Congress Trades

Keith Self

RRepublicanHouseTX-03Current memberTerm Jan 3, 2025 – Jan 3, 2027
Committees

Current-Congress assignments from the official roster; leadership seats are outlined.

1 scanned filings could not be read automatically and are pending review.

Filing statistics

Official dates; averages are derived
Avg reporting time
327 days
Median 536 days · 45-day limit
Avg filing frequency
Every 262 days
3 filings
Since last filing
86 days
Jun 30, 2026
Transactions
9
5 buys · 3 sells · 9 in review

Whale profile Estimated

Whale score
—/ 100

Percentile blend among members with a trade in the last 12 months: 50% disclosed volume, 30% largest trade, 20% trade count.

12-month volume
$0
0 trades · midpoints
Largest trade
$1,001 - $15,000
Median $8K
All-time volume
$64K
8 trades
Late filings
3
Reporting lag over the STOCK Act's 45 days
Well-timed rate
0.0% · 0 of 8
±15% within 30 trading days
Avg 30-day forward return
-22.9%
Sign-adjusted: buys +, sells −

Volumes are range midpoints; forward returns use public closing prices after the disclosed trade date. Late filings are counted from official dates only. How this is calculated

Unusual activity Estimated

  • 70Late filingJun 30, 2026

    Rep. Keith Self filed 3 trades 491 days late (largest: $1K–$15K buy of sPIGenune arts Co)

    Details
    Politician
    Keith Self
    Asset
    sPIGenune arts Co
    Tx type
    buy
    Tx date
    Jan 10, 2025
    Filing date
    Jun 30, 2026
    Amount low
    $1,001
    Amount high
    $15,000
    Amount mid
    $8,001
    Disclosed range
    $1,001 - $15,000
    Reporting lag days
    536
    Is whale
    No
    Deadline days
    45
    Days past deadline
    491
    N late rows
    3
    Late rows
    {"id":117505,"ticker":null,"label":"$1,001 - $15,000","lag_days":536}, {"id":117507,"ticker":null,"label":"$1,001 - $15,000","lag_days":536}, {"id":117508,"ticker":null,"label":"$1,001 - $15,000","lag_days":536}

Estimated portfolio Estimated

$0
30-day change
$0 —
Return vs S&P 500 proxy
— vs —
Return index · 100 = break-even0 positions · as of Sep 23, 2026

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

Top holdings Estimated

No modelled positions.

Sector allocation Estimated

No modelled positions, so no sector allocation.

Trades

Totals: $40K bought and $24K sold (range midpoints); first trade Jan 10, 2025, last trade Jan 10, 2025. Stats computed Sep 24, 2026. Midpoints are 0.5 × (low + high) of the disclosed range.