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Markwayne Mullin

Markwayne Mullin

REP
Senate · OK
Data as of 5:04 PM UTC
CAGR
+5.0%
Trades
381
Win Rate
53%
Sharpe
-0.15
Beta
0.46
Max DD
(98.6%)
CAGR
+5.0%
Trades
381
Win Rate
53%
Sharpe
-0.15
Beta
0.46
Max DD
(98.6%)

Markwayne Mullin portfolio vs S&P 500

Hypothetical $10,000 invested at their first disclosed trade date. · log scale

Loading portfolio history...

Hypothetical backtest based on disclosed trades. Past performance does not predict future results. Not investment advice.

TickerActionDescriptionAmountTradedFiledShare
UNHBuyUnitedHealth Group Incorpora$50K - $100KFeb 25, 2026Mar 10, 2026
AZOSellAutoZone, Inc. Common Stock$50K - $100KFeb 25, 2026Mar 10, 2026
INTUSellIntuit Inc.$15K - $50KFeb 25, 2026Mar 10, 2026
VSECBuyVSE Corporation$15K - $50KFeb 4, 2026Mar 2, 2026
MTZSellMasTec, Inc. Common Stock$15K - $50KFeb 4, 2026Mar 2, 2026
MPWRBuyMonolithic Power Systems, In$15K - $50KFeb 4, 2026Mar 2, 2026
MCKBuyMcKesson Corporation Common $15K - $50KFeb 4, 2026Mar 2, 2026
LRNBuyStride, Inc. Common Stock$15K - $50KFeb 4, 2026Mar 2, 2026
IRMSellIron Mountain Incorporated$1K - $15KFeb 4, 2026Mar 2, 2026
GSSellGoldman Sachs Group, Inc.$15K - $50KFeb 4, 2026Mar 2, 2026
100 trades
…

Markwayne Mullin (R-OK) Stock Trades & Portfolio

Markwayne Mullin is a United States Senator from OK affiliated with the Republican Party, serving in the US Senate. Disclosed Capitol tracks 381 disclosed stock trades from Markwayne Mullin, filed under the STOCK Act. The portfolio compounds at 5.0% annualized — 0.6% above the S&P 500 benchmark over the same period, with a 48% win rate on individual trades. The full trade history, holdings, sector allocation, and risk metrics are below.

Markwayne Mullin (R-OK) has disclosed 381 trades under the STOCK Act; portfolio CAGR of 5.0% (+0.6% vs. the S&P 500); top tickers traded: MUNI, ADBE, INTU.

Markwayne Mullin's most recent trades

Full trade list with transaction dates, disclosure dates, tickers, and amount ranges is in the interactive table below.

Top holdings & sectors

Most-traded tickers: MUNI, ADBE, INTU. Sector allocation and portfolio weighting appear in the Holdings panel.

Portfolio performance vs. S&P 500

Annualized return: 5.0% CAGR, +0.6% alpha vs. the S&P 500. Detailed performance charts are in the Performance panel.

Markwayne Mullin's disclosed portfolio value & net worth

Markwayne Mullin's disclosed stock portfolio is valued at approximately $12.1M across 82 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 Markwayne Mullin's total net worth, not a complete measure of it.