Congress Trades

Estimated portfolio Estimated

This is a model, not an account statement.

Members disclose a dollar range per trade, never share counts or balances. Every share, value, weight and return below is derived: shares = range midpoint ÷ closing price on the trade date; positions are floored at zero; cash and dividends are not modelled. Compare against SPY using identical cash flows. As of Sep 23, 2026.

Est. portfolio value
Estimated
$139,160
25 positions
Invested (cum.)
Estimated
$920,058
Sum of buy midpoints
Realized (cum.)
Estimated
$823,732
Modelled sell proceeds
Return vs SPY
Estimated
+4.7%
SPY with identical cash flows: +4.1%

Return index Estimated

100 = each disclosed dollar is worth a dollar (value + realized) ÷ invested
  • Portfolio (estimated)
  • SPY with identical cash flows

Portfolio values, holdings, returns, and allocations are estimates derived from disclosed dollar ranges and public market prices. They may differ materially from actual values. Not investment advice. How this is calculated

Holdings Estimated

25 positions · sorted by est. value
Estimated holdings
SectorBuys / sellsLatest close
MMM3M Company218.3$37,18426.7%$28,655$8,529(+29.8%)Dec 18, 2025Industrials6 / 3$170.30Sep 23, 2026
BNYThe Bank of New York Mellon Corporation133.1$19,89414.3%$12,083$7,812(+64.7%)Dec 18, 2025Financial Services4 / 3$149.51Sep 23, 2026
DGDollar General Corporation116.7$14,07110.1%$8,001$6,071(+75.9%)Jan 15, 2025Consumer Defensive1 / 0$120.60Sep 23, 2026
CRLCharles River Laboratories International, Inc.46.0$12,7589.2%$8,001$4,758(+59.5%)Jan 15, 2025Healthcare1 / 0$277.33Sep 23, 2026
COFCapital One Financial Corporation64.2$12,5919.0%$12,069$522(+4.3%)Dec 18, 2025Financial Services4 / 3$196.10Sep 23, 2026
GOOGAlphabet Inc.34.9$11,6768.4%$9,310$2,366(+25.4%)Dec 18, 2025Communication Services3 / 3$334.98Sep 23, 2026
AAgilent Technologies, Inc.63.5$10,5027.5%$8,001$2,502(+31.3%)Sep 23, 2025Healthcare1 / 3$165.32Sep 23, 2026
PLTRPalantir Technologies Inc.32.4$6,2144.5%$2,794$3,420(+122.4%)Jun 30, 2025Technology2 / 2$191.79Sep 23, 2026
DOWDow Inc.198.0$5,6744.1%$8,001-$2,327(-29.1%)Jan 15, 2025Basic Materials1 / 0$28.65Sep 23, 2026
SMCISuper Micro Computer, Inc.29.9$1,2390.9%$927$312(+33.7%)Apr 1, 2025Technology1 / 1$41.44Sep 23, 2026
HASHasbro, Inc.13.7$1,1860.9%$770$416(+54.1%)Apr 1, 2025Consumer Cyclical1 / 1$86.52Sep 23, 2026
HSYThe Hershey Company5.6$9360.7%$843$93(+11.0%)Apr 1, 2025Consumer Defensive1 / 1$168.45Sep 23, 2026
DLTRDollar Tree, Inc.7.5$8540.6%$531$323(+60.9%)Apr 1, 2025Consumer Defensive1 / 1$113.16Sep 23, 2026
EIXEdison International15.7$8400.6%$827$13(+1.6%)Apr 1, 2025Utilities1 / 1$53.51Sep 23, 2026
ESEversource Energy12.5$8100.6%$706$104(+14.7%)Apr 1, 2025Utilities1 / 1$64.91Sep 23, 2026
BAThe Boeing Company4.0$8030.6%$762$41(+5.4%)Dec 3, 2025Industrials3 / 3$199.93Sep 23, 2026
FFord Motor Company61.9$8010.6%$571$230(+40.2%)Apr 1, 2025Consumer Cyclical1 / 1$12.94Sep 23, 2026
SBACSBA Communications Corporation4.3$7280.5%$842-$114(-13.5%)Apr 1, 2025Real Estate1 / 1$170.53Sep 23, 2026
DGXQuest Diagnostics Incorporated0.8$1830.1%$138$45(+32.6%)Nov 3, 2025Healthcare1 / 2$233.00Sep 23, 2026
FCXFreeport-McMoRan Inc.0.9$680.0%$36$33(+91.2%)Apr 1, 2025Basic Materials1 / 1$72.58Sep 23, 2026
TAPMolson Coors Beverage Company1.3$480.0%$58-$10(-16.9%)Sep 25, 2025Consumer Defensive1 / 2$36.62Sep 23, 2026
SRESempra0.5$370.0%$41-$3(-8.2%)Sep 25, 2025Utilities1 / 2$79.00Sep 23, 2026
KEYKeyCorp1.6$320.0%$30$2(+8.0%)Sep 25, 2025Financial Services1 / 2$20.24Sep 23, 2026
MNSTMonster Beverage Corporation0.4$190.0%$14$5(+36.2%)Sep 25, 2025Consumer Defensive1 / 3$43.91Sep 23, 2026
NOWServiceNow, Inc.0.1$110.0%$13-$2(-17.5%)Dec 9, 2025Technology1 / 2$140.78Sep 23, 2026
Unrealized = est. value − est. cost basis (cost basis reduced pro-rata on modelled sells). Latest close from the price provider; may lag.

Sector allocation Estimated

  • Industrials
    27.3%
    $38K
  • Financial Services
    23.4%
    $32.5K
  • Healthcare
    16.8%
    $23.4K
  • Consumer Defensive
    11.4%
    $15.9K
  • Communication Services
    8.4%
    $11.7K
  • Technology
    5.4%
    $7.5K
  • Basic Materials
    4.1%
    $5.7K
  • Consumer Cyclical
    1.4%
    $2K
  • Utilities
    1.2%
    $1.7K
  • Real Estate
    0.5%
    $728

Excluded from the model

  • 587 disclosed rows in total; 575 rows modelled.
  • 6 rows had no published ticker (match confidence below the publish threshold).
  • 0 rows were not a stock or ETF (options, bonds, funds, crypto, other).
  • 2 rows had no closing price within the lookup window of the trade date.
  • 4 rows were an exchange or an unknown transaction type.
  • 206 sells had no modelled shares to sell ($3M of proceeds not modelled; positions are floored at zero).

Excluded rows still appear in the trade list with their official values; only the portfolio model skips them.

How this is calculatedmodel parameters · click to expand
Shares formula
amount_mid / close(tx_date)
Return index
100 * (value + realized) / invested
Benchmark
SPY
Portfolio start date
2020-01-01
Price provider
yfinance
Price lookup window (days)
5
Ticker publish threshold
0.9
Positions floored at zero
Yes
Cash modelled
No
Dividends modelled
No

Full method, tiers of ticker matching, and the review queue are documented on the methodology page.

Independent third-party platform; not affiliated with or endorsed by any member of Congress. Data sourced from publicly available filings and records. Portfolio, holdings, returns, and allocations are estimates and may differ from actual values. Informational and educational only; not investment advice.