Zoe Lofgren

Zoe Lofgren

U.S. RepresentativeCA1843 filings463 transactions
View on House Disclosures

Total Purchases (max)

$2.0M

Total Sales (max)

$410K

Net Portfolio Value

$1.6M

60 active positions of 202 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1Lynwood unified School District gO bonds$250K$250K115.2%
2Pepsico Inc.$100K$100K26.1%
3Cisco Systems Inc. Noncallable$50K$50K13.0%
4Westpac Banking Corp Noncallable$50K$50K13.0%
5JP Morgan Chase & Co.$50K$50K13.0%
6united Parcel Service$50K$50K13.0%
7Wells Fargo Co MTN$50K$50K13.0%
8Bank of America Corp. MTN$50K$50K13.0%
9Oracle Corp.$50K$50K13.0%
10Citigroup Inc.$50K$50K13.0%
11goldman Sachs grp Inc. MTN$50K$50K13.0%
12AMATApplied Materials, Inc.$65K$30K$35K42.1%
13UNPUnion Pacific Corporation$100K$65K$35K42.1%
14Anheuser-Busch Inbev Fin$50K$15K$35K22.1%
15AONAon plc Class A Ordinary Shares$45K$15K$30K41.8%
16blackstone Inc. (bX)$30K$30K21.8%
17Home depot, Inc. (Hd)$45K$15K$30K41.8%
18ACNAccenture plc Class A Ordinary Shares$30K$15K$15K30.9%
19CTASCintas Corporation$45K$30K$15K50.9%
20EWEdwards Lifesciences Corporation$45K$30K$15K50.9%
21JPMJP Morgan Chase & Co.$45K$30K$15K50.9%
22NXPINXP Semiconductors N.V.$30K$15K$15K30.9%
23SBUXStarbucks Corporation$45K$30K$15K50.9%
24TMOThermo Fisher Scientific Inc$45K$30K$15K50.9%
25TMUST-Mobile US, Inc.$45K$30K$15K50.9%
26DISWalt Disney Company$45K$30K$15K50.9%
27AEP Texas Inc.$15K$15K10.9%
28ALLYAlly Financial Inc.$30K$15K$15K30.9%
29Vodafone Group PLC$15K$15K10.9%
30Wells Fargo & Company (WFC) Med. Term Note$15K$15K10.9%
31MDNDFMcdonalds Company Ltd Tokyo Ordinary Shares$15K$15K10.9%
32NWLNewell brands Inc.$15K$15K10.9%
33berkshire Hathaway Inc. New (BRK.b)$30K$15K$15K30.9%
34PGXInvesco Preferred ETF$15K$15K10.9%
35Anheuser-busch Inbev SA Sponsored ADR (belgium) (bud)$15K$15K10.9%
36Jefferies group LLC$15K$15K10.9%
37uS bancorp$15K$15K10.9%
38ViacomCbS Inc.$15K$15K10.9%
39Bank of Montreal Medium Term Note$15K$15K10.9%
40Waste Management Inc.$15K$15K10.9%
41Capital One Finl Co$15K$15K10.9%
42Dow Chemical Co.$15K$15K10.9%
43Home Depot Inc.$15K$15K10.9%
44Tyson Foods Inc.$15K$15K10.9%
45AT&T Inc.$15K$15K10.9%
46Bank of Nova Scotia MTN$15K$15K10.9%
47general Motors Finl Co$15K$15K10.9%
48Morgan Stanley$15K$15K10.9%
49Sumitomo Mitsui Finl grp$15K$15K10.9%
50Verizon Comm Inc.$15K$15K10.9%
51TWXTime Warner Inc. New$15K$15K20.9%
52bb&T Corporation (bbT)$15K$15K10.9%
53California State Public Works board Lease Revenue bonds, Ser. D$15K$15K10.9%
54DOWDow Chemical Company$15K$15K20.9%
55b&g Foods, Inc. b&g Foods, Inc. (bgS)$15K$15K10.9%
56CNSLConsolidated Communications Holdings, Inc.$15K$15K10.9%
57IRIngersoll-Rand plc$15K$15K10.9%
58LPTLiberty Property Trust$15K$15K10.9%
59HCNWelltower Inc.$15K$15K10.9%
60SCTY2000023184 JT SolarCity Corporation$15K$15K30.9%
61ABBVAbbVie Inc.$15K$15K$02
62AMZNAmazon.com, Inc.$30K$30K$04
63AMTAmerican Tower Corporation (REIT)$15K$15K$02
64CATCaterpillar, Inc.$15K$15K$02
65CCitigroup, Inc.$15K$15K$02
66MSMorgan Stanley$15K$15K$02
67NTAPNetApp, Inc.$15K$15K$02
68PFEPfizer, Inc.$30K$30K$04
69UNHUnitedHealth Group Incorporated Common Stock (DE)$60K$60K$08
70VZVerizon Communications Inc.$45K$45K$06
71WBAWalgreens Boots Alliance, Inc.$15K$15K$02
72WBKWestpac Banking Corporation$15K$15K$02
73ADBEAdobe Inc.$45K$45K$06
74AWKAmerican Water Works Company, Inc.$30K$30K$04
75ARCCAres Capital Corporation - Closed End Fund$30K$30K$04
76ASMLASML Holding N.V. - New York Registry Shares$15K$15K$02
77TAT&T Inc.$30K$30K$04
78AGRAvangrid, Inc.$30K$30K$04
79BCEBCE, Inc.$15K$15K$02
80BDXBecton, Dickinson and Company$15K$15K$02
81CMECME Group Inc. - Class A$30K$30K$04
82KOCoca-Cola Company$30K$30K$04
83CMCSAComcast Corporation - Class A$30K$30K$04
84COSTCostco Wholesale Corporation$30K$30K$04
85DHRDanaher Corporation$30K$30K$04
86DECKDeckers Outdoor Corporation$15K$15K$02
87EQIXEquinix, Inc.$15K$15K$02
88ESEversource Energy$30K$30K$04
89FITBFifth Third Bancorp$15K$15K$02
90FHNFirst Horizon Corporation$15K$15K$02
91GISGeneral Mills, Inc.$45K$45K$06
92GILDGilead Sciences, Inc.$15K$15K$02
93HIGHartford Financial Services Group, Inc.$15K$15K$02
94HCAHCA Healthcare, Inc.$30K$30K$04
95LCIDLucid Group, Inc.$15K$15K$02
96MAMastercard Incorporated$45K$45K$06
97MRKMerck & Company, Inc. Common Stock$30K$30K$04
98NEENextEra Energy, Inc.$30K$30K$04
99NNNNNN REIT, Inc.$30K$30K$04
100ODFLOld Dominion Freight Line, Inc.$15K$15K$02
101PEPPepsico, Inc.$30K$30K$04
102QCOMQUALCOMM Incorporated$30K$30K$04
103PWRQuanta Services, Inc.$15K$15K$02
104ROPRoper Technologies, Inc.$15K$15K$02
105SPGIS&P Global Inc.$15K$15K$02
106SHWSherwin-Williams Company$15K$15K$02
107TJXTJX Companies, Inc.$15K$15K$02
108TTTrane Technologies plc$30K$30K$04
109TRUTransUnion$15K$15K$02
110VVisa Inc.$45K$45K$06
111ZTSZoetis Inc. Class A$45K$45K$06
112Credit Suisse USA Inc.$15K$15K$02
113EXPEExpedia Group, Inc.$15K$15K$02
114CRLCharles River Laboratories International, Inc.$15K$15K$02
115SYFSynchrony Financial$15K$15K$02
116WMTWalmart Inc.$30K$30K$04
117gilead Sciences Inc.$15K$15K$02
118AAPLApple Inc.$15K$15K$02
119Chubb Limited (Cb)$15K$15K$02
120CMSCMS Energy Corporation$15K$15K$02
121CLColgate-Palmolive Company$15K$15K$02
122dominion Energy, Inc. (d)$15K$15K$02
123duke Energy Corporation (duK)$15K$15K$02
124ESSEssex Property Trust, Inc.$15K$15K$02
125Facebook, Inc. - Class A (Fb)$15K$15K$02
126HTAHealthcare Trust of America, Inc. Class A$15K$15K$02
127INTCIntel Corporation$15K$15K$02
128JNJJohnson & Johnson$15K$15K$02
129KMBKimberly-Clark Corporation$15K$15K$02
130MSFTMicrosoft Corporation$15K$15K$02
131Procter & gamble Company (Pg)$15K$15K$02
132XELXcel Energy Inc.$15K$15K$02
133APHAmphenol Corporation$15K$15K$02
134MGAMagna International, Inc.$15K$15K$02
135PNCPNC Financial Services group, Inc.$15K$15K$02
136EPREPR Properties$15K$15K$02
137SYYSysco Corporation$15K$15K$02
138PRUPrudential Financial, Inc.$15K$15K$02
139SIXSix Flags Entertainment Corporation New$15K$15K$02
140Simon Property group$15K$15K$02
141BLKblackRock, Inc.$15K$15K$02
142CMAComerica Incorporated$15K$15K$02
143STISunTrust banks, Inc.$15K$15K$02
144BABAAlibaba group Holding Limited American Depositary Shares each representing one Ordinary share$15K$15K$02
145ECLEcolab Inc.$15K$15K$02
146CELGCelgene Corporation$15K$15K$02
147LLYEli Lilly and Company$15K$15K$02
148GSKglaxoSmithKline PLC$15K$15K$02
149GPTgramercy Property Trust$15K$15K$02
150LIILennox International, Inc.$15K$15K$02
151PPLPPL Corporation$15K$15K$02
152u.S. bancorp (uSb)$15K$15K$02
153VMCVulcan Materials Company$15K$15K$02
154LTCLTC Properties, Inc.$15K$15K$02
155PCGPacific gas & Electric Co.$15K$15K$02
156EFXEquifax, Inc.$15K$15K$02
157California state general Obligation bond$01
158AEPAmerican Electric Power Company, Inc.$30K$45K-$15K5
159BUDAnheuser-Busch Inbev SA Sponsored ADR (Belgium)$15K$30K-$15K3
160BMOBank Of Montreal$15K-$15K1
161CSCOCisco Systems, Inc.$30K$45K-$15K5
162CVSCVS Health Corporation$15K$30K-$15K3
163JEFJefferies Financial Group Inc.$15K-$15K1
164KLACKLA Corporation$30K$45K-$15K5
165USBU.S. Bancorp$15K-$15K1
166BRK.BBerkshire Hathaway Inc. New$15K-$15K1
167BXBlackstone Inc.$15K-$15K1
168CINFCincinnati Financial Corporation$15K$30K-$15K3
169CCICrown Castle Inc.$15K-$15K1
170DDominion Energy, Inc.$15K-$15K1
171DUKDuke Energy Corporation$15K-$15K1
172EMREmerson Electric Company$15K-$15K1
173ETREntergy Corporation$15K-$15K1
174IPGInterpublic Group of Companies, Inc.$15K-$15K1
175MCDMcDonald's Corporation$15K$30K-$15K3
176METMetLife, Inc.$15K-$15K1
177MAAMid-America Apartment Communities, Inc.$15K$30K-$15K3
178PAYXPaychex, Inc.$15K$30K-$15K3
179PGProcter & Gamble Company$15K-$15K1
180PLDProLogis, Inc.$15K$30K-$15K4
181SONSonoco Products Company$15K-$15K1
182Tyson Foods Inc$15K-$15K1
183general Motors Finl Co (corporate bond)$15K-$15K1
184HDHome Depot, Inc.$15K-$15K1
185WMWaste Management, Inc.$15K-$15K1
186Anheuser-busch Inbev Fin$15K-$15K1
187Verizon Comm. Inc.$15K-$15K1
188GOOGLAlphabet Inc. - Class A$15K$30K-$15K3
189LAMRLamar Advertising Company - Class A$15K-$15K1
190PHMPultegroup, Inc.$15K$30K-$15K3
191WPCW. P. Carey Inc. REIT$15K$30K-$15K3
192Dow Chemical Co$15K-$15K1
193MMM3M Company$15K-$15K1
194TXNTexas Instruments Incorporated$15K-$15K1
195BACBank of America Corporation$30K$80K-$50K5
196OCLCFOracle Corporation Ordinary Shares$50K-$50K1
197SOSouthern Company$50K-$50K1
198Pepsico Inc$50K-$50K1
199TSLATesla, Inc.$50K-$50K1
200CVXChevron Corporation$50K-$50K1
201WFCWells Fargo & Company$60K-$60K4
202Deskworks Inc.$250K-$250K1