Rohit Khanna — July 11, 2019

Disclosure Details

Politician: Rohit Khanna
Disclosure document
Year: 2019
Filing Date: July 11, 2019
Branch: house

Periodic Transaction Report

Asset Ticker Category Type Transaction Date Amount
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
MICROSOFT CORP MSFT STOCK Purchase $1,000 to $15,000
ALCOA INC. AA STOCK Purchase Over 100,000,000
AMGEN INC. AMGN STOCK Purchase 1,000 - 15,000
AMGEN INC. AMGN STOCK Purchase 15,001 - 50,000
AMGEN INC. AMGN STOCK Purchase 50,001 - 100,000
AMGEN INC. AMGN STOCK Purchase 100,001 - 250,000
AMGEN INC. AMGN STOCK Purchase 250,001 - 500,000
AMGEN INC. AMGN STOCK Purchase 500,001 - 1,000,000
AMGEN INC. AMGN STOCK Purchase 1,000,001 - 2,500,000
AMGEN INC. AMGN STOCK Purchase 2,500,001 - 5,000,000
AMGEN INC. AMGN STOCK Purchase 5,000,001 - 10,000,000
AMGEN INC. AMGN STOCK Purchase 10,000,001 - 25,000,000
AMGEN INC. AMGN STOCK Purchase 25,000,001 - 50,000,000
AMGEN INC. AMGN STOCK Purchase 50,000,001 - 100,000,000
AMGEN INC. AMGN STOCK Purchase Over 100,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 1,000 - 15,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 15,001 - 50,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 50,001 - 100,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 100,001 - 250,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 250,001 - 500,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 500,001 - 1,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 1,000,001 - 2,500,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 2,500,001 - 5,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 5,000,001 - 10,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 10,000,001 - 25,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 25,000,001 - 50,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase 50,000,001 - 100,000,000
AMERICAN EXPRESS CO. AXP STOCK Purchase Over 100,000,000
EQUITY RESIDENTIAL, INC NMR EQR REAL ESTATE Sale $1,000.01 - $5,000
GENERAL ELECTRIC CO NMR GE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CITI GROUP INC NMR C STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
CBOE GLOBAL MARKETS, INC NMR CBOE STOCK Sale $1,000.01 - $5,000
SPRC/CONGLOMERATES Trust/GEF Partners, L.P. PRIVATE EQUITY Purchase 51,001- 500,000
CITI GROUP INCORPORATED CMRS C STOCK Purchase 5,000
CITI GROUP INCORPORATED CMRS C STOCK Purchase 5,000
COMCAST INCORPORATED CMRS CMCSA STOCK Purchase 2,000
COCA COLA CO CMRS KO STOCK Purchase 1,000
DOW CHEMICALS CO CMRS DOW STOCK Purchase 2,000
DISNEY ENTERPRISES INC CMRS DIS STOCK Purchase 1,000
EDISON INTERNATIONAL CMRS EIX STOCK Purchase 1,000
EXXON MOBIL CORP CMRS XOM STOCK Purchase 1,000
FEDERAL EXPRESS CORP CMRS FDX STOCK Purchase 1,000
FORD MOTOR CO CMRS F STOCK Purchase 1,000
GENERAL ELECTRIC CO CMRS GE STOCK Purchase 1,000
GENERAL MOTORS CO CMRS GM STOCK Purchase 1,000
GOLDMAN SACHS GROUP INC CMRS GS STOCK Purchase 1,000
HOME DEPOT INC CMRS HD STOCK Purchase 1,000
IBM CORP CMRS IBM STOCK Purchase 1,000
INTEL CORP CMRS INTC STOCK Purchase 1,000
JOHNSON & JOHNSON CMRS JNJ STOCK Purchase 1,000
JP MORGAN CHASE & CO CMRS JPM STOCK Purchase 1,000
KELLOGG CO CMRS K STOCK Purchase 1,000
MCDONALDS CORP CMRS MCD STOCK Purchase 1,000
METLIFE INC CMRS MET STOCK Purchase 1,000
MICROSOFT CORP CMRS MSFT STOCK Purchase 1,000
MODERNA INC CMRS MRNA STOCK Purchase 1,000
NETFLIX INC CMRS NFLX STOCK Purchase 1,000
ORACLE CORP CMRS ORCL STOCK Purchase 1,000
PFIZER INC CMRS PFE STOCK Purchase 1,000
PROCTER & GAMBLE CO CMRS PG STOCK Purchase 1,000
SALESFORCE INC CMRS CRM STOCK Purchase 1,000
STARBUCKS CORP CMRS SBUX STOCK Purchase 1,000
THE BOEING CO CMRS BA STOCK Purchase 1,000
THE HOME DEPOT INC CMRS HD STOCK Purchase 1,000
THE WALMART STORES INC CMRS WMT STOCK Purchase 1,000
THE Walt Disney Co CMRS DIS STOCK Purchase 1,000
UNITED PARCEL SERVICE INC CMRS UPS STOCK Purchase 1,000
VERIZON COMM INC CMRS VZ STOCK Purchase 1,000
VISA INC CMRS V STOCK Purchase 1,000
WELLS FARGO & CO CMRS WFC STOCK Purchase 1,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
VERISIGN, INC. CMB CL A VRSN STOCK Sale 2,100-5,000
MODERN CORPORATION nan Purchase 21,000 - 100,000
MODERN CORPORATION nan Purchase 100,001 - 250,000
MODERN CORPORATION nan Purchase 250,001 - 500,000
MODERN CORPORATION nan Purchase 500,001 - 1,000,000
MODERN CORPORATION nan Purchase 1,000,001 - 2,500,000
MODERN CORPORATION nan Purchase 2,500,001 - 5,000,000
MODERN CORPORATION nan Purchase 5,000,001 - 10,000,000
MODERN CORPORATION nan Purchase 10,000,001 - 25,000,000
MODERN CORPORATION nan Purchase 25,000,001 - 50,000,000
MODERN CORPORATION nan Purchase 50,000,001 - 100,000,000
MODERN CORPORATION nan Purchase Over 100,000,000
MODERN CORPORATION nan Sale 25,000,000
ANTHEM, INC. ELV STOCK Purchase 1,000 - 15,000
ANTHEM, INC. ELV STOCK Purchase 15,001 - 50,000
ANTHEM, INC. ELV STOCK Purchase 50,001 - 100,000
ANTHEM, INC. ELV STOCK Purchase 100,001 - 250,000
ANTHEM, INC. ELV STOCK Purchase 250,001 - 500,000
ANTHEM, INC. ELV STOCK Purchase 500,001 - 1,000,000
ANTHEM, INC. ELV STOCK Purchase 1,000,001 - 2,500,000
ANTHEM, INC. ELV STOCK Purchase 2,500,001 - 5,000,000
ANTHEM, INC. ELV STOCK Purchase 5,000,001 - 10,000,000
ANTHEM, INC. ELV STOCK Purchase 10,000,001 - 25,000,000
ANTHEM, INC. ELV STOCK Purchase 25,000,001 - 50,000,000
ANTHEM, INC. ELV STOCK Purchase 50,000,001 - 100,000,000
ANTHEM, INC. ELV STOCK Purchase Over 100,000,000
ALCOA INC. AA STOCK Purchase 1,000 - 15,000
ALCOA INC. AA STOCK Purchase 15,001 - 50,000
ALCOA INC. AA STOCK Purchase 50,001 - 100,000
ALCOA INC. AA STOCK Purchase 100,001 - 250,000
ALCOA INC. AA STOCK Purchase 250,001 - 500,000
ALCOA INC. AA STOCK Purchase 500,001 - 1,000,000
ALCOA INC. AA STOCK Purchase 1,000,001 - 2,500,000
ALCOA INC. AA STOCK Purchase 2,500,001 - 5,000,000
ALCOA INC. AA STOCK Purchase 5,000,001 - 10,000,000
ALCOA INC. AA STOCK Purchase 10,000,001 - 25,000,000
ALCOA INC. AA STOCK Purchase 25,000,001 - 50,000,000
ALCOA INC. AA STOCK Purchase 50,000,001 - 100,000,000
RELIANCE GROUP CORP. SHARES STOCK Sale Sept. 5, 2019 25,000.00
RELIANCE GROUP CORP. SHARES STOCK Sale Sept. 5, 2019 150,000.00
THE MANAGEMENT GROUP, INC. COMMON STOCK STOCK Sale Sept. 5, 2019 5,400.00
NEXUS HOLDINGS INTERNATIONAL INC. SHARES STOCK Sale Sept. 5, 2019 50,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 250,000.00
MODULO SOLUTIONS GROUP CORP. SHARES STOCK Sale Sept. 5, 2019 25,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 15,000.00
NEXUS HOLDINGS INTERNATIONAL INC. SHARES STOCK Sale Sept. 5, 2019 15,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 150,000.00
NEXUS HOLDINGS INTERNATIONAL INC. SHARES STOCK Sale Sept. 5, 2019 150,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 500,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 500,000.00
RELIANCE FINANCIAL INTERNATIONAL INC. SHARES STOCK Sale Sept. 5, 2019 250,000.00
GENTLEMAN'S CHOICE INC. SHARES STOCK Sale Sept. 5, 2019 250,000.00
NEXUS HOLDINGS INTERNATIONAL INC. SHARES STOCK Sale Sept. 5, 2019 250,000.00
MODULO SOLUTIONS GROUP CORP. SHARES STOCK Sale Sept. 5, 2019 250,000.00
DIGITAL REALTY TRUST, INC NMR DLR REAL ESTATE Sale Aug. 6, 2019 $1,000.01 - $5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
CBP REGENCY PROPERTIES INC CNY REAL ESTATE Purchase June 6, 2019 2,300 - 5,000
COOPERATIVE BANK OF COPPERTON CNY CASH Purchase June 6, 2019 2,300 - 5,000
CORE SYSTEMS INC CNY nan Purchase June 6, 2019 2,300 - 5,000
D&B CREDIT SERVICES INC CNY FIXED INCOME Purchase June 6, 2019 2,300 - 5,000
D&B DIRECT INC CNY CASH Purchase June 6, 2019 2,300 - 5,000
D&B GLOBAL INC CNY nan Purchase June 6, 2019 2,300 - 5,000
ANDERSON-CANA CNY FIXED INCOME Purchase June 6, 2019 2,300 - 5,000
GIBSON-CANA CNY FIXED INCOME Purchase June 6, 2019 2,300 - 5,000
VESTA-CANA CNY FIXED INCOME Purchase June 6, 2019 2,300 - 5,000
CORE CAPITAL CORPORATION CNY FIXED INCOME Purchase June 6, 2019 2,300 - 5,000
GOLDEN-CANA CNY nan Purchase June 6, 2019 2,300 - 5,000
SATELLITE-CANA CNY nan Purchase June 6, 2019 2,300 - 5,000
TILLMAN TECHNOLOGY GROUP CNY STOCK Purchase June 6, 2019 2,300 - 5,000
TRINITY TECHNOLOGY INC CNY 603852 STOCK Purchase June 6, 2019 2,300 - 5,000
SOLUTIONS INC CNY nan Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
S&P GLOBAL MARKET INTELLIGENCE CNY CNY CASH Purchase June 6, 2019 2,300 - 5,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
RELIANCE INC. COM CLASS B SHRS RLI STOCK Purchase June 5, 2019 52,000-100,000
RELIANCE INC. COM RELIANCE STOCK Purchase June 5, 2019 52,000-100,000
RELIASTAR INC. COM CLASS B SHRS STOCK Purchase June 5, 2019 52,000-100,000
RELIANCE INC. COM RELIANCE STOCK Purchase June 5, 2019 52,000-100,000
MONETARY MARKET FUND - PRIM FULL NAME NOT LISTED POSSIBLE FUND Purchase June 5, 2019 52,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
SOTHEBYS REALTY HOLDINGS CORP. COM STOCK Purchase June 5, 2019 52,000-100,000
ALBERTA CORP nan Purchase June 2, 2019 $15,001 - $50,000
MICROSOFT CORP MSFT STOCK Purchase June 2, 2019 $1,001 - $15,000
MICROSOFT CORP MSFT STOCK Purchase June 2, 2019 $15,001 - $50,000
Example Mega Corp. Common Stock STOCK Sale Feb. 5, 2015 $15,001-$50,000