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PalanorPalanor

Congressional stock trades · Member

Daniel Meuser

Representative · PA-9 · Republican

80 published transactions from periodic transaction reports since 2020, shown as filed. Amounts are the ranges on the form. Each row links to its filing. Holdings from 7 annual reports are below.

Current committees: House Committee on Financial Services; House Committee on Small Business.

DisclosedTradedDaysOwnerAssetTypeAmount range (as filed)Source
2026-07-022026-06-1517DependentSPCXSpace Exploration Technologies Corp. - Class A Common StockPurchase$15,001 - $50,000Clerk →
2026-07-022026-05-2736SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2026-05-212026-04-2427SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2026-04-212026-03-2527SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2026-04-032026-02-2537SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2026-02-172026-01-3018SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2026-02-172026-01-1434SpouseNVDANVIDIA Corporation - Common StockSale (partial)$1,001 - $15,000Clerk →
2025-08-202025-02-11190 ·>45SpouseNVDANVIDIA Corporation - Common StockSale (partial)$250,001 - $500,000Clerk →
2025-08-202025-02-11190 ·>45SpouseAAPLApple Inc. - Common StockSale$15,001 - $50,000Clerk →
2025-08-202025-02-11190 ·>45SpouseAPTVAptiv PLC Ordinary SharesSale$1,001 - $15,000Clerk →
2025-08-202025-02-11190 ·>45SpouseMDLZMondelez International, Inc. - Class A Common StockSale$1,001 - $15,000Clerk →
2025-08-202025-02-11190 ·>45SpouseQCOMQUALCOMM Incorporated - Common StockSale$15,001 - $50,000Clerk →
2025-08-202025-02-11190 ·>45SpouseAMGNAmgen Inc. - Common StockSale$1,001 - $15,000Clerk →
2025-08-202025-02-11190 ·>45SpouseGOOGLAlphabet Inc. - Class A Common StockSale$50,001 - $100,000Clerk →
2025-08-202025-02-11190 ·>45SpouseVVisa Inc.Sale$15,001 - $50,000Clerk →
2025-08-202025-02-11190 ·>45SpouseMSFTMicrosoft Corporation - Common StockSale$1,001 - $15,000Clerk →
2025-08-132024-10-01316 ·>45SpouseNVDANVIDIA Corporation - Common StockSale (partial)$500,001 - $1,000,000Clerk →
2025-08-132024-08-07371 ·>45SpouseNVDANVIDIA Corporation - Common StockSale (partial)$250,001 - $500,000Clerk →
2024-08-032024-07-2410SpouseUS Treasury Bill 12/05/2024Sale$250,001 - $500,000Clerk →
2024-08-032024-07-1321SpouseUS Treasury Bill 12/05/2024Purchase$250,001 - $500,000Clerk →
2024-05-132024-04-2023SpouseUS Treasury Bill 06/13/2024Purchase$250,001 - $500,000Clerk →
2024-03-212024-02-2327SpouseUS Treasury BillPurchase$250,001 - $500,000Clerk →
2024-03-212024-02-2030DependentNVDANVIDIA Corporation - Common StockSale (partial)$15,001 - $50,000Clerk →
2024-03-212024-02-2030DependentNVDANVIDIA Corporation - Common StockSale (partial)$15,001 - $50,000Clerk →
2024-03-212024-02-2030SpouseNVDANVIDIA Corporation - Common StockSale (partial)$250,001 - $500,000Clerk →
2023-09-142023-08-1431SpouseNVDANVIDIA CorporationSale (partial)$100,001 - $250,000Clerk →
2023-09-142023-08-1431DependentNVDANVIDIA CorporationSale (partial)$15,001 - $50,000Clerk →
2023-09-142023-08-1431DependentNVDANVIDIA CorporationSale (partial)$15,001 - $50,000Clerk →
2023-06-262023-05-3126SpouseNVDANVIDIA CorporationSale (partial)$250,001 - $500,000Clerk →
2023-06-032023-05-0529SpouseNVDANVIDIA CorporationSale (partial)$1,001 - $15,000Clerk →
2023-04-252023-03-2729SpouseRoche Holdings AG Basel American Depositary SharesSale (partial)$1,001 - $15,000Clerk →
2023-03-302023-02-2830SpouseRoche Holdings AG Basel American Depositary SharesSale$1,001 - $15,000Clerk →
2022-02-162022-01-2126SpouseNVDANVIDIA CorporationSale (partial)$100,001 - $250,000Clerk →
2022-02-162022-01-2126DependentNVDANVIDIA CorporationSale (partial)$1,001 - $15,000Clerk →
2022-02-162022-01-2126DependentNVDANVIDIA CorporationSale (partial)$1,001 - $15,000Clerk →
2021-08-112020-04-02496 ·>45DependentRoche Holdings Ag Basel Ordinary SharesSale (partial)$1,001 - $15,000Clerk →
2021-08-112020-04-02496 ·>45DependentBPBP p.l.c.Sale$1,001 - $15,000Clerk →
2021-08-112020-04-02496 ·>45DependentKHCThe Kraft Heinz CompanySale$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentMSFTMicrosoft CorporationSale (partial)$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentNUENucor CorporationSale$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentCBChubb LimitedSale$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentXOMExxon Mobil CorporationSale$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentNSCNorfolk Southern CorporationSale (partial)$1,001 - $15,000Clerk →
2021-08-112020-03-31498 ·>45DependentBPBP p.l.c.Sale$1,001 - $15,000Clerk →
2021-08-112020-03-30499 ·>45DependentVVisa Inc.Purchase$1,001 - $15,000Clerk →
2021-08-112020-03-30499 ·>45DependentDISWalt Disney CompanyPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-30499 ·>45DependentGOOGAlphabet Inc. - Class C Capital StockPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-30499 ·>45DependentMSFTMicrosoft CorporationPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45SpouseGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentVVisa Inc.Purchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentDISWalt Disney CompanyPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentMSFTMicrosoft CorporationPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45SpouseVVisa Inc.Purchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentMSFTMicrosoft CorporationPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentDISWalt Disney CompanyPurchase$15,001 - $50,000Clerk →
2021-08-112020-03-26503 ·>45DependentGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentVVisa Inc.Purchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentMSFTMicrosoft CorporationPurchase$15,001 - $50,000Clerk →
2021-08-112020-03-26503 ·>45DependentGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45SpouseBPBP p.l.c.Sale$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentDISWalt Disney CompanyPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentVVisa Inc.Purchase$15,001 - $50,000Clerk →
2021-08-112020-03-26503 ·>45DependentDISWalt Disney CompanyPurchase$15,001 - $50,000Clerk →
2021-08-112020-03-26503 ·>45DependentGOOGLAlphabet Inc. - Class APurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentMSFTMicrosoft CorporationPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentVVisa Inc.Purchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentVVisa Inc.Purchase$15,001 - $50,000Clerk →
2021-08-112020-03-26503 ·>45SpouseMSFTMicrosoft CorporationPurchase$1,001 - $15,000Clerk →
2021-08-112020-03-26503 ·>45DependentMSFTMicrosoft CorporationPurchase$15,001 - $50,000Clerk →
2020-08-132019-12-11246 ·>45DependentABBVAbbVie Inc.Sale$1,001 - $15,000Clerk →
2020-08-132019-12-11246 ·>45DependentETFMG Prime Cyber Security ETFSale (partial)$1,001 - $15,000Clerk →
2020-08-132019-12-11246 ·>45DependentRoche Holdings Ag Basel American Depositary SharesSale (partial)$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentADPAutomatic Data Processing, Inc.Sale$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentPGProcter & gamble CompanySale$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentGPCGenuine Parts CompanySale$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentQCOMQUALCOMM IncorporatedSale (partial)$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentBRK.BBerkshire Hathaway Inc. NewSale (partial)$1,001 - $15,000Clerk →
2020-08-132019-06-06434 ·>45DependentKHCThe Kraft Heinz CompanySale$1,001 - $15,000Clerk →

How these are read and published: methodology.

Holdings · annual financial disclosure

Assets listed on the 2021 report.

244 assets with a value on the report filed 2022-07-14, 133 of them shares or options of a listed company. Values are the ranges on the form. Assets are held by the member, a spouse or a dependent child, as reported. Open the report.

AssetTypeOwnerValue (as filed)
Alta Mar Oeve LLCOtherSpouse$1,001 - $15,000
Anadarko E&P Onshore LLCOtherSpouse$1,001 - $15,000
Chesapeake Operating LLCOtherSpouse$1,001 - $15,000
Eagle Resources LLCOtherSpouse$1,001 - $15,000
EQNREquinor ASAStockSpouse$1,001 - $15,000
Fairland Resources LLCOtherSpouse$100,001 - $250,000
Hanesbrands Inc.StockSpouse$15,001 - $50,000
Hillshire Brands CompanyStockSpouse$15,001 - $50,000
M&T Bank AccountsOtherSpouse$50,001 - $100,000
M&T Bank AccountsOtherJoint$1,000,001 - $5,000,000
M&T Bank AccountsOtherDependent$100,001 - $250,000
M&T Bank AccountsOtherMember$50,001 - $100,000
AB Concentrated GrowthFundJoint$50,001 - $100,000
AMG River Road Small Cap ValueFundJoint$15,001 - $50,000
Artisan Small Cap FundFundJoint$15,001 - $50,000
Baillie Gifford Emerging Markets Equity FundFundJoint$50,001 - $100,000
Blackrock Event Driven Equity FundFundJoint$15,001 - $50,000
Columbia Overseas ValueFundJoint$50,001 - $100,000
Harbor Large Cap Value FundFundJoint$100,001 - $250,000
IShares Core MSCI EAFEFundJoint$50,001 - $100,000
IShares Core MSCI Emerging MarketsFundJoint$15,001 - $50,000
IShares Edge MSCI USA Quality FactorFundJoint$50,001 - $100,000
IShares MSCI EAFE ValueFundJoint$15,001 - $50,000
IShares MSCI USA Minimum VolatilityFundJoint$15,001 - $50,000
IShares MSCI USA Value FactorFundJoint$15,001 - $50,000
IShares S&P Small Cap 600 GrowthFundJoint$15,001 - $50,000
IShares S&P Small Cap 600 ValueFundJoint$15,001 - $50,000
LSV Value Equity Fund InstitutionalFundJoint$15,001 - $50,000
Nuveen Short Duration High Yield BondFundJoint$15,001 - $50,000
T Rowe Price Institutional Large Cap GrowthFundJoint$50,001 - $100,000
T Rowe Price Tax Free High Yield FundFundJoint$15,001 - $50,000
T Rowe Price Tax Free Income FundFundJoint$100,001 - $250,000
WCM Focused International GrowthFundJoint$15,001 - $50,000
Wilmington Global Alpha Equities FundFundJoint$50,001 - $100,000
Wilmington International FundFundJoint$100,001 - $250,000
Wilmington Large Cap Strategy FundFundJoint$100,001 - $250,000
Wilmington Municipal Bond FundFundJoint$250,001 - $500,000
Wilmington Real Asset FundFundJoint$50,001 - $100,000
Wilmington US Govt Money Market SelectOtherJointNone
American Century Equity Growth FundFundMember$250,001 - $500,000
Vanguard 500 Index FundFundMember$100,001 - $250,000
Pride Mobility Cash AccountOtherMember$100,001 - $250,000
Pride Mobility Employer StockOtherMember$250,001 - $500,000
Pride Mobility Products CoOtherMember$5,000,001 - $25,000,000
Pride Mobility Products CoOtherSpouse$1,000,001 - $5,000,000
Pride Mobility Products CoOtherDependent$1,000,001 - $5,000,000
Pride Mobility Products CoOtherDependent$1,000,001 - $5,000,000
Rental PropertyOtherJoint$500,001 - $1,000,000
GOOGLAlphabet Inc. - Class AStockSpouse$15,001 - $50,000
AMGNAmgen Inc.StockSpouse$1,001 - $15,000
AAPLApple Inc.StockSpouse$15,001 - $50,000
APTVAptiv PLC Ordinary SharesStockSpouse$1,001 - $15,000
Invacare CorporationStockSpouse$1,001 - $15,000
IShares S&P National Muni Bond FundFundSpouse$1,001 - $15,000
MSFTMicrosoft CorporationStockSpouse$1,001 - $15,000
MDLZMondelez International, Inc. - Class AStockSpouse$1,001 - $15,000
NVDANVIDIA CorporationStockSpouse$1,000,001 - $5,000,000
QCOMQUALCOMM IncorporatedStockSpouse$15,001 - $50,000
Roche Holdings AG Basel American Depositary SharesStockSpouse$1,001 - $15,000
Vanguard Mid CapFundSpouse$15,001 - $50,000
Vanguard Russell 1000 GrowthFundSpouse$15,001 - $50,000
Vanguard Russell 1000 ValueFundSpouse$15,001 - $50,000
Vanguard S&P 500FundSpouse$1,001 - $15,000
Vanguard Small CapFundSpouse$15,001 - $50,000
Vanguard World Ex-USFundSpouse$15,001 - $50,000
VVisa Inc.StockSpouse$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$1,001 - $15,000
ABBVAbbVie Inc.StockDependent$1,001 - $15,000
GOOGLAlphabet Inc. - Class AStockDependent$15,001 - $50,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
EMREmerson Electric CompanyStockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$1,001 - $15,000
XOMExxon Mobil CorporationStockDependent$1,001 - $15,000
FNBF.N.B. CorporationStockDependent$15,001 - $50,000
GISGeneral Mills, Inc.StockDependent$1,001 - $15,000
GPCGenuine Parts CompanyStockDependent$1,001 - $15,000
HONHoneywell International Inc.StockDependent$1,001 - $15,000
JPMJP Morgan Chase & Co.StockDependent$15,001 - $50,000
KMBKimberly-Clark CorporationStockDependent$1,001 - $15,000
Leggett & Platt, IncorporatedStockDependent$1,001 - $15,000
LMTLockheed Martin CorporationStockDependent$1,001 - $15,000
MCDMcDonald's CorporationStockDependent$1,001 - $15,000
MRKMerck & Company, Inc. Common StockStockDependent$1,001 - $15,000
METAMeta Platforms, Inc. - Class AStockDependent$15,001 - $50,000
MSFTMicrosoft CorporationStockDependent$15,001 - $50,000
MDLZMondelez International, Inc. - Class AStockDependent$1,001 - $15,000
NKENike, Inc.StockDependent$1,001 - $15,000
NSCNorfolk Southern CorporationStockDependent$1,001 - $15,000
NUENucor CorporationStockDependent$1,001 - $15,000
NVDANVIDIA CorporationStockDependent$100,001 - $250,000
PFEPfizer, Inc.StockDependent$1,001 - $15,000
PNCPNC Financial Services Group, Inc.StockDependent$1,001 - $15,000
PGProcter & Gamble CompanyStockDependent$1,001 - $15,000
QCOMQUALCOMM IncorporatedStockDependent$15,001 - $50,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountOtherDependent$1,001 - $15,000
Schwab US Mid CapFundDependent$1,001 - $15,000
VVisa Inc.StockDependent$1,001 - $15,000
WPCW.P. Carey Inc. REITStockDependent$1,001 - $15,000
DISWalt Disney CompanyStockDependent$1,001 - $15,000
WMWaste Management, Inc.StockDependent$1,001 - $15,000
WFCWells Fargo & CompanyStockDependent$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$1,001 - $15,000
GOOGLAlphabet Inc. - Class AStockDependent$15,001 - $50,000
AALAmerican Airlines Group, Inc.StockDependent$1,001 - $15,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
AAPLApple Inc.StockDependent$15,001 - $50,000
APTVAptiv PLC Ordinary SharesStockDependent$1,001 - $15,000
BPBP p.l.c.StockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$1,001 - $15,000
IShares S&P National Muni Bond FundFundDependent$15,001 - $50,000
MCDMcDonald's CorporationStockDependent$1,001 - $15,000
MDTMedtronic plc. Ordinary SharesStockDependent$1,001 - $15,000
MSFTMicrosoft CorporationStockDependent$15,001 - $50,000
PFEPfizer, Inc.StockDependent$1,001 - $15,000
PNCPNC Financial Services Group, Inc.StockDependent$1,001 - $15,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountOtherDependent$100,001 - $250,000
Schwab US Mid CapFundDependent$15,001 - $50,000
Vanguard FTSE World Ex-USFundDependent$15,001 - $50,000
Vanguard Mid CapFundDependent$15,001 - $50,000
Vanguard Russell 1000 GrowthFundDependent$1,001 - $15,000
Vanguard Russell 1000 ValueFundDependent$15,001 - $50,000
Vanguard S&P 500FundDependent$1,001 - $15,000
Vanguard Small CapFundDependent$15,001 - $50,000
VVisa Inc.StockDependent$1,001 - $15,000
DISWalt Disney CompanyStockDependent$15,001 - $50,000
WMWaste Management, Inc.StockDependent$1,001 - $15,000
WFCWells Fargo & CompanyStockDependent$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$15,001 - $50,000
GOOGLAlphabet Inc. - Class AStockDependent$15,001 - $50,000
AALAmerican Airlines Group, Inc.StockDependent$1,001 - $15,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
AAPLApple Inc.StockDependent$50,001 - $100,000
APTVAptiv PLC Ordinary SharesStockDependent$15,001 - $50,000
BPBP p.l.c.StockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$15,001 - $50,000
INTCIntel CorporationStockDependent$1,001 - $15,000
IShares S&P National Muni Bond FundFundDependent$50,001 - $100,000
MCDMcDonald's CorporationStockDependent$15,001 - $50,000
MDTMedtronic plc. Ordinary SharesStockDependent$1,001 - $15,000
MSFTMicrosoft CorporationStockDependent$50,001 - $100,000
PFEPfizer, Inc.StockDependent$15,001 - $50,000
PNCPNC Financial Services Group, Inc.StockDependent$15,001 - $50,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountsOtherDependent$100,001 - $250,000
Schwab US Mid CapFundDependent$15,001 - $50,000
Vanguard FTSE World Ex-USFundDependent$50,001 - $100,000
Vanguard Mid CapFundDependent$50,001 - $100,000
Vanguard Russell 1000 GrowthFundDependent$15,001 - $50,000
Vanguard Russell 1000 ValueFundDependent$50,001 - $100,000
Vanguard S&P 500FundDependent$1,001 - $15,000
Vanguard Small CapFundDependent$15,001 - $50,000
VVisa Inc.StockDependent$15,001 - $50,000
DISWalt Disney CompanyStockDependent$15,001 - $50,000
WMWaste Management, Inc.StockDependent$15,001 - $50,000
WFCWells Fargo & CompanyStockDependent$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$1,001 - $15,000
GOOGLAlphabet Inc. - Class AStockDependent$15,001 - $50,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
AAPLApple Inc.StockDependent$15,001 - $50,000
BRK.ABerkshire Hathaway Inc.StockDependent$15,001 - $50,000
EMREmerson Electric CompanyStockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$1,001 - $15,000
FNBF.N.B. CorporationStockDependent$15,001 - $50,000
GISGeneral Mills, Inc.StockDependent$1,001 - $15,000
JPMJP Morgan Chase & Co.StockDependent$1,001 - $15,000
KMBKimberly-Clark CorporationStockDependent$1,001 - $15,000
MCDMcDonald's CorporationStockDependent$15,001 - $50,000
MRKMerck & Company, Inc. Common StockStockDependent$1,001 - $15,000
METAMeta Platforms, Inc. - Class AStockDependent$15,001 - $50,000
MSFTMicrosoft CorporationStockDependent$15,001 - $50,000
MDLZMondelez International, Inc. - Class AStockDependent$1,001 - $15,000
NKENike, Inc.StockDependent$50,001 - $100,000
NSCNorfolk Southern CorporationStockDependent$15,001 - $50,000
NVDANVIDIA CorporationStockDependent$100,001 - $250,000
PFEPfizer, Inc.StockDependent$1,001 - $15,000
PNCPNC Financial Services Group, Inc.StockDependent$15,001 - $50,000
QCOMQUALCOMM IncorporatedStockDependent$15,001 - $50,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountOtherDependent$1,001 - $15,000
Schwab US Mid CapFundDependent$1,001 - $15,000
VVisa Inc.StockDependent$1,001 - $15,000
WPCW.P. Carey Inc. REITStockDependent$1,001 - $15,000
WFCWells Fargo & CompanyStockDependent$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$1,001 - $15,000
GOOGLAlphabet Inc. - Class AStockDependent$15,001 - $50,000
AALAmerican Airlines Group, Inc.StockDependent$1,001 - $15,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
AAPLApple Inc.StockDependent$15,001 - $50,000
APTVAptiv PLC Ordinary SharesStockDependent$1,001 - $15,000
BPBP p.l.c.StockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$1,001 - $15,000
IShares S&P National Muni Bond FundFundDependent$15,001 - $50,000
MCDMcDonald's CorporationStockDependent$1,001 - $15,000
MDTMedtronic plc. Ordinary SharesStockDependent$1,001 - $15,000
MSFTMicrosoft CorporationStockDependent$15,001 - $50,000
PFEPfizer, Inc.StockDependent$1,001 - $15,000
PNCPNC Financial Services Group, Inc.StockDependent$1,001 - $15,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountOtherDependent$250,001 - $500,000
Schwab US Mid CapFundDependent$15,001 - $50,000
Vanguard FTSE World Ex-USFundDependent$15,001 - $50,000
Vanguard Mid CapFundDependent$15,001 - $50,000
Vanguard Russell 1000 GrowthFundDependent$1,001 - $15,000
Vanguard Russell 1000 ValueFundDependent$15,001 - $50,000
Vanguard S&P 500FundDependent$1,001 - $15,000
Vanguard Small CapFundDependent$15,001 - $50,000
VVisa Inc.StockDependent$1,001 - $15,000
DISWalt Disney CompanyStockDependent$15,001 - $50,000
WMWaste Management, Inc.StockDependent$1,001 - $15,000
WFCWells Fargo & CompanyStockDependent$1,001 - $15,000
ABTAbbott LaboratoriesStockDependent$15,001 - $50,000
GOOGLAlphabet Inc. - Class AStockDependent$50,001 - $100,000
AALAmerican Airlines Group, Inc.StockDependent$1,001 - $15,000
AMGNAmgen Inc.StockDependent$1,001 - $15,000
AAPLApple Inc.StockDependent$50,001 - $100,000
APTVAptiv PLC Ordinary SharesStockDependent$15,001 - $50,000
BPBP p.l.c.StockDependent$1,001 - $15,000
ETFMG Prime Cyber Security ETFStockDependent$15,001 - $50,000
GEGeneral Electric CompanyStockDependent$1,001 - $15,000
INTCIntel CorporationStockDependent$1,001 - $15,000
IShares S&P National Muni Bond FundFundDependent$50,001 - $100,000
MCDMcDonald's CorporationStockDependent$15,001 - $50,000
MDTMedtronic plc. Ordinary SharesStockDependent$1,001 - $15,000
MSFTMicrosoft CorporationStockDependent$50,001 - $100,000
PFEPfizer, Inc.StockDependent$15,001 - $50,000
PNCPNC Financial Services Group, Inc.StockDependent$15,001 - $50,000
Roche Holdings AG Basel American Depositary SharesStockDependent$1,001 - $15,000
Schwab Money Market AccountOtherDependent$100,001 - $250,000
Schwab US Mid CapFundDependent$15,001 - $50,000
Vanguard FTSE World Ex-USFundDependent$50,001 - $100,000
Vanguard Mid CapFundDependent$50,001 - $100,000
Vanguard Russell 1000 GrowthFundDependent$15,001 - $50,000
Vanguard Russell 1000 ValueFundDependent$50,001 - $100,000
Vanguard S&P 500FundDependent$1,001 - $15,000
Vanguard Small CapFundDependent$15,001 - $50,000
VVisa Inc.StockDependent$15,001 - $50,000
DISWalt Disney CompanyStockDependent$15,001 - $50,000
WMWaste Management, Inc.StockDependent$15,001 - $50,000
Wells Financial Corp.StockDependent$1,001 - $15,000
APTVAptiv PLC Ordinary SharesStockJoint$1,001 - $15,000
MSFTMicrosoft CorporationStockJoint$1,001 - $15,000
Schwab Money Market AccountOtherJoint$1,001 - $15,000

How reports are read: holdings methodology.