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John Fetterman

Senator 2025 disclosure

John Fetterman disclosed a net worth range between $497.1K and $2.3M in their 2025 annual filing.

Compare this disclosure with the U.S. Senate net worth rankings .

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)
$497.1K – $2.3M
Rank by disclosed net worth
Reporting year
2025
Disclosed assets
82
Disclosed liabilities
1

Net worth band by reporting year

2022 2023 2024 2025
Year Net worth band
2025 $497.1K – $2.3M
2024 $646.1K – $2.5M
2023 $639.1K – $2.4M
2022 $861K – $2.1M

Disclosed assets

The assets John Fetterman itemised in their 2025 annual report, largest bracket first. Descriptions are the filer's own wording, and each value is the bracket they checked on the form — never a reported amount.

Disclosed lines
82
Total disclosed (band)
$547.1K – $2.3M
Description Value
Morgan Stanley BK N Index-Linked A CD (0%) 4/28/2028 $100K - $250K
Morgan Stanley BK N Index-Linked A CD 0% 4/28/2028 $100K - $250K
PNC Bank $100K - $250K
Dollar Bank $50K - $100K
The Huntington National Bank $50K - $100K
Barclays Bank PLC Index-Linked $15K - $50K
Barclays Bank PLC Index-Linked $15K - $50K
Merrill Lynch Direct Deposit Program $15K - $50K
Merrill Lynch Direct Deposit Program $15K - $50K
UNITED STATES TREAS SER BG-2027 $15K - $50K
ADBE - Adobe Systems Inc $1K - $15K
AMZN - Amazon.com Inc $1K - $15K
AMZN - Amazon.com Inc $1K - $15K
Ares Capital Corp Note $1K - $15K
BALI - iShares Advantage Large Cap Income ETF $1K - $15K
BDHIX - Blackrock Dynamic High Income Portfolio - Instit $1K - $15K
BFRIX - Blackrock Floating Rate Income Portfolio - Insti $1K - $15K
BHYIX - Blackrock High Yield Bond Portfolio - Institutio $1K - $15K
BINC - BlackRock ETF Trust II BlackRock Flexible Income E $1K - $15K
BLACKSTONE SECD LENDING FD NOTE $1K - $15K
BMCIX - Blackrock High Equity Income Fund - Institutiona $1K - $15K
BROIX - BLACKROCK ADVANTAGE INTERNATIONAL INSTL $1K - $15K
BX - Blackstone Inc $1K - $15K
Baker Hughes Holdings LLC $1K - $15K
Bank New York Mellon Corp Bond $1K - $15K
Bank of America Corp Bond $1K - $15K
C - Citigroup Inc $1K - $15K
CLOA - iShares AAA CLO Active ETF $1K - $15K
COIN - Coinbase Global, Inc. - Class A Common Stock $1K - $15K
Celanese US Hldgs LLC Note 6.33% 7/15/2029 $1K - $15K
Cheniere Energy Partners L P Note $1K - $15K
Citizens Private Bank $1K - $15K
Citizens Securities Inc. $1K - $15K
Concentrix Corp Note $1K - $15K
DGICB - Donegal Group, Inc. - Class B Common Stock $1K - $15K
DGRO - iShares Core Dividend Growth ETF $1K - $15K
DIS - Walt Disney Company $1K - $15K
EMLC - VanEck J.P. Morgan EM Local Currency Bond ETF $1K - $15K
ERIE - Erie Indemnity Company $1K - $15K
FDX - Fedex Corp $1K - $15K
FNDF - Schwab Fundamental International Equity ETF $1K - $15K
Ford Mtr Co DEL Note $1K - $15K
Freeport McMoran $1K - $15K
GENERAL MOTORS COMPANY NOTE $1K - $15K
GOOG - Alphabet Cl C $1K - $15K
GOOG - Alphabet Cl C $1K - $15K
GXO Logistics Inc $1K - $15K
HOOD - Robinhood Markets, Inc. - Class A Common Stock $1K - $15K
HYGW - iShares Trust iShares High Yield Corporate Bond Bu $1K - $15K
Hasbro Inc Note $1K - $15K
IEMG - iShares Core MSCI Emerging Markets ETF $1K - $15K
JPM - JP Morgan Chase & Co. Common Stock $1K - $15K
JPMorgan Chase Co. $1K - $15K
KYNDRYL HLDGS INC SER B NOTE $1K - $15K
LRCX - Lam Research Corp $1K - $15K
MPC - Marathon Petroleum Corp $1K - $15K
NVDA - Nvidia Corp $1K - $15K
Nationwide Finl Svcs Inc Note $1K - $15K
Paramount Global Bond Note Call Make Whole $1K - $15K
Phillips 66 Partners LP Note $1K - $15K
QCOM - Qualcomm Inc $1K - $15K
QLTA - iShares Aaa A Rated Corporate Bond ETF $1K - $15K
QQQ - Nasdaq QQQ Invesco ETF $1K - $15K
Sempra Note $1K - $15K
T - AT&T Inc $1K - $15K
T - AT&T Inc. $1K - $15K
Transcanda Trust SER 2016-A $1K - $15K
UNITED STATES TREAS SER BC-2027 3.875%; 05/31/2027 $1K - $15K
UNITED STATES TREAS SER BL-2027 $1K - $15K
United States Treas NTS Note 3.75%; 04/30/2027 $1K - $15K
United States Treas NTS Note 4.0% 2/15/2026 $1K - $15K
United States Treas NTS Note 4.125% 2/28/2027 $1K - $15K
United States Treas NTS Note 4.25%; 11/30/2026 $1K - $15K
United States Treas NTS Note 4.375% 8/15/2026 $1K - $15K
United States Treas NTS Note 4.875% 5/31/2026 $1K - $15K
V F CORP NOTE CALL MAKE WHOLE $1K - $15K
VLO - Valero Energy Corp $1K - $15K
VYM - High Dividend Yield Vanguard ETF $1K - $15K
Venus Tex Independent Sch Dist $1K - $15K
Verisign Inc Ser B Note $1K - $15K
XLF - The Financial Select Sector SPDR Fund $1K - $15K
YORW - York Water Company $1K - $15K

Disclosed liabilities

The liabilities itemised in the 2025 annual report, largest bracket first. These are the amounts subtracted when the net worth band above is rolled up.

Disclosed lines
1
Total disclosed (band)
$15K – $50K
Description Amount owed
Mortgage (Rocket Mortgage) $15K - $50K

Recent stock trades

Disclosed trades
10
Avg. disclosure lag
63.3 days
Filed past 45-day deadline
10%
Date Stock Type Amount
2026-03-30 MU Stock · Micron Technology, Inc. - Common Stock Buy $1K - $15K
2026-03-30 MSFT Stock · Microsoft Corporation - Common Stock Buy $1K - $15K
2026-03-30 GOOG Stock · Alphabet Inc. - Class C Capital Stock Buy $1K - $15K
2026-03-30 AMZN Stock · Amazon.com, Inc. - Common Stock Buy $1K - $15K
2026-03-30 ERIE Stock · Erie Indemnity Company - Class A Common Stock Buy $1K - $15K
2026-03-27 T Stock · AT&T Inc. Sell $1K - $15K
2026-03-27 MSFT Stock · Microsoft Corporation - Common Stock Buy $1K - $15K
2026-03-27 ERIE Stock · Erie Indemnity Company - Class A Common Stock Buy $1K - $15K
2025-05-15 GOOG Stock · Alphabet Inc. - Class C Capital Stock Buy $1K - $15K
2023-01-24 MRO Stock · Marathon Oil Corp Sell $1K - $15K

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 2026-09-09. Trade sizes are disclosed only as ranges, so every figure is an estimate. Returns use comparable raw closes and exclude dividends; a window crossing a captured split is left unavailable instead of mixing price bases.

Window Portfolio SPY vs SPY
1 week 0.0% -0.4% +0.4%
1 month +0.1% -1.4% +1.5%
1 quarter +5.2% +3.4% +1.8%
Year to date +5.6% +11.8% -6.2%

Reconstructed holdings

The portfolio reconstructed from this member's disclosed Purchase and Sale trades: net shares valued at the latest close (2026-09-09). Sizes come from disclosed amount ranges, so share counts, values, and weights are all estimates.

Stock Est. shares Est. value Weight
GOOGL 78 $25.8K 26.0%
ERIE 65 $16K 16.1%
MSFT 45 $22K 22.1%
AMZN 40 $10K 10.1%
MU 25 $25.6K 25.7%

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