Stocks Most Traded by Congress

The stocks members of Congress trade most, by number of disclosed transactions.

#Ticker Company TradesBuysSellsEst. volume
1 MSFT Microsoft Corporation 334 227 107 $83.8M
2 AAPL Apple Inc. 307 192 115 $17.2M
3 AMZN Amazon.com, Inc. 209 144 65 $11.8M
4 HD The Home Depot, Inc. 148 103 45 $3.5M
5 NVDA NVIDIA Corporation 148 112 36 $18.1M
6 JNJ Johnson & Johnson 141 91 50 $2.9M
7 PG The Procter & Gamble Company 140 106 34 $1.7M
8 DIS The Walt Disney Company 139 76 62 $5.4M
9 INTC Intel Corporation 128 70 58 $2.7M
10 T AT&T Inc. 126 78 47 $2.1M
11 JPM JPMorgan Chase & Co. 123 80 43 $2.8M
12 XOM ExxonMobil Holdings Corporation 117 57 57 $2.9M
13 ACN Accenture plc 112 72 40 $2.4M
14 V Visa Inc. 111 76 35 $2.5M
15 NEE NextEra Energy, Inc. 110 70 40 $2.0M
16 CVX Chevron Corporation 107 50 55 $3.2M
17 UNH UnitedHealth Group Incorporated 106 60 46 $2.3M
18 GOOG Alphabet Inc. 105 74 30 $3.8M
19 PEP PepsiCo, Inc. 103 53 50 $1.7M
20 VZ Verizon Communications Inc. 102 48 54 $2.9M
21 IBM International Business Machines Corporation 101 65 36 $1.3M
22 COST Costco Wholesale Corporation 100 68 32 $1.7M
23 KO The Coca-Cola Company 93 62 31 $1.0M
24 BA The Boeing Company 92 42 50 $2.5M
25 TXN Texas Instruments Incorporated 89 64 25 $2.6M
26 TJX The TJX Companies, Inc. 88 55 33 $1.0M
27 MRK Merck & Co., Inc. 83 45 38 $1.4M
28 MMM 3M Company 80 38 42 $884,763
29 GOOGL Alphabet Inc. 79 45 34 $3.6M
30 PFE Pfizer Inc. 79 35 44 $1.2M
31 FB Meta Platforms, Inc. - Class A 78 45 33 $6.8M
32 UPS United Parcel Service, Inc. 76 40 36 $1.2M
33 GE GE Aerospace 76 30 46 $1.7M
34 TSLA Tesla, Inc. 76 55 21 $5.4M
35 MA Mastercard Incorporated 74 47 27 $1.7M
36 ET Energy Transfer LP Common Units 74 47 26 $8.1M
37 CRM Salesforce, Inc. 73 43 30 $4.3M
38 QCOM QUALCOMM Incorporated 72 39 33 $1.3M
39 WMT Walmart Inc. 71 44 27 $1.1M
40 BABA Alibaba Group Holding Limited American Depositary Shares each representing eight Ordinary share F S: New S O: 150 Main Street Trust > Bank of America 71 45 26 $3.7M
41 LLY Eli Lilly and Company 71 42 29 $1.6M
42 CVS CVS Health Corporation 71 38 32 $1.5M
43 MDT Medtronic plc 70 39 29 $1.4M
44 SLB SLB N.V. 70 39 31 $1.7M
45 FDX FedEx Corporation 69 35 34 $4.0M
46 MCD McDonald's Corporation 68 34 34 $1.8M
47 SBUX Starbucks Corporation 68 39 29 $865,001
48 D Dominion Energy, Inc. 68 51 16 $827,502
49 PYPL PayPal Holdings, Inc. 66 39 27 $3.2M
50 ABT Abbott Laboratories 65 38 26 $895,503
51 CSCO Cisco Systems, Inc. 64 31 33 $1.0M
52 AXP American Express Company 64 36 28 $1.6M
53 F Ford Motor Company 63 32 31 $1.5M
54 NKE NIKE, Inc. 62 36 26 $716,500
55 BAC Bank of America Corporation 61 29 32 $1.5M
56 NGL NGL ENERGY PARTNERS LP Common Units representing Limited Partner Interests F S: New S O: Equitable Advisors Investment Account 61 21 40 $5.1M
57 CMCSA Comcast Corporation 60 33 27 $1.2M
58 UNP Union Pacific Corporation 60 36 24 $998,003
59 AM Antero Midstream Corporation 58 43 15 $8.5M
60 WFC Wells Fargo & Company 57 26 31 $1.0M
61 ABBV AbbVie Inc. 56 30 25 $791,503
62 MO Altria Group, Inc. 56 27 29 $1.2M
63 INTU Intuit Inc. 55 33 22 $1.1M
64 NFLX Netflix, Inc. 55 35 20 $4.7M
65 TMO Thermo Fisher Scientific Inc. 55 36 19 $1.2M
66 HON Honeywell International Inc. 54 31 23 $1.1M
67 NVS Novartis AG Common Stock 54 31 23 $1.1M
68 ADBE Adobe Inc. 54 33 21 $694,899
69 C Citigroup Inc. 54 31 23 $880,000
70 PM Philip Morris International Inc. 54 22 32 $941,004
71 AMD Advanced Micro Devices, Inc. 53 41 11 $718,503
72 ORCL Oracle Corporation 53 32 21 $797,513
73 NWN Northwest Natural Holding Company Common Stock 53 47 6 $723,000
74 LMT Lockheed Martin Corporation 52 37 15 $913,501
75 ECL Ecolab Inc. 52 25 27 $754,215
76 FIS Fidelity National Information Services, Inc. 51 31 20 $665,076
77 CAT Caterpillar Inc. 51 32 17 $913,349
78 BMY Bristol-Myers Squibb Company 50 23 26 $639,504
79 AVGO Broadcom Inc. 49 38 11 $1.6M
80 OKE ONEOK, Inc. 48 35 10 $1.8M
81 TSM Taiwan Semiconductor Manufacturing Company Ltd. F S: New S O: R.W. Allen & Associates, Inc. > RWA&A - Securities 48 28 20 $1.5M
82 GS The Goldman Sachs Group, Inc. 48 40 8 $997,002
83 WMB The Williams Companies, Inc. 48 30 17 $1.9M
84 AMGN Amgen Inc. 47 29 18 $590,000
85 CB Chubb Limited 46 30 15 $1.0M
86 KR The Kroger Co. 46 28 18 $735,000
87 META Meta Platforms, Inc. 45 33 12 $993,000
88 COP ConocoPhillips 45 21 24 $814,500
89 BLK BlackRock, Inc. 43 25 18 $642,501
90 GILD Gilead Sciences, Inc. 43 25 18 $658,000
91 SQ Block, Inc. Class A Common Stock, 43 23 20 $1.5M
92 EPD Enterprise Products Partners L.P. Common Stock 43 35 8 $1.1M
93 ETN Eaton Corporation plc 42 24 18 $668,000
94 LOW Lowe's Companies, Inc. 42 25 17 $406,003
95 PGR The Progressive Corporation 42 32 10 $1.2M
96 BSX Boston Scientific Corporation 41 24 17 $421,238
97 LIN Linde plc 41 22 14 $1.2M
98 CL Colgate-Palmolive Company 41 22 19 $591,501
99 DD DuPont de Nemours, Inc. 41 19 20 $408,501
100 BDX Becton, Dickinson and Company 41 17 24 $415,012

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Source: US House Clerk Periodic Transaction Reports. Volume estimates use disclosed range midpoints. Updated Sep 29, 2026. Not investment advice.