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Valerie Hoyle

Representative

Estimated portfolio performance

Price return of the portfolio reconstructed from this member's disclosed trades over each trailing window, versus the S&P 500 (SPY), as of 2026-07-15. Trade sizes are disclosed only as ranges, so every figure is an estimate.

Window Portfolio SPY vs SPY
1 week -0.2% +1.3% -1.4%
1 month -0.5% -0.2% -0.3%
1 quarter +7.1% +7.9% -0.8%
Year to date +15.9% +11.0% +5.0%

Reconstructed holdings

The portfolio reconstructed from this member's disclosed Purchase and Sale trades: net shares valued at the latest close (2026-07-15). Sizes come from disclosed amount ranges, so share counts, values, and weights are all estimates.

Stock Est. shares Est. value Weight
SNAP 690 $3.3K 0.9%
BAC 219 $13.5K 3.5%
KNX 183 $13.5K 3.5%
BMY 162 $9.5K 2.5%
WFC 137 $12K 3.1%
CNC 132 $8.8K 2.3%
NFLX 120 $8.8K 2.3%
EIX 103 $7.9K 2.1%
CF 102 $12K 3.1%
CVS 86 $9.2K 2.4%
AMZN 81 $20.6K 5.3%
NVO 76 $3.8K 1.0%
ANET 75 $12.9K 3.3%
VRT 70 $21.4K 5.6%
KKR 70 $7.1K 1.8%
MSFT 66 $25.9K 6.7%
TSM 60 $25.2K 6.5%
CRWV 57 $4.4K 1.1%
GDDY 55 $5K 1.3%
APH 54 $8.4K 2.2%
GSK 49 $2.5K 0.7%
NVDA 43 $9.2K 2.4%
DHR 33 $6.7K 1.7%
NTR 32 $2.2K 0.6%
JCI 29 $4.1K 1.1%
CSCO 28 $3.2K 0.8%
TYL 27 $8.3K 2.1%
USFD 26 $2.6K 0.7%
MU 26 $23.7K 6.1%
IMO 26 $3.1K 0.8%
ORLY 25 $2.1K 0.5%
GEN 24 $636 0.2%
GILD 24 $3.1K 0.8%
CCEP 20 $2.1K 0.6%
GE 20 $7.2K 1.9%
NGG 17 $1.4K 0.4%
SHEL 16 $1.4K 0.4%
BNY 16 $2.5K 0.7%
BA 15 $3.3K 0.9%
GEV 14 $15K 3.9%
DIS 13 $1.2K 0.3%
BSX 13 $547 0.1%
KLAC 11 $2.6K 0.7%
USB 10 $611 0.2%
BKNG 9 $1.7K 0.4%
PNR 9 $562 0.2%
LEN 8 $714 0.2%
SO 7 $643 0.2%
JNJ 6 $1.6K 0.4%
CDNS 6 $2.3K 0.6%
KO 6 $482 0.1%
AME 5 $1.2K 0.3%
PWR 5 $3.3K 0.8%
V 5 $1.8K 0.5%
COF 5 $971 0.3%
PNC 5 $1.2K 0.3%
WTW 4 $1.2K 0.3%
ARES 4 $511 0.1%
NOW 4 $406 0.1%
TRV 4 $1.2K 0.3%
SPOT 4 $1.7K 0.4%
BX 3 $439 0.1%
ROST 3 $743 0.2%
HLT 3 $1K 0.3%
SAP 3 $492 0.1%
COP 3 $334 0.1%
DE 3 $1.8K 0.5%
URI 3 $2.7K 0.7%
NOC 2 $1.2K 0.3%
TMO 2 $1.2K 0.3%
MTB 2 $546 0.1%
AJG 2 $498 0.1%
MA 2 $985 0.3%
ETN 2 $721 0.2%
AZN 2 $282 0.1%
NXPI 2 $439 0.1%
HIG 1 $191 0.1%
PANW 1 $463 0.1%
BLK 1 $1.4K 0.4%
CCK 1 $104 0.0%
TT 1 $447 0.1%
MELI 1 $1.5K 0.4%
VMC 1 $229 0.1%
MLM 1 $445 0.1%
NTRS 1 $141 0.0%
MCO 1 $365 0.1%
AZO 1 $2K 0.5%
MSI 1 $260 0.1%
COST 1 $539 0.1%
XOM 0 $69 0.0%
SPGI 0 $212 0.1%
LIN 0 $207 0.1%
ASML 0 $524 0.1%
APO 0 $34 0.0%
TDG 0 $298 0.1%
LOW 0 $18 0.0%
MAR 0 $20 0.0%

Net worth

Estimated from the ranges in the member's annual financial disclosures: the band runs from the sum of disclosed asset minimums less liability maximums up to the sum of asset maximums less liability minimums. Only electronically filed reports are read — a missing year means no electronic filing, not zero net worth.

Latest net worth (band)
$98K – $1.3M
Reporting year
2025
Disclosed assets
27
Disclosed liabilities
4

Net worth band by reporting year

2022 2023 2024 2025
Year Net worth band
2025 $98K – $1.3M
2024 $32.2K – $2.7M
2023 -$270K – $835K
2022 -$317K – $740K

Recent stock trades

Disclosed trades
379
Avg. disclosure lag
145.3 days
Filed past 45-day deadline
56.2%
Date Stock Type Amount
2025-09-23 GOOGL Sell $15K - $50K
2025-09-23 AMZN Sell $15K - $50K
2025-09-23 DOX Sell $1K - $15K
2025-09-23 APH Sell $1K - $15K
2025-09-23 APO Sell $1K - $15K
2025-09-23 APP Sell $1K - $15K
2025-09-23 ARES Sell $1K - $15K
2025-09-23 ANET Sell $1K - $15K
2025-09-23 AJG Sell $1K - $15K
2025-09-23 AZN Sell $1K - $15K
2025-09-23 BAC Sell $1K - $15K
2025-09-23 BKNG Sell $1K - $15K
2025-09-23 BSX Sell $1K - $15K
2025-09-23 AVGO Sell $15K - $50K
2025-09-23 BRO Sell $1K - $15K
2025-09-23 CHRW Sell $1K - $15K
2025-09-23 CDNS Sell $1K - $15K
2025-09-23 CNQ Sell $1K - $15K
2025-09-23 COF Sell $1K - $15K
2025-09-23 CTAS Sell $1K - $15K
2025-09-23 CSCO Sell $1K - $15K
2025-09-23 CME Sell $1K - $15K
2025-09-23 CMCSA Sell $1K - $15K
2025-09-23 COST Sell $1K - $15K
2025-09-23 CCI Sell $1K - $15K