Politician Trades

Republican

Kevin Hern

House

Rep. for OK-1

Disclosures
653
Purchases
404
Sales
233
Stocks traded
131
Last disclosure
25 Sep 2026

What happened after they disclosed

Figures appear once the SPY benchmark history has loaded.

Most disclosures

Stocks traded most

  1. DVN29 disclosures
  2. HD26 disclosures
  3. NEE18 disclosures
  4. PXD (no longer listed)18 disclosures
  5. JPM16 disclosures
  6. OKE16 disclosures
  7. MSFT15 disclosures
  8. TXN15 disclosures
  9. XOM15 disclosures
  10. ACN14 disclosures

Assignments

Committees

  • House Committee on Ways and Means
    • Health
    • Tax

Full history

Every stock they traded

Showing 129 of 129

DVNDevon Energy Corporation

21 bought · 6 sold

≈ −7.9% since entry

HDThe Home Depot Inc

16 bought · 10 sold

≈ −9.2% since entry

NEENextera Energy Inc

15 bought · 3 sold

≈ +1.4% since entry

PXD

17 bought · 1 sold

— since entry

JPMJPMorgan Chase & Co

15 bought · 1 sold

≈ +125% since entry

MSFTMicrosoft Corporation

10 bought · 5 sold

≈ +94% since entry

TXNTexas Instruments Incorporated

14 bought · 1 sold

≈ +60% since entry

EMREmerson Electric Company

12 bought · 2 sold

≈ +68% since entry

OKEONEOK Inc

12 bought · 2 sold

≈ +42% since entry

ROKRockwell Automation Inc

11 bought · 3 sold

≈ +57% since entry

ACNAccenture plc

11 bought · 3 sold

≈ −43% since entry

WMBWilliams Companies Inc

14 bought · 0 sold

≈ +124% since entry

JNJJohnson & Johnson

11 bought · 2 sold

≈ +69% since entry

XOMExxon Mobil Corp

13 bought · 0 sold

≈ +92% since entry

LMTLockheed Martin Corporation

8 bought · 3 sold

≈ +14% since entry

UNHUnitedHealth Group Incorporated

9 bought · 2 sold

≈ −24% since entry

LINLinde plc Ordinary Shares

7 bought · 3 sold

≈ +23% since entry

RTXRTX Corporation

9 bought · 1 sold

≈ +100% since entry

IQVIQVIA Holdings Inc

3 bought · 5 sold

≈ +10% since entry

INTCIntel Corporation

6 bought · 2 sold

≈ +168% since entry

MMP

8 bought · 0 sold

— since entry

ITWIllinois Tool Works Inc

3 bought · 4 sold

≈ +23% since entry

EXASEXACT Sciences Corporation

2 bought · 5 sold

— since entry

MMCMarsh & McLennan Companies Inc

6 bought · 1 sold

— since entry

BSXBoston Scientific Corp

1 bought · 5 sold

≈ +3.2% since entry

HONHoneywell International Inc

4 bought · 2 sold

≈ −1.6% since entry

TIPiShares TIPS Bond ETF

6 bought · 0 sold

≈ −18% since entry

CDNSCadence Design Systems Inc

3 bought · 2 sold

≈ +120% since entry

DHRDanaher Corporation

2 bought · 3 sold

≈ −4.6% since entry

PTCPTC Inc

3 bought · 2 sold

≈ +11% since entry

TJXThe TJX Companies Inc

0 bought · 5 sold

— since entry

MDTMedtronic PLC

3 bought · 2 sold

≈ −28% since entry

AHCOAdapthealth Corp

2 bought · 3 sold

≈ −78% since entry

MRSHMarsh & McLennan Companies, Inc.

0 bought · 4 sold

— since entry

ORLYO’Reilly Automotive Inc

0 bought · 4 sold

— since entry

VUZIVuzix Corp Cmn Stk

2 bought · 2 sold

≈ −83% since entry

ADBEAdobe Systems Incorporated

1 bought · 3 sold

≈ −58% since entry

BAThe Boeing Company

1 bought · 3 sold

≈ −8.9% since entry

ICLRICON PLC

1 bought · 3 sold

≈ −18% since entry

MCDMcDonald’s Corporation

2 bought · 2 sold

≈ −8.3% since entry

AIOVirtus AllianzGI Artificial Intell & Tech Opps

0 bought · 3 sold

— since entry

CBChubb Ltd

2 bought · 1 sold

≈ +10% since entry

CRCrane Company

1 bought · 2 sold

≈ +187% since entry

CSXCSX Corporation

0 bought · 3 sold

— since entry

PRGSProgress Software Corporation

1 bought · 2 sold

≈ −16% since entry

STXSeagate Technology PLC

0 bought · 3 sold

— since entry

PGProcter & Gamble Company

0 bought · 3 sold

— since entry

VLTOVeralto Corporation

0 bought · 3 sold

— since entry

CMCSAComcast Corp

0 bought · 3 sold

— since entry

AGCOAGCO Corporation

2 bought · 1 sold

≈ +23% since entry

COSTCostco Wholesale Corp

2 bought · 1 sold

≈ +56% since entry

AMZNAmazon.com Inc

2 bought · 1 sold

≈ −91% since entry

VVisa Inc. Class A

2 bought · 1 sold

≈ +83% since entry

JEPIJPMorgan Equity Premium Income ETF

3 bought · 0 sold

≈ +1.7% since entry

MTBC

2 bought · 1 sold

— since entry

CLColgate-Palmolive Company

0 bought · 2 sold

— since entry

ETNEaton Corporation PLC

0 bought · 2 sold

— since entry

ETVEaton Vance Tax Managed Buy Write Opportunities Closed Fund

1 bought · 1 sold

≈ −9.4% since entry

KOThe Coca-Cola Company

0 bought · 2 sold

— since entry

LOWLowe's Companies Inc

0 bought · 2 sold

— since entry

NVONovo Nordisk A/S

0 bought · 2 sold

— since entry

NVSNovartis AG ADR

0 bought · 2 sold

— since entry

OGNOrganon & Co

0 bought · 2 sold

— since entry

VSNTVersant Media Group, Inc.

0 bought · 2 sold

— since entry

ELEstee Lauder Companies Inc

0 bought · 2 sold

— since entry

KVUEKenvue Inc.

0 bought · 2 sold

— since entry

BDXBecton Dickinson and Company

0 bought · 2 sold

— since entry

DXCMDexCom Inc

1 bought · 1 sold

≈ −84% since entry

CCLDCareCloud, Inc.

0 bought · 2 sold

— since entry

ABB

2 bought · 0 sold

— since entry

ECLEcolab Inc

0 bought · 2 sold

— since entry

TMOThermo Fisher Scientific Inc

1 bought · 1 sold

≈ +21% since entry

MASIMasimo Corporation

1 bought · 1 sold

— since entry

VFCVF Corporation

1 bought · 1 sold

≈ −83% since entry

CVXChevron Corp

2 bought · 0 sold

≈ +74% since entry

SPYSPDR S&P 500 ETF Trust

1 bought · 1 sold

≈ +71% since entry

CLNC

2 bought · 0 sold

— since entry

BDCBelden Inc

2 bought · 0 sold

≈ +116% since entry

AAPLApple Inc.

0 bought · 1 sold

— since entry

CNPCenterPoint Energy Inc

0 bought · 1 sold

— since entry

CXTCrane NXT Co

0 bought · 1 sold

— since entry

PBAPembina Pipeline Corp

0 bought · 1 sold

— since entry

RABrookfield Real Assets Income

0 bought · 1 sold

— since entry

SBUXStarbucks Corporation

0 bought · 1 sold

— since entry

STESTERIS plc

0 bought · 1 sold

— since entry

WMTWalmart Inc.

0 bought · 1 sold

— since entry

ALCAlcon AG

0 bought · 1 sold

— since entry

BIIBBiogen Inc

0 bought · 1 sold

— since entry

CARRCarrier Global Corp

0 bought · 1 sold

— since entry

DISWalt Disney Company

0 bought · 1 sold

— since entry

GAPThe Gap, Inc.

0 bought · 1 sold

— since entry

HONAHoneywell Aerospace Inc

0 bought · 1 sold

— since entry

HRLHormel Foods Corporation

0 bought · 1 sold

— since entry

KMBKimberly-Clark Corporation

0 bought · 1 sold

— since entry

NKENike Inc

0 bought · 1 sold

— since entry

OTISOtis Worldwide Corp

0 bought · 1 sold

— since entry

SOLSSolstice Advanced Materials, Inc

0 bought · 1 sold

— since entry

WATWaters Corporation

0 bought · 1 sold

— since entry

DEODiageo PLC ADR

0 bought · 1 sold

— since entry

CTSHCognizant Technology Solutions Corp Class A

0 bought · 1 sold

— since entry

IVZInvesco Plc

0 bought · 1 sold

— since entry

MUABlackRock MuniAssets Closed Fund

0 bought · 1 sold

— since entry

PLDPrologis Inc

0 bought · 1 sold

— since entry

SMASmartStop Self Storage REIT, Inc.

0 bought · 1 sold

— since entry

TROWT. Rowe Price Group Inc

0 bought · 1 sold

— since entry

CMPCompass Minerals International Inc

0 bought · 1 sold

— since entry

VODVodafone Group PLC ADR

0 bought · 1 sold

— since entry

ARGO

1 bought · 0 sold

— since entry

AMTAmerican Tower Corp

0 bought · 1 sold

— since entry

BLKBlackRock Inc

0 bought · 1 sold

— since entry

CRMSalesforce.com Inc

0 bought · 1 sold

— since entry

DGDollar General Corporation

0 bought · 1 sold

— since entry

ICEIntercontinental Exchange Inc

0 bought · 1 sold

— since entry

PHParker-Hannifin Corporation

0 bought · 1 sold

— since entry

RSGRepublic Services Inc

0 bought · 1 sold

— since entry

ARCBArcBest Corp

0 bought · 1 sold

— since entry

BLL

0 bought · 1 sold

— since entry

HLTHilton Worldwide Holdings Inc

0 bought · 1 sold

— since entry

RTN

1 bought · 0 sold

— since entry

WYNNWynn Resorts Limited

0 bought · 1 sold

— since entry

AMPAmeriprise Financial Inc

0 bought · 1 sold

— since entry

SHWSherwin-Williams Co

0 bought · 1 sold

— since entry

DGROiShares Core Dividend Growth ETF

1 bought · 0 sold

≈ +70% since entry

ASMLASML Holding NV ADR

1 bought · 0 sold

≈ +280% since entry

CTRACoterra Energy Inc

1 bought · 0 sold

— since entry

CERN

0 bought · 1 sold

— since entry

FDRRFidelity® Dividend ETF for Rising Rates

1 bought · 0 sold

≈ +60% since entry

ASXC

1 bought · 0 sold

— since entry

FCXFreeport-McMoran Copper & Gold Inc

1 bought · 0 sold

≈ +91% since entry

Disclosures

Congressional disclosures arrive weeks after the trade, and in dollar ranges rather than exact amounts. Treat them as context, not as a signal to trade on, and not as investment advice. Sources: members' Periodic Transaction Reports filed with the House Clerk and the Senate, via EODHD; executives' and directors' SEC Form 4 filings from EDGAR. How we read this data