
About Brad R. Wenstrup
Brad R. Wenstrup is a Republican who served as a U.S. representative from Ohio from January 3, 2013, to January 3, 2025. Born June 17, 1958, he is a physician and Army Reserve officer who represented Ohio in the House of Representatives for six terms. During his tenure in Congress, he participated in House legislative work on national security and health policy issues.
Brad R. Wenstrup reported 1 disclosed stock trade during the 2023–2025 congressional term, placing him among the least active traders in Congress. His filings show an estimated trading volume of about $0.0M. The single reported transaction was a sale of LNXW, with no reported purchases, resulting in a 0-to-1 buy/sell ratio. With only one disclosed trade and no sector diversification, his trading activity was minimal compared with most members who report multiple transactions.
Brad R. Wenstrup's Trades
Trading Activity
| Date | Asset | Type | Amount |
|---|---|---|---|
| 2012-12-10 | IRA 1/2 Altegris Managed Futures Strategy Fund (Spart)FUND | sell | $1K-$15K |
| 2012-12-01 | TEVA | buy | $1K-$15K |
| 2012-12-01 | XLK | sell | $1K-$15K |
| 2012-12-01 | SDY | sell | $1K-$15K |
| 2012-12-01 | SPY | sell | $1K-$15K |
| 2012-12-01 | Pioneer Oak Ridge Small Cap Growth Fund Class AFUND | sell | $1K-$15K |
| 2012-12-01 | Pimco All AssetsOTHE | buy | $1K-$15K |
| 2012-12-01 | Pimco All AssetsOTHE | sell | $1K-$15K |
| 2012-12-01 | ORCL | sell | $1K-$15K |
| 2012-12-01 | MSFT | buy | $1K-$15K |
| 2012-12-01 | MRK | buy | $1K-$15K |
| 2012-12-01 | IRA, 2 J.P. Morgan Strategic Income Opportunities Fund (JSOAX)FUND | buy | $1K-$15K |
| 2012-12-01 | APA | buy | $1K-$15K |
| 2012-12-01 | ADI | buy | $1K-$15K |
| 2012-12-01 | IRA 1/2 Altegris Managed Futures Strategy Fund (MFTX)FUND | buy | $1K-$15K |
| 2012-10-12 | West Chester TwpOTHE | buy | $15K-$50K |
| 2012-08-02 | IRA 1/2 Altegris Managed Futures Strategy Fund (MFTX)FUND | sell | $1K-$15K |
| 2012-06-02 | IRA 1/2 Altegris Managed Futures Strategy Fund (MFTX)FUND | sell | $1K-$15K |
| 2012-04-10 | MET | buy | $1K-$15K |
| 2012-03-12 | Kings Local Sch Dist OH Ser B 3.5% 12/1/12BOND | sell | $1K-$15K |
| 2012-03-12 | Coastal BST of FLO FL US 2.2% 1/20/42 fixed rate CDBOND | sell | $15K-$50K |
| 2012-03-12 | Akron OH Sp Assmt-FSA 3.35% 12/1/12BOND | sell | $1K-$15K |
| 2012-01-13 | Northeastern High Field MRI LLC (Interest in private medical imaging facility, Cincinnati, OH)FUND | sell | $1K-$15K |
| 2012-01-04 | TMO | buy | $1K-$15K |
| 2012-01-04 | MRK | buy | $1K-$15K |
| 2007-11-12 | PFF | buy | $1K-$15K |
| 2007-11-12 | Calamos Conv and High Income (CHY)OTHE | buy | $1K-$15K |
| 2007-10-12 | Gen Elec Cap Corp 1.625% 7/2/15BOND | buy | $15K-$50K |
| 2006-01-12 | North Union OH 1.5% 12/1/17BOND | buy | $15K-$50K |
| 2005-09-12 | Ohio St. High Edu Fac 3.0% 1/1/24MUNI | buy | $1K-$15K |
| 2005-08-12 | Kenton Cnty KY 4.0% 3/1/14BOND | buy | $1K-$15K |
| 2005-08-12 | Dayton OH City Sch 2.5% 12/1/18BOND | buy | $15K-$50K |
| 2004-10-12 | IRA2/ Goldman Sachs Bk USA 5.0% Fixed Rate CDBOND | sell | $1K-$15K |
| 2004-10-12 | IRA2/ GE Cap Corp 6.1% Due 11/15/32BOND | sell | $1K-$15K |
| 2004-10-12 | IRA2/Citigroup Capital VIII 7.125% due 7/31/13BOND | sell | $15K-$50K |
| 2004-09-12 | Putnam Floating Rate Income Fund Class COPTI | sell | $15K-$50K |
| 2004-09-12 | JP Morgan Strategic Income OpportunitiesOTHE | sell | $15K-$50K |
| 2004-09-12 | Eaton Vance Floating Rate Fund CICFUND | sell | $1K-$15K |
| 2004-04-12 | XLV | buy | $15K-$50K |
| 2004-01-12 | JNJ | buy | $1K-$15K |
| 2002-10-12 | VXX | buy | $1K-$15K |
| 2002-08-12 | VXX | sell | $1K-$15K |
| 2002-08-12 | VXX | buy | $1K-$15K |
| 2001-12-12 | IRA1, 2 WFEVG Emerging Markets Equity Fund (EMGAX)FUND | sell | $1K-$15K |
| 2001-12-12 | IRA1, 2 Wells Fargo Advantage Endeavor Select (STAEX)OTHE | sell | $15K-$50K |
| 2001-12-12 | PIMCO Investment Sector Short Term Bond Fund ABOND | buy | $1K-$15K |
| 2001-12-12 | VFH | sell | $1K-$15K |
| 2001-12-12 | USB | sell | $1K-$15K |
| 2001-12-12 | JNJ | buy | $1K-$15K |
| 2001-12-12 | INTC | buy | $1K-$15K |
Estimated current holdings
Derived from disclosed buys minus sells at range midpoints. Positions opened before disclosure records began, or reported only in ranges, make this an estimate of direction and scale, not a brokerage statement.