Virginia Foxx

Virginia Foxx

U.S. RepresentativeNC05122 filings975 transactions
View on House Disclosures

Total Purchases (max)

$15.6M

Total Sales (max)

$6.3M

Net Portfolio Value

$9.4M

111 active positions of 207 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1HTGCHercules Capital, Inc. Common Stock$570K$150K$420K264.5%
2ARLPAlliance Resource Partners, L.P. - Common Units Representing Limited Partnership Interests$475K$165K$310K313.3%
3TAT&T Inc.$520K$250K$270K242.9%
4THE TORONTO-DO 3.766% CD$250K$250K12.7%
5CPXWFCapital Power Corp. Ordinary Shares$330K$100K$230K92.5%
6FLNGFLEX LNG Ltd. Ordinary Shares$325K$100K$225K192.4%
7glaxosmithKline PLC (gsK) [sT]$205K$205K92.2%
8Enterprise Products Partners l.P. (EPD) [sT]$200K$200K112.1%
9PPL Corporation (PPL) [sT]$185K$185K102.0%
10southern Company (sO) [sT]$185K$185K102.0%
11NextEra Energy, Inc. 6.219% Corporate Units (NEE$Q)$180K$180K41.9%
12One liberty Properties, Inc. (OLP) [sT]$180K$180K121.9%
13Manulife Financial Corporation (MFC) [sT]$180K$180K41.9%
14PEGIPattern Energy group Inc. - Class a$175K$175K71.9%
15BTIBritish American Tobacco Industries, p.l.c. Common Stock ADR$270K$100K$170K121.8%
16SIRESisecam Resources LP Common Units representing limited partner interests$265K$100K$165K141.8%
17southern Company (sO)$165K$165K41.8%
18NRG Yield, Inc. Class a (NYLD.a)$160K$160K61.7%
19Duke Energy Corporation Depositary Shares, each representing a 1/1,000th interest in a share of 5.75% Series A Cumulative Redeemable Perpetual Preferred Stock (DUK$A)$255K$100K$155K111.7%
20BP p.l.c. (BP) [sT]$155K$155K81.7%
21Duke Energy Corporation (DUK) [sT]$155K$155K81.7%
22PSXPPhillips 66 Partners lP Common units representing limited partner interest in the Partnership$150K$150K31.6%
23Clearway Energy, Inc. Class a (CWEN.a) [sT]$140K$140K81.5%
24STONstoneMor Partners l.P. Common unit Rep limited Partnership Interests$135K$135K91.4%
25VGRVector Group Ltd.$245K$115K$130K161.4%
26NUENucor Corporation$180K$50K$130K51.4%
27glaxosmithKline PLC (gsK)$130K$130K41.4%
28GOGLGolden Ocean Group Limited$170K$50K$120K101.3%
29CVR Energy Inc. (CVI) [sT]$220K$100K$120K111.3%
30AT&T INC 5% PFDPFD SER A (T+A)$115K$115K31.2%
31USDPUSD Partners LP Common Units representing limited partner interest$125K$15K$110K71.2%
32EPDEnterprise Products Partners L.P.$360K$250K$110K181.2%
33ORIOld Republic International Corporation$210K$100K$110K91.2%
34GPPGreen Plains Partners LP - Common Units$205K$100K$105K111.1%
35ASCArdmore Shipping Corporation Common Stock$150K$50K$100K111.1%
36UBS BANK USA 3.2%24CD$100K$100K11.1%
37CAPITAL ONE BANK (U 3%25CD)$100K$100K11.1%
38spark Energy, Inc. - 8.75% series a Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred stock (SPKEP) [sT]$100K$100K11.1%
39general Motors Company (gM)$100K$100K11.1%
40STLDsteel Dynamics, Inc.$100K$100K11.1%
41NHINational Health Investors, Inc.$295K$200K$95K91.0%
42Brookfield Renewable Partners l.P. (BEP) [sT]$95K$95K41.0%
43Arlington Asset Investment Corp 7.00% (AAIC$B)$90K$90K61.0%
44SJTSan Juan Basin Royalty Trust$135K$50K$85K100.9%
45BPLBuckeye Partners l.P.$80K$80K30.9%
46AHTashford Hospitality Trust Inc$80K$80K30.9%
47FTRFrontier Communications Corporation$140K$65K$75K90.8%
48aT&T Inc. (T) [sT]$170K$100K$70K100.7%
49BXMTBlackstone Mortgage Trust, Inc.$165K$100K$65K40.7%
50FCGYFVeresen, Inc. Ordinary shares$65K$65K20.7%
51CNPCenterPoint Energy, Inc$65K$65K20.7%
52MMPMagellan Midstream Partners L.P. Limited Partnership$160K$100K$60K70.6%
53Ellington Financial Inc. 7.00% Series D Cumulative Perpetual Redeemable Preferred Stock (EFC$D)$60K$60K50.6%
54MOAltria Group, Inc.$525K$465K$60K240.6%
55MOSMosaic Company$160K$100K$60K80.6%
56AMAntero Midstream Corporation$160K$100K$60K70.6%
57alliance Resource Partners, l.P. - Common units Representing limited Partnership Interests (ARLP) [sT]$110K$50K$60K60.6%
58CRTCross Timbers Royalty Trust$105K$50K$55K80.6%
59AAAlcoa Corporation$105K$50K$55K80.6%
60PGProcter & Gamble Company$150K$100K$50K30.5%
61IMKTAIngles Markets, Incorporated - Class$100K$50K$50K20.5%
62UVVUniversal Corporation$250K$200K$50K70.5%
63RRyder System, Inc.$100K$50K$50K30.5%
642000092128 JT Duke Energy Corporation Depositary Shares, each representing a 1/1,000th interest in a share of 5.75% Series A Cumulative Redeemable Perpetual Preferred Stock (DUK$A)$50K$50K10.5%
65WMTWalmart Inc.$100K$50K$50K20.5%
66SPDR gold Trust (glD)$50K$50K10.5%
67Mesabi Trust (MSB) [sT]$50K$50K10.5%
68HUMHumana Inc.$50K$50K10.5%
69amerigas Partners, l.P. (aPu)$50K$50K10.5%
70APTSPreferred apartment Communities, Inc.$150K$100K$50K40.5%
71ETPEnergy Transfer Partners, l.P. Common units representing limited partner interests$100K$50K$50K30.5%
72MATXMatson, Inc.$100K$50K$50K30.5%
73TXTTextron Inc.$100K$50K$50K30.5%
74EFCEllington Financial Inc. Common Stock$45K$45K30.5%
75MROMarathon Oil Corporation$95K$50K$45K50.5%
76CFCF Industries Holdings, Inc.$95K$50K$45K50.5%
77NFGNational Fuel Gas Company$195K$150K$45K70.5%
78BPBP p.l.c.$290K$250K$40K180.4%
79SCHXSchwab U.S. Large-Cap ETF$80K$50K$30K40.3%
80CVICVR Energy Inc.$80K$50K$30K40.3%
81WDCWestern Digital Corporation$80K$50K$30K40.3%
82NEWTNewtek Business Services Corp.$75K$50K$25K60.3%
83PAAPlains All American Pipeline, L.P. - Common Units representing Limited Partner Interests$325K$300K$25K120.3%
84Apollo Asset Management, Inc. 6.375% Series A Preferred Stock (AAM$A)$75K$50K$25K60.3%
85amerigas Partners, l.P. (aPu) [sT]$125K$100K$25K80.3%
86OLPOne liberty Properties, Inc.$270K$250K$20K110.2%
87ABBVAbbVie Inc. Common Stock$15K$15K10.2%
88AEPAmerican Electric Power Company, Inc.$15K$15K10.2%
89AMGNAmgen Inc. - Common Stock$15K$15K10.2%
90JNJJohnson & Johnson Common Stock$115K$100K$15K30.2%
91PSAPublic Storage Common Stock$15K$15K10.2%
92DUKE ENERGY C 5.75% PFD SER A$15K$15K10.2%
93BCCBoise Cascade, L.L.C.$65K$50K$15K30.2%
94KMIKinder Morgan, Inc.$115K$100K$15K30.2%
95AT&T INC 5% PFDPFD SER A$15K$15K10.2%
962000092135 JT Arlington Asset Investment Corp 7.00% (AAIC$B)$15K$15K10.2%
97DISCADiscovery, Inc. - Series A$15K$15K10.2%
98ILPTIndustrial logistics Properties Trust - Common Shares of Beneficial Interest$115K$100K$15K40.2%
99Via Renewables, Inc. - 8.75% Series$15K$15K10.2%
100Industrial logistics Properties$15K$15K10.2%
101Pembina Pipeline Corp. Ordinary shares (PBA) [sT]$15K$15K10.2%
102NRG Yield, Inc. Class C (NYLD) [sT]$15K$15K10.2%
103MRKMerck & Company, Inc. Common stock$65K$50K$15K30.2%
104MRLNMarlin Business services Corp.$65K$50K$15K30.2%
105IDTIDT Corporation Class B$65K$50K$15K30.2%
106HSYThe Hershey Company$65K$50K$15K30.2%
107ABTabbott laboratories$80K$65K$15K50.2%
108VLOValero Energy Corporation$65K$50K$15K30.2%
109NATNordic american Tankers limited$65K$50K$15K30.2%
110FETForum Energy Technologies, Inc.$65K$50K$15K30.2%
111AT&T Inc. Depositary Shares, each representing a 1/1,000th interest in a share of 5.000% Perpetual Preferred Stock, Series A (T$A)$105K$100K$5K80.1%
112BMYBristol-Myers Squibb Company Common Stock$15K$15K$02
113ETEnergy Transfer LP Common Units$200K$200K$014
114RIORio Tinto Plc$100K$100K$03
115OXBROxbridge Re Holdings Limited - Ordinary Shares$15K$15K$02
116SCHHSchwab U.S. REIT ETF$100K$100K$02
117AVGOBroadcom Inc.$50K$50K$02
118MSFTMicrosoft Corporation$50K$50K$02
119FSPFranklin Street Properties Corp.$100K$100K$02
120MSIMotorola Solutions, Inc.$50K$50K$02
121SCUSculptor Capital Management, Inc. Class A$65K$65K$04
122TPCOTribune Publishing Company$50K$50K$02
123LANDgladstone land Corporation$50K$50K$02
124sandRidge Permian Trust Common units of Benficial Interest (PER) [sT]$50K$50K$02
125FutureFuel Corp. Common shares (FF) [sT]$50K$50K$02
126CNX Midstream Partners lP Common units representing limited partner interests (CNXM) [sT]$50K$50K$02
127Ciner Resources lP Common units representing limited Partner Interests (CINR) [sT]$50K$50K$02
128Energy Transfer lP Common units (ET) [sT]$100K$100K$02
129Hess Midstream Partners lP Common units Representing limited Partner Interests (HESM) [sT]$100K$100K$02
130Domtar Corporation (uFs) [sT]$100K$100K$03
131spark Energy, Inc. - Class a (SPKE) [sT]$100K$100K$02
132Procter & gamble Company (Pg)$100K$100K$02
133SDOGalPs sector Dividend Dogs ETF$50K$50K$02
134ONEQFidelity Nasdaq Composite Index Tracking stock$100K$100K$02
135IPInternational Paper Company$100K$100K$03
136PEPPepsico, Inc.$150K$150K$04
137PFEPfizer, Inc.$100K$100K$03
138SCHAschwab u.s. small-Cap ETF$50K$50K$02
139RAIT Financial Trust New Common shares of Beneficial Interest (Ras)$15K$15K$02
140B&g Foods, Inc. B&g Foods, Inc. (Bgs)$50K$50K$02
141HBIHanesbrands Inc.$15K$15K$02
142VOTVanguard Mid-Cap growth ETF - DNQ$100K$100K$02
143EBFEnnis, Inc.$50K$50K$02
144RYHguggenheim s&P 500 Equal Weight Healthcare ETF$50K$50K$02
145HWHeadwaters Incorporated$50K$50K$02
146ODFLOld Dominion Freight line, Inc.$50K$50K$02
147alcoa Inc. (aa)$65K$65K$04
148CBRLCracker Barrel Old Country store, Inc.$50K$50K$02
149Corning Incorporated (glW)$50K$50K$02
150CICigna Corporation$50K$50K$02
151CTBCooper Tire & Rubber Company$50K$50K$02
152CWCurtiss-Wright Corporation$50K$50K$02
153OMNOMNOVA solutions Inc.$50K$50K$02
154superValu Inc. (sVu)$15K$15K$02
155SPBspectrum Brands Holdings, Inc.$50K$50K$02
156BLTBlount International, Inc.$50K$50K$02
157PBIPitney Bowes Inc.$50K$50K$02
158KNOPKNOT Offshore Partners LP Common Units representing Limited Partner Interests$95K$100K-$5K5
159ashford Hospitality Trust Inc (AHT) [sT]$45K$50K-$5K4
160CNX Midstream Partners lP$15K-$15K1
161PBAPembina Pipeline Corp. Ordinary Shares$180K$200K-$20K8
162TAKTakeda Pharmaceutical Company Limited American Depositary Shares$30K$50K-$20K3
163TTETotalEnergies SE$80K$100K-$20K4
164Pattern Energy group Inc. - Class a (PEGI) [sT]$30K$50K-$20K3
165PFFiShares Preferred and Income Securities ETF$65K$100K-$35K3
166KKellogg Company$65K$100K-$35K3
167HESHess Corporation$65K$100K-$35K3
168general Motors Company (gM) [sT]$15K$50K-$35K2
169Buckeye Partners l.P. (BPL) [sT]$15K$50K-$35K2
170ERIEErie Indemnity Company - Class a$65K$100K-$35K3
171SPHsuburban Propane Partners, l.P.$30K$65K-$35K4
172VIASPVia Renewables, Inc. - 8.75% Series A Fixed-to-Floating Rate Cumulative Redeemable Perpetual Preferred Stock$60K$100K-$40K5
173WBDWarner Bros. Discovery, Inc. - Series$50K-$50K1
174TSNTyson Foods, Inc.$50K$100K-$50K3
175FHLCFidelity MSCI Health Care Index ETF$50K$100K-$50K3
176AEGAEGON N.V.$50K$100K-$50K3
177Xerox Corporation (XRX) [sT]$50K$100K-$50K2
178steel Dynamics, Inc. (STLD) [sT]$50K-$50K1
179IWMishares Russell 2000 ETF$50K$100K-$50K2
180stoneMor Partners l.P. Common unit Rep limited Partnership Interests$50K-$50K1
181FFord Motor Company$50K-$50K1
182CATCaterpillar, Inc.$50K-$50K1
183SCHPschwab u.s. TIPS ETF$50K-$50K1
184SCHEschwab Emerging Markets Equity ETF$50K-$50K1
185DUKDuke Energy Corporation$180K$250K-$70K6
186GSKGSK plc American Depositary Shares$280K$350K-$70K16
187CAG2000092130 JT ConAgra Brands, Inc.$130K$200K-$70K6
188SCHFschwab International Equity ETF$30K$100K-$70K3
189XOMExxon Mobil Corporation$175K$250K-$75K7
190SCHDSchwab US Dividend Equity ETF$100K-$100K1
191ADMArcher-Daniels-Midland Company$200K$300K-$100K6
192PSXPhillips 66$100K-$100K1
193FLO2000092129 JT Flowers Foods, Inc.$100K$200K-$100K4
194GISGeneral Mills, Inc.$100K$200K-$100K3
195HCRBHartford Core Bond ETF$100K-$100K2
196SCHZSchwab uS Aggregate Bond ETF$100K-$100K1
197DUKHDuke Energy Corporation 5.125% Junior Subordinated Debentures due 2073$100K-$100K1
198Humana Inc. (HUM) [sT]$100K-$100K1
199CenterPoint Energy, Inc (CNP) [sT]$100K-$100K1
200FDXFedEx Corporation$100K-$100K1
201CWEN.AClearway Energy, Inc. Class A$325K$465K-$140K12
202MFCManulife Financial Corporation$50K$250K-$200K2
203SOSouthern Company$15K$250K-$235K2
204PPL2000092120 JT PPL Corporation$255K$500K-$245K11
205NEENextEra Energy, Inc.$250K-$250K1
206SCHWAB S&P 500 INDEX - SWPPX$250K-$250K1
207PM2000092122 JT Philip Morris International Inc$180K$500K-$320K7