Hypothetical $10,000 invested at their first disclosed trade date. · log scale
Hypothetical backtest based on disclosed trades. Past performance does not predict future results. Not investment advice.
| Ticker | Action | Description | Traded |
|---|---|---|---|
| T | Buy | AT&T Inc. | Jun 29, 2026 |
| KHC | Buy | The Kraft Heinz Company | May 21, 2026 |
| CTVA | Sell | Corteva, Inc. Common Stock | Apr 23, 2026 |
| OTHER | Buy | SJM | Apr 23, 2026 |
| OTHER | Buy | PEP | Apr 23, 2026 |
| WPC | Buy | W. P. Carey Inc. REIT | Jan 12, 2026 |
| SWK | Buy | Stanley Black & Decker Inc | Jan 12, 2026 |
| INTC | Sell | Intel Corp | Dec 12, 2025 |
| VZ | Buy | Verizon Communications Inc | Dec 12, 2025 |
| CAG | Buy | Conagra Brands Inc | Nov 14, 2025 |
Gary C Peters is a United States Senator from MI affiliated with the Democratic Party, serving in the US Senate. Disclosed Capitol tracks 181 disclosed stock trades from Gary C Peters, filed under the STOCK Act. The portfolio compounds at 3.9% annualized — 1.8% below the S&P 500 benchmark over the same period, with a 53% win rate on individual trades. The full trade history, holdings, sector allocation, and risk metrics are below.
Gary C Peters (D-MI) has disclosed 181 trades under the STOCK Act; portfolio CAGR of 3.9% (-1.8% vs. the S&P 500); top tickers traded: MUNI, BOND, N/A.
Full trade list with transaction dates, disclosure dates, tickers, and amount ranges is in the interactive table below.
Most-traded tickers: MUNI, BOND, N/A. Sector allocation and portfolio weighting appear in the Holdings panel.
Annualized return: 3.9% CAGR, -1.8% alpha vs. the S&P 500. Detailed performance charts are in the Performance panel.
Gary C Peters's disclosed stock portfolio is valued at approximately $2.6M across 44 tracked positions. This reflects only publicly disclosed, exchange-traded securities from STOCK Act filings — it excludes real estate, private assets, cash, and liabilities, so it is a partial floor on Gary C Peters's total net worth, not a complete measure of it.