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Ron L Wyden

Senator 2025 disclosure

Ron L Wyden disclosed a net worth range between $19.5M and $31.4M 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)
$19.5M – $31.4M
Rank by disclosed net worth
Reporting year
2025
Disclosed assets
165
Disclosed liabilities
2

Net worth band by reporting year

2015 2016 2017 — not e-filed 2018 — not e-filed 2019 2020 2021 2022 2023 2024 2025
Year Net worth band
2025 $19.5M – $31.4M
2024 $14.5M – $24.9M
2023 $10.2M – $18.8M
2022 $7.5M – $16.5M
2021 $10.5M – $20.8M
2020 $12M – $22.9M
2019 $7.3M – $11.4M
2016 $4.5M – $6.5M
2015 $8.2M – $15.1M

Disclosed assets

The assets Ron L Wyden 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
165
Total disclosed (band)
$21M – $32.6M

Showing the 100 largest of 165 disclosed lines.

Description Value
AAPL - Apple Inc. $1M - $1M
Bass Book Trading, Inc (S-corp) $1M - $1M
Bass Real Estate LLC $1M - $1M
FDSVX - Fidelity Growth Discovery Fund $1M - $1M
GOOG - Alphabet Inc. $1M - $1M
NVDA - NVIDIA Corporation $1M - $1M
QQQ - Invesco QQQ Trust $1M - $1M
Residential Property $1M - $1M
Residential Property $1M - $1M
Residential Property $1M - $1M
Strand Book Store Inc. (S-Corp) $1M - $1M
Strand at Columbus Ave LLC $1M - $1M
AMZN - Amazon.com, Inc. $500K - $1M
Growth Stock Index Portfolio $500K - $1M
Growth Stock Index Portfolio $500K - $1M
Growth Stock Index Portfolio $500K - $1M
MSFT - Microsoft Corporation $500K - $1M
Strand at Lincoln Center LLC $500K - $1M
DHI - D.R. Horton, Inc. $250K - $500K
Investment in Residential Properties $250K - $500K
QQQ - Invesco QQQ Trust, Series 1 $250K - $500K
STX - Seagate Technology plc $250K - $500K
U.S. Equity Index $250K - $500K
U.S. Equity Index $250K - $500K
VMC - Vulcan Materials Company $250K - $500K
VOO - Vanguard 500 Index Fund - ETF Shares $250K - $500K
VOO - Vanguard 500 Index Fund - ETF Shares $250K - $500K
7 Zero 6 Apartments $100K - $250K
AMCR - Amcor plc Ordinary Shares $100K - $250K
COST - Costco Wholesale Corporation $100K - $250K
DIS - The Walt Disney Company $100K - $250K
F - Ford Motor Company $100K - $250K
FDIVX - Fidelity Diversified International Fund $100K - $250K
Investment in Residential Properties $100K - $250K
JMUEX - Jpmorgan U.S. Equity Fund Class L $100K - $250K
Morgan Stanley Bank N.A. $100K - $250K
OSK - Oshkosh Corporation $100K - $250K
PSA - Public Storage $100K - $250K
QQQ - Invesco QQQ Trust, Series 1 $100K - $250K
Small-Cap Stock Index Portfolio $100K - $250K
Small-Cap Stock Index Portfolio $100K - $250K
Small-Cap Stock Index Portfolio $100K - $250K
US Savings Bond Series I $100K - $250K
VFH - Vanguard Financials Index Fund - ETF Shares $100K - $250K
VGT - Vanguard Information Tech ETF $100K - $250K
VGT - Vanguard Information Technology Index Fund - ETF Shares $100K - $250K
VOO - Vanguard S&P 500 ETF $100K - $250K
CIMYX - Columbia Intermediate Duration Municipal Bond Fu $50K - $100K
DPZ - Domino's Pizza, Inc. $50K - $100K
DTCR - Global X Data Center & Digital Infrastructure ETF $50K - $100K
DTCR - Global X Data Center & Digital Infrastructure ETF $50K - $100K
GOFXX - Federated Hermes Government Obligations Fund - Premier Shares $50K - $100K
IJK - iShares S&P Mid-Cap 400 Growth ETF $50K - $100K
International Equity Index $50K - $100K
International Equity Index $50K - $100K
Investment in Residential Properties $50K - $100K
MMM - 3M Company $50K - $100K
NOYACK Logistics Income REIT, Inc. $50K - $100K
Oregon St For Previous Issues GO Bds $50K - $100K
PAVE - Global X U.S. Infrastructure Development ETF $50K - $100K
QQQ - Invesco QQQ Trust $50K - $100K
QQQ - Invesco QQQ Trust $50K - $100K
QQQ - Invesco QQQ Trust $50K - $100K
QSR - Restaurant Brands International Inc. $50K - $100K
US Senate FCU $50K - $100K
US Senate FCU $50K - $100K
V - Visa Inc. $50K - $100K
VGT - Vanguard Information Tech ETF $50K - $100K
AAPL - Apple Inc. - Common Stock $15K - $50K
AAPL - Apple Inc. - Common Stock $15K - $50K
AAPL - Apple Inc. - Common Stock $15K - $50K
AIEQ - AI Powered Equity ETF $15K - $50K
AIEQ - AI Powered Equity ETF $15K - $50K
AIEQ - AI Powered Equity ETF $15K - $50K
AVEM - Avantis Emerging Markets Equity ETF $15K - $50K
BIMBX - Blackrock Systematic Multi-Strategy Fund Institu $15K - $50K
BOAT - Sonicshares Global Shipping ETF $15K - $50K
BUG - Global X Cybersecurity ETF $15K - $50K
BUG - Global X Cybersecurity ETF $15K - $50K
CSCO - Cisco Systems, Inc. $15K - $50K
FSPTX - Technology Portfolio $15K - $50K
GSIMX - Goldman Sachs GQG Partners International Opportunities Fund - Institutional Shares $15K - $50K
IYW - iShares U.S. Technology ETF $15K - $50K
Investment in Residential Property $15K - $50K
JEPI - JPMorgan Equity Premium Income ETF $15K - $50K
LOW - Lowe's Companies, Inc. $15K - $50K
MCD - McDonald's Corporation $15K - $50K
MIEIX - MFS Institutional International Equity Fund $15K - $50K
MPFXX - Prime Portfolio - Institutional Class $15K - $50K
MTBDX - Nyli Mackay Tax Free Bond Fund Class R6 $15K - $50K
Morgan Stanley Bank N.A. $15K - $50K
NLR - VanEck Uranium and Nuclear ETF $15K - $50K
NVDA - NVIDIA Corporation $15K - $50K
NVDA - NVIDIA Corporation $15K - $50K
NVDA - NVIDIA Corporation $15K - $50K
PMAQX - MidCap Fund (f/k/a MidCap Blend Fund) - R-6 $15K - $50K
QQQ - Invesco QQQ Trust, Series 1 $15K - $50K
QQQ - Invesco QQQ Trust, Series 1 $15K - $50K
SBUX - Starbucks Corporation $15K - $50K
SHRIX - Stone Ridge High Yield Reinsurance Risk Premium Fu $15K - $50K

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
2
Total disclosed (band)
$1.3M – $1.5M
Description Amount owed
Mortgage (Morgan Stanley) $1M - $1M
Mortgage (U.S. Bank National Association) $250K - $500K

Recent stock trades

Disclosed trades
279
Avg. disclosure lag
27.8 days
Filed past 45-day deadline
4.7%
Date Stock Type Amount
2025-06-03 PFE Stock · Pfizer, Inc. Common Stock Sell $1K - $15K
2025-02-10 LLY Stock · Eli Lilly and Company Common Stock Sell $50K - $100K
2025-02-06 IRBT Stock · iRobot Corporation - Common Stock Sell $1K - $15K
2025-02-06 SOLV Stock · Solventum Corporation Sell $1K - $15K
2025-01-22 LLY Stock · Eli Lilly and Company Common Stock Buy $50K - $100K
2024-03-27 UPS Stock · United Parcel Service, Inc. Common Stock Sell $100K - $250K
2022-11-11 STX Stock · Seagate Technology Holdings PLC - Ordinary Shares Sell $15K - $50K
2022-11-11 BALL Stock · Ball Corporation Common Stock Sell $15K - $50K
2022-11-11 COUP Stock · Coupa Software Incorporated - Common Stock Sell $15K - $50K
2022-11-11 DIS Stock · Walt Disney Company (The) Common Stock Sell $50K - $100K
2022-11-11 FDX Stock · FedEx Corporation Common Stock Sell $50K - $100K
2022-11-11 IRBT Stock · iRobot Corporation - Common Stock Sell $15K - $50K
2022-11-11 MTCH Stock · Match Group, Inc. - Common Stock Sell $15K - $50K
2022-11-11 NFLX Stock · Netflix, Inc. - Common Stock Sell $50K - $100K
2022-11-11 PYPL Stock · PayPal Holdings, Inc. - Common Stock Sell $100K - $250K
2022-11-11 SQ Stock · Block, Inc. Class A Common Stock, Sell $15K - $50K
2022-11-11 MMM Stock · 3M Company Common Stock Sell $1K - $15K
2022-11-11 WDAY Stock · Workday, Inc. - Class A Common Stock Sell $1K - $15K
2022-11-11 STX Stock · Seagate Technology Holdings PLC - Ordinary Shares Sell $15K - $50K
2022-11-11 BALL Stock · Ball Corporation Common Stock Sell $15K - $50K
2022-11-11 COUP Stock · Coupa Software Incorporated - Common Stock Sell $15K - $50K
2022-11-11 DIS Stock · Walt Disney Company (The) Common Stock Sell $50K - $100K
2022-11-11 META Stock · Meta Platforms, Inc. - Class A Common Stock Sell $50K - $100K
2022-11-11 FDX Stock · FedEx Corporation Common Stock Sell $50K - $100K
2022-11-11 IRBT Stock · iRobot Corporation - Common Stock Sell $15K - $50K

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 2026-09-04. 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 (2026-09-04). Sizes come from disclosed amount ranges, so share counts, values, and weights are all estimates.

Stock Est. shares Est. value Weight
F 12,163 $177.8K 3.2%
DHI 2,149 $306.8K 5.5%
MSFT 2,042 $1M 18.4%
OSK 1,859 $291.9K 5.3%
DIS 1,829 $192.6K 3.5%
TRIP 1,672 $15.6K 0.3%
VMC 1,553 $407.9K 7.4%
STX 1,441 $1.2M 22.1%
UPS 1,222 $125K 2.3%
AMAT 1,184 $538.2K 9.7%
BALL 1,132 $71K 1.3%
VAC 970 $103.4K 1.9%
CSCO 784 $85.7K 1.5%
PSA 700 $211.3K 3.8%
SBUX 540 $56.4K 1.0%
MAR 441 $148.3K 2.7%
DPZ 404 $137.7K 2.5%
MCD 363 $92.7K 1.7%
COST 210 $192K 3.5%
LOW 206 $42.1K 0.8%
V 192 $71.9K 1.3%
STZ 81 $10.3K 0.2%
WDAY 46 $9K 0.2%
LLY 13 $15.1K 0.3%
XOM 11 $1.7K 0.0%

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