Maria Elvira Salazar: Stock Portfolio, Performance and Latest Trades

Maria Elvira Salazar

U.S. Representative, FL-27

R Republican

Trades disclosed123
Bought / sold90 / 31
Est. volume$8.7M
Typical delay28 days

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Maria Elvira Salazar'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
VOOVanguard S&P 500 ETF
16.9%$621.74+14.9%$714.34Held at end of 20240
QQQInvesco QQQ Trust, Series 1
13.0%$612.23+23.8%$757.73Held at end of 20240
SPYSPDR S&P 500
3.62%$676.63+14.9%$777.22Held at end of 20230
IWMiShares Russell 2000 ETF
3.58%$244.50+13.6%$277.70Held at end of 20240
MRVLMarvell Technology, Inc.
3.55%$109.43+160%$284.68Apr 6, 20261
GLWCorning Incorporated
3.36%$132.63+23.1%$163.25Mar 19, 20262
CRMSalesforce, Inc.
3.20%$191.53+17.2%$224.56Apr 6, 20262
RSPInvesco S&P 500 Equal Weight ETF
3.04%$189.30+11.3%$210.60Apr 13, 20230
GSGoldman Sachs Group, Inc.
3.02%$802.02+10.6%$887.21Mar 19, 20262
SHViShares Short Treasury Bond ETF
2.81%$107.26+2.7%$110.12Held at end of 20230
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
2.75%$36.25−18.8%$29.43May 29, 20267
CSCOCisco Systems, Inc.
2.58%$77.50+51.5%$117.39Mar 19, 20262
MRKMerck & Company, Inc.
2.58%$151.31−5.6%$142.79Aug 19, 20262
RHRH
2.34%$134.51−14.4%$115.19Mar 19, 20262
DDOGDatadog, Inc.
2.15%$215.15+26.1%$271.34May 19, 20262
BRK.BBerkshire Hathaway Inc. New
2.01%$513.90−1.5%$506.25Jul 28, 20263
CCitigroup, Inc.
1.99%$108.78+17.0%$127.32Mar 19, 20262
IBMInternational Business Machines Corporation
1.76%$251.17−12.2%$220.51May 21, 20264
FDXFedEx Corporation
1.73%$284.98+1.4%$289.04Mar 19, 20262
MSFTMicrosoft Corporation
1.72%$421.08+25.8%$529.76Apr 17, 20261
IEIiShares 3-7 Year Treasury Bond ETF
1.66%$116.07−2.3%$113.38Held at end of 20230
BABoeing Company
1.59%$201.18−6.4%$188.32Mar 19, 20262
APGYXAB Large Cap Growth Fund, Inc. - Advisor Class
1.47%$112.96+7.8%$121.77Held at end of 20240
GSIMXGoldman Sachs GQG Partners International Opportunities Fund Institutional Shares
1.47%$22.47+7.3%$24.10Held at end of 20230
ULTAUlta Beauty, Inc.
1.40%$534.10+2.1%$545.48Mar 19, 20261
LSGRXLoomis Sayles Funds - Growth Fund Class Y
1.40%$33.22+2.1%$33.92Held at end of 20240
LAIIXLord Abbett Intermediate Tax- Free Cl I
1.32%$10.04−3.4%$9.70Held at end of 20240
WMBIXAllspring Fd, Municipal Bond Inst
1.31%$9.48−4.0%$9.10Held at end of 20240
FROGXFidelity Advisor Municipal Income Fund: Class I
1.30%$12.03−4.5%$11.49Held at end of 20240
MIMIXMFS Municipal Income Fund Cl I
1.30%$7.95−4.7%$7.58Held at end of 20240
VOYGVoyager Technologies, Inc. Class A
1.30%$37.79−23.9%$28.76Apr 14, 20262
HONHoneywell International Inc.
1.23%$230.41−9.7%$208.11Mar 24, 20261
URIUnited Rentals, Inc.
0.83%$842.86+23.1%$1,037.44Mar 25, 20262
PTONPeloton Interactive, Inc.
0.80%$4.06+19.5%$4.85Mar 19, 20262
SPCXSpace Exploration Technologies Corp.
0.77%$146.15+14.7%$167.60Aug 12, 20262
IEFiShares 7-10 Year Treasury Bond ETF
0.64%$93.33−4.5%$89.11Held at end of 20230
IWRiShares Russell Mid-Cap ETF
0.38%$95.47+13.6%$108.47Held at end of 20240
MRNAModerna, Inc.
0.38%$174.38+12.7%$196.48Aug 19, 20262
SBLYXClearBridge Large Cap Growth Fd Class I
0.37%$73.07+9.3%$79.88Held at end of 20240
GEGE Aerospace
0.35%$290.27+4.6%$303.62Mar 24, 20261
PRUPrudential Financial, Inc.
0.35%$108.62+3.4%$112.36Held at end of 20210
NVRNVR, Inc.
0.31%$6,417.90−7.6%$5,931.62Mar 19, 20261
VGVenture Global, Inc. Class A
0.31%$14.23−8.3%$13.05Mar 19, 20261
OBEObsidian Energy Ltd.
0.04%$6.13+73.4%$10.63Held at end of 20210
NLYAnnaly Capital Management Inc
0.02%$20.15−11.0%$17.93Held at end of 20210

Maria Elvira Salazar's buys and sells

Feb 14, 2022 to Aug 24, 2026, 6 disclosed after the 45-day deadline.

StockActionAmountTradedDisclosed
IBMInternational Business Machines Corporation
Sold part$1K–$15KAug 24, 2026Sep 9, 202616 days later
IBMInternational Business Machines Corporation
Sold part$1K–$15KAug 24, 2026Sep 9, 202616 days later
CBChubb Limited
Sold$15K–$50KAug 19, 2026Sep 9, 202621 days later
MRKMerck & Company, Inc.
Bought$15K–$50KAug 19, 2026Sep 9, 202621 days later
MRKMerck & Company, Inc.
Bought$15K–$50KAug 19, 2026Sep 9, 202621 days later
MRNAModerna, Inc.
Sold part$1K–$15KAug 19, 2026Sep 9, 202621 days later
MRNAModerna, Inc.
Bought$1K–$15KAug 19, 2026Sep 9, 202621 days later
QCOMQUALCOMM Incorporated
Sold$1K–$15KAug 19, 2026Sep 9, 202621 days later
QCOMQUALCOMM Incorporated
Sold$1K–$15KAug 12, 2026Sep 9, 202628 days later
SPCXSpace Exploration Technologies Corp.
Bought$1K–$15KAug 12, 2026Sep 9, 202628 days later
SPCXSpace Exploration Technologies Corp.
Bought$1K–$15KAug 12, 2026Sep 9, 202628 days later
BRK.BBerkshire Hathaway Inc. New
Bought$1K–$15KAug 7, 2026Sep 9, 202633 days later
BRK.BBerkshire Hathaway Inc. New
Bought$1K–$15KJul 28, 2026Aug 7, 202610 days later
BRK.BBerkshire Hathaway Inc. New
Bought$15K–$50KJul 28, 2026Aug 7, 202610 days later
CARRCarrier Global Corporation
Sold$15K–$50KJul 28, 2026Aug 7, 202610 days later
CARRCarrier Global Corporation
Sold$1K–$15KJul 28, 2026Aug 7, 202610 days later
CBChubb Limited
Bought$15K–$50KJul 1, 2026Aug 7, 202637 days later
CBChubb Limited
Bought$15K–$50KJul 1, 2026Aug 7, 202637 days later
VOYGVoyager Technologies, Inc. Class A
Bought$15K–$50KJun 15, 2026Jul 7, 202622 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KJun 4, 2026Jul 7, 202633 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$15K–$50KJun 4, 2026Jul 7, 202633 days later
UNHUnitedHealth Group Incorporated
Sold$1K–$15KJun 4, 2026Jul 7, 202633 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KJun 3, 2026Jul 7, 202634 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KJun 3, 2026Jul 7, 202634 days later
BIIBBiogen Inc.
Sold$15K–$50KJun 2, 2026Jul 7, 202635 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KJun 2, 2026Jul 7, 202635 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KJun 2, 2026Jul 7, 202635 days later
CRMSalesforce, Inc.
Bought$15K–$50KJun 2, 2026Jul 7, 202635 days later
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
Bought$1K–$15KMay 29, 2026Jun 8, 202610 days later
IBMInternational Business Machines Corporation
Bought$15K–$50KMay 21, 2026Jun 8, 202618 days later
IBMInternational Business Machines Corporation
Bought$15K–$50KMay 21, 2026Jun 8, 202618 days later
DDOGDatadog, Inc.
Bought$1K–$15KMay 19, 2026Jun 8, 202620 days later
DDOGDatadog, Inc.
Bought$15K–$50KMay 19, 2026Jun 8, 202620 days later
QCOMQUALCOMM Incorporated
Bought$15K–$50KMay 13, 2026Jun 8, 202626 days later
QCOMQUALCOMM Incorporated
Bought$1K–$15KMay 13, 2026Jun 8, 202626 days later
BIIBBiogen Inc.
Bought$1K–$15KMay 12, 2026Jun 8, 202627 days later
SHWSherwin-Williams Company
Sold$1K–$15KMay 12, 2026Jun 8, 202627 days later
SHWSherwin-Williams Company
Sold$1K–$15KMay 12, 2026Jun 8, 202627 days later
BIIBBiogen Inc.
Bought$1K–$15KMay 11, 2026Jun 8, 202628 days later
BIIBBiogen Inc.
Bought$50K–$100KMay 11, 2026Jun 8, 202628 days later
WHRWhirlpool Corporation
Sold$1K–$15KMay 11, 2026Jun 8, 202628 days later
WHRWhirlpool Corporation
Sold$1K–$15KMay 11, 2026Jun 8, 202628 days later
CARRCarrier Global Corporation
Bought$1K–$15KMay 1, 2026May 8, 20267 days later
CARRCarrier Global Corporation
Bought$15K–$50KMay 1, 2026May 8, 20267 days later
URIUnited Rentals, Inc.
Bought$1K–$15KApr 24, 2026May 8, 202614 days later
UNHUnitedHealth Group Incorporated
Bought$1K–$15KApr 22, 2026May 8, 202616 days later
UNHUnitedHealth Group Incorporated
Bought$1K–$15KApr 22, 2026May 8, 202616 days later
SHWSherwin-Williams Company
Bought$15K–$50KApr 20, 2026May 8, 202618 days later
SHWSherwin-Williams Company
Bought$1K–$15KApr 20, 2026May 8, 202618 days later
AMGNAmgen Inc.
Sold$15K–$50KApr 17, 2026May 8, 202621 days later
MSFTMicrosoft Corporation
Bought$15K–$50KApr 17, 2026May 8, 202621 days later
VOYGVoyager Technologies, Inc. Class A
Bought$1K–$15KApr 14, 2026May 8, 202624 days later
MRVLMarvell Technology, Inc.
Bought$15K–$50KApr 6, 2026May 8, 202632 days later
CRMSalesforce, Inc.
Bought$15K–$50KApr 6, 2026May 8, 202632 days later
FDXFedEx Corporation
Bought$1K–$15KMar 25, 2026Apr 21, 202627 days later
URIUnited Rentals, Inc.
Bought$1K–$15KMar 25, 2026Apr 21, 202627 days later
AMGNAmgen Inc.
Bought$15K–$50KMar 24, 2026Apr 21, 202628 days later
GEGE Aerospace
Bought$1K–$15KMar 24, 2026Apr 21, 202628 days later
HONHoneywell International Inc.
Bought$15K–$50KMar 24, 2026Apr 21, 202628 days later
BABoeing Company
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
BABoeing Company
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
CSCOCisco Systems, Inc.
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
CSCOCisco Systems, Inc.
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
CCitigroup, Inc.
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
CCitigroup, Inc.
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
GLWCorning Incorporated
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
GLWCorning Incorporated
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
FDXFedEx Corporation
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
GSGoldman Sachs Group, Inc.
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
GSGoldman Sachs Group, Inc.
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
NVRNVR, Inc.
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
PTONPeloton Interactive, Inc.
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
PTONPeloton Interactive, Inc.
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
RHRH
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
RHRH
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
ULTAUlta Beauty, Inc.
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
VGVenture Global, Inc. Class A
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
WHRWhirlpool Corporation
Bought$15K–$50KMar 19, 2026Apr 21, 202633 days later
WHRWhirlpool Corporation
Bought$1K–$15KMar 19, 2026Apr 21, 202633 days later
ARSpouseAntero Resources Corporation
Bought$1K–$15KOct 31, 2024Nov 11, 202411 days later
CWENSpouseClearway Energy, Inc. Class C
Sold$15K–$50KOct 25, 2024Nov 11, 202417 days later
OXYSpouseOccidental Petroleum Corporation
Bought$15K–$50KOct 25, 2024Nov 11, 202417 days later
ARSpouseAntero Resources Corporation
Bought$1K–$15KAug 2, 2024Sep 11, 202440 days later
DTMSpouseDT Midstream, Inc.
Bought$15K–$50KMay 1, 2024Jun 10, 202440 days later
NFESpouseNew Fortress Energy Inc.
Sold$15K–$50KMay 1, 2024Jun 10, 202440 days later
CWENSpouseClearway Energy, Inc. Class C
Bought$15K–$50KApr 26, 2024May 8, 202412 days later
CIVISpouseCivitas Resources, Inc.
Sold$15K–$50KApr 8, 2024May 8, 202430 days later
UNITED STATE TREASURY BILLBondSpouse
Bought$500K–$1MFeb 29, 2024Mar 10, 202410 days later
UNITED STATES TREASURY BILLBondSpouse
Bought$500K–$1MFeb 15, 2024Mar 10, 202424 days later
US TREASURY BILLBondSpouse
Bought$500K–$1MJan 2, 2024Feb 8, 202437 days later
UNITED STATES TREASURY BILLBondSpouse
Bought$500K–$1MDec 14, 2023Jan 12, 202429 days later
OrthoFX Investor II LLCOther
Bought$15K–$50KDec 13, 2023Jan 12, 202430 days later
US Treasury BillBondSpouse
Bought$500K–$1MOct 26, 2023Nov 8, 202313 days later
NFESpouseNew Fortress Energy Inc. Class A
Bought$15K–$50KOct 24, 2023Nov 8, 202315 days later
NEPSpouseNextEra Energy Partners, LP Common Units representing limit…
Sold$15K–$50KOct 24, 2023Nov 8, 202315 days later
UNITED STATES TREASURY BILLBondSpouse
Bought$500K–$1MSep 7, 2023Oct 4, 202327 days later
UNITED STATES TREASURY BILLBondSpouse
Bought$500K–$1MSep 7, 2023Oct 4, 202327 days later
LNGSpouseCheniere Energy, Inc.
Sold$50K–$100KMay 16, 2023Jun 13, 202328 days later
OKESpouseONEOK, Inc.
Sold$15K–$50KMay 16, 2023Jun 13, 202328 days later
RSPInvesco S&P 500 Equal Weight ETF
Bought$1K–$15KApr 13, 2023May 31, 202348 days later · late
IYYiShares Dow Jones U.S. ETF
Sold$1K–$15KApr 13, 2023May 31, 202348 days later · late
IWDiShares Russell 1000 Value ETF
Sold$1K–$15KApr 13, 2023May 31, 202348 days later · late
IWDiShares Russell 1000 Value ETF
Sold$1K–$15KApr 13, 2023May 31, 202348 days later · late
NEPSpouseNextEra Energy Partners, LP Common Units representing limit…
Sold$1K–$15KApr 13, 2023May 31, 202348 days later · late
CIVISpouseCivitas Resources, Inc.
Bought$1K–$15KMar 13, 2023Apr 25, 202343 days later
ETSpouseEnergy Transfer LP Common Units
Bought$15K–$50KMar 13, 2023Apr 25, 202343 days later
ETSpouseEnergy Transfer LP Common Units
Bought$50K–$100KMar 13, 2023Apr 25, 202343 days later
ETSpouseEnergy Transfer LP Common Units
Bought$100K–$250KMar 13, 2023Apr 25, 202343 days later
TYGSpouseTortoise Energy Infrastructure Corporation
Sold$15K–$50KMar 13, 2023Apr 25, 202343 days later
TYGSpouseTortoise Energy Infrastructure Corporation
Sold$50K–$100KMar 13, 2023Apr 25, 202343 days later
TYGSpouseTortoise Energy Infrastructure Corporation
Sold$100K–$250KMar 13, 2023Apr 25, 202343 days later
U.S. TREASURY BILL ZERO%Bond
Bought$15K–$50KFeb 27, 2023Mar 20, 202321 days later
CANOCano Health, Inc. Class A
Exchange$15K–$50KFeb 20, 2023Mar 20, 202328 days later
U.S. TREASURY BILL ZERO%Bond
Bought$1K–$15KFeb 16, 2023Mar 20, 202332 days later
Storm Shield of Miami, Inc.
Bought$1K–$15KJan 28, 2023Feb 15, 202318 days later
U.S. TREASURY BILL ZERO%Bond
Bought$15K–$50KJan 27, 2023Feb 15, 202319 days later
U.S. TREASURY BILL ZERO%Bond
Sold$15K–$50KJan 19, 2023Feb 15, 202327 days later
U.S. TREASURY BILL ZERO%Bond
Bought$15K–$50KDec 22, 2022Jan 15, 202324 days later
U.S. TREASURY BILL ZERO%Bond
Sold$15K–$50KDec 15, 2022Jan 15, 202331 days later
U.S. TREASURY BILL ZERO%Bond
Bought$15K–$50KNov 15, 2022Dec 15, 202230 days later
U.S. TREASURY BILL ZERO%Bond
Bought$50K–$100KSep 22, 2022Oct 14, 202222 days later
7 Heaven for Kids, LLC f/k/a 7 Heaven for Kids PPEC, LLCOther
Sold$100K–$250KJun 21, 2022Jul 22, 202231 days later
CANOCano Health, Inc. Class A
Exchange$250K–$500KFeb 14, 2022Jun 10, 2022116 days later · late

Maria Elvira Salazar's portfolio by sector

Share of the estimated stock portfolio.

16%Technology
SectorShareValueHoldings
Other60%~$1.4M19
Technology16%~$374.2K7
Industrials7.0%~$167.2K6
Financials5.4%~$127.6K3
Consumer Discretionary4.9%~$115.4K4
Materials3.4%~$80K1
Health Care3.0%~$70.4K2
Utilities0.3%~$7.3K1
Energy0.0%~$8681
Real Estate0.0%~$4451

Portfolio performance: Maria Elvira Salazar 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 Jun 10, 2022.

  • You, copying after each disclosure – estimated value
  • S&P 500
  • Nasdaq-100
−50%0%+50%+100%+150%+200%JulApr2024OctJulApr+170%Nasdaq-100+112%S&P 500+73%You, copying
Jun 10, 2022 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+73.3%+13.6%
S&P 500+111.8%+18.9%
Nasdaq-100+169.6%+25.8%

Maria Elvira Salazar's most traded stocks

Number of disclosed buys and sells per stock.

StockBuysSells
BEPBrookfield Renewable Partners L.P. Limited Partnership Units
70
QCOMQUALCOMM Incorporated
22
CARRCarrier Global Corporation
22
WHRWhirlpool Corporation
22
BIIBBiogen Inc.
31
IBMInternational Business Machines Corporation
22
SHWSherwin-Williams Company
22
BRK.BBerkshire Hathaway Inc. New
30
UNHUnitedHealth Group Incorporated
21
TYGTortoise Energy Infrastructure Corporation
03
CBChubb Limited
21
ETEnergy Transfer LP Common Units
30

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