Kathy Manning

Kathy Manning

U.S. RepresentativeNC0632 filings766 transactions
View on House Disclosures

Total Purchases (max)

$10.6M

Total Sales (max)

$1.5M

Net Portfolio Value

$9.1M

85 active positions of 191 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1J. Goldman, L.P.$1.3M$1.3M213.7%
2Seven Bridges Multi-Strategy Fund Ltd.$1.3M$250K$1.1M611.5%
3Randall Robert Kaplan Alaska LLC Seven Bridges Multi-Strategy Fund Series$500K$500K15.5%
4Randall Robert Kaplan Alaska LLC Seven Bridges Strategic Equity Fund Series$500K$500K15.5%
5Whale Rock Long Opportunities Fund, LP$500K$500K15.5%
6Wonder Media Network, LLC$500K$500K15.5%
7MSFTMicrosoft Corporation - Common Stock$360K$30K$330K193.6%
8PayJoy Asset Fund LLC$250K$250K12.7%
9SB DPC Fund LP$250K$250K12.7%
10SB Venture Select Fund LP$250K$250K12.7%
11Seven Bridges Multi-Strategy Fund LP$250K$250K12.7%
12Next Century Spirits, LLC$250K$250K12.7%
13CRMSalesforce, Inc. Common Stock$155K$155K81.7%
14Seven Bridges Energy Opportunities Fund III LP$150K$150K21.6%
15MAMastercard Incorporated Common Stock$140K$140K71.5%
16GRMNGarmin Ltd. Common Stock$130K$130K31.4%
17PGProcter & Gamble Company$150K$30K$120K121.3%
18COSTCostco Wholesale Corporation - Common Stock$125K$15K$110K71.2%
19MRKMerck & Company, Inc. Common Stock$125K$15K$110K71.2%
20MSCIMSCI Inc. Common Stock$110K$110K51.2%
21Seven Bridges Private Equity Opportunities Fund III LP$100K$100K21.1%
22Guerilla RF, Inc.$100K$100K11.1%
23TBBCTriad Business Bank$100K$100K11.1%
24MTCHMatch Group, Inc.$140K$50K$90K81.0%
25ABTAbbott Laboratories Common Stock$105K$30K$75K90.8%
26JNJJohnson & Johnson Common Stock$105K$30K$75K90.8%
27MDTMedtronic plc. Ordinary Shares$170K$95K$75K130.8%
28CFGCitizens Financial Group, Inc.$155K$80K$75K110.8%
29CNCCentene Corporation Common Stock$90K$30K$60K80.7%
30HDHome Depot, Inc.$90K$30K$60K80.7%
31PKGPackaging Corporation of America Common Stock$75K$15K$60K60.7%
32Silver Point Distressed Opportunity Institutional Partners II, L.P.$50K$50K10.5%
33Capital - RRK Roth IRA #3 SB DPC Fund LP$50K$50K10.5%
34Seven Bridges Private Equity Opportunities Fund II, LP$50K$50K10.5%
35Brown Robin Partners I, LLC (Fund 2)$50K$50K10.5%
36APDAir Products and Chemicals, Inc. Common Stock$75K$30K$45K70.5%
37AAPLApple Inc. - Common Stock$170K$125K$45K150.5%
38LRCXLam Research Corporation - Common Stock$140K$95K$45K110.5%
39QCOMQUALCOMM Incorporated - Common Stock$90K$45K$45K90.5%
40SYYSysco Corporation Common Stock$60K$15K$45K50.5%
41TJXTJX Companies, Inc.$105K$60K$45K110.5%
42WMTWalmart Inc. Common Stock$90K$45K$45K90.5%
43AMZNAmazon.com, Inc.$75K$30K$45K70.5%
44AMGNAmgen Inc. - Common Stock$90K$60K$30K100.3%
45EXPDExpeditors International of Washington, Inc.$30K$30K20.3%
46INTCIntel Corporation$30K$30K20.3%
47TSLATesla, Inc.$45K$15K$30K40.3%
48TMOThermo Fisher Scientific Inc$30K$30K20.3%
49VZVerizon Communications Inc.$30K$30K20.3%
50CVXChevron Corporation$30K$30K20.3%
51XOMExxon Mobil Corporation$30K$30K20.3%
52PEPPepsico, Inc.$30K$30K20.3%
53NOWServiceNow, Inc.$130K$100K$30K60.3%
54MICRDMICRON SOLUTIONS INC NEW$15K$15K10.2%
55Seven Bridges Multi-Strategy Fund$15K$15K10.2%
56MMM3M Company$15K$15K10.2%
57ADBEAdobe Inc.$45K$30K$15K50.2%
58AEEAmeren Corporation$15K$15K10.2%
59AEPAmerican Electric Power Company, Inc.$15K$15K10.2%
60AMATApplied Materials, Inc.$15K$15K10.2%
61BACBank of America Corporation$45K$30K$15K50.2%
62BRK.BBerkshire Hathaway Inc. New$30K$15K$15K30.2%
63BRCMBroadcom Corporation - Class A$15K$15K10.2%
64CMCSAComcast Corporation - Class A$30K$15K$15K30.2%
65FDXFedEx Corporation$15K$15K10.2%
66INVHInvitation Homes Inc.$15K$15K10.2%
67KMBKimberly-Clark Corporation$15K$15K10.2%
68PPLPPL Corporation$15K$15K10.2%
69TXNTexas Instruments Incorporated$15K$15K10.2%
70UNHUnitedHealth Group Incorporated Common Stock$30K$15K$15K30.2%
71WELLWelltower Inc.$15K$15K10.2%
72AVGOBroadcom Inc.$30K$15K$15K30.2%
73CHTRCharter Communications, Inc. - Class$30K$15K$15K30.2%
74METAMeta Platforms, Inc. - Class A$15K$15K10.2%
75LOWLowe's Companies, Inc.$30K$15K$15K30.2%
76WFCWells Fargo & Company$30K$15K$15K30.2%
77ALLYAlly Financial Inc.$15K$15K10.2%
78BMYBristol-Myers Squibb Company$15K$15K10.2%
79CVSCVS Health Corporation$15K$15K10.2%
80DHRDanaher Corporation$15K$15K10.2%
81LLYEli Lilly and Company$15K$15K10.2%
82LINLinde plc Ordinary Share$15K$15K10.2%
83NEENextEra Energy, Inc.$15K$15K10.2%
84PMPhilip Morris International Inc$15K$15K10.2%
85Brown Robin Partners LTH I, LLC (Fund 2 LTH)$15K$15K10.2%
86ACNAccenture plc Class A Ordinary Shares$105K$105K$014
87GOOGAlphabet Inc. - Class C Capital Stock$60K$60K$08
88Abdiel Qualified Onshore Partners,$1.0M$1.0M$02
89JPMJP Morgan Chase & Co.$60K$60K$08
90TAT&T Inc.$45K$45K$06
91CSCOCisco Systems, Inc.$15K$15K$02
92KOCoca-Cola Company$15K$15K$02
93MCDMcDonald's Corporation$15K$15K$02
94RTNRaytheon Company$15K$15K$02
95SPGIS&P Global Inc.$15K$15K$02
96MOAltria Group, Inc.$15K$15K$02
97AMCRAmcor plc Ordinary Shares$15K$15K$02
98AIGAmerican International Group, Inc. New$15K$15K$02
99AMPAmeriprise Financial, Inc.$15K$15K$02
100APAAPA Corporation$15K$15K$02
101AZOAutoZone, Inc.$15K$15K$02
102BBYBest Buy Co., Inc.$15K$15K$02
103BLDRBuilders FirstSource, Inc.$15K$15K$02
104COFCapital One Financial Corporation$15K$15K$02
105CAHCardinal Health, Inc.$15K$15K$02
106CECelanese Corporation Celanese Corporation$15K$15K$02
107CMAComerica Incorporated$15K$15K$02
108CCKCrown Holdings, Inc.$15K$15K$02
109DVNDevon Energy Corporation$15K$15K$02
110DFSDiscover Financial Services$15K$15K$02
111DPZDomino's Pizza Inc$15K$15K$02
112EMNEastman Chemical Company$15K$15K$02
113FICOFair Isaac Corproation$15K$15K$02
114ITGartner, Inc.$15K$15K$02
115HCAHCA Healthcare, Inc.$15K$15K$02
116HSTHost Hotels$15K$15K$02
117HPQHP Inc.$15K$15K$02
118IPInternational Paper Company$15K$15K$02
119KEYKeyCorp$15K$15K$02
120KMIKinder Morgan, Inc.$15K$15K$02
121LHXL3Harris Technologies, Inc.$15K$15K$02
122LBTYKLiberty Global plc - Class C Ordinary Shares$15K$15K$02
123LLoews Corporation$15K$15K$02
124LUMNLumen Technologies, Inc.$15K$15K$02
125MROMarathon Oil Corporation$15K$15K$02
126MPCMarathon Petroleum Corporation$15K$15K$02
127MASMasco Corporation$15K$15K$02
128MCKMcKesson Corporation$15K$15K$02
129METMetLife, Inc.$15K$15K$02
130NOCNorthrop Grumman Corporation$15K$15K$02
131NVRNVR, Inc.$15K$15K$02
132PRUPrudential Financial, Inc.$15K$15K$02
133PHMPulteGroup, Inc.$15K$15K$02
134DGXQuest Diagnostics Incorporated$15K$15K$02
135SYFSynchrony Financial$15K$15K$02
136BKThe Bank of New York Mellon Corporation$15K$15K$02
137UNPUnion Pacific Corporation$15K$15K$02
138WHRWhirlpool Corporation$15K$15K$02
139BXBlackstone Inc.$50K$50K$02
140NFLXNetflix, Inc.$45K$50K-$5K4
141LMTLockheed Martin Corporation Common Stock$75K$90K-$15K11
142WUWestern Union Company$15K-$15K1
143BLKBlackRock, Inc.$15K-$15K1
144ORCLOracle Corporation$15K$30K-$15K3
145UPSUnited Parcel Service, Inc.$15K-$15K1
146BIIBBiogen Inc.$15K$30K-$15K3
147BXPBoston Properties, Inc.$15K-$15K1
148DRIDarden Restaurants, Inc.$15K-$15K1
149REGRegency Centers Corporation$15K-$15K1
150SPGSimon Property Group, Inc.$15K-$15K1
151WYWeyerhaeuser Company$15K-$15K1
152LUVSouthwest Airlines Company$15K-$15K1
153VTRS#2 Viatris Inc.$15K-$15K1
154DISWalt Disney Company$90K$110K-$20K11
155ASMLASML Holding N.V. - New York Registry Shares$80K$100K-$20K4
156ILMNIllumina, Inc.$45K$65K-$20K5
157SNAPSnap Inc. Class A$90K$115K-$25K9
158CBChubb Limited Common Stock$30K$60K-$30K6
159MUMicron Technology, Inc.$30K$60K-$30K6
160ISRGIntuitive Surgical, Inc.$30K$60K-$30K6
161CCitigroup, Inc.$15K$45K-$30K4
162PFEPfizer, Inc. Common Stock$75K$110K-$35K10
163AONAon plc Class A Ordinary Shares$75K$110K-$35K10
164CATCaterpillar, Inc. Common Stock$30K$75K-$45K7
165ABBVAbbVie Inc. Common Stock$75K$125K-$50K11
166CMECME Group Inc. - Class A Common Stock$60K$110K-$50K9
167INTUIntuit Inc. - Common Stock$90K$140K-$50K13
168NVDANVIDIA Corporation - Common Stock$185K$235K-$50K21
1692000115358 SP Echo Street GoodCo Select, LP$50K-$50K1
170ECLEcolab Inc.$50K-$50K1
171ALGNAlign Technology, Inc.$50K-$50K1
172CMGChipotle Mexican Grill, Inc.$15K$65K-$50K3
173VVisa Inc.$125K$190K-$65K13
174NKENike, Inc. Common Stock$75K$155K-$80K13
175EQIXEquinix, Inc.$80K-$80K3
176PYPLPayPal Holdings, Inc.$140K$230K-$90K12
177GISGeneral Mills, Inc.$15K$110K-$95K6
178FBMeta Platforms, Inc. - Class A$15K$130K-$115K4
179GOOGLAlphabet Inc. - Class A Common Stock$60K$180K-$120K16
180INFOIHS Markit Ltd. Common Shares$160K-$160K6
181AMTAmerican Tower Corporation$165K-$165K3
182SBUXStarbucks Corporation - Common Stock$15K$200K-$185K12
183ELEstee Lauder Companies, Inc.$30K$220K-$190K12
184Echo Street GoodCo Select, LP$750K$1.1M-$300K4
185Seven Bridges Multi-Strategy Fund Series$600K$1.3M-$650K6
1862000115357 SP Echo Street GoodCo Select, LP$1.0M-$1.0M1
187Charitable Trust U/A 11/28/00 #2 Seven Bridges Long/Short Equity Fund Series$1.0M-$1.0M1
188Seven Bridges Emerging Markets Fund Series$1.3M-$1.3M2
189Seven Bridges Long/Short Equity Fund Ltd.$1.6M-$1.6M7
190Seven Bridges Long/Short Equity Fund Series$4.2M-$4.2M8
191Seven Bridges Strategic Equity Fund Series$250K$5.5M-$5.3M3