Walter J Clayton

Walter J Clayton

EXEC Director · Office of Director of National Intelligence

0trades
$85.8Mest. assets · Nominee 278 (06/17/2026)

No published trades on file.

Asset holdings

Nominee 278 (06/17/2026) · filed Jun 17, 2026
Account or sectionPositionsEst. value
Other assets 435 $71M
Employment assets 39 $11M
Spouse's assets 14 $3.8M

All positions

488 positions
AssetAccount OwnerValueIncome
Goldman Sachs Financial Square Treasury Instruments Fund Select Class Shares GSIXX Other assets $5M – $25M $100K – $1M
GS Financial Square Treasury Investment Fund Employment assets Self $1M – $5M
Vanguard S&P 500 ETF Employment assets Self $1M – $5M
Apollo Global Management Inc. (New) Common Stock APO Employment assets Self $1M – $5M Dividends · $15K – $50K
Vanguard/Wellington Fund, Inc Admiral Shares VWENX Other assets $1M – $5M $100K – $1M
Vanguard PRIMECAP Fund Admiral Shares VPMAX Other assets $1M – $5M $50K – $100K
VanguardGlobal Wellington Fund Admiral Shares VGWAX Other assets $1M – $5M $15K – $50K
Vanguard LifeStrategy Moderate Growth Fund Investor Shares VSMGX Other assets $1M – $5M $2.5K – $5K
Apollo Global Management Inc. (New) Common Stock APO Other assets $1M – $5M Dividends · $15K – $50K
Vanguard Explorer Fund Admiral Shares VEXRX Other assets $1M – $5M $5K – $15K
Vanguard Municipal Money Market Fund Investor Shares VMSXX Other assets $1M – $5M $15K – $50K
Vanguard Selected Value Fund Investor Shares VASVX Other assets $1M – $5M $5K – $15K
Vanguard Federal Money Market Fund Investor Shares VMFXX Other assets $1M – $5M $50K – $100K
Vanguard 500 Index Fund Admiral Shares VFIAX Other assets $1M – $5M $50K – $100K
Vanguard Mid-Cap Value Index Fund ETF Class Shares VOE Other assets $1M – $5M $15K – $50K
Vanguard Total Stock Market Index Fund ETF Class Shares VTI Other assets $1M – $5M $50K – $100K
Vanguard Primecap Fund Spouse's assets Spouse Over $1M
Vanguard Federal Money Market Fund Investor Shares VMFXX Other assets Over $1M $50K – $100K
Fidelity Contrafund Employment assets Self $500K – $1M
Vanguard Federal Money Market Fund Investor Shares VMFXX Spouse's assets Spouse $500K – $1M
Vanguard 500 Index Spouse's assets Spouse $500K – $1M
Vanguard Windsor Fund Spouse's assets Spouse $500K – $1M
Vanguard Mid-Cap Growth Fund VMGRX Other assets $500K – $1M $5K – $15K
VanguardTax-Managed Small-Cap FundAdmiral Shares VTMSX Other assets $500K – $1M $2.5K – $5K
VanguardTax-Managed Small-Cap FundAdmiral Shares VTMSX Other assets $500K – $1M $5K – $15K
Vanguard FTSE All-World ex US Index Fund Admiral Class Shares VFWAX Other assets $500K – $1M $5K – $15K
Vanguard Target Retirement 2020 Fund Investor Class Shares VTWNX Other assets $500K – $1M $2.5K – $5K
Vanguard Target Retirement 2035 Fund Investor Class Shares VTTHX Other assets $500K – $1M $2.5K – $5K
American Express Co. AXP Other assets $500K – $1M Dividends · $5K – $15K
Vanguard Value Index Fund Admiral Shares VVIAX Other assets $500K – $1M $5K – $15K
Fireblocks Inc. Common Stock Other assets $500K – $1M
Vanguard Federal Money Market Fund Investor Shares VMFXX Other assets $500K – $1M $15K – $50K
Fidelity 500 Index Employment assets Self $250K – $500K
Apollo Co-Investors X(A), L.P., Limited Partnership Interest Employment assets Self $250K – $500K Capital Gains · $5K – $15K
U.S. bank Account 1 Other assets $250K – $500K
Janus Henderson Forty Fund Class T Shares JACTX Other assets $250K – $500K $15K – $50K
Janus Henderson Research Fund Class T Shares JAMRX Other assets $250K – $500K $5K – $15K
Vanguard LifeStrategy Moderate Growth Fund Investor Shares VSMGX Other assets $250K – $500K $5K – $15K
Vanguard Municipal Money Market Fund Investor Shares VMSXX Other assets $250K – $500K $5K – $15K
Vanguard FTSE All-World ex-US Small-Cap Index Fund Admiral Shares VFSAX Other assets $250K – $500K $5K – $15K
VanguardEmerging Markets Select Stock Fund Investor Shares VMMSX Other assets $250K – $500K $2.5K – $5K
Alphabet INC. CMN Class A Other assets $250K – $500K Capital Gains Dividends · $201 – $1K
Nvidia Corporation CMN Other assets $250K – $500K
GrowthCurve Capital Partners I LP Other assets $250K – $500K LP Distributions · $5K
Vanguard European Stock Index Fund Admiral Shares VEUSX Other assets $250K – $500K $5K – $15K
Vanguard Target Retirement 2025 Fund Investor Class Shares VTTVX Other assets $250K – $500K $5K – $15K
One River Asset Management Other assets $250K – $500K Distributions · $17K
CFGI LLC, vested LLC units (Accounting and financial reporting services) Employment assets Self $100K – $250K
Vanguard Federal Money Market Fund Investor Shares VMFXX Spouse's assets Spouse $100K – $250K
Vanguard Windsor II Spouse's assets Spouse $100K – $250K
Janus Henderson Global Research Fund Class T Shares JAWWX Other assets $100K – $250K $1K – $2.5K
SPDR EURO Stoxx 50 ETF FEZ Other assets $100K – $250K $1K – $2.5K
SPDR S&P 500 ETF Trust SPY Other assets $100K – $250K $2.5K – $5K
Vanguard Federal Money Market Fund Investor Shares VMFXX Other assets $100K – $250K $2.5K – $5K
Vanguard Federal Money Market Fund Investor Shares VMFXX Other assets $100K – $250K $2.5K – $5K
AMAZON.COM Inc CMN Other assets $100K – $250K
Apple INC. CMN Other assets $100K – $250K Dividends · $201 – $1K
Broadcom INC. CMN Other assets $100K – $250K Dividends · $201 – $1K
Microsoft Corporation CMN Other assets $100K – $250K Dividends · $1K – $2.5K
Vanguard Target Retirement Income Fund Investor Class Shares VTINX Other assets $100K – $250K $2.5K – $5K
Vanguard Total Stock Market Index Fund Investor Class Shares VTSMX Other assets $100K – $250K $5K – $15K
Vanguard Treasury Money Market Fund Investor Shares VUSXX Other assets $100K – $250K $201 – $1K
Vanguard Intermediate-Term Tax-Exempt Fund Admiral Shares VWIUX Other assets $100K – $250K $2.5K – $5K
VanguardPacific Stock Index Fund Admiral Shares VPADX Other assets $100K – $250K $2.5K – $5K
Fidelity Freedom 2045 Employment assets Self $50K – $100K
Fidelity Freedom 2040 Employment assets Self $50K – $100K
Fidelity Freedom 2035 Employment assets Self $50K – $100K
Vanguard European Stock Index Spouse's assets Spouse $50K – $100K
Vanguard International Value Spouse's assets Spouse $50K – $100K
iShares MSCI Eurozone ETF EZU Other assets $50K – $100K $201 – $1K
WisdomTree Europe Hedged Equity Fund HEDJ Other assets $50K – $100K $201 – $1K
Berkshire Hathaway INC. Class B Other assets $50K – $100K
Meta Platforms Inc-class A CMN Class A Other assets $50K – $100K Dividends · $201 – $1K
Tesla, INC. CMN Other assets $50K – $100K
Vanguard Intermediate-Term Bond Index Fund Admiral Shares VBILX Other assets $50K – $100K $1K – $2.5K
Vanguard Selected Value Fund Investor Shares VASVX Other assets $50K – $100K $201 – $1K
Vanguard Total Stock Market Index Fund Institutional Class Shares VITSX Other assets $50K – $100K $201 – $1K
VanguardTax-Managed Capital Appreciation Fund Admiral Shares VTCLX Other assets $50K – $100K $1K – $2.5K
Fidelity Freedom 2030 Employment assets Self $15K – $50K
Fidelity Diversified International Employment assets Self $15K – $50K
Vanguard Cash Reserves Federal Money Market Spouse's assets Spouse $15K – $50K
T Rowe Price International Discovery Fund Class I Shares TIDDX Other assets $15K – $50K $201 – $1K
Xtrackers MSCI EAFE Hedged Equity ETF DBEF Other assets $15K – $50K
Vanguard Treasury Money Market Fund Investor Shares VUSXX Other assets $15K – $50K
Abbvie Inc CMN Other assets $15K – $50K Dividends · $201 – $1K
Accenture PLC CMN Class A Other assets $15K – $50K
Bank Of America Corp CMN Other assets $15K – $50K Dividends · $201 – $1K
Costco Wholesale Corporation CMN Other assets $15K – $50K Dividends · $201 – $1K
Eli Lilly & Co CMN Other assets $15K – $50K Dividends · $201 – $1K
Exxon Mobil Corporation CMN Other assets $15K – $50K Dividends Capital Gains · $201 – $1K
Intuitive Surgical, INC. CMN Other assets $15K – $50K
Johnson & Johnson CMN Other assets $15K – $50K Dividends · $201 – $1K
Jpmorgan Chase & Co CMN Other assets $15K – $50K Dividends · $201 – $1K
Mastercard Incorporated CMN Class A Other assets $15K – $50K
Merck & CO., INC. CMN Other assets $15K – $50K Dividends · $201 – $1K
Netflix, INC. CMN Other assets $15K – $50K
Oracle Corporation CMN Other assets $15K – $50K
Procter & Gamble Company (the) CMN Other assets $15K – $50K Dividends · $201 – $1K
Salesforce Inc CMN Other assets $15K – $50K
Servicenow Inc CMN Other assets $15K – $50K
The Home Depot, INC. CMN Other assets $15K – $50K Dividends · $201 – $1K
Unitedhealth Group Incorporated CMN Other assets $15K – $50K Dividends · $201 – $1K
Visa INC. CMN Class A Other assets $15K – $50K Dividends · $201 – $1K
Walmart Inc CMN Other assets $15K – $50K
Wells Fargo & Company CMN Other assets $15K – $50K Dividends · $201 – $1K
Vanguard Treasury Money Market Fund Investor Shares VUSXX Other assets $15K – $50K $201 – $1K
Fidelity International Index Employment assets Self $1K – $15K
Fidelity US Bond Index Employment assets Self $1K – $15K
US brokerage account (cash) Other assets $1K – $15K
3M Company CMN Other assets $1K – $15K Dividends
Abbott Laboratories CMN Other assets $1K – $15K Dividends · $201 – $1K
Adobe Inc CMN Other assets $1K – $15K
Advanced Micro Devices, INC. CMN Other assets $1K – $15K
Aes CORP. CMN Other assets $1K – $15K
Aflac Incorporated CMN Other assets $1K – $15K
Agilent Technologies, INC. CMN Other assets $1K – $15K
Air Products & Chemicals Inc CMN Other assets $1K – $15K
Airbnb, INC. CMN Class A Other assets $1K – $15K
Albemarle Corp CMN Other assets $1K – $15K
Alexandria Real Estate Equities, INC. Other assets $1K – $15K
Allstate Corporation Common Stock Other assets $1K – $15K
Altria Group, INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Ameren Corporation CMN Other assets $1K – $15K
American Electric Power Inc CMN Other assets $1K – $15K
American Intl Group, INC. CMN Other assets $1K – $15K
American Tower Corporation CMN Other assets $1K – $15K
American Water Works Co, INC. CMN Other assets $1K – $15K
Ameriprise Financial, INC. CMN Other assets $1K – $15K
Amgen INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Amphenol Corp CL-A (new) CMN Class A Other assets $1K – $15K
Analog Devices, INC. CMN Other assets $1K – $15K
Ansys, INC. CMN Other assets $1K – $15K
Aon Public Limited Company CMN Other assets $1K – $15K
Apa Corp CMN Other assets $1K – $15K
Applied Materials Inc CMN Other assets $1K – $15K
Arista Networks, INC. CMN Other assets $1K – $15K
Arthur J Gallagher & Co CMN Other assets $1K – $15K
AT&T INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Atmus Filtration Technologies INC. CMN Other assets $1K – $15K
Autodesk, INC. CMN Other assets $1K – $15K
Automatic Data Processing Inc CMN Other assets $1K – $15K
Autozone, INC. CMN Other assets $1K – $15K
Avalonbay Communities Inc CMN Other assets $1K – $15K
Axon Enterprise Inc CMN Other assets $1K – $15K
Baker Hughes Co CMN Other assets $1K – $15K
Ball Corporation CMN Other assets $1K – $15K
Becton, Dickinson And Company CMN Other assets $1K – $15K
Biogen INC. CMN Other assets $1K – $15K
Blackrock Funding, INC. CMN Other assets $1K – $15K
Blackstone Group INC/THE CMN Other assets $1K – $15K
Boeing Company CMN Other assets $1K – $15K
Booking Holdings INC. CMN Other assets $1K – $15K
Boston Scientific CORP. Common Stock Other assets $1K – $15K
Bristol-myers Squibb Company CMN Other assets $1K – $15K Dividends · $201 – $1K
Brown Forman Corp CL B CMN Class B Other assets $1K – $15K
Bunge Global SA CMN Other assets $1K – $15K
C.H. Robinson Worldwide, INC. CMN Other assets $1K – $15K
Cadence Design Systems Inc CMN Other assets $1K – $15K
Camden Property Trust CMN Other assets $1K – $15K
Capital One Financial Corp CMN Other assets $1K – $15K
Carmax, INC. CMN Other assets $1K – $15K
Carrier Global Corporation CMN Other assets $1K – $15K
Caterpillar Inc (delaware) CMN Other assets $1K – $15K
Cbre Group, INC. CMN Class A Other assets $1K – $15K
Celanese Corporation Common Stock Other assets $1K – $15K
Cencora Inc CMN Other assets $1K – $15K
Centene Corporation CMN Other assets $1K – $15K
Charles Schwab Corporation CMN Other assets $1K – $15K
Charter Communications, INC. CMN Other assets $1K – $15K
Chevron Corporation CMN Other assets $1K – $15K Dividends · $201 – $1K
Chipotle Mexican Grill, INC. CMN Other assets $1K – $15K
Chubb Limited CMN Other assets $1K – $15K
Cigna GROUP/THE CMN Other assets $1K – $15K
Cintas Corporation CMN Other assets $1K – $15K
Cisco Systems, INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Citigroup INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Clorox Co (the) (delaware) CMN Other assets $1K – $15K
Cme Group INC. CMN Class A Other assets $1K – $15K
CMS Energy Corporation CMN Other assets $1K – $15K
Coca-cola Company (the) CMN Other assets $1K – $15K Dividends Capital Gains · $201 – $1K
Cognizant Technology Solutions Corp Class A Other assets $1K – $15K
Colgate-palmolive Co CMN Other assets $1K – $15K
Comcast Corporation CMN Class A Voting Other assets $1K – $15K Dividends · $201 – $1K
Comerica Incorporated CMN Other assets $1K – $15K
Conocophillips CMN Other assets $1K – $15K Dividends Capital Gains · $201 – $1K
Consolidated Edison Inc CMN Other assets $1K – $15K
Constellation Energy Corp CMN Other assets $1K – $15K
Cooper Cos INC/THE CMN Other assets $1K – $15K
Copart, INC. CMN Other assets $1K – $15K
Corning Incorporated CMN Other assets $1K – $15K
Corpay Inc CMN Other assets $1K – $15K
Corteva, INC. CMN Other assets $1K – $15K
Costar Group, INC. CMN Other assets $1K – $15K
Crowdstrike Holdings, INC. CMN Other assets $1K – $15K
CSX Corporation CMN Other assets $1K – $15K
D.R. Horton, INC. CMN Other assets $1K – $15K
Danaher Corporation CMN Other assets $1K – $15K
Dayforce Inc CMN Other assets $1K – $15K
Deere & Company CMN Other assets $1K – $15K
Delta Air Lines, INC. CMN Other assets $1K – $15K
Devon Energy Corporation (new) CMN Other assets $1K – $15K
Dexcom, INC. CMN Other assets $1K – $15K
Digital Realty Trust, INC. CMN Other assets $1K – $15K
Discover Financial Services CMN Other assets $1K – $15K
Dollar General Corporation CMN Other assets $1K – $15K
Dollar Tree Stores, INC. CMN Other assets $1K – $15K
Dominion Energy Inc CMN Other assets $1K – $15K
Doordash Inc CMN Class A Other assets $1K – $15K
Dow Inc CMN Other assets $1K – $15K
Dte Energy Company CMN Other assets $1K – $15K
Duke Energy Corporation CMN Other assets $1K – $15K
Eastman Chemical Company CMN Other assets $1K – $15K
Eaton Corp PLC CMN Other assets $1K – $15K
Ebay INC. CMN Other assets $1K – $15K
Ecolab INC. CMN Other assets $1K – $15K
Edison International CMN Other assets $1K – $15K
Edwards Lifesciences Corporation CMN Other assets $1K – $15K
Electronic Arts CMN Other assets $1K – $15K
Elevance Health Inc CMN Other assets $1K – $15K
Emerson Electric CO. CMN Other assets $1K – $15K
Entergy Corporation CMN Other assets $1K – $15K
Eog Resources Inc CMN Other assets $1K – $15K
Epam Systems, INC. CMN Other assets $1K – $15K
Eqt Corporation CMN Other assets $1K – $15K
Equifax INC. CMN Other assets $1K – $15K
Equinix, INC. REIT Other assets $1K – $15K
Equity Residential CMN Other assets $1K – $15K
Estee Lauder Cos Inc CL-A CMN Class A Other assets $1K – $15K
Eversource Energy CMN Other assets $1K – $15K
Exelon Corporation CMN Other assets $1K – $15K
Expeditors International Of Washington, INC. CMN Other assets $1K – $15K
Extra Space Storage INC. CMN Other assets $1K – $15K
F5 Inc CMN Other assets $1K – $15K
Fastenal Company CMN Other assets $1K – $15K
Fedex Corporation CMN Other assets $1K – $15K
Firstenergy CORP. CMN Other assets $1K – $15K
Fiserv, INC. CMN Other assets $1K – $15K
Ford Motor Company CMN Other assets $1K – $15K Dividends · $201 – $1K
Fortinet, INC. CMN Other assets $1K – $15K
Fortive Corporation CMN Other assets $1K – $15K
Freeport-mcmoran Inc CMN Other assets $1K – $15K
Garmin LTD CMN Other assets $1K – $15K
Gartner, INC. CMN Other assets $1K – $15K
GE Aerospace CMN Other assets $1K – $15K
GE Healthcare Technologies INC. CMN Other assets $1K – $15K
GE Vernova LLC CMN Other assets $1K – $15K
General Dynamics CORP. CMN Other assets $1K – $15K
Genuine Parts CO. CMN Other assets $1K – $15K
Gilead Sciences CMN Other assets $1K – $15K Dividends · $201 – $1K
Global Payments INC. CMN Other assets $1K – $15K
Goldman Sachs Bank USA Deposit BDA Other assets $1K – $15K
Halliburton Company CMN Other assets $1K – $15K
Hartford Financial SRVCS Group CMN Other assets $1K – $15K
Hasbro, INC. CMN Other assets $1K – $15K
Hca Healthcare, Inc CMN Other assets $1K – $15K
Healthpeak Op, LLC CMN Other assets $1K – $15K
Hess Corporation CMN Other assets $1K – $15K
Hewlett Packard Enterprise Co CMN Other assets $1K – $15K
Hilton Worldwide Holdings INC. CMN Other assets $1K – $15K
Honeywell Intl Inc CMN Other assets $1K – $15K
Hormel Foods Corporation CMN Other assets $1K – $15K
Howmet Aerospace INC. CMN Other assets $1K – $15K
HP INC. CMN Other assets $1K – $15K
Hubbell Incorporated CMN Other assets $1K – $15K
Huntington Bancshares Incorporated CMN Other assets $1K – $15K
Idexx Laboratories CMN Other assets $1K – $15K
Illinois Tool Works CMN Other assets $1K – $15K
Ingersoll Rand Inc CMN Other assets $1K – $15K
Insulet Corporation CMN Other assets $1K – $15K
Intel Corporation CMN Other assets $1K – $15K
Intercontinental Exchange Inc CMN Other assets $1K – $15K
International Paper CO. CMN Other assets $1K – $15K
Intl Business Machines Corp CMN Other assets $1K – $15K Dividends · $201 – $1K
INTL.FLAVORS & Fragrance CMN Other assets $1K – $15K
Intuit Inc CMN Other assets $1K – $15K
Iqvia Holdings Inc CMN Other assets $1K – $15K
Iron Mountain Incorporated CMN Other assets $1K – $15K
Johnson Controls International Public Limited Company CMN Other assets $1K – $15K
Juniper Networks, INC. CMN Other assets $1K – $15K
Kellanova CMN Other assets $1K – $15K
Kenvue INC. CMN Other assets $1K – $15K
Keurig DR Pepper Inc CMN Other assets $1K – $15K
Keycorp CMN Other assets $1K – $15K Dividends · $201 – $1K
Keysight Technologies, INC. CMN Other assets $1K – $15K
Kimberly-clark Corporation CMN Other assets $1K – $15K
Kimco Realty Op, LLC CMN Other assets $1K – $15K
Kinder Morgan Inc CMN Class P Other assets $1K – $15K
KKR & CO. INC. CMN Other assets $1K – $15K
Kla Corp CMN Other assets $1K – $15K
Kroger Company CMN Other assets $1K – $15K
L3HARRIS Technologies Inc CMN Other assets $1K – $15K
Lam Research Corporation CMN Other assets $1K – $15K
Lennar Corporation CMN Class A Other assets $1K – $15K
Linde PLC CMN Other assets $1K – $15K
Live Nation Entertainment Inc CMN Other assets $1K – $15K
LKQ Corporation CMN Other assets $1K – $15K
Lockheed Martin Corporation CMN Other assets $1K – $15K
Lowes Companies Inc CMN Other assets $1K – $15K Dividends · $201 – $1K
Lululemon Athletica INC. CMN Other assets $1K – $15K
Marathon Petroleum Corporation CMN Other assets $1K – $15K
Marriott International, Inc CMN Class A Other assets $1K – $15K
Marsh & Mclennan Co Inc CMN Other assets $1K – $15K
Martin Marietta Materials,inc CMN Other assets $1K – $15K
Marvell Technology, INC. CMN Other assets $1K – $15K
Masco Corporation CMN Other assets $1K – $15K
MC Donalds Corp CMN Other assets $1K – $15K Dividends · $201 – $1K
Mccormick & Co Non VTG SHRS CMN Other assets $1K – $15K
Mckesson Corporation CMN Other assets $1K – $15K
Medtronic Public Limited Company CMN Other assets $1K – $15K
Metlife, INC. CMN Other assets $1K – $15K
Microchip Technology Incorporated CMN Other assets $1K – $15K
Micron Technology, INC. CMN Other assets $1K – $15K
Mid-america Apt CMNTYS Inc CMN Other assets $1K – $15K
Moderna, INC. CMN Other assets $1K – $15K
Molina Healthcare, INC. CMN Other assets $1K – $15K
Molson Coors Beverage Co CMN Class B Other assets $1K – $15K
Mondelez International, INC. CMN Other assets $1K – $15K
Monolithic Power Systems, INC. CMN Other assets $1K – $15K
Monster Beverage Corporation CMN Other assets $1K – $15K
Moody's Corporation CMN Other assets $1K – $15K
Morgan Stanley CMN Other assets $1K – $15K Dividends · $201 – $1K
Mosaic Company (the) CMN Other assets $1K – $15K
Motorola Solutions Inc CMN Other assets $1K – $15K
Msci INC. CMN Other assets $1K – $15K
Nasdaq INC. CMN Other assets $1K – $15K
Netapp, INC. CMN Other assets $1K – $15K
Newmont Corp CMN Other assets $1K – $15K
News Corporation CMN Class A Other assets $1K – $15K
Nextera Energy, INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Nike Class-b CMN Class B Other assets $1K – $15K
Nisource INC. CMN Other assets $1K – $15K
Norfolk Southern Corp CMN Other assets $1K – $15K
Northern Trust Corp CMN Other assets $1K – $15K
Northrop Grumman Corp CMN Other assets $1K – $15K
Nucor Corporation CMN Other assets $1K – $15K
NXP Semiconductors N.V. CMN Other assets $1K – $15K
Occidental Petroleum Corp CMN Other assets $1K – $15K
Old Dominion Freight Line, INC. CMN Other assets $1K – $15K
Omnicom Group CMN Other assets $1K – $15K
On Semiconductor Corporation CMN Other assets $1K – $15K
Oneok Inc CMN Other assets $1K – $15K
O'reilly Automotive, INC. CMN Other assets $1K – $15K
Otis Worldwide Corporation CMN Other assets $1K – $15K
P G & E Corporation CMN Other assets $1K – $15K
Paccar Inc CMN Other assets $1K – $15K
Packaging Corp Of America Common Stock Other assets $1K – $15K
Palantir Technologies INC. CMN Other assets $1K – $15K
Palo Alto Networks INC. CMN Other assets $1K – $15K
Parker-hannifin CORP. CMN Other assets $1K – $15K
Paychex, INC. CMN Other assets $1K – $15K
Paycom Software, INC. CMN Other assets $1K – $15K
Paypal Holdings, INC. CMN Other assets $1K – $15K
Pentair PLC. CMN Other assets $1K – $15K
Pepsico, INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Pfizer INC. CMN Other assets $1K – $15K Dividends · $201 – $1K
Philip Morris Intl Inc CMN Other assets $1K – $15K Dividends · $201 – $1K
Phillips 66 CMN Other assets $1K – $15K
Phinia INC. CMN Other assets $1K – $15K
Pool Corp CMN Other assets $1K – $15K
PPG Industries, INC. CMN Other assets $1K – $15K
PPL Corporation CMN Other assets $1K – $15K
Principal Financial Group, INC. CMN Other assets $1K – $15K
Prologis Inc CMN Other assets $1K – $15K Dividends · $201 – $1K
Prudential Financial Inc CMN Other assets $1K – $15K Dividends · $201 – $1K
Public Storage CMN Other assets $1K – $15K
Pultegroup INC. CMN Other assets $1K – $15K
Qualcomm Inc CMN Other assets $1K – $15K Dividends · $201 – $1K
Quanta Services Inc CMN Other assets $1K – $15K
Realty Income Corporation CMN Other assets $1K – $15K
Regency Centers Corporation CMN Other assets $1K – $15K
Regeneron Pharmaceutical Inc CMN Other assets $1K – $15K
Republic Services Inc CMN Other assets $1K – $15K
Resmed INC. CMN Other assets $1K – $15K
Revvity Inc CMN Other assets $1K – $15K
Rockwell Automation Inc CMN Other assets $1K – $15K
Roper Technologies Inc CMN Other assets $1K – $15K
Ross Stores,inc CMN Other assets $1K – $15K
Royal Caribbean Group Isin: LR0008862868 Other assets $1K – $15K
RTX Corp CMN Other assets $1K – $15K
S&P Global INC. CMN Other assets $1K – $15K
Sba Communications Corporation CMN Other assets $1K – $15K
Schlumberger LTD CMN Other assets $1K – $15K
Sempra Energy CMN Other assets $1K – $15K
Sherwin-williams Co CMN Other assets $1K – $15K
Simon Property Group Inc CMN Other assets $1K – $15K
Starbucks CORP. CMN Other assets $1K – $15K
State Street Corporation (new) CMN Other assets $1K – $15K
Steel Dynamics, INC. CMN Other assets $1K – $15K
Stryker Corporation CMN Other assets $1K – $15K
Super Micro Computer, INC. CMN Other assets $1K – $15K
Synchrony Financial CMN Other assets $1K – $15K
Synopsys INC. CMN Other assets $1K – $15K
Sysco Corporation CMN Other assets $1K – $15K
T. Rowe Price Group, INC. CMN Other assets $1K – $15K
Take Two Interactive Software Inc Other assets $1K – $15K
Targa Resources CORP. CMN Other assets $1K – $15K
Target Corporation CMN Other assets $1K – $15K
Teledyne Technologies Incorporated CMN Other assets $1K – $15K
Texas Instruments INC. CMN Other assets $1K – $15K
The Bank Of NY Mellon Corp CMN Other assets $1K – $15K
The Kraft Heinz Co CMN Other assets $1K – $15K
The Progressive Corporation CMN Other assets $1K – $15K
The Southern CO. CMN Other assets $1K – $15K
The Travelers Companies, Inc CMN Other assets $1K – $15K
The Williams Companies, INC. CMN Other assets $1K – $15K
Thermo Fisher Scientific Inc CMN Other assets $1K – $15K
TJX Companies Inc (new) CMN Other assets $1K – $15K
T-mobile Us, INC. CMN Other assets $1K – $15K
Tractor Supply Company CMN Other assets $1K – $15K
Trane Technologies Public Limited Company CMN Other assets $1K – $15K
Transdigm Group Incorporated CMN Other assets $1K – $15K
Truist Financial Corporation CMN Other assets $1K – $15K
U.S. Bancorp CMN Other assets $1K – $15K Dividends · $201 – $1K
Uber Technologies, INC. CMN Other assets $1K – $15K
Udr Inc CMN Other assets $1K – $15K
Ulta Beauty Inc CMN Other assets $1K – $15K
Union Pacific CORP. CMN Other assets $1K – $15K Dividends · $201 – $1K
United Airlines Holdings Inc CMN Other assets $1K – $15K
United Parcel Service, INC. Class B Common Stock Other assets $1K – $15K Dividends · $201 – $1K
United Rentals, INC. CMN Other assets $1K – $15K
Valero Energy Corporation CMN Other assets $1K – $15K
Ventas, INC. CMN Other assets $1K – $15K
Verisign, INC. CMN Other assets $1K – $15K
Verisk Analytics, INC. CMN Other assets $1K – $15K
Verizon Communications, INC. CMN Other assets $1K – $15K
Vertex Pharmaceuticals Incorporated CMN Other assets $1K – $15K
Vici Properties INC. CMN Other assets $1K – $15K
Vulcan Materials Co CMN Other assets $1K – $15K
W.R. Berkley Corporation CMN Other assets $1K – $15K
Walgreens Boots Alliance, INC. CMN Other assets $1K – $15K
Walt Disney Company (the) CMN Other assets $1K – $15K
Warner Bros Discovery Inc CMN Other assets $1K – $15K
Waste Management Inc CMN Other assets $1K – $15K
Wec Energy Group, INC. CMN Other assets $1K – $15K
Welltower, INC. CMN Other assets $1K – $15K
West Pharmaceutical Services Inc Other assets $1K – $15K
Western Digital Corporation CMN Other assets $1K – $15K
Westinghouse Air Brake Technologies Corporation CMN Other assets $1K – $15K
Willis Towers Watson PLC CMN Other assets $1K – $15K
Workday, INC. CMN Class A Other assets $1K – $15K
Xcel Energy INC. CMN Other assets $1K – $15K
Xylem INC. CMN Other assets $1K – $15K
Yum Brands, INC. CMN Other assets $1K – $15K
Zimmer Biomet Holdings Inc Other assets $1K – $15K
Zions Bancorp CMN Other assets $1K – $15K
Zoetis INC. CMN Class A Other assets $1K – $15K
Fireblocks, Inc (stock acquired from exercised options) Employment assets Self Under $1K Capital Gains · $100K – $1M
Apollo Global Management, restricted stock units Employment assets Self Under $1K Dividends · $2.5K – $5K
American Express Company, Share Equivalent Units (SEUs) Employment assets Self Under $1K Cash payout for SEUs · $1M
Sullivan & Cromwell LLP (law firm) Employment assets Self Salary/Bonus · $3.6M
Apollo Global Management Employment assets Self Director Fees · $75K
Brevan Howard Asset Management (Asset management) Employment assets Self Consulting Fees · $93.8K
CFGI LLC (Accounting and financial reporting services) Employment assets Self Director Fees · $50K
One River Asset Management Employment assets Self Consulting Fees · $25K
Traditional IRA Employment assets Self
Sullivan & Cromwell LLP 401(k) Plan for Associates Employment assets Self
Sullivan & Cromwell LLP Group Defined Benefit Plan for Partners, defined benefit plan (value not readily ascertainable) eligible for approximately $7,800/mo. at age 65 Employment assets Self
Sullivan & Cromwell LLP Supplemental Pension Plan for Partners, defined benefit plan (value not readily ascertainable) eligible for approximately $3,550/mo. at age 65 Employment assets Self
Univar (Chemicals) Employment assets Self
The Restaurant Group (Food service) Employment assets Self
U.S. Silica (Minerals and Logistics) Employment assets Self
EVRi (Logistics) Employment assets Self
Avaya Holding (Communications technology) Employment assets Self
Arconic (Engineering and Production – Aluminum) Employment assets Self
Atlas Air (Aircraft Leasing) Employment assets Self
Barnes Group, Inc. (Engineering Products) Employment assets Self
EVRi (Parcel Delivery) Employment assets Self
Panasonic Automotive Systems (Automotive in vehicle components) Employment assets Self
Riswell Homes (Homebuilding) Employment assets Self
The Travel Corporation (Vacation services) Employment assets Self
Trace3 (Commercial technology solutions) Employment assets Self
WMB Holdings, Inc. (Business, financial and representative services.) Spouse's assets Spouse Director fees
Traditional IRA 1 Spouse's assets Spouse
Roth IRA 1 Spouse's assets Spouse
Traditional IRA 2 Spouse's assets Spouse
GS Deferred Retirement Plan, defined benefit plan (value not readily ascertainable) Spouse's assets Spouse
Brokerage Account 1 Other assets
Brokerage Account 2 Other assets
S&P 500 Tax Managed Account Other assets
Mistplay (Mobile Gaming) Other assets
Revecore (Healthcare Software) Other assets
Netchex (Payroll Software) Other assets
Brightway (Insurance Services) Other assets
Duetto (Hospitality Software) Other assets
PureFacts (Financial Software) Other assets
Family Trust 1 Other assets
Family Trust 2 Other assets
Charitable Remainder Trust Other assets

Values and income are the ranges the filer discloses, normalized to one form. Hover a value for the string as filed. Rows marked *** carry that marker in the filing itself, with no legend: each one is a foreign-domiciled issuer or a Reg S note.