Andrew Rapp

Reported Asset Values
$3.6M–$15M

The data on this page comes from a financial disclosure filed by Andrew Rapp, who was picked to be: Senior Advisor, Department of Energy in January, 2025. It is part of a collection of thousands of ethics documents ProPublica has been collecting from across the Trump administration.

Roles Outside Government

Officials are required to disclose paid or unpaid positions they hold or recently held outside the federal government, including roles as officer, director, trustee or employee. (Form 278e, Part 1)

OrganizationPosition heldEndnoteLine No.
Petrie PartnersPartner, 8/2011 - 1/20251
Employment Assets

Officials are required to disclose assets associated with their employment, including salary, retirement accounts, stocks, intellectual property and awards or prizes. (Form 278e, Part 2)

DescriptionValueIncomeIncome TypeEndnoteLine No.
Petrie Partners (Investment Banking)$5.4MSalary/Bonus1
Petrie Partners 401(k)2
SSGA Target Retire 2040 Fund$250K - $500KNone (or less than $201)2.1
Employment Agreements

Officials are required to disclose agreements relating to other jobs, including what will happen with any small businesses they own during government service and any continued health care coverage, planned leaves of absence, severance or bonuses. (Form 278e, Part 3)

OrganizationAgreementEndnoteLine No.
Petrie PartnersI continue to participate in this defined contribution plan. The plan sponsor ceased making contributions at my separation. (2012-01-01)1
Compensation

Officials are required to disclose the sources of any compensation above $5,000 in a year. (Form 278e, Part 4)

OrganizationDescriptionEndnoteLine No.
Petrie PartnersServices as Partner1
Other Assets and Income

Officials are required to disclose other assets and sources of investment income belonging to them, their spouse or their dependent children. These include annuities, bonds, cash, college savings plans, farms, precious metals, real estate, stocks, trusts and wills. (Form 278e, Part 6)

DescriptionValueIncomeIncome TypeEndnoteLine No.
Treasury Trust Fund Institutional Shares (TTTXX)$1M - $5M$15,001 - $50,000Interest1
990286916 ML BANK DEPOSIT PROGRAM$1M - $5M$15,001 - $50,000Interest2
990156937 ML DIRECT DEPOSIT PROGRM$50,001 - $100K$2,501 - $5,000Interest3
Apple, Inc. (AAPL)$500K - $1M$100K - $1MCapital Gains4
Invesco QQQ Trust, Series 1 (QQQ)$100K - $250K$50,001 - $100K5
Bank of America Corp. (BAC)$100K - $250K$15,001 - $50,000Capital Gains6
Tesla, Inc. (TSLA)$100K - $250K$15,001 - $50,000Capital Gains7
SPDR DOW JONES INDUSTRIAL AVERAGE ETF TRUST (DIA)$50,001 - $100K$15,001 - $50,0008
SPDR S&P Oil & Gas Exploration & Production ETF (XOP)$50,001 - $100K$15,001 - $50,000Capital Gains9
Invesco S&P 500 Equal Weight Energy ETF (RSPG)$50,001 - $100K$15,001 - $50,000Capital Gains10
Berkshire Hathaway Inc Class B (BRK.B)$15,001 - $50,000$15,001 - $50,000Capital Gains11
SPDR S&P 500 ETF TRUST (SPY)$15,001 - $50,000$2,501 - $5,00012
ISHARES SELECT DIVIDEND ETF (DVY)$15,001 - $50,000$2,501 - $5,000Capital Gains13
Alerian MLP ETF (AMLP)$15,001 - $50,000$2,501 - $5,000Capital Gains14
Starbucks Corp. (SBUX)$15,001 - $50,000$2,501 - $5,000Capital Gains15
Emerson Electric Co. (EMR)$1,001 - $15,000$1,001 - $2,500Capital Gains16
The Home Depot, Inc. (HD)$1,001 - $15,000$1,001 - $2,500Capital Gains17
Corteva, Inc. (CTVA)$1,001 - $15,000$201 - $1,000Capital Gains18
JPMorgan Chase & Co. (JPM)$1,001 - $15,000$1,001 - $2,500Capital Gains19
International Business Machines Corp. (IBM)$1,001 - $15,000$1,001 - $2,500Capital Gains20
The Williams Cos., Inc. (WMB)$1,001 - $15,000$1,001 - $2,500Capital Gains21
Gilead Sciences, Inc. (GILD)$1,001 - $15,000$1,001 - $2,500Capital Gains22
Kinder Morgan, Inc. (KMI)$1,001 - $15,000$1,001 - $2,500Capital Gains23
DuPont de Nemours, Inc. (DD)$1,001 - $15,000$1,001 - $2,500Capital Gains24
Welltower, Inc. (WELL)$1,001 - $15,000$1,001 - $2,500Capital Gains25
Medtronic PLC (mdt)$1,001 - $15,000$1,001 - $2,500Capital Gains26
Synchrony Financial (SYF)$1,001 - $15,000$201 - $1,000Capital Gains27
AstraZeneca PLC American Depositary Shares (AZN)$1,001 - $15,000$1,001 - $2,500Capital Gains28
Consolidated Edison, Inc. (ED)$1,001 - $15,000$1,001 - $2,500Capital Gains29
Simon Property Group, Inc. (SPG)$1,001 - $15,000$1,001 - $2,500Capital Gains30
Truist Financial Corporation Common Stock (TFC)$1,001 - $15,000$1,001 - $2,500Capital Gains31
Broadcom, Inc. (AVGO)$1,001 - $15,000$1,001 - $2,500Capital Gains32
Xcel Energy, Inc. (XEL)$1,001 - $15,000$1,001 - $2,500Capital Gains33
Blue Owl Capital Inc. Class A Common Stock (OWL)$1,001 - $15,000$201 - $1,000Capital Gains34
Eli Lilly & Co. (LLY)$1,001 - $15,000$201 - $1,000Capital Gains35
Texas Instruments Incorporated (TXN)$1,001 - $15,000$201 - $1,000Capital Gains36
Wells Fargo & Co. (WFC)$1,001 - $15,000$1,001 - $2,500Capital Gains37
General Dynamics Corp. (GD)$1,001 - $15,000$201 - $1,000Capital Gains38
AT&T Inc (t)$1,001 - $15,000$1,001 - $2,500Capital Gains39
BlackRock, Inc. (BLK)$1,001 - $15,000$201 - $1,000Capital Gains40
American Express Co. (AXP)$1,001 - $15,000$1,001 - $2,500Capital Gains41
Hewlett-Packard Enterprise Co. (HPE)$1,001 - $15,000$1,001 - $2,500Capital Gains42
PepsiCo, Inc. (PEP)$1,001 - $15,000$1,001 - $2,500Capital Gains43
Realty Income Corp. (O)$1,001 - $15,000$201 - $1,000Capital Gains44
Digital Realty Trust, Inc. (DLR)$1,001 - $15,000$1,001 - $2,500Capital Gains45
HCA Healthcare, Inc. (HCA)$1,001 - $15,000$201 - $1,000Capital Gains46
GOOGL ALPHABET INC SHS CL A$1,001 - $15,000$201 - $1,000Capital Gains47
Raytheon Technologies Corporation Common Stock (RTX)$1,001 - $15,000$1,001 - $2,500Capital Gains48
McDonald's Corp. (MCD)$1,001 - $15,000$201 - $1,000Capital Gains49
Walmart, Inc. (WMT)$1,001 - $15,000$1,001 - $2,500Capital Gains50
Dow, Inc. (DOW)$1,001 - $15,000$201 - $1,000Capital Gains51
ALL ALLSTATE CORP DEL COM$1,001 - $15,000$1,001 - $2,500Capital Gains52
Principal Financial Group, Inc. (PFG)$1,001 - $15,000$1,001 - $2,500Capital Gains53
HP, Inc. (HPQ)$1,001 - $15,000$1,001 - $2,500Capital Gains54
Freeport-McMoRan, Inc. (FCX)$1,001 - $15,000$1,001 - $2,500Capital Gains55
Target Corp. (TGT)$1,001 - $15,000$201 - $1,000Capital Gains56
Public Service Enterprise Group, Inc. (PEG)$1,001 - $15,000$201 - $1,000Capital Gains57
Exxon Mobil Corp. (XOM)$1,001 - $15,000$1,001 - $2,500Capital Gains58
D.R. Horton, Inc. (DHI)$1,001 - $15,000$1,001 - $2,500Capital Gains59
Eaton Corp. Plc (ETN)$1,001 - $15,000$1,001 - $2,500Capital Gains60
Microsoft Corp. (MSFT)$15,001 - $50,000$2,501 - $5,000Capital Gains61
UnitedHealth Group, Inc. (UNH)$1,001 - $15,000$201 - $1,000Capital Gains62
General Motors Co. (GM)$1,001 - $15,000$201 - $1,000Capital Gains63
Ford Motor Co. (F)$1,001 - $15,000$201 - $1,000Capital Gains64
Nextera Energy, Inc. (NEE)$1,001 - $15,000$201 - $1,000Capital Gains65
New World Fund, Inc Class A Shares (NEWFX)$50,001 - $100K$15,001 - $50,00066
Cohen & Steers MLP & Energy Opportunity Fund, Inc Class C Shares (MLOCX)$15,001 - $50,000$5,001 - $15,00067
Cohen & Steers Limited Duration Preferred and Income Fund, Inc (LDP)$50,001 - $100K$2,501 - $5,00068
Nuveen High Yield Municipal Bond Fund Class I Shares (NHMRX)$100K - $250K$15,001 - $50,00069
PIMCO High Yield Municipal Bond Fund Class I-2 Shares (PYMPX)$100K - $250K$15,001 - $50,00070
17327CAV5 CITIGROUP INC JR SUBORDNTD SER FF GLB VAR% PERPETUAL$15,001 - $50,000$1,001 - $2,500Interest71
95002YAA1 WELLS FARGO & COMPANY JR SUBORDINATED GLB VAR% PERPETUAL$15,001 - $50,000$1,001 - $2,500Interest72
GOLD99 GOLDMAN SACHS GROUP INC JR SUBORDINATED SER X VAR% PERPETUAL$15,001 - $50,000$1,001 - $2,500Interest73
NEXT54 NEXTERA ENERGY CAPITAL COMPANY GUARNT GLB VAR%JUN 15 2054$15,001 - $50,000$1,001 - $2,500Interest74
CHSCL CHS INC CLASS CUM REDEEMABLE PFD STK 7.50% SERIES 4 PERPETUAL$15,001 - $50,000$1,001 - $2,500Dividends75
SOJF THE SOUTHERN COMPANY SER 2025A JR SUB NOTES 6.50% CUM DUE 3/15/2085$1,001 - $15,000$201 - $1,000Dividends76
ESGRP ENSTAR GROUP LTD NEW MONEY SER D VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends77
USBPRH US BANCORP SHRS REP 1/1000 SHR SR B FLTR PERP NON CUM$1,001 - $15,000$201 - $1,000Dividends78
ATHPRC ATHENE HOLDING LTD FXD RT RESET PREF SHS 6.375%NON-CUM SER C PERP$1,001 - $15,000$201 - $1,000Dividends79
CRBD COREBRIDGE FINCL INC JR SUBORDINATED NOTES 6.375% DUE 12/15/2064$1,001 - $15,000$201 - $1,000Dividends80
FITBI FIFTH THIRD BANCORP FIXED- FLOAT RATE SER I 6.625% NON-CUM PERPETUAL$1,001 - $15,000$201 - $1,000Dividends81
GSPRD GOLDMAN SACHS GROUP INC NEW MONEY SER D FLT% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends82
EQHPRC EQUITABLE HOLDINGS INC NON- CUM PFD STK SERIES C 4.30% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends83
MSPRO MORGAN STANLEY NON-CUM PFD STK SER O 04.250% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends84
SCEPRJ SCE TRUST IV NEW MONEY SER J VAR% PERPETUAL$1,001 - $15,000None (or less than $201)Dividends85
TPRA AT&T INC CUM PREFERRED STOCK 5.00% PERP SERIES ANone (or less than $1,001)None (or less than $201)Dividends86
KKRS KKR GROUP FINC CO IX LLC SUBORDINATED NOTES 4.625% DUE 4/1/2061$1,001 - $15,000$201 - $1,000Dividends87
KEYPRL KEYCORP FXD-RATE RESET NON CUM 6.20% PFD STK SER H PERP$1,001 - $15,000$201 - $1,000Dividends88
WCCPRA WESCO INTL INC SER A CUM PFD STK$1,001 - $15,000$201 - $1,000Dividends89
KIMPRM KIMCO REALTY CORP CUM REDEEMABLE PFD SHS 5.25% CLASS M PERPETUAL$1,001 - $15,000$201 - $1,000Dividends90
MSPRE MORGAN STANLEY FIXED-FLTG SER E NON-CUM 7.125% PFD STK PERPETUAL$1,001 - $15,000$201 - $1,000Dividends91
SCHWPRD CHARLES SCHWAB CORP NON-CUM PFD STK SER D 5.95% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends92
BNH BROOKFIELD FINANCE INC SUBORDINATED NOTES 4.625% DUE 10/16/2080$1,001 - $15,000$201 - $1,000Dividends93
USBPRS US BANCORP NON-CUM PFD STK SER O 04.500% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends94
BEPH BROOKFIELD BRP HOLDINGS SUBORDINATED NOTES 04.625% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends95
ATHPRA ATHENE HOLDING LTD NEW MONEY SER A VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends96
JPMPRJ JPMORGAN CHASE & CO NEW MONEY SER GG 04.750% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends97
NSAPRA NATIONAL STORAGE AFFILIA NEW MONEY SER A 06.000% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends98
USBPRQ U.S. BANCORP SER L NON-CUM PFD STK 3.75% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends99
TFCPRR TRUIST FINANCIAL CORP NON- CUM PFD STK SER R 04.750% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends100
TPGXL TPG OPERATING GRP II LP FXD- RTE JR. SUB NOTE 6.95% CUM DUE 3/15/2064$1,001 - $15,000$201 - $1,000Dividends101
AEFC AEGON FUNDING CO LLC CUM SUB NOTES 5.10% 12/15/2049$1,001 - $15,000$201 - $1,000Dividends102
DBRGPRJ DIGITALBRIDGE GROUP INC CUM PFD STK 07.125% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends103
MSPRF MORGAN STANLEY FIX-FLT PFD STK SER F 6.875% NON-CUM PERPETUAL$1,001 - $15,000$201 - $1,000Dividends104
METPRE METLIFE INC NON-CUM PFD STK SER E 05.625% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends105
SCEPRK SCE TRUST V NEW MONEY SER K VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends106
WRBPRF W.R. BERKLEY CORP CUM SUBORDINATED NTS 5.10% DUE 12/30/2059$1,001 - $15,000$201 - $1,000Dividends107
AQNB ALGONQUIN PWR & UTILITY FXD- FLT SUB NT SR 2019-A 6.20% DUE 07/01/2079$1,001 - $15,000$201 - $1,000Dividends108
ALLPRH THE ALLSTATE CORP NON-CUM PFD STK SER H 05.100% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends109
METPRF METLIFE INC NON-CUM PFD STK SER F 04.75% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends110
ATHPRD ATHENE HOLDING LTD NON-CUM PREF STK SER D 04.875% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends111
ATHPRE ATHENE HOLDING LTD FXD-RTE RESET NON-CUM 7.75% SER E PRF SHS PER$1,001 - $15,000$201 - $1,000Dividends112
MTBPRJ M&T BANK CORP NON-CUM PFD STK SER J 7.50% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends113
WFCPRC WELLS FARGO & CO NON CUM CLASS A PFD STK 4.375% SER CC PERPETUAL$1,001 - $15,000$201 - $1,000Dividends114
WFCPRA WELLS FARGO & CO NON CUM CLASS A PFD STK 4.70% SER AA PERPETUAL$1,001 - $15,000$201 - $1,000Dividends115
MGRE AFFILIATED MGRS GRP INC JUNIOR SUB NOTES 6.75% DUE 3/30/2064$1,001 - $15,000$201 - $1,000Dividends116
TBB AT&T INC GLOBAL NOTES 05.350% NOV 01 2066$1,001 - $15,000$201 - $1,000Dividends117
JPMPRM JPMORGAN CHASE & CO NON CUM PFD STK SER MM 04.200% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends118
WFCPRZ WELLS FARGO & CO NON-CUM CLASS A PFD STK 4.75% SER Z PERPETUAL$1,001 - $15,000$201 - $1,000Dividends119
ALLPRJ ALLSTATE CORP NON-CUM PFD STK SER J 7.375% FXD RTE PERP$1,001 - $15,000$201 - $1,000Dividends120
MSPRI MORGAN STANLEY NEW MONEY SER I VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends121
PSAPRL PUBLIC STORAGE CUM PFD SHS SERIES L 04.625% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends122
JPMPRC JPMORGAN CHASE & CO NON- CUM PFD STK SER EE 6.00% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends123
RNRPRF RENAISSANCERE HLDGS SERIES F PREF SHARES 5.75% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends124
RZC REINSURANCE GRP OF AMER FXD- RT RESETS SUBORD NTE 7.125% DUE OCT 15 2052$1,001 - $15,000$201 - $1,000Dividends125
RFPRC REGIONS FINANCIAL CORP NEW MONEY SER C VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends126
WRBPRE BERKLEY (WR) CORPORATION SUB DEBENTURE 05.700% MAR 30 2058$1,001 - $15,000$201 - $1,000Dividends127
USBPRP U.S.BANCORP NON-CUM PFD STK SER K 5.50% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends128
PSAPRP PUBLIC STORAGE CUM PFD SHS SERIES P 4.00% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends129
JPMPRD JP MORGAN CHASE & CO NON- CUM PFD STK SER DD 5.75% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends130
SOJD THE SOUTHERN CO SER 2020A JR SUB NOTES 4.95% 1/30/2080$1,001 - $15,000$201 - $1,000Dividends131
MSPRK MORGAN STANLEY NEW MONEY SER K VAR% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends132
APOS APOLLO GLOBAL MANAGEMENT CUM FXD RT RESETTABLE JR 7.625% DUE 9/15/2053$1,001 - $15,000$201 - $1,000Dividends133
JPMPRK JPMORGAN CHASE & CO NON- CUM PREFERRED STK 4.55% SER JJ PERPETUAL$1,001 - $15,000$201 - $1,000Dividends134
MSPRP MORGAN STANLEY NEW MONEY SER P 06.500% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends135
NEEPRN NEXTERA ENERGY CAP CUM JR SUB DEB SER N 5.65% DUE 3/1/2079$1,001 - $15,000$201 - $1,000Dividends136
ACGLO ARCH CAPITAL GROUP LTD NON- CUM PFD SHARES SER F 5.45% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends137
FPRC FORD MOTOR COMPANY SENIOR UNSECURED NOTES 06.000% DEC 01 2059$1,001 - $15,000$201 - $1,000Dividends138
MGR AFFILIATED MGRS GRP CUM JR SUB NOTES 5.875% DUE 3/30/2059$1,001 - $15,000$201 - $1,000Dividends139
LNCPRD LINCOLN NATL CORPORATION NON- CUM SERIES D 9.000% PERPETUAL PFD STK$1,001 - $15,000$201 - $1,000Dividends140
CMSA CMS ENERGY CORP JR. SUB NOTES 5.625% DUE 3/15/2078$1,001 - $15,000$201 - $1,000Dividends141
RNRPRG RENAISSANCERE HLDGS LTD NON-CUM PREFERENCE SHS 4.20% SER G PERPETUAL$1,001 - $15,000$201 - $1,000Dividends142
JPMPRL JP MORGAN CHASE & CO NON- CUM PFD STK SER LL 4.625% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends143
ACGLN ARCH CAPITAL GROUP LTD NON- CUM PFD SHS SER G 4.55% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends144
MSPRQ MORGAN STANLEY NEW MONEY SER Q 06.625% PERPETUAL$15,001 - $50,000$201 - $1,000Dividends145
American Financial Group Inc. 5.875% Subordinated Debentures due 2059 (AFGB)$1,001 - $15,000$201 - $1,000Dividends146
AXSPRE AXIS CAPITAL HLDGS LTD NON- CUM PREFERRED SHARES 5.50% SERIES E PERPETUAL$1,001 - $15,000$201 - $1,000Dividends147
SREA SEMPRA ENERGY JUNIOR SUB NOTES 5.75% DUE 07/1/2079$1,001 - $15,000$201 - $1,000Dividends148
SCEPRM SCE TRUST VII $25 TRUST PREF SEC SER M 07.500% PERPETUAL$1,001 - $15,000$201 - $1,000Dividends149
CMS Energy Corporation 5.875% Junior Subordinated Notes due 2079 (CMSD)$1,001 - $15,000$201 - $1,000Dividends150
Cash Account US Banking Institution #1$15,001 - $50,000None (or less than $201)151
Cash Account U.S. Banking Institution #2$15,001 - $50,000None (or less than $201)152

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