Representative John Rutherford Stocks

On April 19, 2022, Representative John Rutherford of US Congress acquired under $15k worth of Verizon Communications's common stock. Such disclosures are part of transparency measures that require elected officials to report their investments, ensuring public awareness and preventing conflicts of interest. Below are 21 other transactions of John Rutherford.
2022-04-19Acquired Under $15KVZ Verizon CommunicationsInsidersVerify
2022-04-08Acquired Under $15KTTE TotalEnergies SE ADRInsidersVerify
2022-03-16Acquired Under $15KPG Procter GambleInsidersVerify
2021-03-08Acquired Under $15KCSCO Cisco SystemsInsidersVerify
2021-02-02Acquired Under $15KCTVA CortevaInsidersVerify
2020-10-20Acquired Under $15KCMCSA Comcast CorpInsidersVerify
2020-07-29Acquired Under $15KBMY Bristol Myers SquibbInsidersVerify
2020-05-01Acquired Under $15KMSFT MicrosoftInsidersVerify
2020-01-23Acquired Under $15KAZN AstraZeneca PLC ADRInsidersVerify
2019-12-18Acquired Under $15KEMN Eastman ChemicalInsidersVerify
2019-09-27Acquired Under $15KCAT CaterpillarInsidersVerify
2019-08-09Acquired Under $15KBMY Bristol Myers SquibbInsidersVerify
2019-05-10Acquired Under $15KNVS Novartis AG ADRInsidersVerify
2019-04-02Acquired Under $15KKEY KeyCorpInsidersVerify
2019-02-28Acquired Under $15KLLY Eli LillyInsidersVerify
2019-01-31Acquired Under $15KSO SouthernInsidersVerify
2019-01-02Acquired Under $15KSNY Sanofi ADRInsidersVerify
2018-10-30Acquired Under $15KPEP PepsiCoInsidersVerify
2018-10-02Acquired Under $15KKMI Kinder MorganInsidersVerify
2018-08-31Acquired Under $15KHMC Honda MotorInsidersVerify
2018-08-20Acquired Under $15KABBV AbbVie IncInsidersVerify
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Risk-return Landscape of John Rutherford's positions

  Expected Return   
       Risk  

Assets Rated by Market Efficiency

Many investors optimize their portfolios to maintain a risk-return balance that meets their personal investing preferences and liquidity needs. Understanding the relationship between the Sharpe ratio, risk, and expected return will help you build an optimal portfolio from your selected positions. Below are the essential efficiency ratios that can help you quickly create a reliable input to your portfolio optimization process.
EfficiencyMarket RiskExp ReturnPrice
The analysis above is based on a 90-day investment horizon and a default level of risk. Use the Portfolio Analyzer to fine-tune all your assumptions. Check your current assumptions here.