Ed Whitfield

Ed Whitfield

U.S. RepresentativeKY0122 filings114 transactions
View on House Disclosures

Total Purchases (max)

$995K

Total Sales (max)

$75K

Net Portfolio Value

$920K

38 active positions of 64 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1DEAEasterly government Properties, Inc.$60K$60K46.5%
2AMZNamazon.com, Inc.$60K$60K46.5%
3WFCWells Fargo & Company$60K$60K46.5%
4COSTCostco Wholesale Corporation$45K$45K34.9%
5general Electric Company (gE)$45K$45K34.9%
6AIRMair Methods Corporation$45K$45K34.9%
7GILDgilead sciences, Inc.$45K$45K34.9%
8AVGOBroadcom limited - Ordinary shares$30K$30K23.3%
9NXPINXP semiconductors N.V.$30K$30K23.3%
10alphabet Inc. - Class a (gOOgl)$30K$30K23.3%
11UTXunited Technologies Corporation$30K$30K23.3%
12EGBNEagle Bancorp, Inc.$30K$30K23.3%
13KRKroger Company$30K$30K23.3%
14CATCaterpillar, Inc.$50K$30K$20K32.2%
15LILALiberty global plc - Class A ordinary shares$15K$15K11.6%
16BIIBBiogen Inc.$45K$30K$15K51.6%
17allergan plc Ordinary shares (agN)$15K$15K11.6%
18NOWserviceNow, Inc.$15K$15K11.6%
19VVisa Inc.$15K$15K11.6%
20Eli lilly and Company (llY)$30K$15K$15K31.6%
21PYPLPayPal Holdings, Inc.$15K$15K11.6%
22The Madison square garden Company Class a Common stock (Msg)$15K$15K11.6%
23IPInternational Paper Company$15K$15K11.6%
24AEPamerican Electric Power Company, Inc.$15K$15K11.6%
25MSFTMicrosoft Corporation$15K$15K11.6%
26VCVisteon Corporation$15K$15K11.6%
27GOOGalphabet Inc. - Class C Capital stock$15K$15K11.6%
28COFCapital one Financial Corporation$15K$15K11.6%
29AMRIalbany Molecular Research, Inc.$15K$15K11.6%
30laboratory Corporation of america Holdings (lH)$15K$15K11.6%
31VTRVentas, Inc.$15K$15K11.6%
32amerigas Partners, l.P. (aPu)$15K$15K11.6%
33PCPPrecision Castparts Corporation$15K$15K11.6%
34TMUST-Mobile us, Inc.$15K$15K11.6%
35CYTCytec Industries Inc.$15K$15K11.6%
36Micron Technology, Inc. (Mu)$15K$15K11.6%
37The Madison square garden Company - Class a (Msg)$15K$15K11.6%
38liberty Media Corporation - series C$15K$15K11.6%
39CHTRCharter Communications, Inc. - Class A$15K$15K$02
40MMM3M Company$15K$15K$02
41LBRDAliberty Broadband Corporation - Class a$15K$15K$02
42liberty global plc - Class a Ordinary shares (lIla)$15K$15K$02
43LMCAliberty Media Corporation - series a$15K$15K$02
44MSGThe Madison Square garden Company Class A Common Stock$15K$15K$02
45WBAWalgreens Boots alliance, Inc.$45K$50K-$5K4
46DEODiageo plc$15K-$15K1
47Procter & gamble Company (Pg)$15K-$15K1
48CNQCanadian Natural Resources limited$15K-$15K1
492000013947 sP The Madison square garden Company Class a Common stock (Msg)$15K-$15K1
50LBTYAliberty global plc - Class a Ordinary shares$15K-$15K1
51us Bancorp Del DEPOSITARY sH s g (usB$N)$15K-$15K1
52AMATapplied Materials, Inc.$15K-$15K1
53TMKTorchmark Corporation$15K-$15K1
54PETMPetsmart, Inc$15K-$15K1
55DISWalt Disney Company$30K-$30K2
56TWCTime Warner Cable Inc$30K-$30K2
57LBRDK2000016083 sP liberty Broadband Corporation - Class C$15K$45K-$30K4
58CSCOCisco systems, Inc.$30K-$30K2
592000010773 SP Wells Fargo Advantage Short Term$50K-$50K1
60Harbor Bond Fund$50K-$50K1
61LLTIlaserlock Technologies, Inc.$50K-$50K1
62LMCK2000016645 sP liberty Media Corporation - series C$60K-$60K4
63PMPhilip Morris International Inc$100K-$100K2
64Wells Fargo Advantage Short Term Municipal Bond Fund$100K-$100K1