 +88.9%Sep 23, 2021Sep 30, 20217d
Mark E. GreenStockPurchase$15,001 - $50,000+160.7%S&P +71.2% · vs S&P 500 +89.5%Sep 24, 2021Sep 30, 20216d
Mark E. GreenStockPurchase$100,001 - $250,000+162.2%S&P +68.2% · vs S&P 500 +94.1%Sep 2, 2021Sep 23, 202121d
Mark E. GreenStockPurchase$100,001 - $250,000+163.1%S&P +68.7% · vs S&P 500 +94.5%Sep 1, 2021Sep 23, 202122d
Mark E. GreenStockSale$100,001 - $250,000+115.3%S&P +80.6% · vs S&P 500 +34.6%May 7, 2021May 10, 20213d
Mark E. GreenStockSale$100,001 - $250,000+293.2%S&P +126.5% · vs S&P 500 +166.7%Aug 14, 2020Sep 16, 202033d
Mark E. GreenStockSale$50,001 - $100,000+310.4%S&P +129.2% · vs S&P 500 +181.2%Aug 11, 2020Aug 18, 20207d
Mark E. GreenStockPurchase$15,001 - $50,000+291.7%S&P +128.2% · vs S&P 500 +163.6%Aug 6, 2020Aug 12, 20206d
Mark E. GreenStockPurchase$15,001 - $50,000+335.4%S&P +131.1% · vs S&P 500 +204.3%Aug 4, 2020Aug 12, 20208d
Mark E. GreenStockPurchase$1,001 - $15,000+335.4%S&P +131.1% · vs S&P 500 +204.3%Aug 4, 2020Aug 12, 20208d
Mark E. GreenStockPurchase$15,001 - $50,000+448.4%S&P +144.4% · vs S&P 500 +304.0%Jul 2, 2020Jul 18, 202016d
Mark E. GreenStockPurchase$1,001 - $15,000+379.6%S&P +139.0% · vs S&P 500 +240.5%Jun 10, 2020Jul 6, 202026d
Mark E. GreenStockPurchase$50,001 - $100,000+379.6%S&P +139.0% · vs S&P 500 +240.5%Jun 10, 2020Jul 6, 202026d
Ro KhannaStockSale$15,001 - $50,000+163.8%S&P +239.6% · vs S&P 500 -75.7%Jan 1, 2017Feb 13, 201743d
Ro KhannaStockSale$250,001 - $500,000+163.8%S&P +239.6% · vs S&P 500 -75.7%Jan 1, 2017Feb 13, 201743d

Since the trade: the stock's move from the trade date to the latest close we hold, as of Sep 10, 2026, an estimate, with the S&P 500 over the same window and the difference against it. The figures describe the stock after the trade, not the member's result: the filing carries a band, not a fill, and a sale keeps the same sign, so a positive figure after a sale means the stock kept rising. An option row carries the underlying stock's move. A row marked n/a has no market price. Not investment advice.

Questions

Which members of Congress have traded GLP?

Mark E. Green, Ro Khanna disclosed GLP transactions in the filings shown here.

How quickly are GLP trades disclosed?

Congressional disclosures took a median of 13 days, against the 45 the STOCK Act allows.

How to read a STOCK Act filing

WHAT THE FILING ACTUALLY SAYS

$A range, not an amount. Members disclose a band such as $1,001 to $15,000. The band is the filing, and we do not narrow it.
45Up to 45 days late, lawfully. The delay column counts calendar days from the transaction to its publication. Inside 45 days is within the law.
OPAn option names the underlying. A contract on a company is described using that company's name, so it can read like a share purchase. Those rows say otherwise.

Congress rows disclose a value range rather than an exact amount, and the STOCK Act allows up to 45 days to report. Full sourcing and the limits of this data are on the methodology page. A filing is a record of a transaction, not a signal, and nothing here is investment advice.

Data as of Sep 10, 2026.

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