David Owen

David Owen has served in the House of Delegates since 2024.
Republican
Currently represents House of Delegates District 57

Conflicts of Interest Disclosure : Securities, Mutual Funds, Investments

David Owen reported the following investments:

Investment Type Value
Abbott Laboratories Stock $5,001 to $50,000
Abbvie Stock $5,001 to $50,000
Accenture Stock $50,001 - $250,000
Adobe Systems Inc Stock $5,001 to $50,000
Advanced Micro Devices Stock $5,001 to $50,000
Agilent Technologies Stock $5,001 to $50,000
Air Products & Chemicals Inc (APD) Stock $5,001 to $50,000
Alexandria Real Estate Equities Inc Stock $5,001 to $50,000
Amazon Stock $50,001 - $250,000
American Express Co Stock $5,001 to $50,000
American Water Works Co Inc Stock $5,001 to $50,000
Amgen Inc Stock $5,001 to $50,000
Amphenol Corp Stock $5,001 to $50,000
Analog Devices Inc Stock $5,001 to $50,000
AON Stock $5,001 to $50,000
Apple Inc (AAPL) Stock More than $250,000
Applied Materials Stock $5,001 to $50,000
Aptiv PLC Stock $5,001 to $50,000
Assurant Inc Stock $5,001 to $50,000
Atlantic Sustainable Infrastructure PLC Stock $50,001 - $250,000
AT&T (T) Stock $5,001 to $50,000
Autodesk Ltd Stock $5,001 to $50,000
Automatic Data Processing Inc Stock $5,001 to $50,000
Bank of America Stock $5,001 to $50,000
Baxter International Inc Stock $5,001 to $50,000
Best Buy Stock $5,001 to $50,000
Blackrock Stock $50,001 - $250,000
Blue Owl Capital Stock $5,001 to $50,000
Boeing Co (BA) Stock $5,001 to $50,000
Booking Holdings Inc Stock $5,001 to $50,000
BorgWarner Inc Stock $5,001 to $50,000
Boston Scientific Stock $5,001 to $50,000
Bristol-Myers Squibb (BMY) Stock $5,001 to $50,000
Broadcom Corp (BRCM) Stock $5,001 to $50,000
Capital One Stock $5,001 to $50,000
Carrier Stock $5,001 to $50,000
Caterpillar Corp Stock $5,001 to $50,000
Cencora Inc Stock $5,001 to $50,000
Charles Schwab Stock $5,001 to $50,000
Chevron (CVX) Stock $50,001 - $250,000
Chubb Insurance Co Stock $5,001 to $50,000
Chubb Insurance Co Stock $5,001 to $50,000
Cigna Corp Stock $5,001 to $50,000
Cigna Corp Stock $5,001 to $50,000
Cisco Systems Inc Stock $5,001 to $50,000
Cisco Systems Inc Stock $5,001 to $50,000
Citigroup (C) Stock $5,001 to $50,000
Citigroup (C) Stock $5,001 to $50,000
Citigroup (C) Stock $5,001 to $50,000
Clearway Energy Inc Stock $50,001 - $250,000
CME Group Stock $5,001 to $50,000
Coca-Cola Co Stock $50,001 - $250,000
Comcast Stock $50,001 - $250,000
ConocoPhillips Co Stock $5,001 to $50,000
ConocoPhillips Co Stock $50,001 - $250,000
Costco Wholesale Club (COST) Stock $5,001 to $50,000
Costco Wholesale Club (COST) Stock $50,001 - $250,000
Cummins Inc Stock $5,001 to $50,000
Cummins Inc Stock $5,001 to $50,000
CVS Health Corp Stock $5,001 to $50,000
CVS Health Corp Stock $5,001 to $50,000
Deckers Outdoor Corporation Stock $5,001 to $50,000
Deckers Outdoor Corporation Stock $5,001 to $50,000
Deere & Co Stock $5,001 to $50,000
Deere & Co Stock $5,001 to $50,000
DIAGEO North America Inc Stock $5,001 to $50,000
DIAGEO North America Inc Stock $5,001 to $50,000
Dominion Energy (D) Stock $5,001 to $50,000
Dominion Energy (D) Stock $5,001 to $50,000
Dover Corp Stock $5,001 to $50,000
Duke Energy Stock $50,001 - $250,000
Duke Energy Stock $5,001 to $50,000
Dupont & Co (DD) Stock $5,001 to $50,000
Dupont & Co (DD) Stock $5,001 to $50,000
Eaton Corp Stock $5,001 to $50,000
Eaton Corp Stock $5,001 to $50,000
eBay Inc (EBAY) Stock $5,001 to $50,000
eBay Inc (EBAY) Stock $5,001 to $50,000
Ecolab Inc Stock $5,001 to $50,000
Ecolab Inc Stock $5,001 to $50,000
Electronic Arts (ERTS) Stock $5,001 to $50,000
Electronic Arts (ERTS) Stock $5,001 to $50,000
Electronic Arts (ERTS) Stock $5,001 to $50,000
Elevance Health Inc Stock $5,001 to $50,000
Elevance Health Inc Stock $5,001 to $50,000
Eli Lilly & Co Stock $50,001 - $250,000
Eli Lilly & Co Stock $5,001 to $50,000
Emerson Electric (EMR) Stock $5,001 to $50,000
Emerson Electric (EMR) Stock $5,001 to $50,000
EOG Resources Inc Stock $5,001 to $50,000
Equinix Inc Stock $5,001 to $50,000
Equinix Inc Stock $5,001 to $50,000
Etsy Stock $5,001 to $50,000
Etsy Stock $5,001 to $50,000
ExxonMobil (XOM) Stock $5,001 to $50,000
Factset Research Systems Stock $5,001 to $50,000
Factset Research Systems Stock $5,001 to $50,000
Ferrari NV Stock $5,001 to $50,000
Fleet Corp Technologies Stock $5,001 to $50,000
Fleet Corp Technologies Stock $5,001 to $50,000
General Dynamics Stock $5,001 to $50,000
General Dynamics Stock $5,001 to $50,000
General Mills (GIS) Stock $5,001 to $50,000
General Motors LLC (GM) Stock $5,001 to $50,000
General Motors LLC (GM) Stock $5,001 to $50,000
Gilead Sciences Stock $5,001 to $50,000
Gilead Sciences Stock $5,001 to $50,000
Google/Alphabet (GOOG) Stock $50,001 - $250,000
Google/Alphabet (GOOG) Stock $50,001 - $250,000
Halliburton Stock $5,001 to $50,000
Halliburton Stock $5,001 to $50,000
Hershey Foods Stock $5,001 to $50,000
Hilton Worldwide (HLT) Stock $5,001 to $50,000
Home Depot Stock $5,001 to $50,000
Home Depot Stock $50,001 - $250,000
Honeywell Inc Stock $5,001 to $50,000
Honeywell Inc Stock $5,001 to $50,000
HP Inc Stock $5,001 to $50,000
HP Inc Stock $5,001 to $50,000
Humana Inc Stock $5,001 to $50,000
IBM Stock $5,001 to $50,000
Illinois Tool Works (ITW) Stock $5,001 to $50,000
Illinois Tool Works (ITW) Stock $5,001 to $50,000
Interpublic Group of Companies Inc Stock $5,001 to $50,000
Intl Flavors & Fragrance Stock $5,001 to $50,000
Intuit Stock $5,001 to $50,000
Invesco Stock $5,001 to $50,000
Jacobs Solutions Stock $5,001 to $50,000
Johnson Controls Inc Stock $5,001 to $50,000
Johnson & Johnson Stock $5,001 to $50,000
Johnson & Johnson Stock $5,001 to $50,000
JP Morgan Chase (JPM) Stock $50,001 - $250,000
JP Morgan Chase (JPM) Stock $5,001 to $50,000
Kenvue Inc Stock $5,001 to $50,000
KKR & Co Inc Stock $5,001 to $50,000
KLA-Tencor Corp (KLAC) Stock $5,001 to $50,000
LAM Research Corp Stock $5,001 to $50,000
Lowes Stock $50,001 - $250,000
Lowes Stock $50,001 - $250,000
Marriott International Inc Stock $5,001 to $50,000
Marsh & McLennan Companies Inc Stock $5,001 to $50,000
Mastercard Stock $5,001 to $50,000
McDonald's Stock $5,001 to $50,000
McKesson Stock $5,001 to $50,000
Medtronic (MDT) Stock $5,001 to $50,000
Medtronic (MDT) Stock $5,001 to $50,000
Merck & Co (MRK) Stock $50,001 - $250,000
Merck & Co (MRK) Stock $50,001 - $250,000
MetLife Stock $5,001 to $50,000
MetLife Stock $50,001 - $250,000
Microsoft Corp Stock $50,001 - $250,000
Mondelez International Stock $5,001 to $50,000
Moody's Corp Stock $5,001 to $50,000
Morgan Stanley Stock $50,001 - $250,000
Morgan Stanley Stock $5,001 to $50,000
NASDAQ Inc Stock $5,001 to $50,000
Nestle USA Inc Stock $5,001 to $50,000
Netflix Inc Stock $5,001 to $50,000
NextEra Energy Stock $5,001 to $50,000
Nike Inc Stock $5,001 to $50,000
Norfolk Southern Corp Stock $5,001 to $50,000
Northrop Grumman Stock $5,001 to $50,000
Nvidia Stock $5,001 to $50,000
NXPSemiconductors Stock $5,001 to $50,000
Occidental Petroleum Corp Stock $5,001 to $50,000
O'Reilly Auto Parts Stock $5,001 to $50,000
Otis Worldwide Corporation Stock $5,001 to $50,000
Owens Corning Stock $5,001 to $50,000
Paccar Inc Stock $5,001 to $50,000
Palo Alto Networks Stock $5,001 to $50,000
Parker Hannifin Stock $5,001 to $50,000
PayPal Stock $5,001 to $50,000
Pepsi-Cola Co Stock $5,001 to $50,000
Pfizer Inc Stock $5,001 to $50,000
Philip Morris International Stock $5,001 to $50,000
PNC Financial Stock $5,001 to $50,000
PPG Industries Stock $5,001 to $50,000
Procter & Gamble Stock $50,001 - $250,000
Progressive Insurance Stock $50,001 - $250,000
Prologis Stock $50,001 - $250,000
Public Service Enterprise Group Stock $5,001 to $50,000
PVH Corp Stock $5,001 to $50,000
Qualcomm Inc (QCOM) Stock $5,001 to $50,000
Rockwell Automation Stock More than $250,000
Ross Dress For Less Stock $5,001 to $50,000
RTX Corp Stock $5,001 to $50,000
SalesForce.com Inc Stock $50,001 - $250,000
Schlumberger Oilfield Services Stock $5,001 to $50,000
Sempra Energy Stock $5,001 to $50,000
ServiceNow Inc Stock $5,001 to $50,000
Sherwin Williams Stock $5,001 to $50,000
Southern Company Stock $5,001 to $50,000
S&P Global Inc Stock $5,001 to $50,000
Starbucks (SBUX) Stock $50,001 - $250,000
Sysco Stock $5,001 to $50,000
Target Stock $5,001 to $50,000
Tesla Motors Stock $5,001 to $50,000
Texas Instruments (TXN) Stock $5,001 to $50,000
Thermo Fisher Scientific, Inc Stock $5,001 to $50,000
TJX Companies Inc Stock $5,001 to $50,000
Toronto Dominion Bank Stock $5,001 to $50,000
Tractor Supply Co Stock $5,001 to $50,000
Ulta Beauty Stock $5,001 to $50,000
Union Pacific Corp Stock $50,001 - $250,000
UnitedHealth Group Stock $50,001 - $250,000
United Parcel Service (UPS) Stock $5,001 to $50,000
United Rentals Stock $5,001 to $50,000
US Bancorp Stock $5,001 to $50,000
Valero Energy Corporation Stock $5,001 to $50,000
Ventas Inc Stock $5,001 to $50,000
Verizon (VZ) Stock $5,001 to $50,000
Vertex Pharmaceuticals Inc Stock $5,001 to $50,000
VISA USA Inc Stock $50,001 - $250,000
Wabtech Corp Stock $5,001 to $50,000
WalMart Stores Inc (WMT) Stock $5,001 to $50,000
Wells Fargo Bank Stock $5,001 to $50,000
Welltower Inc Stock $5,001 to $50,000
Weyerhaeuser (WY) Stock $5,001 to $50,000
W W Grainer Incorp Stock $5,001 to $50,000
XP Inc Stock $5,001 to $50,000
Xylem Stock $5,001 to $50,000
Zoetis Inc Stock $50,001 - $250,000
Bank of New York Mellon Bond - SER MTN GLB VAR%OCT 25 2033 $5,001 to $50,000
Citizens Financial Group Bond - JR SUBORDNTD SER G GLB VAR% PERPETUAL $50,001 - $250,000
Dupont & Co Bond - 04.725% NOV 15 2028 $5,001 to $50,000
Home Depot Bond - GLB 04.500% SEP 15 2032 $5,001 to $50,000
HP Inc Bond - GLB 04.900% OCT 15 2025 $5,001 to $50,000
JP Morgan Chase Bond - GLB VAR%JAN 25 2033 $5,001 to $50,000
Kinder Morgan Inc Bond - GUARNT GLB 02.000% FEB 15 2031 $5,001 to $50,000
MetLife Bond - GLB 04.550% MAR 23 2030 $5,001 to $50,000
Newmont Mining Corp Bond - GUARNT GLB 02.600% JUL 15 2032 $5,001 to $50,000
Northrop Grumman Bond - GLB 04.700% MAR 15 2033 $5,001 to $50,000
United Technologies Corp Bond - 03.950% AUG 16 2025 $5,001 to $50,000
Wells Fargo Bank Bond - SER MTN GLB VAR%JUL 25 2033 $5,001 to $50,000
AG MORTGAGE VALUE PARTICIPATION FUND LLC TRANCHE A (D) Mutual Fund $50,001 - $250,000
ARES STRATEGIC INCOME FUND WHEN ISSUED Mutual Fund $50,001 - $250,000
BANK OF AMERICA, NA RASP Mutual Fund $50,001 - $250,000
BLACKROCK EQTY DIVIDEND FUND INSTL Mutual Fund $50,001 - $250,000
Blackrock Liquidity Fund Mutual Fund More than $250,000
BLACKROCK LIQUIDITY FUNDS TEMPCASH Mutual Fund More than $250,000
BLACKSTONE REAL ESTATE INCOME TRUST INC CLASS S BROKERAGE CLASS Mutual Fund More than $250,000
COMM SERVICES SELECT SECTOR Mutual Fund $5,001 to $50,000
CONSUMER DISCRETIONARY SPDR Mutual Fund $5,001 to $50,000
DELAWARE SMALL CAP CORE FUND CL INSTL Mutual Fund $5,001 to $50,000
DOUBLELINE TOTAL RETURN BOND FUND CL I Mutual Fund $50,001 - $250,000
EATON VANCE FLOATING RATE ADV CL I Mutual Fund $50,001 - $250,000
EDGEWOOD GROWTH FUND CL INST Mutual Fund $5,001 to $50,000
FEDERATE HERMES INSTL TAX FREE CASH TR CL IS Mutual Fund $50,001 - $250,000
FIDELITY MSCI UTILITIES INDEX Mutual Fund $5,001 to $50,000
FIDELITY NATL INFO SVCS INC Mutual Fund $5,001 to $50,000
FIDELITY NATL INFO SVCS INC Mutual Fund $5,001 to $50,000
FIRST TRUST CLOUD COMPUTING ETF Mutual Fund $5,001 to $50,000
GS GQG PARTNERS INTL OPPS FD CL INSTL Mutual Fund $5,001 to $50,000
HAMILTON LANE PRIVATE ASSETS FUND WHEN ISSUED Mutual Fund $50,001 - $250,000
HEALTH CARE SELECT SPDR Mutual Fund $5,001 to $50,000
ISHARES INC CORE MSCI EMERGING MKTS ETF Mutual Fund $50,001 - $250,000
ISHARES INC MSCI EMERGING MKTS EX CHINA Mutual Fund $50,001 - $250,000
ISHARES MBS ETF Mutual Fund $50,001 - $250,000
ISHARES RUSSELL 1000 GROWTH Mutual Fund $50,001 - $250,000
ISHARES RUSSELL 1000 VALUE Mutual Fund $50,001 - $250,000
ISHARES SEMICONDUCTOR ETF Mutual Fund More than $250,000
ISHARES TR CORE MSCI INTL DEVELOPED MKTS Mutual Fund $5,001 to $50,000
ISHARES US TREASURY BOND ETF Mutual Fund $50,001 - $250,000
JLL INCOME PROPERTY TRUST, INC. CLASS A Mutual Fund More than $250,000
KKR CREDIT OPPORTUNITIES PORTFOLIO CLASS U Mutual Fund $50,001 - $250,000
MFS GROWTH FUND CL A Mutual Fund $5,001 to $50,000
MFS VALUE FD CL I Mutual Fund $50,001 - $250,000
ML BANK DEPOSIT PROGRAM Mutual Fund $50,001 - $250,000
NB COINVESTMENT PARTNERS ACCESS FUND IV LP TRANCHE B Mutual Fund $50,001 - $250,000
NUVEEN SHORT DURATION HI YLD MUNI BD FD CLASS A Mutual Fund More than $250,000
OAKMARK INTL FD CL INSTITUTIONAL Mutual Fund $5,001 to $50,000
PIMCO INVESTMENT GRADE CREDIT BOND FD CL I2 Mutual Fund $50,001 - $250,000
SECTOR SPDR CONSMRS STPL Mutual Fund $5,001 to $50,000
SECTOR SPDR ENERGY Mutual Fund $5,001 to $50,000
SECTOR SPDR INDUSTRIAL Mutual Fund $5,001 to $50,000
STARWOOD REAL ESTATE INCOME TRUST INC CLASS S BROKERAGE CLASS Mutual Fund $50,001 - $250,000
VANECK SEMICONDUCTOR ETF Mutual Fund $5,001 to $50,000
VANGUARD FINANCIALS ETF Mutual Fund $5,001 to $50,000
VANGUARD INFORMATION TECH ETF Mutual Fund $5,001 to $50,000
VANGUARD INTERM-TERM GOVT BD Mutual Fund $50,001 - $250,000
VANGUARD LONG-TERM TREASURY ETF Mutual Fund $5,001 to $50,000
VANGUARD MORTGAGE-BACKED SEC Mutual Fund $5,001 to $50,000
VANGUARD RUSSELL 1000 ET GROWTH Mutual Fund $5,001 to $50,000
VANGUARD SCOTTSDALE FDS VANGUARD INTERME Mutual Fund $5,001 to $50,000
VANGUARD TOTAL INTERNATL BOND ETF Mutual Fund $5,001 to $50,000
TPG RISE III ACCESS FUND, L.P. TRANCHE B Other $5,001 to $50,000