Gary J. Palmer

Gary J. Palmer Representative, Alabama

Republican District 6Current Member

Track the congressional stock trading activity of Gary J. Palmer (Republican, Representative – Alabama, current member of Congress). Their disclosed stock portfolio is valued at approximately $6.9M. Under the STOCK Act, members of Congress must publicly disclose all securities transactions within 45 days.

Top holdings in Gary J. Palmer's portfolio include VGIT, OACP, IBD, SISEX, and AVGO. View detailed trading activity, portfolio performance history, sector allocation, and individual stock transactions below.

Portfolio Calculation Disclaimer

These calculations are estimations based on available data recorded from 2020 onwards. We aim to improve accuracy over time but do not guarantee the precision of these figures. Actual portfolio values may differ from our calculations.

Gary J. Palmer

Gary J. Palmer

RepublicanAlabama

Representative (District 6)

Politician Info

Role
Representative
Years in Office
2015 - Present
Age
72 years
Committees
https://clerk.house.gov/members/P000609

Filing Statistics

Avg. Reporting Time
43 days
Avg. Filing Frequency
20 days
Time Since Last Filing
No data

Biography

Gary J. Palmer is a Representative from Alabama.

Portfolio Overview

Summary
Total Value
Monthly Change
-2.7%

Portfolio Performance

28.5%
29 Sept 2025
26 Sept 2026

Unlock Performance History

Create a free account to view detailed historical returns and portfolio growth.

Top Holdings

$6.9M
Portfolio value
VGIT(Vanguard Intermediate-Term Treasury ETF)
8.0%
$555.3K
OACP(OneAscent Core Plus Bond ETF)
4.3%
$300.6K
IBD(Inspire Corporate Bond ETF)
4.3%
$298.5K
SISEX(Shelton International Select Equity Fund - Institutional Class)
4.2%
$289.2K
AVGO(Broadcom Inc.)
4.2%
$288.5K
OTHER
75.0%
$5.2M

Recent Trades

DateTickerAmount
08 Oct 2026+US$8,001
02 Dec 2025−US$8,001
08 Oct 2025+US$32,501
08 Oct 2025+US$175,001
08 Oct 2025+US$32,501
08 Oct 2025+US$8,001
08 Oct 2025+US$75,001
08 Oct 2025+US$75,001
08 Oct 2025+US$8,001
08 Oct 2025+US$32,501

Sector Allocation

Asset Distribution

Financial Services

53.07%

Technology

12.14%

Consumer Cyclical

6.8%

Industrials

5.59%

Healthcare

5.41%

Consumer Defensive

5%

Energy

3.87%

Communication Services

2.08%

Basic Materials

0.72%

Real Estate

0.71%

Uninvested cash

0%
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