
Republican · House · GA
Austin Scott's stock portfolio and returns vs the S&P 500, built from publicly disclosed congressional trades. Simulated using FIFO position matching and time-weighted returns.
Portfolio Value
$35K
Unrealized P&L
-$57K
-62.2%
Realized P&L
-$86K
Open Positions
4
Performance vs S&P 500
1M
-11.2%
SPY -0.8%
α -10.4%
3M
-20.2%
SPY +14.0%
α -34.2%
6M
-7.2%
SPY +7.8%
α -15.0%
1Y
-18.4%
SPY +24.0%
α -42.5%
3Y
+3.0%
SPY +71.9%
α -68.9%
5Y
-65.7%
SPY +76.1%
α -141.9%
All
-78.6%
SPY +181.0%
α -259.6%
Head-to-head with S&P 500
Live Holdings4 positions
About this simulation
This portfolio is a simulation built from publicly disclosed STOCK Act filings. Since politicians only report trade amounts as ranges (e.g., “$1,001 - $15,000”), we use the midpoint of each range and the closing price on the trade date to estimate share counts. Returns are calculated using Time-Weighted Return (TWR), the industry standard for measuring stock-picking skill independent of cash flow timing. Read the full methodology →