Snapshot 2026-09-30

Assets

1,789 tickers in congressional disclosures. Snapshot 2026-09-30.

Top 200 by estimated volume

  1. 1FISVFiserv, Inc.$431.4M
  2. 2BGCBGC Group, Inc.$153.1M
  3. 3VTEBVanguard Muni Bond ETF$126.2M
  4. 4ONJAXInvesco New Jersey Municipal A$120.0M
  5. 5MSFTMicrosoft Corporation$111.4M
  6. 6FNJQXFranklin NJ Tax-Free Income Fund$108.0M
  7. 7AMZNAmazon.com, Inc.$80.3M
  8. 8NMRKShares in Retirement Accounts (NMRK)$78.1M
  9. 9LBRTLiberty Energy Inc.$65.9M
  10. 10NVDANVIDIA Corporation$62.0M
  11. 11METAMeta Platforms, Inc.$61.2M
  12. 12AAPLApple Inc.$52.9M
  13. 13SWVXXSchwab Value Advantage Money Fund$51.0M
  14. 14NNJAXNuveen NJ Municipal Bond A$51.0M
  15. 15NVHAXNuveen Short Duration Hi Yld Muni Bd A$51.0M
  16. 16VIGVanguard Dividend Appreciation Index Fund ETF Shares$40.2M
  17. 17PONAXPIMCO Income Fund Class A Shares$39.0M
  18. 18AVGOBroadcom Inc.$23.6M
  19. 19VVisa Inc.$21.1M
  20. 20UNHUnitedHealth Group Incorporated$20.9M
  21. 21NFLXNetflix, Inc.$20.9M
  22. 22VONGVanguard Russell 1000 Growth Index Fund ETF Shares$20.3M
  23. 23HDThe Home Depot, Inc.$18.6M
  24. 24BRK.BBerkshire Hathaway Inc.$16.7M
  25. 25ARESAres Management Corporation$15.8M
  26. 26MAMastercard Incorporated$15.8M
  27. 27SHSSXBlackRock Health Sciences Opportunities Portfolio Institutional Shares (SHSSX)$15.8M
  28. 28WMBThe Williams Companies, Inc.$15.6M
  29. 29GQGIXGQG PartnersEmerging Markets Equity Fund Institutional Class Shares$15.4M
  30. 30ODVYXInvesco Oppenheimer Developing Markets Fund Class Y Shares (ODVYX)$15.4M
  31. 31OWLBlue Owl Capital Inc.$15.4M
  32. 32BGHAXBrandywineGLOBAL High Yield A$15.0M
  33. 33FALNiShares Fallen Angels USD Bond ETF$15.0M
  34. 34JAAAJanus Henderson AAA CLO ETF Janus Henderson AAA CLO ETF$15.0M
  35. 35ORCLOracle Corporation$14.9M
  36. 36GSThe Goldman Sachs Group, Inc.$13.6M
  37. 37ADBEAdobe Inc.$13.5M
  38. 38SPYSPDR S&P 500 ETF Trust$13.3M
  39. 39COSTCostco Wholesale Corporation$12.5M
  40. 40PGThe Procter & Gamble Company$12.5M
  41. 41TSLATesla, Inc.$11.6M
  42. 42NOWServiceNow, Inc.$11.4M
  43. 43JPMJPMorgan Chase & Co.$11.0M
  44. 44PLTRPalantir Technologies Inc.$10.7M
  45. 45PULSPGIM Ultra Short Bond ETF$10.5M
  46. 46SHYGiShares 0-5 Year High Yield Corporate Bond ETF$10.5M
  47. 47SSTHXAllspring Short-Term Hi Inc A$10.5M
  48. 48INTUIntuit Inc.$10.0M
  49. 49TDGTransDigm Group Incorporated$9.9M
  50. 50WDAYWorkday, Inc.$9.3M
  51. 51SNPSSynopsys, Inc.$9.3M
  52. 52CMCSAComcast Corporation$9.2M
  53. 53CRMSalesforce, Inc.$8.9M
  54. 54UBERUber Technologies, Inc.$8.7M
  55. 55MSIMotorola Solutions, Inc.$8.7M
  56. 56LLYEli Lilly and Company$8.6M
  57. 57BSXBoston Scientific Corporation$8.5M
  58. 58WMTWalmart Inc.$8.2M
  59. 59APPAppLovin Corporation$8.0M
  60. 60ACNAccenture plc$7.8M
  61. 61AXONAxon Enterprise, Inc.$7.8M
  62. 62SPGIS&P Global Inc.$7.6M
  63. 63CDWCDW Corporation$7.2M
  64. 64DUKDuke Energy Corporation$7.2M
  65. 65CVXChevron Corporation$6.9M
  66. 66SYKStryker Corporation$6.8M
  67. 67BAThe Boeing Company$6.7M
  68. 68TAT&T Inc.$6.5M
  69. 69JNJJohnson & Johnson$6.3M
  70. 70ISRGIntuitive Surgical, Inc.$6.2M
  71. 71IVViShares Core S&P 500 ETF$6.1M
  72. 72PMPhilip Morris International Inc.$5.9M
  73. 73CTASCintas Corporation$5.8M
  74. 74TTTrane Technologies plc$5.8M
  75. 75MOAltria Group, Inc.$5.8M
  76. 76DHRDanaher Corporation$5.7M
  77. 77QCOMQUALCOMM Incorporated$5.6M
  78. 78VZVerizon Communications Inc.$5.5M
  79. 79IEFAiShares Core MSCI EAFE ETF$5.5M
  80. 80PAYXPaychex, Inc.$5.5M
  81. 81KMBKimberly-Clark Corporation$5.4M
  82. 82CHDChurch & Dwight Co., Inc.$5.3M
  83. 83PTCPTC Inc.$5.3M
  84. 84ETNEaton Corporation plc$5.3M
  85. 85BKNGBooking Holdings Inc.$5.2M
  86. 86SPMDSPMD (S&P 400 Mid-Cap ETF)$5.0M
  87. 87ABBVAbbVie Inc.$4.9M
  88. 88DISThe Walt Disney Company$4.8M
  89. 89IEMGiShares Core MSCI Emerging Markets ETF$4.8M
  90. 90TXNTexas Instruments Incorporated$4.8M
  91. 91DODFXDodge & Cox International Stock Fund$4.8M
  92. 92PANWPalo Alto Networks, Inc.$4.8M
  93. 93SHYiShares 1-3 Year Treasury Bond ETF$4.8M
  94. 94PEPPepsiCo, Inc.$4.7M
  95. 95WFCWells Fargo & Company$4.7M
  96. 96MUBiShares National Muni Bond ETF$4.6M
  97. 97ZTSZoetis Inc.$4.5M
  98. 98NDAQNasdaq, Inc.$4.4M
  99. 99DASHDoorDash, Inc.$4.4M
  100. 100CMGChipotle Mexican Grill, Inc.$4.4M
  101. 101SHWThe Sherwin-Williams Company$4.3M
  102. 102FTNTFortinet, Inc.$4.3M
  103. 103GEGE Aerospace$4.2M
  104. 104MRKMerck & Co., Inc.$4.2M
  105. 105DELLDell Technologies Inc.$4.1M
  106. 106VYMVanguard High Dividend Yield Index Fund ETF Shares$4.1M
  107. 107AMDAdvanced Micro Devices, Inc.$4.1M
  108. 108CMECME Group Inc.$4.1M
  109. 109KOThe Coca-Cola Company$4.0M
  110. 110PYPLPayPal Holdings, Inc.$3.8M
  111. 111MRVLMarvell Technology, Inc.$3.8M
  112. 112BACBank of America Corporation$3.8M
  113. 113TEAMAtlassian Corporation$3.8M
  114. 114SBUXStarbucks Corporation$3.8M
  115. 115WTTWireless Telecom Group Inc$3.8M
  116. 116AMTAmerican Tower Corporation$3.7M
  117. 117DDOGDatadog, Inc.$3.7M
  118. 118BXBlackstone Inc.$3.7M
  119. 119KKRKKR & Co. Inc.$3.7M
  120. 120NKENIKE, Inc.$3.6M
  121. 121EXEExpand Energy Corporation$3.6M
  122. 122DJTTrump Media & Technology Group Corp.$3.6M
  123. 123AMATApplied Materials, Inc.$3.6M
  124. 124MCHPMicrochip Technology Incorporated$3.5M
  125. 125APHAmphenol Corporation$3.4M
  126. 126ORLYO'Reilly Automotive, Inc.$3.4M
  127. 127COPConocoPhillips$3.4M
  128. 128GISGeneral Mills, Inc.$3.4M
  129. 129PFEPfizer Inc.$3.3M
  130. 130RTXRTX Corporation$3.3M
  131. 131TMOThermo Fisher Scientific Inc.$3.2M
  132. 132ETEnergy Transfer LP$3.1M
  133. 133DEDeere & Company$3.1M
  134. 134CARRCarrier Global Corporation$3.1M
  135. 135LRCXLam Research Corporation$3.1M
  136. 136CRWDCrowdStrike Holdings, Inc.$3.1M
  137. 137EPDEnterprise Products Partners L.P. Common Stock$3.1M
  138. 138HONHoneywell International Inc.$3.1M
  139. 139CATCaterpillar Inc.$3.1M
  140. 140KLACKLA Corporation$3.0M
  141. 141RUMRUM Group Inc.$3.0M
  142. 142TYLTyler Technologies, Inc.$2.9M
  143. 143CLColgate-Palmolive Company$2.9M
  144. 144ECLEcolab Inc.$2.8M
  145. 145INTCIntel Corporation$2.8M
  146. 146GPCGenuine Parts Company$2.8M
  147. 147MUMicron Technology, Inc.$2.8M
  148. 148FWONKFormula One Group$2.7M
  149. 149AZOAutoZone, Inc.$2.7M
  150. 150MDTMedtronic plc$2.7M
  151. 151ADPAutomatic Data Processing, Inc.$2.7M
  152. 152GAJPXGoldman Sachs Dynamic Municipal Income Fund Class P Shares (GAJPX)$2.6M
  153. 153ABTAbbott Laboratories$2.6M
  154. 154EQIXEquinix, Inc.$2.6M
  155. 155BMYBristol-Myers Squibb Company$2.6M
  156. 156AXPAmerican Express Company$2.6M
  157. 157ZBRAZebra Technologies Corporation$2.5M
  158. 158GGLPXGoldman Sachs High Yield Municipal Fund Class P Shares (GGLPX)$2.5M
  159. 159AMGNAmgen Inc.$2.5M
  160. 160NEMNewmont Corporation$2.5M
  161. 161LMTLockheed Martin Corporation$2.5M
  162. 162TSNTyson Foods, Inc.$2.5M
  163. 163NEENextEra Energy, Inc.$2.4M
  164. 164VSTVistra Corp.$2.4M
  165. 165ABNBAirbnb, Inc.$2.4M
  166. 166ELVElevance Health, Inc.$2.4M
  167. 167ADSKAutodesk, Inc.$2.4M
  168. 168TGTTarget Corporation$2.4M
  169. 169SCHXSchwab U.S. Large-Cap ETF$2.3M
  170. 170EMEEMCOR Group, Inc.$2.3M
  171. 171ADIAnalog Devices, Inc.$2.3M
  172. 172MSMorgan Stanley$2.3M
  173. 173AONAon plc$2.3M
  174. 174ITWIllinois Tool Works Inc.$2.3M
  175. 175ANETArista Networks, Inc.$2.2M
  176. 176VRTXVertex Pharmaceuticals Incorporated$2.2M
  177. 177COINCoinbase Global, Inc.$2.2M
  178. 178INVHInvitation Homes Inc.$2.2M
  179. 179DXCMDexCom, Inc.$2.1M
  180. 180UPSUnited Parcel Service, Inc.$2.1M
  181. 181CIThe Cigna Group$2.1M
  182. 182PHParker-Hannifin Corporation$2.1M
  183. 183CPRTCopart, Inc.$2.1M
  184. 184CSGPCoStar Group, Inc.$2.1M
  185. 185EFXEquifax Inc.$2.1M
  186. 186VLOValero Energy Corporation$2.0M
  187. 187KRThe Kroger Co.$2.0M
  188. 188CLXThe Clorox Company$2.0M
  189. 189STZConstellation Brands, Inc.$2.0M
  190. 190MTZMasTec, Inc.$2.0M
  191. 191WMWaste Management, Inc.$1.9M
  192. 192EBAYeBay Inc.$1.9M
  193. 193MCDMcDonald's Corporation$1.9M
  194. 194UNPUnion Pacific Corporation$1.9M
  195. 195ICEIntercontinental Exchange, Inc.$1.9M
  196. 196GILDGilead Sciences, Inc.$1.9M
  197. 197METMetLife, Inc.$1.9M
  198. 198VRSKVerisk Analytics, Inc.$1.9M
  199. 199LENLennar Corporation$1.9M
  200. 200BDCMSD Investment Corp. (BDC)$1.9M

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