Donald Sternoff Beyer JrHouse

U.S. Representative · VA-08 · D · 2019-10 → 2026-09

Chamber
House
Party
D
State
VA
Trades
968 (514 buys · 446 sells)
Estimated volume
$79.3M
Late filings
1% (12 of 968)
Median filing lag
19 days
Outperformance rank
#45 of 142 ranked

Estimated portfolio

Their disclosed buys at today's prices, assuming nothing was sold. Trades are disclosed as ranges, so we use the midpoint.

Headlines

Portfolio value
$6.4M
from $2.8M cost
Estimated gain
+$3.6M
Up 129%
Versus the S&P 500
-$9K
SPY would hold $6.4M
Positions
58
from 341 buys
#PositionSinceCost basisValue todayGainShare of portfolio
1
NVDANVIDIA Corporation
2019-11-19$56K$2.0M+3430%31%
2
AAPLApple Inc.
2019-11-18$97K$411K+325%6%
3
GSgoldman Sachs group, Inc.
2019-11-19$96K$322K+236%5%
4
GOOGLAlphabet Inc. - Class C Capital Stock
2019-11-19$64K$302K+372%5%
5
MSFTMicrosoft Corporation
2019-11-22$56K$177K+215%3%
6
NDAQNasdaq, Inc.
2019-11-19$72K$159K+121%2%
7
TJXTJX Companies, Inc.
2019-11-19$72K$153K+113%2%
8
COSTCostco Wholesale Corporation
2020-03-24$56K$141K+152%2%
9
ASMLASML Holding N.V. - New York Registry Shares
2020-06-24$32K$127K+296%2%
10
IAUishares gold Trust
2020-02-14$49K$122K+151%2%
11
NEENextEra Energy, Inc.
2019-11-18$104K$120K+15%2%
12
PIImpinj, Inc.
2019-11-19$24K$116K+385%2%
13
MSCIMSCI Inc
2019-11-19$56K$110K+97%2%
14
NVSNovartis Ag
2019-11-19$72K$109K+52%2%
15
ISRGIntuitive Surgical, Inc.
2019-11-19$48K$97K+102%2%
Showing top 15 of 58 positions by value

Trades that mattered most

These 8 buys explain 37% of their result against the S&P 500.

#StockAssetBoughtHeldSizeReturnvs SPYSource
1NVDA
NVIDIA Corporation
2019-11-196.9y$1K-15K+4454%+4307%
2NVDA
NVIDIA Corporation
2019-12-096.8y$1K-15K+4364%+4218%
3NVDA
NVIDIA Corporation
2019-11-266.9y$1K-15K+4265%+4119%
4NVDA
NVIDIA Corporation
2019-12-246.8y$1K-15K+3870%+3729%
5NVDA
NVIDIA Corporation
2020-01-106.7y$1K-15K+3777%+3640%
6NVDA
NVIDIA Corporation
2020-11-175.9y$1K-15K+1664%+1550%
7NVDA
NVIDIA Corporation
2020-11-045.9y$1K-15K+1617%+1492%
8AAPL
Apple Inc.
2020-01-146.7y$15K-50K+328%+192%

Returns by stock

Each stock's return since they bought it, next to the S&P 500 over the same days.

#StockTradesBuys / sellsBeat S&P 500Stock returnS&P 500
1NVDA147/77 of 7+3430%+137%
2AAPL169/79 of 9+325%+136%
3EL1711/60 of 11-56%+132%
4GOOGL128/48 of 8+372%+133%
5TDOC178/90 of 8-94%+137%
6NKE139/40 of 9-68%+137%
7EDIT117/40 of 7-91%+139%
8DIS139/40 of 9-29%+135%
9FANUF1611/50 of 11-7%+126%
10NEE1913/60 of 13+15%+126%
11GS2112/912 of 12+236%+119%
12ACN149/50 of 9-13%+128%
13TGT1510/50 of 10+16%+135%
14ILMN158/70 of 8-10%+137%
15ROP158/70 of 8-5%+134%

Trades by month

Disclosed buys and sells, by the month they were made. Tap or hover for the stocks.

BuysSells

All trades

968 of 968

—Curators Univ Mo 5.00% 11/01/34
35,000 units
2026-09-23 → 2026-10-01 · 8d
—Ohio St Gen Oblig 5.00% 11/01/34
sale of 35,000 units
2026-09-23 → 2026-10-01 · 8d
—Indiana ST 5.00% 02/01/32
65,000 units
2026-09-15 → 2026-10-01 · 16d
—Long Is Pwr Auth Var 9/01/55
Long Island Power Authority Bond 09/01/55
2026-08-05 → 2026-09-01 · 27d
—California St 4.00% 8/01/36
CALLED security
2026-08-03 → 2026-09-01 · 29d
—Washington St Various 5.00% 08/01/30
CALLED Security
2026-08-03 → 2026-09-01 · 29d
—Tri-Creek 5.00% 7/15/33
50,000 units of Tri-Creek 5.00%
2026-07-27 → 2026-08-01 · 5d
—King Cnty Wash 4.00% 12/01/32
Called Security, $35,000
2026-07-26 → 2026-08-01 · 6d
—Virginia Commlth 5.00% 09/15/29
60,000 units of Virginia Commonwealth 5.00% bond, 9/15/29
2026-06-18 → 2026-07-01 · 13d
—Arlington Cnty VA 5.00% 7/01/35
35,000 units of Arlington County, VA 5.00% 07/01/35
2026-02-19 → 2026-03-01 · 10d
—University Wash Univ 4.00% 12/01/33
30,000 units
2026-01-29 → 2026-01-31 · 2d
—Madison Conn Go Bd 3.5% 12/18/25
75,000 units
2026-01-20 → 2026-01-31 · 11d
—Virginia St Pub Bldg 4.00% 08/01/36
50,000 units
2026-01-15 → 2026-01-31 · 16d
—Ohio St Gen Oblig 5.00% 11/01/34
35,000 units
2026-01-07 → 2026-01-31 · 24d
—King CNTY Wash Ltd 4.00% 12/1/32
Bond reached maturity
2025-12-18 → 2026-01-02 · 15d
—Madison Conn GO BD 3.5% 12/18/25
Bonds reached maturity
2025-12-18 → 2026-01-02 · 15d
—Virginia ST 4.00% 8/1/38
Maturity 60,000 units
2025-12-10 → 2026-01-02 · 23d
—L Tax 5.00% 01/01/37 JTKing Cnty Wash 4.00% 12/01/32
35,000 units of King Cnty Wash 4.00% 12/01/32
2025-10-31 → 2025-11-02 · 2d
—St John Baptist Parish Var 06/01/37
55,000 units of St John Baptist Parish Var 06/01/37
2025-10-23 → 2025-11-02 · 10d
—Connecticut St SPL Tax 5.00% 01/01/37
40,000 units of Connecticut St
2025-10-22 → 2025-11-02 · 11d
—North Allegheny PA Sch 5.00% 05/01/2030
redemption of municipal bond
2025-10-14 → 2025-11-02 · 19d
—Massachusetts St Sch Bld 5.00%
redemption of municipal bond
2025-09-18 → 2025-10-02 · 14d
—Oklahoma Cnt OK Independent 3:00% 07/01/25
Bond Reached Maturity
2025-07-01 → 2025-08-02 · 32d
—University of Washington 4.00% 12/01/33
30,000 units University of Washington 4.00% maturing 12/01/33
2025-04-08 → 2025-05-02 · 24d
—Maryland St Health Var 07/01/45
50,000 units Maryland State Healthy Var 07/01/45
2025-02-12 → 2025-03-08 · 24d
—Duke Street LLC, 50% Interest
sale of 2712 Duke Street, Alexandria, Virginia
2024-12-23 → 2025-01-06 · 14d
—Oklahoma Cnty OK Indep 3.00% 07.01.25
15,000 units Oklahoma County, OK, Indep 3.00% 07/01/25
2024-12-04 → 2025-01-06 · 33d
—Dallas Tex Area Rapid 5.00% 12/01/25
Called Security
2024-12-02 → 2025-01-06 · 35d
—Virginia State Housing Development 3.4% 07/01/29
40,000 Shares
2024-11-21 → 2024-12-07 · 16d
—Virginia State Housing Development 3.5% 07/01/30
40,000 shares
2024-11-21 → 2024-12-07 · 16d
—Oregon State Housing & Community Var 01/10/48
35,000 shares
2024-11-14 → 2024-12-07 · 23d
—Delaware Valley PA 4.00% 03/01/33
35,000 units of Delaware Valley, PA bonds, 4.00%, maturing 03/01/33
2024-10-29 → 2024-11-03 · 5d
—North Carolina TPK 4.00% 01/01/33
35,000 units of North Carolina Turnpike bonds, 4.00%, maturing 01/01/33
2024-10-28 → 2024-11-03 · 6d
—Long Island Power Authority NY 5.00% 09/01/37
35,000 units of Long Island Power Authority, NY bonds, 5.00%, maturing 09/01/37
2024-10-24 → 2024-11-03 · 10d
—New Jersey State 5.00% 06/15/33
40,000 units of New Jersey State bonds, 5.00%, maturing 06/15/33
2024-10-18 → 2024-11-03 · 16d
—Aiken Cnty SC Cons Sch 4.00% 04/01/37
25,000 units of Aiken County, SC Cons Sch bonds, 4.00%, maturing 04/01/37
2024-10-16 → 2024-11-03 · 18d
—Chicago Ill O'Hare 4.00% 01/01/36
30,000 units of Chicago, Illinois O'Hare bonds, 4.00%, maturing 01/01/36
2024-10-09 → 2024-11-03 · 25d
—North Las Vegas Nev 4.00% 06/01/36
35,000 units of North Las Vegas Nevada bonds, 4.00%, maturing 06/01/36
2024-10-09 → 2024-11-03 · 25d
—Clark Cnty Nev Sch 4.00% 06/15/37
35,000 units of Clark County, Nevada School bonds, 4.00%, maturing 06/15/37
2024-10-03 → 2024-11-03 · 31d
—District Columbia Go 5.00% 06/01/35
tender cash receipt
2024-10-02 → 2024-11-03 · 32d
—Jefferson Cnty KY 4.00% 09/01/36
35,000 units of Jefferson County, KY bonds, 4.00%, maturing 09/01/36
2024-10-02 → 2024-11-03 · 32d
—Garden of Eden LLC, 40% Interest
sale of land and buildings, Frederick County Virginia
2024-08-30 → 2024-09-04 · 5d
—Wise Cnty VA Indl Var 11-01-40
25,000 units of Wise County Virginia Indl Var bonds, due 11-01-40
2024-05-31 → 2024-06-06 · 6d
—Wise Cnty VA V-A 1.875% 11-01-40
Called security; 25,000 units
2024-05-31 → 2024-06-06 · 6d
—Putnam Cnty WVA Brd Ed 1.123% 05/01/24
Putnam County, WVA Brd Ed 1.123% bonds reached maturity 05/01/24
2024-05-23 → 2024-06-06 · 14d
—Metropolitan Wash DC 5.00% 10/01/31
20,000 units of Metropolitan Washington DC 5.00% 10/01/31 bonds
2024-05-02 → 2024-06-06 · 35d
—Virginia St Hsg Dev 3.65% 04/01/33
20,000 units of Virginia State Housing Development bond, 3.65%, 04/01/33
2024-03-28 → 2024-03-31 · 3d
—Wisconsin St Health & EDL 5.00% 09/15/30
Called Security, Wisconsin St Health & EDL 5.00% 09/15/30
2023-09-15 → 2023-10-01 · 16d
—Union-Endicott NY Cent 3.75% 06/30/23
Bond reached maturity
2023-06-30 → 2023-07-01 · 1d
—District Columbia Go 5.00% 06/01/35
25,000 units District of Columbia Government 5.00% 06/01/35
2023-06-06 → 2023-07-01 · 25d
—Virginia College Bldg 4.00% 02/01/33
tender cash receipt, Virginia College Building 4.00% 02/01/33
2023-06-06 → 2023-07-01 · 25d
—New York ST MTG AGY 3.45% 10/01/33
to pay 2022 taxes
2023-04-18 → 2023-04-29 · 11d
—Wisconsin St Health & EDL 5.00% 09/15/30
2023-03-16 → 2023-04-05 · 20d
—Virginia College Bldg 4.375% 02/01/32
The municipal bond was "Called" -- just a redemption of the face value of the bond
2023-02-01 → 2023-03-03 · 30d
—Clark Cnty Nev Limited 3.00% 06/01/37
30,000 units Clark County Nevada Limited 3.00% 06/01/37
2022-11-10 → 2022-12-01 · 21d
—Virginia St Pub 3.00% 10/01/38
redemption of 30,000 units of Virginia State Public 3.00% 10/01/38
2022-11-10 → 2022-12-01 · 21d
—Union-Endicott NY Central School District
15,000 units of Union-Endicott Central School District 3.75% 06/30/2023
2022-07-28 → 2022-07-29 · 1d
—Farmington NM Pollutn Var 06/01/40
Called security
2022-06-02 → 2022-07-03 · 31d
—New York NY City Transitional Fin Auth
called Security
2022-05-02 → 2022-06-01 · 30d
—California St GO BDS 4.25% 04/01/35
called security
2022-04-11 → 2022-05-01 · 20d
—Halifax County VA Indl Dev Var 12/01/41
Called Security
2022-04-07 → 2022-05-01 · 24d
NEENextEra Energy, Inc.
2022-03-07 → 2022-04-01 · 25d
—Virginia College Bldg 3.00% 02/01/37
2022-03-07 → 2022-04-01 · 25d
DAIUFDaifuku Co Ltd Ordinary Shares
2022-03-01 → 2022-04-01 · 31d
FANUFFanuc Limited Ordinary Shares
2022-03-01 → 2022-04-01 · 31d
—VgP N.V. NPV common
2022-03-01 → 2022-04-01 · 31d
ACNAccenture plc Class A Ordinary Shares
2022-02-28 → 2022-03-03 · 3d
GOOGLAlphabet Inc. - Class C Capital Stock
2022-02-28 → 2022-03-03 · 3d
AMZNAmazon.com, Inc.
2022-02-28 → 2022-03-03 · 3d
AAPLApple Inc.
2022-02-28 → 2022-03-03 · 3d
ASMLASML Holding N.V. - New York Registry Shares
2022-02-28 → 2022-03-03 · 3d
BRK.BBerkshire Hathaway Inc. New
2022-02-28 → 2022-03-03 · 3d
CDNSCadence Design Systems, Inc.
2022-02-28 → 2022-03-03 · 3d
CGNXCognex Corporation
2022-02-28 → 2022-03-03 · 3d
COSTCostco Wholesale Corporation
2022-02-28 → 2022-03-03 · 3d
CYRXCryoPort, Inc.
2022-02-28 → 2022-03-03 · 3d
CVSCVS Health Corporation
2022-02-28 → 2022-03-03 · 3d
ECLEcolab Inc.
2022-02-28 → 2022-03-03 · 3d
ELEstee Lauder Companies, Inc.
2022-02-28 → 2022-03-03 · 3d
FNVFranco-Nevada Corporation
2022-02-28 → 2022-03-03 · 3d
GSgoldman Sachs group, Inc.
2022-02-28 → 2022-03-03 · 3d
GSStocks, Bonds, & Mutual Funds DESCRIPTION: sale of 75 units goldman Sachs group Inc common JTguardant Health, Inc.
2022-02-28 → 2022-03-03 · 3d
ILMNIllumina, Inc.
2022-02-28 → 2022-03-03 · 3d
PIImpinj, Inc.
2022-02-28 → 2022-03-03 · 3d
NTLAIntellia Therapeutics, Inc.
2022-02-28 → 2022-03-03 · 3d
ISRGIntuitive Surgical, Inc.
2022-02-28 → 2022-03-03 · 3d
IAUStocks, Bonds, & Mutual Funds DESCRIPTION: sale of 75 units Intuitive Surgical Inc. JTiShares gold Trust Shares of the iShares gold Trust
2022-02-28 → 2022-03-03 · 3d
JPMJP Morgan Chase & Co.
2022-02-28 → 2022-03-03 · 3d
KAIKadant Inc
2022-02-28 → 2022-03-03 · 3d
LVMHFLVMH Moet Hennessy Louis Vuitton Ordinary Shares
2022-02-28 → 2022-03-03 · 3d
MSFTMicrosoft Corporation
2022-02-28 → 2022-03-03 · 3d
MSCIMSCI Inc
2022-02-28 → 2022-03-03 · 3d
NDAQNasdaq, Inc.
2022-02-28 → 2022-03-03 · 3d
NSRGYonsored ADR representing Registered Shares Series B
2022-02-28 → 2022-03-03 · 3d
NKENike, Inc.
2022-02-28 → 2022-03-03 · 3d
NVSNovartis Ag
2022-02-28 → 2022-03-03 · 3d
NVDANVIDIA Corporation
2022-02-28 → 2022-03-03 · 3d
PEPPepsico, Inc.
2022-02-28 → 2022-03-03 · 3d
REGNRegeneron Pharmaceuticals, Inc.
2022-02-28 → 2022-03-03 · 3d
ROPRoper Technologies, Inc.
2022-02-28 → 2022-03-03 · 3d
TGTTarget Corporation
2022-02-28 → 2022-03-03 · 3d
TRNOTerreno Realty Corporation
2022-02-28 → 2022-03-03 · 3d
TJXTJX Companies, Inc.
2022-02-28 → 2022-03-03 · 3d
UNHUnitedHealth group Incorporated Common Stock
2022-02-28 → 2022-03-03 · 3d
VZVerizon Communications Inc.
2022-02-28 → 2022-03-03 · 3d
VVisa Inc.
2022-02-28 → 2022-03-03 · 3d
DISWalt Disney Company
2022-02-28 → 2022-03-03 · 3d
SQBlock, Inc. Class A Common Stock,
2022-02-10 → 2022-03-03 · 21d
—Fontana Calif Univ Sch 3.00% 08/01/38
2022-02-08 → 2022-03-03 · 23d
BRK.BBerkshire Hathaway Inc. New
2022-02-03 → 2022-03-03 · 28d
MSCIMSCI Inc
2022-02-03 → 2022-03-03 · 28d
ACNAccenture plc Class A Ordinary Shares
2022-02-02 → 2022-03-03 · 29d
—Morgan Stanley FR Var 05/04/2027
2022-02-02 → 2022-03-03 · 29d
KMXCarMax Inc
2022-02-01 → 2022-03-03 · 30d
—BLF FedFund TDDXX
2022-01-31 → 2022-02-01 · 1d
COSTCostco Wholesale Corporation
2022-01-31 → 2022-02-01 · 1d
CYRXCryoPort, Inc.
2022-01-31 → 2022-02-01 · 1d
PEPPepsico, Inc.
2022-01-31 → 2022-02-01 · 1d
TRNOTerreno Realty Corporation
2022-01-31 → 2022-02-01 · 1d
BRK.BBerkshire Hathaway Inc. New
2022-01-28 → 2022-02-01 · 4d
BBHVanEck Biotech ETF
2022-01-28 → 2022-02-01 · 4d
AXHEStocks, Bonds, & Mutual Funds DESCRIPTION: sale of 25 units guardant Health Inc common JTiShares MSCI ACWI ex US Healthcare ETF
2022-01-27 → 2022-02-01 · 5d
AXTEStocks, Bonds, & Mutual Funds DESCRIPTION: sale 35 units iShares S&P global Healthcare ETF JTiShares MSCI ACWI ex US Telecommunication Services ETF
2022-01-27 → 2022-02-01 · 5d
NVSNovartis Ag
2022-01-27 → 2022-02-01 · 5d
VZVerizon Communications Inc.
2022-01-27 → 2022-02-01 · 5d
BRK.BBerkshire Hathaway Inc. New
2022-01-20 → 2022-02-01 · 12d
—BLF FedFund TDDXX
2022-01-20 → 2022-02-01 · 12d
—Columbia Tenn Wtrwks Rev 5.00% 12/01/32
2022-01-20 → 2022-02-01 · 12d
PNCPNC Financial Services group, Inc.
2022-01-20 → 2022-02-01 · 12d
—BLF FedFund TDDXX
2022-01-14 → 2022-02-01 · 18d
CYRXCryoPort, Inc.
2022-01-14 → 2022-02-01 · 18d
—Virginia St Pub 3.00% 10/01/38
2022-01-14 → 2022-02-01 · 18d
—BLF FedFund TDDXX
2022-01-13 → 2022-02-01 · 19d
CYRXCryoPort, Inc.
2022-01-13 → 2022-02-01 · 19d
CVSCVS Health Corporation
2022-01-13 → 2022-02-01 · 19d
GHguardant Health, Inc.
2022-01-13 → 2022-02-01 · 19d
PEPPepsico, Inc.
2022-01-13 → 2022-02-01 · 19d
—BLF FedFund TDDXX
2022-01-11 → 2022-02-01 · 21d
SQBlock, Inc. Class A Common Stock,
2022-01-10 → 2022-02-01 · 22d
TRNOTerreno Realty Corporation
2022-01-10 → 2022-02-01 · 22d
TJXTJX Companies, Inc.
2022-01-10 → 2022-02-01 · 22d
—BLF FedFund TDDXX
2022-01-06 → 2022-02-01 · 26d
GHguardant Health, Inc.
2021-12-22 → 2022-01-01 · 10d
IXJStocks, Bonds, & Mutual Funds DESCRIPTION: sale 35 units guardant Health Inc common JTiShares global Healthcare ETF
2021-12-22 → 2022-01-01 · 10d
IYZStocks, Bonds, & Mutual Funds DESCRIPTION: purchase 35 shares iShares S&P global Healthcare JTiShares U.S. Telecommunications ETF
2021-12-22 → 2022-01-01 · 10d
NVSNovartis Ag
2021-12-22 → 2022-01-01 · 10d
BBHVanEck Biotech ETF
2021-12-22 → 2022-01-01 · 10d
VZVerizon Communications Inc.
2021-12-22 → 2022-01-01 · 10d
CVSCVS Health Corporation
2021-12-21 → 2022-01-01 · 11d
FVRRFiverr International Ltd. Ordinary Shares, no par value
2021-12-21 → 2022-01-01 · 11d
AAGIYonsored American Depository Receipt
2021-12-06 → 2022-01-01 · 26d
—BLF FedFund TDDXX
2021-12-06 → 2022-01-01 · 26d
NDAQNasdaq, Inc.
2021-12-06 → 2022-01-01 · 26d
—Pittsburgh Pa Sch 3.00% 09/01/33
2021-12-06 → 2022-01-01 · 26d
—BLF FedFund TDDXX
2021-12-02 → 2022-01-01 · 30d
—BLF FedFund TDDXX
2021-12-01 → 2022-01-01 · 31d
—BLF FedFund TDDXX
2021-11-26 → 2021-12-02 · 6d
NVDANVIDIA Corporation
2021-11-26 → 2021-12-02 · 6d
SQSquare, Inc. Class A
2021-11-26 → 2021-12-02 · 6d
TDOCTeladoc Health, Inc.
2021-11-26 → 2021-12-02 · 6d
TJXTJX Companies, Inc.
2021-11-26 → 2021-12-02 · 6d
—BLF FedFund TDDXX
2021-11-09 → 2021-12-02 · 23d
—BLF FedFund TDDXX
2021-11-02 → 2021-12-02 · 30d
—BLF FedFund TDDXX
2021-11-01 → 2021-12-02 · 31d
DAIUFDaifuku Co Ltd Ordinary Shares
2021-11-01 → 2021-12-02 · 31d
SQSquare, Inc. Class A
2021-11-01 → 2021-12-02 · 31d
VVisa Inc.
2021-11-01 → 2021-12-02 · 31d
BRK.BBerkshire Hathaway Inc. New
2021-10-29 → 2021-10-30 · 1d
—BLF FedFund TDDXX
2021-10-29 → 2021-10-30 · 1d
NTLAIntellia Therapeutics, Inc.
2021-10-29 → 2021-10-30 · 1d
LVMHFLVMH Moet Hennessy Louis Vuitton Ordinary Shares
2021-10-29 → 2021-10-30 · 1d
—BLF FedFund TDDXX
2021-10-05 → 2021-10-30 · 25d
—Salisbury Twp Pa Sch 2.375% 04/01/2025
2021-10-05 → 2021-10-30 · 25d
—BLF FedFund TDDXX
2021-10-04 → 2021-10-30 · 26d
FNVFranco-Nevada Corporation
2021-10-04 → 2021-10-30 · 26d
PIImpinj, Inc.
2021-10-04 → 2021-10-30 · 26d
—BLF FedFund TDDXX
2021-10-01 → 2021-10-30 · 29d
—BLF FedFund TDDXX
2021-09-30 → 2021-10-01 · 1d
—Des Moines Iowa gO Bds 2.00% 06/01/33
2021-09-30 → 2021-10-01 · 1d
—BLF FedFund TDDXX
2021-09-28 → 2021-10-01 · 3d
—AIA group Ltd NPV common
2021-09-27 → 2021-10-01 · 4d
—BLF FedFund TDDXX
2021-09-27 → 2021-10-01 · 4d
—BLF FedFund TDDXX
2021-09-21 → 2021-10-01 · 10d
CYRXCryoPort, Inc.
2021-09-21 → 2021-10-01 · 10d
—BLF FedFund TDDXX
2021-09-20 → 2021-10-01 · 11d
CDNSCadence Design Systems, Inc.
2021-09-20 → 2021-10-01 · 11d
NTLAIntellia Therapeutics, Inc.
2021-09-20 → 2021-10-01 · 11d
VVisa Inc.
2021-09-20 → 2021-10-01 · 11d
—BLF FedFund TDDXX
2021-09-17 → 2021-10-01 · 14d
CGNXCognex Corporation
2021-09-17 → 2021-10-01 · 14d
COSTCostco Wholesale Corporation
2021-09-17 → 2021-10-01 · 14d
ILMNIllumina, Inc.
2021-09-17 → 2021-10-01 · 14d
NVSNovartis Ag
2021-09-17 → 2021-10-01 · 14d
REGNRegeneron Pharmaceuticals, Inc.
2021-09-17 → 2021-10-01 · 14d
SQSquare, Inc. Class A
2021-09-17 → 2021-10-01 · 14d
UNHUnitedHealth group Incorporated Common Stock
2021-09-17 → 2021-10-01 · 14d
—BLF FedFund TDDXX
2021-09-09 → 2021-10-01 · 22d
—BLF FedFund TDDXX
2021-09-03 → 2021-10-01 · 28d
—BLF FedFund TDDXX
2021-09-02 → 2021-10-01 · 29d
FANUFFanuc Limited Ordinary Shares
2021-08-28 → 2021-10-01 · 34d
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