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Smart Money · Politicians

Donald J. Trump

President of the United States

01

Insider holdings

Trump Media & Technology Group (DJT) (DJT)

Beneficial ownership114,750,000 sharesSCHEDULE 13D/A(2025-12-22)
Share of outstanding41.5%3 reporting persons file on the same shares

Reporting persons: TRUMP DONALD J, Donald J. Trump Jr., Donald J. Trump Revocable Trust dated April 7, 2014

Form 4 transactions

DateTypeSharesPriceHeld afterFiler
2024-04-26其他36,000,000$0114,750,000TRUMP DONALD J
2024-12-17赠与114,750,000$00TRUMP DONALD J

Original filings: SCHEDULE 13D/A(2025-12-22) · SCHEDULE 13D/A(2024-12-30) · Form 3(2024-12-27) · Form 4(2024-12-19) · Form 4(2024-04-30) · SC 13D/A(2024-04-30,HTML,未解析) · SC 13D(2024-04-01,HTML,未解析) · Form 3(2024-03-28) · SC 13D/A(2010-07-22,HTML,未解析) · SC 13D/A(2009-12-03,HTML,未解析) · SC 13D/A(2009-11-19,HTML,未解析) · SC 13D/A(2009-10-14,HTML,未解析)

02

Financial disclosure

OGE financial disclosure · as of 2025-12-31 (filed 2026-06-13)

Reported trades21,843Buys 15,764 · Sells 6,055
Disclosed assets6,181Values are ranges
Unclassified (4484)$487M – $1.4BSum of value ranges
Bonds (1614)$308M – $1.1BSum of value ranges
Funds / ETFs (83)$63M – $300MSum of value ranges
AssetTypeValue rangeIncomeAccountSource
U.S. BROKERAGE ACCOUNT MONEY MARKET ACCOUNT (CASH) #17Unclassified$1M – $5MINTEREST $100,001 – $1MDONALD J. TRUMP REVOCABLE TRUSTp. 158
TENET HEALTHCARE CORP DUE 10/01/2028 6.125 REG INT ON 733000 BND REC 09/15/25 PAY 10/01/25Bonds$500,001 – $1MINTEREST $15,001 – $50,000INVESTMENT ACCOUNT #1p. 7
ALPHABET INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #1p. 8
ALPHABET INCUnclassified$500,001 – $1MDIVIDEND $201 – $1,000INVESTMENT ACCOUNT #1p. 8
BERKSHIRE HATHAWAY INC DELUnclassified$500,001 – $1MDIVIDEND $201 – $1,000INVESTMENT ACCOUNT #1p. 9
BROADCOM INCUnclassified$500,001 – $1MDIVIDEND $201 – $1,000INVESTMENT ACCOUNT #1p. 9
META PLATFORMS INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #1p. 13
TESLA INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #1p. 16
APPLECOMPUTERINCUnclassified$500,001 – $1MDIVIDEND $201 – $1,000INVESTMENT ACCOUNT #1p. 17
MICROSOFTCORPORATIONUnclassified$500,001 – $1MDIVIDEND $201 – $1,000INVESTMENT ACCOUNT #2p. 19
NVIDIACORPUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #2p. 20
ALLEN TX INDPT SCH PERMA SR A BE/R/ 5.000 021527 DTD 111525Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
AUSTIN TX ELEC UTIL SYS RV BE/R/ 5.000 111534 DTD 120325Unclassified$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
HUNTSVILLE AL HLTH CARE SR B RV BE/R/ 5.000 060135 DTD 111325Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
ILLINOIS FIN AUTH UNIV RV BE/R/ 5.000 111532 DTD 111825Unclassified$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
LEE CNTY FL SCH BRD SR A RV BE/R/ 5.000 080133 DTD 111425Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
MIAM-DADE CNTY NTS BE/R/ 4.000 010726 DTD 090425Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
NORTH CAROLINA ST SR C BE/R/ 5.000 060128 DTD 111925Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
OMAHA PUB PWR DIST NE EL SR B RV BE/R/ 5.000 020131 DTD 121025Bonds$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
PENNSYLVANIA ST BE/R/ 5.000 081527 DTD 103024Unclassified$500,001 – $1M–INVESTMENT ACCOUNT #3p. 22
VIRGINIA COLLEGE BLDG AU RV BE/R/ 5.000 020130 DTD 122117Unclassified$500,001 – $1M–INVESTMENT ACCOUNT #3p. 23
ALPHABET INC CL AUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #3p. 23
APPLE INCUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #3p. 23
APPLE INCUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #3p. 31
BROADCOM INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #4p. 35
ALLEN PARK MI PUB SCH DIST RFDG B/E QSBLF PTC 5.00 % Due May 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 39
BLACKSTONE INC COMUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #4p. 40
CLEVELAND OH CTF PARTN RFDG CLEVELAND STAD PJ REV B/E 5.00 % Due Nov 15, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 40
CONNECTICUT ST HLTH & EDL FACS AUTH REV YAEL UNIV SER A B/E 2.80 % Due Jul 1, 2048Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 40
GREENE CNTY MO CTF PARTN REV SER A B/E 4.00 % Due Mar 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 41
HARRIS CNTY TX MUD 105 RFDG 2019 B/E CR ENH 3.00 % Due Mar 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 41
INTERSTATE MUD TX PK RFDG HARRIS CNTY 2019 B/E B/Q CR ENH 4.00 % Due Sep 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #4p. 42
ARKANSAS ST DEV FIN AUTH REV REVOLVING LN FD BDS 2026 5.000% 06/01/46 B/EDTD 01/06/26 CLBBonds$500,001 – $1M–INVESTMENT ACCOUNT #4p. 42
BOERNE TX 2025 B/E B/Q 5.00 % Due Mar 1, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #4p. 43
COLORADO EDL & CULTURAL FACS AUTH REV UNIV DENVER NPFG B/E 5.25 % Due Mar 1, 2027Bonds$500,001 – $1M–INVESTMENT ACCOUNT #4p. 43
GREEN VLY SPL UTIL DIST TX WTR & WSTWTR SYS REV PRIOR LIEN BAM B/E 7.00 % Due Sep 15, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #4p. 45
OTTUMWA IA RFDG CAP LN NT B/E AGI 4.00 % Due May 1, 2026Bonds$500,001 – $1MInterest $15,001 – $50,000INVESTMENT ACCOUNT #5p. 50
JOPLIN MO SCH BLDG MDDP B/E OID @98.817 3.1% 3.00 % Due Mar 1, 2028Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 59
KENTUCKY INTERLOCAL SCH TRANSN ASSN EQUIP LSE REV COP B/E ST INTRCPT 3.25 % Due Mar 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 59
KURA SUSHI USA INC CL A COMUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #5p. 59
MAINE ST HSG AUTH MTG PURCH SER B REV B/E 2.10 % Due Nov 15, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 60
MARATHON CNTY WI BLDG HLTH CARE PJ 2022B B/E 3.00 % Due Feb 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 60
MARATHON CNTY WI BLDG HLTH CARE PJ 2022B B/E 3.00 % Due Feb 1, 2027Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 60
METROPOLITAN ST LOUIS MO SWR DIST WSTWTR SYS REV RFDG & IMPT C B/E PTC 5.00 % Due May 1, 2046Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 60
OHIO ST HSG FIN AGY RESDNTL MTG REV SER A B/E 5.00 % Due Mar 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 61
OLATHE KS RFDG 227 B/E 3.00 % Due Oct 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 61
ST FRANCOIS CNTY MO CENT SCH DIST R III RFDG 2021 B/E B/Q MDDP 2.00 % Due Mar 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 62
SUMTER 2 SCH FACS INC SC INSTALL PUR RFDG SUMTER SCH DIST REV BAM B/E PTC 5.00 % Due Dec 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 62
WATERLOO IA 2015A B/E 3.00 % Due Jun 1, 2026Bonds$500,001 – $1MInterest $5,001 – $15,000INVESTMENT ACCOUNT #5p. 63
MANSON NTHWST WEBSTER IA CMNTY SCH DIST GENL OBLIG CAP LN AGI B/E B/Q 5.00 % Due Jun 1, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 64
MINNEAPOLIS MN SPL SCH DIST 001 LONG TERM FACS MAINT SER B B/E 5.00 % Due Feb 1, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 64
NORTH TX TWY AUTH REV SYS RFDG SER A B/E 5.00 % Due Jan 1, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 65
NVIDIA CORPUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #5p. 65
PHILADELPHIA PA AUTH INDL DEV CITY AGREEMT REV RFDG ONE BENJAMN B/E 5.00 % Due Feb 15, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 65
SOUTHERN MN MPA SPLY SYS REV RFDG NPFG B/E SER A CAB @12.780 6.7% 0.00 % Due Jan 1, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 66
SWEETWATER CNTY WY SPECIFIC PURP TAX JT PWR BRD SALES & USE REV B/E 6.00 % Due Jun 15, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 67
TEXAS ST AFFORDABLE HSG CORP MLTIFAM HSG REV JUNIPER CREEK APTS B/E 3.75 % Due Jul 1, 2044Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 67
UNIVERSITY TX UNIV REV FING SYS SER D B/E 5.00 % Due Aug 15, 2026Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 67
WASHBURN UNIV TOPEKA KS REV 2021 A 2 B/E CR ENH 4.00 % Due Jul 1, 2027Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 68
WESTFIELD IN HIGH SCH 95 BLDG AD VAL PPTY TAX B REV RFDG B/E ST INTRCPT 5.00 % Due Jan 15, 2027Bonds$500,001 – $1M–INVESTMENT ACCOUNT #5p. 68
CROWDSTRIKE HOLDINGS INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
ARISTA NETWORKS INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
PALO ALTO NETWORKS INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
UBER TECHNOLOGIES INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
APPLOVIN CORPUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
INTUITIVE SURGICAL INCUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
INTEL CORPUnclassified$500,001 – $1M–INVESTMENT ACCOUNT #6p. 71
DANAHER CORPUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 72
AMERICAN TOWER CORPUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 72
GE VERNOVA INCUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 72
HILTON WORLDWIDE HOLDINGS INCUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 73
MCKESSON CORPUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 73
CONSTELLATION ENERGY CORPUnclassified$500,001 – $1MDividend $201 – $1,000INVESTMENT ACCOUNT #6p. 73
AMPHENOL CORP CLASS AUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 73
STRYKER CORPUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 74
HCA HEALTHCARE INCUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 74
MOODY S CORPUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 74
KLA CORPUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 74
INTUIT INCUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 74
DEERE & COUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 75
PARKER HANNIFIN CORPUnclassified$500,001 – $1MDividend $1,001 – $2,500INVESTMENT ACCOUNT #6p. 75
TEXAS INSTRUMENTS INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
TRAVELERS COS INC/THEUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
AMERICAN EXPRESS COUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
OMNICOM GROUP INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
CHUBB LTDUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
EATON CORP PLCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
S&P GLOBAL INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
BOOKING HOLDINGS INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
SCHWAB CHARLES CORPUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 75
BLACKROCK INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 76
CAPITAL ONE FINANCIAL CORPUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 76
ACCENTURE PLCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 76
WELLTOWER INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 76
LOWE S COS INCUnclassified$500,001 – $1MDividend $2,501 – $5,000INVESTMENT ACCOUNT #6p. 76
PNC FINANCIAL SERVICES GROUPUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #6p. 76
AFLAC INCUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #6p. 76
ELEVANCE HEALTH INCUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #6p. 76
DUKE ENERGY CORPUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #6p. 76
ABBOTT LABORATORIESUnclassified$500,001 – $1MDividend $5,001 – $15,000INVESTMENT ACCOUNT #6p. 76

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Amounts are the ranges printed in the filing, not exact figures. In the annual report, value is the range at the end of the reporting period.

Many annual-report entries name only the issuer and do not say whether the holding is a stock or a bond. Entries with a maturity date or coupon are classed as bonds, ETFs and EIFs as funds, and the rest as "unclassified". No tickers are filled in.

Most 278-T reports are scans. Transaction rows were parsed from OCR text (ocr: true), so dates and amounts can be misread. The matching page of the original PDF is authoritative.

The 278-T filed on 2026-08-12 (Trump_2026-08-12_278T.pdf) is an image-only scan with no text layer. It has not been extracted yet and needs OCR or manual entry.

Original filings: OGE 278e 年度报告(2026-06-13) · OGE 278-T 交易报告(Trump_2026-09-08_278T.pdf,OCR)