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John A. Yarmuth

Representative KY-3 2021 disclosure

John A. Yarmuth (KY-3) disclosed a net worth range between $7.4M and $33.5M in their 2021 annual filing.

Compare this disclosure with the House of Representatives 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)
$7.4M – $33.5M
Rank by disclosed net worth
Reporting year
2021
Disclosed assets
144
Disclosed liabilities
1

Net worth band by reporting year

2021 2022 — not e-filed 2023 — not e-filed 2024 — not e-filed 2025 — not e-filed
Year Net worth band
2021 $7.4M – $33.5M

Disclosed assets

The assets John A. Yarmuth itemised in their 2021 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
144
Total disclosed (band)
$8.4M – $34M

Showing the 100 largest of 144 disclosed lines.

Description Value
Sonny's Barbeque, Orlando, Florida $5M - $25M
LHC Group - common stock (LHCG) $500K - $1M
UBS Bank USA MMF Yield Account $500K - $1M
USB $500K - $1M
USB Bank USA Deposit $500K - $1M
Doonbeg Property $250K - $500K
FEUPX - Amer Funds $100K - $250K
Federated Treasury Obligation Fund $100K - $250K
Northwestern Mutual annuity $100K - $250K
Penn Mutual whole life insurance policy $100K - $250K
UBS Prime Investor Fund $100K - $250K
Amazon.com, Inc. (AMZN) $50K - $100K
Oppenheimer DVLPING MKTS-Y $50K - $100K
Touchstone Small Cap Core Fund Class Y $50K - $100K
AT&T Inc. (T) $15K - $50K
Alphabet Inc. - Class A (GOOGL) $15K - $50K
Apple Inc. (AAPL) $15K - $50K
Dana Large Cap Equity $15K - $50K
Duke Energy Corporation (DUK) $15K - $50K
Europacific Growth FD CL F-2 $15K - $50K
FULIX -Federated Hermes Ultrashort BDIS $15K - $50K
GJRTX -Goldman Sachs ABS Return Tracker $15K - $50K
ISHARES Short Mat Bond EFT $15K - $50K
IVV - ISHARES Core S&P 500 $15K - $50K
Intel Corporation (INTC) $15K - $50K
Kentucky PPTY BLD $15K - $50K
Kimberly-Clark Corporation (KMB) $15K - $50K
Litman Gregory Masters Alt $15K - $50K
MASFX - Partnerselect Alternative $15K - $50K
Mairs & Power Small Cap $15K - $50K
Microsoft Corporation (MSFT) $15K - $50K
NextEra Energy, Inc. (NEE) $15K - $50K
Oshares US Quality Divid ETF $15K - $50K
PFF - ISHARES Trust EFT $15K - $50K
PNC Checking Account $15K - $50K
Principal Midcap Blend Fund $15K - $50K
Seafarer Overseas GR & Income Institutional Shares $15K - $50K
Sysco Corporation (SYY) $15K - $50K
TSDIX - Touchstone Ultra Short DUR F/I $15K - $50K
VTV - Vanguard Value ETF $15K - $50K
VWIUX - Vanguard Intermediate Term T/E Fund $15K - $50K
Vanguard FTSE Developed Markets ETF (VEA) $15K - $50K
William Blair FDS Alloc I $15K - $50K
WisdomTree Europe Hedged Equity Fund (HEDJ) $15K - $50K
3M Company (MMM) $1K - $15K
Air Products and Chemicals, Inc. (APD) $1K - $15K
Altria Group, Inc. (MO) $1K - $15K
American Express Company (AXP) $1K - $15K
American Tower Corporation (AMT) $1K - $15K
Amgen Inc. (AMGN) $1K - $15K
Aphria Inc. - Common Shares (APHA) $1K - $15K
Arena Pharmaceuticals, Inc. (ARNA) $1K - $15K
Bank of America Corporation (BAC) $1K - $15K
Berkshire Hathaway Inc. New (BRK.B) $1K - $15K
BlackRock, Inc. (BLK) $1K - $15K
Bristol-Myers Squibb Company (BMY) $1K - $15K
Broadcom Inc. (AVGO) $1K - $15K
CME Group Inc. - Class A (CME) $1K - $15K
CMS Energy Corporation (CMS) $1K - $15K
CSX Corporation (CSX) $1K - $15K
Caterpillar, Inc. (CAT) $1K - $15K
Chubb Limited (CB) $1K - $15K
Cintas Corporation (CTAS) $1K - $15K
Cisco Systems, Inc. (CSCO) $1K - $15K
Citigroup, Inc. (C) $1K - $15K
Coca-Cola Company (KO) $1K - $15K
Comcast Corporation - Class A (CMCSA) $1K - $15K
ConocoPhillips (COP) $1K - $15K
Costco Wholesale Corporation (COST) $1K - $15K
Crown Castle International Corp. (CCI) $1K - $15K
Danaher Corporation (DHR) $1K - $15K
Delta Air Lines, Inc. (DAL) $1K - $15K
DowDuPont Inc. (DWDP) $1K - $15K
E*TRADE Financial Corporation (ETFC) $1K - $15K
Ecolab Inc. (ECL) $1K - $15K
Entrustpermal Alternative Core $1K - $15K
Estee Lauder Companies, Inc. (EL) $1K - $15K
Exxon Mobil Corporation (XOM) $1K - $15K
Facebook, Inc. - Class A (FB) $1K - $15K
Federated Treasury Obligation Fund $1K - $15K
GW Pharmaceuticals Plc - American Depositary Shares (GWPH) $1K - $15K
General Dynamics Corporation (GD) $1K - $15K
General Motors Company (GM) $1K - $15K
Goldman Sachs Capital I $1K - $15K
Goldman Sachs Group, Inc. (GS) $1K - $15K
Home Depot, Inc. (HD) $1K - $15K
Honeywell International Inc. (HON) $1K - $15K
Humana Inc. (HUM) $1K - $15K
IGSB - ISHARES Trust 1-5 year $1K - $15K
Illinois St ASSUR A-AGM $1K - $15K
Ishares Barclays TIPS Bond Fund $1K - $15K
Ishares National Muni Bond ETF $1K - $15K
JP Morgan Chase & Co. (JPM) $1K - $15K
Johnson & Johnson (JNJ) $1K - $15K
Linde plc Ordinary Share (LIN) $1K - $15K
Lowe's Companies, Inc. (LOW) $1K - $15K
MXIIX - Touchstone Flexible Income Fund $1K - $15K
Marathon Petroleum Corporation (MPC) $1K - $15K
Mastercard Incorporated (MA) $1K - $15K
McDonald's Corporation (MCD) $1K - $15K

Disclosed liabilities

The liabilities itemised in the 2021 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)
$500K – $1M
Description Amount owed
Demand note (Fifth Third Bank) $500K - $1M

Recent stock trades

Disclosed trades
209
Avg. disclosure lag
92.3 days
Filed past 45-day deadline
58.9%
Date Stock Type Amount
2021-10-22 T AT&T Inc. (T) Sell $15K - $50K
2021-10-22 T ST · AT&T Inc. (T) F IlINg S TATuS : New Sell $15K - $50K
2021-09-23 MMM 3M Company (MMM) Buy $1K - $15K
2021-09-23 BMY Bristol-Myers Squibb Company (BMY) Buy $1K - $15K
2021-09-23 AVGO Broadcom Inc. (AVgO) Sell $1K - $15K
2021-09-23 FDX FedEx Corporation (FDX) Buy $1K - $15K
2021-09-23 GD general Dynamics Corporation (gD) Buy $1K - $15K
2021-09-23 LOW lowe's Companies, Inc. (lOW) Sell $1K - $15K
2021-09-23 NOC Northrop grumman Corporation (NOC) Buy $1K - $15K
2021-09-23 PG Procter & gamble Company (Pg) Sell $1K - $15K
2021-09-23 SYY Sysco Corporation (SYY) Buy $15K - $50K
2021-09-23 TMO Thermo Fisher Scientific Inc (TMO) Sell $1K - $15K
2021-09-23 MMM ST · 3M Company (MMM) F IlINg S TATuS : New Buy $1K - $15K
2021-09-23 BMY ST · Bristol-Myers Squibb Company (BMY) F IlINg S TATuS : New Buy $1K - $15K
2021-09-23 AVGO ST · Broadcom Inc. (AVgO) F IlINg S TATuS : New Sell $1K - $15K
2021-09-23 FDX ST · FedEx Corporation (FDX) F IlINg S TATuS : New Buy $1K - $15K
2021-09-23 GD ST · general Dynamics Corporation (gD) F IlINg S TATuS : New Buy $1K - $15K
2021-09-23 LOW ST · lowe's Companies, Inc. (lOW) F IlINg S TATuS : New Sell $1K - $15K
2021-09-23 NOC ST · Northrop grumman Corporation (NOC) F IlINg S TATuS : New Buy $1K - $15K
2021-09-23 PG ST · Procter & gamble Company (Pg) F IlINg S TATuS : New Sell $1K - $15K
2021-09-23 SYY ST · Sysco Corporation (SYY) F IlINg S TATuS : New Buy $15K - $50K
2021-09-23 TMO ST · Thermo Fisher Scientific Inc (TMO) F IlINg S TATuS : New Sell $1K - $15K
2021-09-22 HD ST · Home Depot, Inc. (HD) Sell $1K - $15K
2021-09-22 BMY Bristol-Myers Squibb Company (BMY) Buy $1K - $15K
2021-09-22 TMO Thermo Fisher Scientific Inc (TMO) 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 2026-09-01. 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.

No Performance Estimate

This member hasn't disclosed enough priced trades to estimate a portfolio return yet.

Reconstructed holdings

The portfolio reconstructed from this member's disclosed Purchase and Sale trades: net shares valued at the latest close (2026-09-01). Sizes come from disclosed amount ranges, so share counts, values, and weights are all estimates.

Stock Est. shares Est. value Weight
CRON 3,779 $12.8K 2.0%
SYY 815 $66.1K 10.2%
BMY 530 $35.5K 5.5%
MO 494 $33.8K 5.2%
LUV 395 $15.2K 2.4%
C 380 $50.4K 7.8%
PLD 316 $44.3K 6.9%
NEE 226 $18.6K 2.9%
ROST 171 $39.1K 6.1%
TMUS 167 $30.2K 4.7%
CCI 137 $10.4K 1.6%
TGT 136 $21.9K 3.4%
AXP 131 $42.4K 6.6%
CB 127 $43.1K 6.7%
GD 81 $30.2K 4.7%
GS 81 $81.2K 12.6%
AMT 80 $14.1K 2.2%
LIN 75 $36.5K 5.7%
HUM 40 $15.5K 2.4%
ICE 24 $3.9K 0.6%
EBAY 1 $117 0.0%
APD 1 $174 0.0%

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