Debbie Dingell: Stock Portfolio, Performance and Latest Trades

Debbie Dingell

U.S. Representative, MI-6

D Democrat

Trades disclosed130
Bought / sold56 / 56
Est. volume$3.7M
Typical delay11 days

Debbie Dingell's estimated portfolio today

Annual disclosure as of Dec 31, 2025 plus later trades, valued at the latest close.

StockShare of portfolioAverage buy priceReturnCurrent priceFirst boughtTrades
AAPLApple Inc.
8.03%$271.12+24.2%$336.67Held at end of 20210
RPEAXDavis Opportunity Fund Class A
7.51%$39.54+11.3%$44.01Held at end of 20210
MSFTMicrosoft Corporation
7.12%$480.57+10.2%$529.76Held at end of 20210
GDVGabelli Dividend & Income Trust Common Shares of Beneficial Interest
5.06%$26.51+6.7%$28.29Held at end of 20210
MQIFXMutual Quest Fund Class Z
5.04%$16.00+6.4%$17.03Held at end of 20210
GOOGAlphabet Inc. - Class C Capital Stock
3.58%$313.19+10.9%$347.37Held at end of 20210
NYVTXDavis New York Venture Fund A
3.52%$27.17+9.1%$29.63Held at end of 20210
OUSAALPS O'Shares U.S. Quality Dividend ETF
3.49%$57.08+5.8%$60.37Held at end of 20210
WMTWal-Mart Stores, Inc.
3.16%$110.70−2.3%$108.16Feb 22, 20180
BXBlackstone Inc.
2.42%$149.45−25.2%$111.83Apr 10, 20230
DODGXDodge & Cox Stock Fund - Class I
2.29%$16.29+6.2%$17.30Held at end of 20210
JCIJohnson Controls International plc Ordinary Share
1.98%$118.72+31.3%$155.93Jul 12, 20180
PCOXXFederated Hermes Prime Cash Obligations Fund Wealth Shares
1.86%$1.00+0.0%$1.00Held at end of 20220
FVFirst Trust Dorsey Wright Focus 5 ETF
1.78%$62.80+17.7%$73.95Held at end of 20210
MDFGXBlackRock Capital Appreciation Fund Inc. Investor A
1.77%$28.03+17.6%$32.95Held at end of 20220
UNHUnitedHealth Group Incorporated
1.75%$323.71+16.1%$375.98Held at end of 20210
AMZNAmazon.com, Inc.
1.70%$230.82+12.6%$259.92Held at end of 20210
TQCAXTouchstone Dividend Equity Fund Class A
1.69%$19.49+12.2%$21.86Held at end of 20210
PGProcter & Gamble Company
1.66%$140.19+5.4%$147.82Aug 3, 20220
COSTCostco Wholesale Corporation
1.66%$858.55+9.7%$942.25Held at end of 20210
NICSXNicholas Fd
1.65%$88.53+9.3%$96.79Held at end of 20210
DUSADavis Select U.S. Equity ETF
1.63%$51.13+8.0%$55.23Held at end of 20250
SDYSPDR S&P Dividend ETF
1.63%$136.59+7.8%$147.19Held at end of 20210
XCAPXACAP Strategic Fund
1.53%$29.18+1.2%$29.53Held at end of 20210
FOFCohen & Steers Closed-End Opportunity Fund, Inc.
1.50%$12.47−0.2%$12.44Held at end of 20210
RTXRTX Corporation
1.50%$181.43−0.6%$180.26Held at end of 20210
ARCCAres Capital Corporation - Closed End Fund
1.49%$18.74−1.5%$18.45Held at end of 20210
PEPPepsico, Inc.
1.34%$139.28−11.2%$123.73May 23, 20180
HDHome Depot, Inc.
1.28%$336.79−15.1%$285.77Held at end of 20210
HONHoneywell International Inc.
1.24%$201.88+3.1%$208.11Held at end of 20210
DODFXDodge & Cox International Stock Fund - Class I
1.01%$16.46+9.2%$17.97Held at end of 20210
CSCOCisco Systems, Inc.
1.00%$75.63+55.2%$117.39Feb 22, 20180
AMGNAmgen Inc.
0.83%$320.75+28.8%$413.08Held at end of 20210
JNJJohnson & Johnson
0.82%$203.67+26.9%$258.45Held at end of 20210
MBXAXCatalyst/Millburn Hedge Strategy Fund Class A
0.78%$40.12+20.3%$48.28Held at end of 20240
HRTVXHeartland Value Fund Investor Class Shs
0.76%$50.76+18.1%$59.93Held at end of 20210
MDLZMondelez International, Inc. - Class A
0.73%$52.46+13.2%$59.38Held at end of 20210
MSMorgan Stanley
0.70%$174.65+8.6%$189.71Held at end of 20210
NVSNovartis AG
0.69%$133.80+7.1%$143.28Held at end of 20210
AMECXThe Income Fund of America, Class A Shares
0.68%$25.63+5.4%$27.01Held at end of 20210
BEGRXMutual Beacon Fd Cl Z
0.68%$18.60+5.1%$19.54Held at end of 20210
PTACohen & Steers Tax-Advantaged Preferred Securities and Income Fund Common Shares of Beneficial Inter
0.67%$18.31−6.6%$17.10Held at end of 20231
WMWaste Management, Inc.
0.62%$216.94−3.7%$208.94Held at end of 20210
DGFAXDavis Global Fund Class A
0.61%$33.22−5.5%$31.40Held at end of 20220
DISWalt Disney Company
0.60%$112.91−7.2%$104.75Mar 25, 20190
EXGEaton Vance Tax-Managed Global Diversified Equity Income Fund Eaton Vance Tax-Managed Global Diversi
0.58%$8.96+4.3%$9.34Held at end of 20210
CMCSAComcast Corporation - Class A
0.50%$27.00−22.5%$20.94May 8, 20180
CTVACorteva, Inc.
0.41%$9.99+44.6%$14.45Apr 10, 20230
FTGCFirst Trust Global Tactical Commodity Strategy Fund
0.38%$22.65+36.3%$30.87Held at end of 20210
KOCoca-Cola Company
0.35%$68.58+25.1%$85.82Held at end of 20210
TDToronto Dominion Bank
0.34%$92.84+22.6%$113.87Held at end of 20210
EMREmerson Electric Company
0.34%$131.23+21.3%$159.22Held at end of 20210
UBSIUnited Bankshares, Inc.
0.34%$37.40+21.2%$45.34Mar 25, 20190
BDXBecton, Dickinson and Company
0.34%$149.66+20.4%$180.16Held at end of 20210
PFEPfizer, Inc.
0.33%$23.68+18.3%$28.00Held at end of 20210
MARMarriott International - Class A
0.32%$308.40+15.6%$356.50Held at end of 20210
OPPAXInvesco Global Fund Class A
0.31%$86.50+10.4%$95.46Held at end of 20210
GSBDGOLDMAN SACHS BDC INC
0.30%$8.31+6.0%$8.81Held at end of 20210
TEDIXMutual Global Discovery Fund Class A
0.28%$30.92+0.1%$30.96Held at end of 20210
MDTMedtronic plc. Ordinary Shares
0.26%$93.66−8.7%$85.51Dec 5, 20230
ALLYAlly Financial Inc.
0.24%$44.36−15.8%$37.37Jul 26, 20180
ALCAlcon Inc. Ordinary Shares
0.22%$78.43−19.7%$63.00Nov 1, 20190
ABTAbbott Laboratories
0.22%$123.00−19.7%$98.73Held at end of 20210
IBMInternational Business Machines Corporation
0.21%$290.30−24.0%$220.51Held at end of 20210
SOLSSolstice Advanced Materials Inc.
0.17%$48.43+24.6%$60.36Held at end of 20250
QQnity Electronics, Inc.
0.11%$81.50+59.2%$129.72Held at end of 20250
LYBLyondellBasell Industries NV Ordinary Shares Class A
0.10%$41.91+39.6%$58.49Held at end of 20210
DOWDow Inc.
0.08%$22.61+22.8%$27.77Held at end of 20210
SDZNYSANDOZ GROUP AG S/ADR
0.08%$71.90+18.1%$84.89Held at end of 20230
DDDuPont de Nemours, Inc.
0.08%$119.12+10.0%$131.08Held at end of 20210
MMUWestern Asset Managed Municipals Fund, Inc.
0.06%$9.94−10.5%$8.90Held at end of 20210

Debbie Dingell's buys and sells

Jan 26, 2018 to Jul 14, 2026, 1 disclosed after the 45-day deadline.

StockActionAmountTradedDisclosed
FHLMC 30 YR GOLD RQ0128Bond
Bought$15K–$50KJul 14, 2026Jul 22, 20268 days later
HONAVHoneywell Aerospace Inc.
Exchange$50K–$100KJun 29, 2026Jul 15, 202616 days later
HONAVHoneywell Aerospace Inc.
Exchange$15K–$50KJun 29, 2026Jul 15, 202616 days later
FEDERAL NATIONAL MORTGAGE ASSOCIATION POOL MA6054Bond
Bought$50K–$100KMay 26, 2026Jun 5, 202610 days later
PTACohen & Steers Tax-Advantaged Preferred Securities and Inco…
Bought$1K–$15KApr 21, 2026Apr 28, 20267 days later
MICHIGAN ST HSG DEV AUTH SINGLE FAMILY MBondJoint
Bought$15K–$50KApr 21, 2026Apr 28, 20267 days later
WATWaters Corporation
Exchange$1K–$15KFeb 10, 2026Feb 23, 202613 days later
VSNTOtherVERSANT MEDIA GROUP INC CL A
Exchange$1K–$15KJan 5, 2026Jan 12, 20267 days later
GOOGAlphabet Inc. Class C Capital Stock
Sold part$15K–$50KNov 24, 2025Dec 6, 202512 days later
AAPLApple Inc.
Sold part$50K–$100KNov 24, 2025Dec 6, 202512 days later
HONHoneywell International Inc.
Sold part$15K–$50KNov 24, 2025Dec 6, 202512 days later
SOLSSolstice Advanced Materials Inc.
Sold$1K–$15KNov 24, 2025Dec 6, 202512 days later
QQnity Electronics, Inc.
Exchange$1K–$15KNov 3, 2025Dec 6, 202533 days later
SOLSSolstice Advanced Materials Inc.
Exchange$1K–$15KOct 30, 2025Dec 6, 202537 days later
SOLSSolstice Advanced Materials Inc.
Exchange$1K–$15KOct 30, 2025Dec 6, 202537 days later
SOLSSolstice Advanced Materials Inc.
Exchange$1K–$15KOct 30, 2025Dec 6, 202537 days later
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION POOL MB0260Bond
Bought$15K–$50KMar 28, 2025Apr 2, 20255 days later
WMTWalmart Inc.
Bought$15K–$50KMar 27, 2025Apr 2, 20256 days later
FEDERAL NATIONAL MORTGAGE ASSOCIATION POOL MA5471Bond
Bought$100K–$250KJan 15, 2025Jan 27, 202512 days later
DISWalt Disney Company
Bought$1K–$15KJan 15, 2025Jan 27, 202512 days later
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION POOL MA9542Bond
Bought$50K–$100KNov 1, 2024Nov 9, 20248 days later
AAPLApple Inc.
Sold part$15K–$50KJun 13, 2024Jun 24, 202411 days later
AAPLApple Inc.
Sold part$1K–$15KJun 12, 2024Jun 24, 202412 days later
AAPLApple Inc.
Sold part$15K–$50KJun 12, 2024Jun 24, 202412 days later
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION POOLBond
Bought$50K–$100KMay 1, 2024May 16, 202415 days later
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION POOLBond
Bought$15K–$50KMay 1, 2024May 16, 202415 days later
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION POOLBond
Bought$50K–$100KFeb 9, 2024Feb 15, 20246 days later
MDTMedtronic plc. Ordinary Shares
Bought$15K–$50KDec 5, 2023Dec 14, 20239 days later
BXBlackstone Inc.
Bought$15K–$50KApr 10, 2023Apr 19, 20239 days later
CTVACorteva, Inc.
Bought$15K–$50KApr 10, 2023Apr 19, 20239 days later
SVCBondSERVICE PROPERTIES TRUST
Sold$15K–$50KMar 8, 2023Mar 15, 20237 days later
ARES CAPITAL CORPBond
Bought$15K–$50KMar 3, 2023Mar 8, 20235 days later
AMERICAN TOWER CORPBond
Bought$1K–$15KJan 12, 2023Jan 19, 20237 days later
METAMeta Platforms, Inc. Class A
Sold$15K–$50KDec 19, 2022Jan 1, 202313 days later
SWKStanley Black & Decker, Inc.
Sold$1K–$15KDec 19, 2022Jan 1, 202313 days later
DISWalt Disney Company
Bought$1K–$15KNov 29, 2022May 15, 2023167 days later · late
PGProcter & Gamble Company
Bought$1K–$15KAug 3, 2022Aug 15, 202212 days later
Ally Financial Inc.Bond
Bought$15K–$50KMay 31, 2022Jun 12, 202212 days later
PARAMOUNT GLOBAL FXDBond
Bought$15K–$50KMay 31, 2022Jun 12, 202212 days later
WMBBondWilliams Companies, Inc.
Sold$15K–$50KMay 16, 2022May 19, 20223 days later
AAPLApple Inc.
Sold part$15K–$50KApr 18, 2022Apr 26, 20228 days later
AAPLApple Inc.
Sold part$15K–$50KDec 1, 2021Dec 10, 20219 days later
IPInternational Paper Company
Sold$15K–$50KDec 1, 2021Dec 10, 20219 days later
SLVMSylvamo Corporation
Sold$1K–$15KDec 1, 2021Dec 10, 20219 days later
SLVMSylvamo Corporation
Exchange$1K–$15KOct 1, 2021Oct 11, 202110 days later
ABBVAbbVie Inc.
Sold$50K–$100KJun 18, 2021Jun 29, 202111 days later
OTISOtis Worldwide Corporation
Sold$15K–$50KJun 18, 2021Jun 29, 202111 days later
VTRSViatris Inc.
Sold$1K–$15KJun 18, 2021Jun 29, 202111 days later
Fedex Corp.Bond
Sold$15K–$50KMay 20, 2021Jun 15, 202126 days later
BXThe Blackstone group Inc.
Sold part$15K–$50KApr 22, 2021May 3, 202111 days later
eBay Inc.Bond
Sold$15K–$50KMar 24, 2021Apr 1, 20218 days later
MACY'S RETAIL HLDgS INC.Bond
Sold$15K–$50KMar 17, 2021Mar 25, 20218 days later
PEPPepsico, Inc.
Bought$15K–$50KMar 2, 2021Mar 10, 20218 days later
MSMorgan Stanley
Exchange$15K–$50KMar 1, 2021Mar 10, 20219 days later
VIACViacomCBS Inc. Class B
Sold$15K–$50KJan 29, 2021Feb 1, 20213 days later
VIACSpouseViacomCBS Inc. Class B
Sold$1K–$15KDec 31, 2020Jan 13, 202113 days later
DISWalt Disney Company
Sold part$15K–$50KDec 31, 2020Jan 13, 202113 days later
VTRSViatris Inc.
Exchange$1K–$15KNov 17, 2020Dec 1, 202014 days later
ABBVSpouseAbbVie Inc.
Bought$15K–$50KOct 13, 2020Oct 24, 202011 days later
CARRCarrier global Corporation
Sold$15K–$50KOct 13, 2020Oct 24, 202011 days later
NVDANVIDIA Corporation
Sold$50K–$100KOct 13, 2020Oct 24, 202011 days later
AAPLApple Inc.
Sold part$15K–$50KAug 20, 2020Sep 2, 202013 days later
AAPLSpouseApple Inc.
Sold part$15K–$50KAug 20, 2020Sep 2, 202013 days later
WMTWalmart Inc.
Bought$1K–$15KAug 20, 2020Sep 2, 202013 days later
CARRCarrier global Corporation
Exchange$1K–$15KApr 3, 2020Apr 16, 202013 days later
OTISOtis Worldwide Corporation
Exchange$1K–$15KApr 3, 2020Apr 16, 202013 days later
NEENextEra Energy, Inc.
Sold$50K–$100KJan 2, 2020Jan 13, 202011 days later
AYRAircastle Limited
Sold$15K–$50KNov 6, 2019Nov 15, 20199 days later
ALCAlcon Inc. ordinary Shares
Bought$1K–$15KNov 1, 2019Nov 15, 201914 days later
DUKDuke Energy Corporation
Sold$15K–$50KNov 1, 2019Nov 15, 201914 days later
VLOValero Energy Corporation (VLo)
Sold$15K–$50KNov 1, 2019Nov 15, 201914 days later
DISWalt Disney Company
Bought$15K–$50KNov 1, 2019Nov 15, 201914 days later
WPXWPX Energy, Inc.
Sold$15K–$50KNov 1, 2019Nov 15, 201914 days later
UTXunited Technologies Corporation (uTX)
Bought$15K–$50KJun 17, 2019Jun 27, 201910 days later
DDDuPont de Nemours, Inc.
Exchange$1K–$15KJun 3, 2019Jun 14, 201911 days later
CTVACorteva, Inc. (CTVa)
Exchange$1K–$15KMay 31, 2019Jun 6, 20196 days later
HPTHospitality Properties Trust Shares of Beneficial Interest
Bought$1K–$15KMay 14, 2019May 22, 20198 days later
VODVodafone group Plc American Depositary Shares each represen…
Sold$1K–$15KMay 14, 2019May 22, 20198 days later
ALCalcon Inc. ordinary Shares (aLC)
Exchange$1K–$15KApr 11, 2019Apr 18, 20197 days later
DOWDow Inc. (DoW)
Exchange$1K–$15KApr 4, 2019Apr 14, 201910 days later
gM RESoRTS INTERNATIoNALBond
Bought$15K–$50KApr 1, 2019Apr 14, 201913 days later
gM RESoRTS INTERNATIoNALBond
Sold$15K–$50KApr 1, 2019Apr 14, 201913 days later
MgM RESoRTS INTERNATIoNALBond
Bought$15K–$50KApr 1, 2019Apr 17, 201916 days later
MgM RESoRTS INTERNATIoNALBond
Sold$15K–$50KApr 1, 2019Apr 17, 201916 days later
WARNER MEDIA LLCBond
Sold$15K–$50KMar 27, 2019Apr 14, 201918 days later
CBSCBS Corporation Class B
Bought$1K–$15KMar 25, 2019Apr 14, 201920 days later
CCICrown Castle International Corp.
Sold$15K–$50KMar 25, 2019Apr 14, 201920 days later
UBSIUnited Bankshares, Inc.
Bought$1K–$15KMar 25, 2019Apr 14, 201920 days later
DISWalt Disney Company
Bought$15K–$50KMar 25, 2019Apr 14, 201920 days later
WILLIAMS CoS INC/THEBond
Bought$15K–$50KMar 25, 2019Apr 14, 201920 days later
ETSpouseEnergy Transfer LP Common Units
Bought$15K–$50KJan 2, 2019Jan 16, 201914 days later
TaT&T Inc.
Sold$15K–$50KDec 19, 2018Jan 2, 201914 days later
CVXChevron Corporation
Sold$50K–$100KDec 19, 2018Jan 2, 201914 days later
XOMExxon Mobil Corporation (XoM)
Sold$15K–$50KDec 19, 2018Jan 2, 201914 days later
WMBWilliams Companies, Inc.
Sold$15K–$50KDec 19, 2018Jan 2, 201914 days later
UTXSpouseunited Technologies Corporation (uTX)
Bought$15K–$50KNov 27, 2018Dec 4, 20187 days later
WPXSpouseWPX Energy, Inc.
Bought$15K–$50KNov 8, 2018Nov 19, 201811 days later
REZIResideo Technologies, Inc.
Sold$1K–$15KNov 1, 2018Nov 19, 201818 days later
REZISpouseResideo Technologies, Inc.
Sold$1K–$15KNov 1, 2018Nov 19, 201818 days later
ALLY FINANCIAL INC.OtherSpouse
Bought$15K–$50KOct 31, 2018Nov 19, 201819 days later
MMMJoint3M Company
Sold$15K–$50KOct 24, 2018Oct 30, 20186 days later
SBUXSpouseStarbucks Corporation
Sold$15K–$50KOct 24, 2018Oct 30, 20186 days later
WBASpouseWalgreens Boots Alliance, Inc.
Sold$15K–$50KOct 24, 2018Oct 30, 20186 days later
ETOtherSpouseEnergy Transfer LP
Exchange$15K–$50KOct 19, 2018Oct 30, 201811 days later
PXPraxair, Inc.
Sold$15K–$50KOct 2, 2018Oct 11, 20189 days later
MICHIgaN ST.Bond
Bought$15K–$50KOct 1, 2018Oct 11, 201810 days later
MgM Resorts InternationalBondSpouse
Bought$15K–$50KSep 11, 2018Sep 18, 20187 days later
NYLDSpouseNRg Yield, Inc. Class C
Sold$15K–$50KAug 21, 2018Sep 6, 201816 days later
AYRSpouseaircastle Limited (aYR)
Bought$1K–$15KAug 14, 2018Aug 23, 20189 days later
CBSSpouseCBS Corporation Class B
Bought$15K–$50KJul 30, 2018Aug 9, 201810 days later
VLOSpouseValero Energy Corporation
Bought$1K–$15KJul 30, 2018Aug 9, 201810 days later
ALLYSpouseAlly Financial Inc.
Bought$15K–$50KJul 26, 2018Aug 1, 20186 days later
QCOMSpouseQuALCOMM Incorporated
Sold$15K–$50KJul 26, 2018Aug 1, 20186 days later
JCISpouseJohnson Controls International plc ordinary Share
Bought$1K–$15KJul 12, 2018Jul 24, 201812 days later
MgM RESORTS INTLBondSpouse
Bought$15K–$50KJun 4, 2018Jun 19, 201815 days later
VLOSpouseValero Energy Corporation
Bought$1K–$15KJun 4, 2018Jun 19, 201815 days later
MMMJoint3M Company
Bought$15K–$50KMay 23, 2018Jun 3, 201811 days later
PEPJointPepsico, Inc.
Bought$15K–$50KMay 23, 2018Jun 3, 201811 days later
CMCSAComcast Corporation Class a (CMCSa)
Bought$15K–$50KMay 8, 2018May 16, 20188 days later
EPDEnterprise Products Partners L.P.
Bought$1K–$15KMay 8, 2018May 16, 20188 days later
ALLY.ABondSpousegMAC CAP TRuST I 8.125% TO 2/15/2016 FLOATS AFTER
Sold$15K–$50KApr 26, 2018May 3, 20187 days later
CCISpouseCrown Castle International Corp.
Bought$15K–$50KApr 20, 2018Apr 26, 20186 days later
QCOMSpouseQuALCOMM Incorporated
Sold part$15K–$50KApr 20, 2018Apr 26, 20186 days later
VODSpouseVodafone group Plc American Depositary Shares each represen…
Bought$1K–$15KApr 9, 2018Apr 18, 20189 days later
NKESpouseNike, Inc.
Sold$1K–$15KMar 16, 2018Mar 20, 20184 days later
ABBVSpouseabbVie Inc. (aBBV)
Bought$1K–$15KFeb 22, 2018Mar 1, 20187 days later
CSCOCisco Systems, Inc. (CSCo)
Bought$1K–$15KFeb 22, 2018Mar 1, 20187 days later
WMTWalmart Inc.
Bought$1K–$15KFeb 22, 2018Mar 1, 20187 days later
CMISpouseCummins Inc.
Sold$15K–$50KJan 26, 2018Feb 1, 20186 days later
WMTWalmart Inc.
Sold$1K–$15KJan 26, 2018Feb 1, 20186 days later

Debbie Dingell's portfolio by sector

Share of the estimated stock portfolio.

16%Technology
SectorShareValueHoldings
Other54%~$6.3M31
Technology16%~$1.9M5
Consumer Staples9.3%~$1.1M7
Financials5.8%~$672K6
Industrials5.1%~$587.5K4
Health Care3.7%~$431.5K8
Consumer Discretionary3.3%~$383.1K3
Communication Services1.1%~$127.7K2
Utilities0.6%~$72.2K1
Materials0.4%~$49.7K4

Portfolio performance: Debbie Dingell vs. benchmarks

Copying everything that was public: the holdings in each annual financial disclosure, bought on the day it was published, and every trade on the day it was disclosed. Since Feb 2, 2018.

  • You, copying after each disclosure – estimated value
  • S&P 500
  • Nasdaq-100
−40%−20%0%+20%+40%+60%+80%+100%+120%OctJulApr2024OctJulApr+117%Nasdaq-100+91%S&P 500+57%You, copying
Oct 1, 2021 to Oct 7, 2026, buying on disclosure dates; call options valued with their leverage (strike and expiry from the disclosure); prices adjusted for dividends and splits.
Total returnPer year
You, copying after each disclosure – estimated value+57.5%+9.5%
S&P 500+91.4%+13.8%
Nasdaq-100+116.8%+16.7%

Debbie Dingell's most traded stocks

Number of disclosed buys and sells per stock.

StockBuysSells
AAPLApple Inc.
08
DISWalt Disney Company
41
SOLSSolstice Advanced Materials Inc.
01
WMTWalmart Inc.
31
VLOValero Energy Corporation (VLo)
21
ABBVabbVie Inc. (aBBV)
21
UTXunited Technologies Corporation (uTX)
20
SLVMSylvamo Corporation
01
WPXWPX Energy, Inc.
11
HONAVHoneywell Aerospace Inc.
00
ALCalcon Inc. ordinary Shares (aLC)
10
ETEnergy Transfer LP
10

Source: official disclosures filed with the Clerk of the House. Each date links to the original filing.