John O'Bannon

John O'Bannon III served in the House of Delegates from 2001 to 2018 (HD73).
Republican

Conflicts of Interest Disclosure : Securities, Mutual Funds, Investments

John O'Bannon reported the following investments:

Investment Type Value
Abbvie Stock $5,001 to $50,000
Albemarle Corp Stock $5,001 to $50,000
Altria Stock $5,001 to $50,000
American Water Works Co Inc Stock $5,001 to $50,000
Anthem (WLP) Stock $5,001 to $50,000
Appalachian Power Co
(Stock ownership in AEP)
Stock $5,001 to $50,000
Apple Inc (AAPL) Stock $5,001 to $50,000
AT&T (T) Stock $5,001 to $50,000
Avangrid Inc Stock $5,001 to $50,000
Bank of America Stock $5,001 to $50,000
Blackstone Capital Stock $5,001 to $50,000
Boeing Co (BA) Stock $5,001 to $50,000
Brookfield Stock $5,001 to $50,000
CBS Broadcasting Inc (CBS) Stock $5,001 to $50,000
Dominion Energy (D) Stock $5,001 to $50,000
Dominion Energy (D) Stock $5,001 to $50,000
Dominion Midstream Partners Stock $5,001 to $50,000
Dow Chemical Co Stock $5,001 to $50,000
DTE Energy Stock $5,001 to $50,000
EPR Properties Stock $5,001 to $50,000
Eversource Energy Stock $5,001 to $50,000
Facebook/Meta Stock $5,001 to $50,000
Ford Motor Co Stock $5,001 to $50,000
FS Investment Corp Stock $5,001 to $50,000
General Dynamics Stock $5,001 to $50,000
GlaxoSmithKline Stock $5,001 to $50,000
Google/Alphabet (GOOG) Stock $5,001 to $50,000
Kimberly Clark Corp Stock $5,001 to $50,000
Kraft Heinz Co Stock $5,001 to $50,000
Lamar Corp Stock $5,001 to $50,000
Lockheed Martin Stock $5,001 to $50,000
National Health Investors Stock $5,001 to $50,000
Pacific Gas and Electric Corp Stock $5,001 to $50,000
Paychex Inc Stock $5,001 to $50,000
Pepsi-Cola Co Stock $5,001 to $50,000
Raytheon Co Stock $5,001 to $50,000
Realty Income Corp (O) Stock $5,001 to $50,000
Southern Company Stock $5,001 to $50,000
Southwest Airlines Stock $5,001 to $50,000
UnitedHealth Group Stock $5,001 to $50,000
United Technologies Corp Stock $5,001 to $50,000
Vector Group Stock $5,001 to $50,000
Verizon (VZ) Stock $5,001 to $50,000
Walt Disney Co Stock $5,001 to $50,000
Wells Fargo Bank Stock $5,001 to $50,000
XCEL Energy Corp (XEL) Stock $5,001 to $50,000
Yum Brands Stock $5,001 to $50,000
BGC Partners Inc. Bond $50,001 - $250,000
Buckeye Partners LP Bond $50,001 - $250,000
City of Norfolk Bond $5,001 to $50,000
Continental Resources Inc Bond $50,001 - $250,000
County of Henrico Bond $5,001 to $50,000
Freeport McMoran Bond $50,001 - $250,000
Ingram Micro Bond $50,001 - $250,000
Jefferies Group Bond $50,001 - $250,000
Juniper Networks Bond $50,001 - $250,000
Mack-Cali Realty LP Bond $50,001 - $250,000
Nabors Industries Inc Bond $50,001 - $250,000
Prospect Capital Bond $50,001 - $250,000
Rowan Companies Bond $50,001 - $250,000
Staples Bond $50,001 - $250,000
Virginia Tech Bond $5,001 to $50,000
Weatherford International Ltd Bond $50,001 - $250,000
Fidelity MSCI Industrials Mutual Fund $5,001 to $50,000
Fidleity MSCI Telecommuncation Svc Mutual Fund $5,001 to $50,000
First Trust Dorsey Wright Focus 5 Mutual Fund $5,001 to $50,000
First Trust Managed Municipal Mutual Fund $5,001 to $50,000
First Trust Preferred Sec. & Inc. Mutual Fund $50,001 - $250,000
First Trust Riverfront Dyn International Mutual Fund $5,001 to $50,000
Lord Abbett Floating Rate Mutual Fund $5,001 to $50,000
Lord Abbett High Yield Mutual Fund $5,001 to $50,000
VanEck Vectors High Yield Municipal Mutual Fund $5,001 to $50,000