Congressional trading

Jared Moskowitz

184 transactions across 65 symbols, dated 2025-01-15 to 2026-07-13, totalling $366,184 – $3,215,000 across the reported bands. Voting record and sponsored bills →

What this page does and does not contain

Period covered: filings from 2025-01-01 to 2026-09-09. Everything Congress has filed since we began keeping the record, not a rolling window.

This is what we could read from the filings, not everything Congress filed. Assets without a ticker symbol — mutual funds, bonds, real estate and private funds — are now extracted and appear under Asset classes, though they cannot be grouped by symbol the way listed equities can. Some filings still use a layout our parser cannot read. Separately, some members file on paper: the Clerk publishes those as scans with no text layer, so there is nothing in them for any parser to read. Those are counted on their own below rather than blamed on our parser, and the original is always linked. Every filing links to the original document; where we could not read one, we say so and link it anyway. A member showing no trades here has not necessarily reported none.

Filer names are reproduced exactly as the House Clerk and Senate Electronic Financial Disclosure systems label them. Senate EFD accepts periodic transaction reports from sitting senators, Senate candidates and senior staff, so a filer listed here is not necessarily a sitting member of Congress. Follow the filing link to see the original.

Congress reports each transaction as a RANGE, not an exact figure. Totals are therefore the sum of the low ends and the sum of the high ends — a true total sits somewhere between, and a single large band can dominate a column.

1422 of 11639 transactions are assets with no ticker symbol.

111 of 1016 filings here are scanned paper documents with no text layer. We report that they exist and link them; we cannot extract their rows.

1,016Filings seen
11,639Transactions read
85.4%Filings we could read
111Paper filings, no text
3Layouts we could not read
117Purchases
67Sales
65Symbols
38dMedian disclosure lag

Disclosure lag is the number of days between a transaction and the filing that disclosed it — a subtraction over two dates on the document, not a judgement about either. The STOCK Act requires a report within 30 days of a member learning of a transaction and no later than 45 days after it, so a lag inside that range is what compliance looks like.

By symbol

Every symbol this filer reported, by the high end of the summed bands. Select a symbol to see who else reported it.

GS Goldman Sachs Group, Inc.$38,010 – $220,00073
AVGO Broadcom Inc. - Common Stock$35,007 – $175,00043
NVDA NVIDIA Corporation - Common Stock$7,007 – $105,00070
AXP American Express Company Common Stock$18,004 – $95,00040
TSCO Tractor Supply Company - Common Stock$18,004 – $95,00013
PEP Pepsico, Inc.$18,004 – $95,00013
SHW Sherwin-Williams Company$18,004 – $95,00013
TXN Texas Instruments Incorporated - Common Stock$18,004 – $95,00013
PH Common Stock$17,003 – $80,00021
ORCL Oracle Corporation Common Stock$17,003 – $80,00012
CSCO Cisco Systems, Inc. - Common Stock$17,003 – $80,00030
DELL Dell Technologies Inc. Class C Common Stock$17,003 – $80,00030
COR Cencora, Inc. Common Stock$5,005 – $75,00032
TJX TJX Companies, Inc.$5,005 – $75,00050
MCK McKesson Corporation Common Stock$5,005 – $75,00050
AMAT Applied Materials, Inc. - Common Stock$4,004 – $60,00040
HCA HCA Healthcare, Inc. Common Stock$4,004 – $60,00040
MNST Monster Beverage Corporation - Common Stock$4,004 – $60,00040
ASML ASML Holding N.V. - New York Registry Shares$4,004 – $60,00040
ACN Accenture plc Class A Ordinary Shares$4,004 – $60,00013
CI The Cigna Group Common Stock$4,004 – $60,00022
CARR Carrier Global Corporation Common Stock$4,004 – $60,00013
SPGI S&P Global Inc. Common Stock$3,003 – $45,00030
GE GE Aerospace Common Stock$3,003 – $45,00030
GD General Dynamics Corporation Common Stock$3,003 – $45,00030
PANW Palo Alto Networks, Inc.$3,003 – $45,00030
ADP Automatic Data Processing, Inc. - Common Stock$3,003 – $45,00003
BRO Brown & Brown, Inc. Common Stock$3,003 – $45,00003
MSI Motorola Solutions, Inc. Common Stock$3,003 – $45,00021
ROP Roper Technologies, Inc.$3,003 – $45,00003
UNH UnitedHealth Group Incorporated Common Stock$3,003 – $45,00003
SBUX Starbucks Corporation - Common Stock$3,003 – $45,00003
ABBV AbbVie Inc. Common Stock$3,003 – $45,00030
ELV Elevance Health, Inc. Common Stock$3,003 – $45,00003
GLDW SPDR Long Dollar Gold Trust$3,003 – $45,00030
ABT Abbott Laboratories Common Stock$3,003 – $45,00003
CNI Canadian National Railway Company Common Stock$3,003 – $45,00003
MRK Merck & Company, Inc. Common Stock$3,003 – $45,00012
HD Home Depot, Inc.$2,002 – $30,00020
META Meta Platforms, Inc. - Class A Common Stock$2,002 – $30,00020
MSFT Microsoft Corporation - Common Stock$2,002 – $30,00020
GILD Gilead Sciences, Inc. - Common Stock$2,002 – $30,00020
CAT Caterpillar, Inc. Common Stock$2,002 – $30,00011
SO Southern Company$2,002 – $30,00020
JNJ Johnson & Johnson Common Stock$2,002 – $30,00002
AMGN Amgen Inc. - Common Stock$2,002 – $30,00020
SYK Stryker Corporation Common Stock$2,002 – $30,00020
STE STERIS plc$1,001 – $15,00001
GWW W.W. Grainger, Inc. Common Stock$1,001 – $15,00001
SPCX Space Exploration Technologies Corp. - Class A Common $1,001 – $15,00010
CB Chubb Limited Common Stock$1,001 – $15,00010
CMI Cummins Inc. Common Stock$1,001 – $15,00001
MCD McDonald's Corporation Common Stock$1,001 – $15,00010
ATO Atmos Energy Corporation Common Stock$1,001 – $15,00010
PEG Public Service Enterprise Group Incorporated Common St$1,001 – $15,00010
TSM Taiwan Semiconductor Manufacturing Company Ltd.$1,001 – $15,00010
AMZN Amazon.com, Inc. - Common Stock$1,001 – $15,00010
ADI Analog Devices, Inc. - Common Stock$1,001 – $15,00010
HON Honeywell International Inc.$1,001 – $15,00010
ITW Illinois Tool Works Inc. Common Stock$1,001 – $15,00010
LECO Lincoln Electric Holdings, Inc. - Common Shares$1,001 – $15,00001
NEE NextEra Energy, Inc. Common Stock$1,001 – $15,00001
QCOM QUALCOMM Incorporated - Common Stock$1,001 – $15,00010
RPM RPM International Inc. Common Stock$1,001 – $15,00010
Visa Inc. (V)$1,001 – $15,00010
WST West Pharmaceutical Services, Inc. Common Stock$1,001 – $15,00001

Every transaction

Newest first, with the date it was disclosed and the gap between the two. Sort by lag to see the slowest disclosures, or filter by symbol.

2026-07-132026-08-2745dAMAT Applied Materials, Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-07-132026-08-2745dSTE STERIS plcSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-07-132026-08-2745dGWW W.W. Grainger, Inc. Common StockPartial sale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-182026-07-2638dAMAT Applied Materials, Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-182026-07-2638dAMAT Applied Materials, Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-06-182026-07-2638dAMAT Applied Materials, Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dHCA HCA Healthcare, Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-172026-07-2639dHCA HCA Healthcare, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dHD Home Depot, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dMETA Meta Platforms, Inc. - Class A Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-172026-07-2639dMETA Meta Platforms, Inc. - Class A Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dMSFT Microsoft Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-172026-07-2639dMSFT Microsoft Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dMNST Monster Beverage Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-172026-07-2639dMNST Monster Beverage Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-172026-07-2639dSPGI S&P Global Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-06-172026-07-2639dSPGI S&P Global Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-06-172026-07-2639dSPGI S&P Global Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-06-122026-07-2644dSPCX Space Exploration Technologies Corp. - Class A Common StPurchase$1,001 – $15,000
Morgan Stanley Active Assets (2) filing
2026-05-062026-06-1944dCOR Cencora, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-05-062026-06-1944dCOR Cencora, Inc. Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-05-062026-06-1944dGILD Gilead Sciences, Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-05-062026-06-1944dGILD Gilead Sciences, Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dAXP American Express Company Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dASML ASML Holding N.V. - New York Registry SharesPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dAVGO Broadcom Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dCAT Caterpillar, Inc. Common StockPartial sale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dCOR Cencora, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dCB Chubb Limited Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dCMI Cummins Inc. Common StockPartial sale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dGE GE Aerospace Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dGD General Dynamics Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dHD Home Depot, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dMCD McDonald's Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dPANW Palo Alto Networks, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-312026-04-3030dPH Common StockSale$15,001 – $50,000filing
2026-03-232026-04-3038dACN Accenture plc Class A Ordinary SharesSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dACN Accenture plc Class A Ordinary SharesSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dACN Accenture plc Class A Ordinary SharesSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dASML ASML Holding N.V. - New York Registry SharesPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dASML ASML Holding N.V. - New York Registry SharesPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dASML ASML Holding N.V. - New York Registry SharesPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dADP Automatic Data Processing, Inc. - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dADP Automatic Data Processing, Inc. - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dADP Automatic Data Processing, Inc. - Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dBRO Brown & Brown, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dBRO Brown & Brown, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dBRO Brown & Brown, Inc. Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dCOR Cencora, Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dCOR Cencora, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dGE GE Aerospace Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dGE GE Aerospace Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dGD General Dynamics Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dGD General Dynamics Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dMNST Monster Beverage Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dMNST Monster Beverage Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dMSI Motorola Solutions, Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dMSI Motorola Solutions, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dMSI StockSale$1,001 – $15,000filing
2026-03-232026-04-3038dORCL Oracle Corporation Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dORCL Oracle Corporation Common StockSale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dPANW Palo Alto Networks, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dPANW Palo Alto Networks, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dPH Parker-Hannifin Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dPH Parker-Hannifin Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dCI The Cigna Group Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dCI The Cigna Group Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dTJX TJX Companies, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2026-03-232026-04-3038dTSCO Tractor Supply Company - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-03-232026-04-3038dTSCO Tractor Supply Company - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-03-232026-04-3038dTSCO Tractor Supply Company - Common StockSale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2026-02-272026-03-3031dROP Roper Technologies, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2026-02-272026-03-3031dROP Roper Technologies, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2026-02-272026-03-3031dROP Roper Technologies, Inc.Sale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-12-022026-01-1645dATO Atmos Energy Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-12-022026-01-1645dMCK McKesson Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-12-022026-01-1645dMCK McKesson Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-12-022026-01-1645dPEP Pepsico, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-12-022026-01-1645dPEP Pepsico, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-12-022026-01-1645dPEP Pepsico, Inc.Sale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-12-022026-01-1645dPEG Public Service Enterprise Group Incorporated Common StocPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-12-022026-01-1645dSO Southern CompanyPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dAXP American Express Company Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dAXP American Express Company Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dAXP American Express Company Common StockPurchase$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dAVGO Broadcom Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dAVGO Broadcom Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dAVGO Broadcom Inc. - Common StockPurchase$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dCARR Carrier Global Corporation Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dCARR Carrier Global Corporation Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dCARR Carrier Global Corporation Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dCSCO Cisco Systems, Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dCSCO Cisco Systems, Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dCSCO Cisco Systems, Inc. - Common StockPurchase$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dDELL Dell Technologies Inc. Class C Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dDELL Dell Technologies Inc. Class C Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dDELL Dell Technologies Inc. Class C Common StockPurchase$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dGS Goldman Sachs Group, Inc.Purchase$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dJNJ Johnson & Johnson Common StockPartial sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dJNJ Johnson & Johnson Common StockPartial sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dMCK McKesson Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dSHW Sherwin-Williams CompanySale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dSHW Sherwin-Williams CompanySale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dSHW Sherwin-Williams CompanySale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dTSM Taiwan Semiconductor Manufacturing Company Ltd.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-10-102025-11-2243dTXN Texas Instruments Incorporated - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-10-102025-11-2243dTXN Texas Instruments Incorporated - Common StockSale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-10-102025-11-2243dTXN Texas Instruments Incorporated - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-05-152025-06-2743dHCA HCA Healthcare, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-05-152025-06-2743dHCA HCA Healthcare, Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-05-152025-06-2743dCI The Cigna Group Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-05-152025-06-2743dCI The Cigna Group Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-05-152025-06-2743dUNH UnitedHealth Group Incorporated Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-05-152025-06-2743dUNH UnitedHealth Group Incorporated Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-05-152025-06-2743dUNH UnitedHealth Group Incorporated Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-162025-05-0923dAMGN Amgen Inc. - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-04-162025-05-0923dAMGN Amgen Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-162025-05-0923dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-04-162025-05-0923dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-102025-05-0929dGS Goldman Sachs Group, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-04-102025-05-0929dGS Goldman Sachs Group, Inc.Sale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-04-102025-05-0929dGS Goldman Sachs Group, Inc.Sale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-04-102025-05-0929dSBUX Starbucks Corporation - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-04-102025-05-0929dSBUX Starbucks Corporation - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-04-102025-05-0929dSBUX Starbucks Corporation - Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dABBV AbbVie Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dACN Accenture plc Class A Ordinary SharesPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dAMZN Amazon.com, Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dADI Analog Devices, Inc. - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dCARR Carrier Global Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dCAT Caterpillar, Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dHON Honeywell International Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dITW Illinois Tool Works Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dLECO Lincoln Electric Holdings, Inc. - Common SharesSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dNEE NextEra Energy, Inc. Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dORCL Oracle Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dPEP Pepsico, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dQCOM QUALCOMM Incorporated - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dRPM RPM International Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dSHW Sherwin-Williams CompanyPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dSO Southern CompanyPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dSYK Stryker Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dTXN Texas Instruments Incorporated - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dTJX TJX Companies, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dTSCO Tractor Supply Company - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-04-072025-05-0932dVisa Inc. (V)Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-03-112025-04-0828dAVGO Broadcom Inc. - Common StockSale$15,001 – $50,000
Morgan Stanley Active Assets (1) filing
2025-03-112025-04-0828dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-03-102025-04-0829dAVGO Broadcom Inc. - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-03-102025-04-0829dAVGO Broadcom Inc. - Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-03-102025-04-0829dELV Elevance Health, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-03-102025-04-0829dELV Elevance Health, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-03-102025-04-0829dELV Elevance Health, Inc. Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-03-102025-04-0829dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-03-102025-04-0829dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-03-102025-04-0829dNVDA NVIDIA Corporation - Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-03-102025-04-0829dGLDW SPDR Long Dollar Gold TrustPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-03-102025-04-0829dGLDW SPDR Long Dollar Gold TrustPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-03-102025-04-0829dGLDW SPDR Long Dollar Gold TrustPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-03-102025-04-0829dTJX TJX Companies, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-03-102025-04-0829dTJX TJX Companies, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-03-102025-04-0829dTJX TJX Companies, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-02-132025-03-0621dWST West Pharmaceutical Services, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-01-152025-02-1026dABT Abbott Laboratories Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-01-152025-02-1026dABT Abbott Laboratories Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dABT Abbott Laboratories Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-01-152025-02-1026dABBV AbbVie Inc. Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dABBV AbbVie Inc. Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-01-152025-02-1026dCNI Canadian National Railway Company Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dCNI Canadian National Railway Company Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-01-152025-02-1026dCNI Canadian National Railway Company Common StockSale$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-01-152025-02-1026dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-01-152025-02-1026dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dGS Goldman Sachs Group, Inc.Purchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-01-152025-02-1026dMCK McKesson Corporation Common StockPurchase$1,001 – $15,000
Morgan Stanley Active Assets (1) filing
2025-01-152025-02-1026dMCK McKesson Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dMRK Merck & Company, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (5) filing
2025-01-152025-02-1026dMRK Merck & Company, Inc. Common StockSale$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing
2025-01-152025-02-1026dMRK StockPurchase$1,001 – $15,000filing
2025-01-152025-02-1026dSYK Stryker Corporation Common StockPurchase$1,001 – $15,000dependent child
Morgan Stanley Active Assets (6) filing

Sums and counts over House Clerk and Senate EFD periodic transaction reports. No model call; every row links to the filing it came from. Generated 2026-09-11T13:19:01.090Z. All congressional trading →