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Christopher A. Wray

Justice (joined: Aug. 1, 2017)

Director, Federal Bureau of Investigation | Financial Disclosure »

Former Positions Outside Government

Former Compensation Sources

See more financial disclosure details ⬇

Employment Assets

Description Value Income
U.S. brokerage account (cash) $1,001 - $15,000 None (or less than $201)
ishares Russell 2000 ETF $100,001 - $250,000 $2,501 - $5,000
Blackrock Strategic Income Fund $100,001 - $250,000 $2,501 - $5,000
Lord Abbett Inflation Focused Fund $50,001 - $100,000 $5,001 - $15,000
Vanguard Total Bond Mkt Index Fund $15,001 - $50,000 $1,001 - $2,500
DFA US Large Cap Value Fund $100,001 - $250,000 $2,501 - $5,000
Evermore Global Value Fund $50,001 - $100,000 $1,001 - $2,500
Lazard Emerging Mkts Equity Fund $100,001 - $250,000 $1,001 - $2,500
Primecap Odyssey Growth Fund $250,001 - $500,000 $1,001 - $2,500
King & Spalding LLP Cash Balance Pension Plan $500,001 - $1,000,000 $50,001 - $100,000
U.S. brokerage account (cash) $1,001 - $15,000 None (or less than $201)
Advisor Series Trust Semper MBS Total Return Fund $15,001 - $50,000 $2,501 - $5,000
Vanguard Dividend Growth Fund $250,001 - $500,000 $5,001 - $15,000
King & Spalding LLP partnership share $9,241,463
King & Spalding LLP anticipated return of paid-in capital $1,000,001 - $5,000,000 None (or less than $201)
King & Spalding LLP anticipated partnership share $1,000,001 - $5,000,000 None (or less than $201)

Other Income/Assets

Description Value Income
U.S. bank account (cash) $1,001 - $15,000 None (or less than $201)
iShares MSCI Eurozone ETF $1,000,001 - $5,000,000 $15,001 - $50,000
VanEck Vectors Oil Services ETF $50,001 - $100,000 $1,001 - $2,500
WisdomTree Japan Hedged Equity ETF $500,001 - $1,000,000 $15,001 - $50,000
Advisor Series Trust Semper MBS Total Return Fund $500,001 - $1,000,000 $50,001 - $100,000
AQR Managed Futures HV Fund $250,001 - $500,000 None (or less than $201)
Blackrock Strategic Income Fund $500,001 - $1,000,000 $15,001 - $50,000
DFA US Large Value Fund $500,001 - $1,000,000 $15,001 - $50,000
Evermore Global Value Fund $500,001 - $1,000,000 $5,001 - $15,000
JP Morgan US Large Cap Core Plus Fund $500,001 - $1,000,000 $1,001 - $2,500
JP Morgan Large Cap Growth Fund $250,001 - $500,000 None (or less than $201)
Lazard Emerging Mkts Fund $500,001 - $1,000,000 $15,001 - $50,000
Lord Abbett Inflation Focused Fund $100,001 - $250,000 $5,001 - $15,000
Lord Abbett Short Duration Income Fund $250,001 - $500,000 $15,001 - $50,000
Maingate Funds MLP Fund $500,001 - $1,000,000 $50,001 - $100,000
Primecap Odyssey Growth Fund $500,001 - $1,000,000 $5,001 - $15,000
Vanguard Dividend Growth Fund $500,001 - $1,000,000 $15,001 - $50,000
Vanguard Intermediate-Term Tax-Exempt Fund $250,001 - $500,000 $15,001 - $50,000
Vanguard 500 Index Fund $250,001 - $500,000 $5,001 - $15,000
World Funds REMS Intl Real Estate Value Fund $250,001 - $500,000 $2,501 - $5,000
iShares Russell 2000 ETF $250,001 - $500,000 $5,001 - $15,000
Evermore Global Value Fund $50,001 - $100,000 $201 - $1,000
U.S. bank account (cash) $500,001 - $1,000,000 $5,001 - $15,000
U.S. bank account (cash) $100,001 - $250,000 $201 - $1,000
Bank of America Common Stock BAC $1,001 - $15,000 None (or less than $201)
Coca Cola Common Stock KO $50,001 - $100,000 $2,501 - $5,000
Frontier Communications Common Stock FTR None (or less than $1,001) None (or less than $201)
Regions Financial Common Stock RF $15,001 - $50,000 $201 - $1,000
Suntrust Bank Common Stock STI $100,001 - $250,000 $2,501 - $5,000
Verizon Common Stock VZ $1,001 - $15,000 $1,001 - $2,500
VA 529 Savings Plan
AMCAP Fund 529 Plan $1,001 - $15,000 None (or less than $201)
EuroPacfic Growth Fund 529 $1,001 - $15,000 None (or less than $201)
Fundamental Investors Fund 529 $1,001 - $15,000 None (or less than $201)
Smallcap World Fund 529 $1,001 - $15,000 None (or less than $201)
Consolidated Ventures Inc. (the value/income of individual holdings is below the reporting threshold) $1,001 - $15,000 None (or less than $201)
Howell McDowell Management Company LLP (Family Partnership)
Blackrock High Yield Bond Fund $100,001 - $250,000 $5,001 - $15,000
MFC iShares 1-3 yr. credit bond ETF $50,001 - $100,000 $1,001 - $2,500
Chevron Common Stock CVX $1,001 - $15,000 $201 - $1,000
DFA Emerging Markets Core Fund $50,001 - $100,000 $1,001 - $2,500
DFA International Smallcap Fund $15,001 - $50,000 $201 - $1,000
DFA US Smallcap Fund $50,001 - $100,000 $201 - $1,000
MSCI iShares EAFE ETF $50,001 - $100,000 $1,001 - $2,500
Home Depot Common Stock HD $500,001 - $1,000,000 $15,001 - $50,000
Hewlett Packard Enterprises Common Stock HPE $1,001 - $15,000 None (or less than $201)
HP Inc Common Stock HPQ $1,001 - $15,000 None (or less than $201)
Kimberly-Clark Common Stock KMB $15,001 - $50,000 $1,001 - $2,500
Coca Cola Co Common Stock KO $250,001 - $500,000 $15,001 - $50,000
McDonalds Corp Common Stock MCD $100,001 - $250,000 $5,001 - $15,000
MFC Flexshares Stoxx Global Broad Infrastructure ETF $15,001 - $50,000 $1,001 - $2,500
MFB Northern Funds Global Real Estate Fund $50,001 - $100,000 $2,501 - $5,000
MFB Northern Funds US Govt Money Market Fund $1,001 - $15,000 None (or less than $201)
MFB Northern Funds Intl Equity Index Fund $50,001 - $100,000 $2,501 - $5,000
MFB Northern Funds Mid Cap Index Fund $50,001 - $100,000 $201 - $1,000
MFC Flexshares Trust Quality Dividend ETF $50,001 - $100,000 $1,001 - $2,500
Southern Company Common Stock SO $15,001 - $50,000 $1,001 - $2,500
AT&T Common Stock T $15,001 - $50,000 $1,001 - $2,500
MFC Flexshares Trust Boxx 5 YR. Target TIPS ETF $15,001 - $50,000 $201 - $1,000
Verizon Common Stock VZ $1,001 - $15,000 $201 - $1,000
Exxon Mobil Corp Common Stock XOM $100,001 - $250,000 $5,001 - $15,000
Apple Inc. - Common Stock $15,001 - $50,000 $201 - $1,000
AbbVie Inc. $1,001 - $15,000 None (or less than $201)
Abbott Lab $1,001 - $15,000 None (or less than $201)
Accenture plc $1,001 - $15,000 None (or less than $201)
Adobe Systems Incorporated - Common Stock $1,001 - $15,000 None (or less than $201)
Analog Devices, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
Archer-Daniels-Midland Co $1,001 - $15,000 None (or less than $201)
Automatic Data Processing, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
Autodesk, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
Amer Elec Power Co Common Stock $1,001 - $15,000 None (or less than $201)
Aetna Inc $1,001 - $15,000 None (or less than $201)
AFLAC Inc $1,001 - $15,000 None (or less than $201)
Allergan Inc $1,001 - $15,000 None (or less than $201)
American International Group $1,001 - $15,000 None (or less than $201)
Allstate Corp $1,001 - $15,000 None (or less than $201)
Applied Materials Inc $1,001 - $15,000 None (or less than $201)
Amgen Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
American Tower $1,001 - $15,000 None (or less than $201)
Amazon $1,001 - $15,000 None (or less than $201)
Anthem Inc $1,001 - $15,000 None (or less than $201)
Aon plc $1,001 - $15,000 None (or less than $201)
AvalonBay Communities Inc $1,001 - $15,000 None (or less than $201)
Broadcom $1,001 - $15,000 None (or less than $201)
American Express Co $1,001 - $15,000 None (or less than $201)
Boeing Co $1,001 - $15,000 $201 - $1,000
Bank of America Corp $1,001 - $15,000 None (or less than $201)
Baxter Intl Inc $1,001 - $15,000 None (or less than $201)
BB&T Corp $1,001 - $15,000 None (or less than $201)
Becton Dickinson & Co $1,001 - $15,000 None (or less than $201)
Baker Hughes Inc $1,001 - $15,000 None (or less than $201)
Biogen $1,001 - $15,000 None (or less than $201)
The Bank of New York Mellon Corp $1,001 - $15,000 None (or less than $201)
Blackrock Inc Common Stock $1,001 - $15,000 None (or less than $201)
Bristol-Myers Squibb $1,001 - $15,000 $201 - $1,000
Berkshire Hathaway B $1,001 - $15,000 None (or less than $201)
Boston Scientific Corp $1,001 - $15,000 None (or less than $201)
Citigroup Inc $1,001 - $15,000 None (or less than $201)
Caterpillar Inc $1,001 - $15,000 None (or less than $201)
Chubb Corp $1,001 - $15,000 None (or less than $201)
Crown Castle Intl Corp $1,001 - $15,000 None (or less than $201)
Celgene Corp $1,001 - $15,000 None (or less than $201)
Charter Communications, Inc. - Class A Common Stock $1,001 - $15,000 None (or less than $201)
Colgate-Palmolive Co $1,001 - $15,000 None (or less than $201)
Comcast Corporation - Class A Common Stock $1,001 - $15,000 None (or less than $201)
CME Group Inc $1,001 - $15,000 None (or less than $201)
Cummins Inc $1,001 - $15,000 None (or less than $201)
Capital One Financial $1,001 - $15,000 None (or less than $201)
Conoco Phillips $1,001 - $15,000 None (or less than $201)
Costco Wholesale Corp $1,001 - $15,000 None (or less than $201)
Salesforce $1,001 - $15,000 None (or less than $201)
Cisco Systems Inc $1,001 - $15,000 $201 - $1,000
CSX Corp $1,001 - $15,000 None (or less than $201)
CVS Caremark Corp. $1,001 - $15,000 None (or less than $201)
Chevron Corp $1,001 - $15,000 $201 - $1,000
Dominion Resources Inc $1,001 - $15,000 None (or less than $201)
DU Ponte $1,001 - $15,000 None (or less than $201)
Deere & Co $1,001 - $15,000 None (or less than $201)
Discover Financial Services $1,001 - $15,000 None (or less than $201)
Danaher Corp $1,001 - $15,000 None (or less than $201)
Walt Disney Co $1,001 - $15,000 None (or less than $201)
Dow Chemical $1,001 - $15,000 None (or less than $201)
Duke Energy Corp $1,001 - $15,000 None (or less than $201)
Electronic Arts $1,001 - $15,000 None (or less than $201)
eBay Inc. $1,001 - $15,000 None (or less than $201)
Ecolab Inc $1,001 - $15,000 None (or less than $201)
Edison Intl $1,001 - $15,000 None (or less than $201)
Emerson Electric Co $1,001 - $15,000 None (or less than $201)
Enbridge Inc $1,001 - $15,000 None (or less than $201)
EOG Resources $1,001 - $15,000 None (or less than $201)
Equinix, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
Edwards Lifesciences Corp $1,001 - $15,000 None (or less than $201)
Exelon Corp $1,001 - $15,000 None (or less than $201)
Facebook, Inc. - Class A Common Stock $1,001 - $15,000 None (or less than $201)
FedEx Corp $1,001 - $15,000 None (or less than $201)
Fiserv Inc $1,001 - $15,000 None (or less than $201)
Twenty-First Century Fox, Inc $1,001 - $15,000 None (or less than $201)
General Dynamics $1,001 - $15,000 None (or less than $201)
General Electric Co $1,001 - $15,000 $201 - $1,000
Gilead Sciences Inc $1,001 - $15,000 $201 - $1,000
General Mills $1,001 - $15,000 None (or less than $201)
Corning Inc $1,001 - $15,000 None (or less than $201)
General Motors Company $1,001 - $15,000 None (or less than $201)
Alphabet GOOG $1,001 - $15,000 None (or less than $201)
Alphabet GOOGL $1,001 - $15,000 None (or less than $201)
Goldman Sachs Group Inc $1,001 - $15,000 None (or less than $201)
Halliburton Co $1,001 - $15,000 None (or less than $201)
Welltower REIT $1,001 - $15,000 None (or less than $201)
Home Depot Inc $1,001 - $15,000 $201 - $1,000
Honeywell Intl Inc $1,001 - $15,000 None (or less than $201)
Hewlett-Packard Enterprises $1,001 - $15,000 None (or less than $201)
HP Inc $1,001 - $15,000 None (or less than $201)
Humana Inc $1,001 - $15,000 None (or less than $201)
Intl Business Machines Corp $1,001 - $15,000 $201 - $1,000
IntercontinentalExchange $1,001 - $15,000 None (or less than $201)
Intel Corp $1,001 - $15,000 None (or less than $201)
Intl Paper Co $1,001 - $15,000 None (or less than $201)
Ingersoll-Rand Plc $1,001 - $15,000 None (or less than $201)
Intuitive Surgical Inc $1,001 - $15,000 None (or less than $201)
ILL Tool $1,001 - $15,000 None (or less than $201)
Johnson & Johnson $1,001 - $15,000 $201 - $1,000
JP Morgan Chase & Co $1,001 - $15,000 $201 - $1,000
Kraft Heinz $1,001 - $15,000 None (or less than $201)
Kimberly-Clark $1,001 - $15,000 None (or less than $201)
Kinder Morgan Inc $1,001 - $15,000 None (or less than $201)
Coca-Cola Co $1,001 - $15,000 $201 - $1,000
Lilly Eli & Co $1,001 - $15,000 None (or less than $201)
Lockheed Martin $1,001 - $15,000 None (or less than $201)
Lowes $1,001 - $15,000 None (or less than $201)
Lam Research Corp $1,001 - $15,000 None (or less than $201)
Southwest Airlines Co $1,001 - $15,000 None (or less than $201)
Mastercard Inc A $1,001 - $15,000 None (or less than $201)
Marriott International - Class A Common Stock $1,001 - $15,000 None (or less than $201)
McDonald's $1,001 - $15,000 None (or less than $201)
McKesson Corp $1,001 - $15,000 None (or less than $201)
Moody's $1,001 - $15,000 None (or less than $201)
Mondelez International Inc $1,001 - $15,000 None (or less than $201)
Medtronic Inc $1,001 - $15,000 None (or less than $201)
Metlife Inc $1,001 - $15,000 None (or less than $201)
Marsh & McLennan Companies $1,001 - $15,000 None (or less than $201)
3M Co $1,001 - $15,000 None (or less than $201)
Altria Group Inc $1,001 - $15,000 None (or less than $201)
Monsanto Co. $1,001 - $15,000 None (or less than $201)
Marathon Petroleum Corp. $1,001 - $15,000 None (or less than $201)
Merck & Co Inc $1,001 - $15,000 None (or less than $201)
Morgan Stanley $1,001 - $15,000 None (or less than $201)
Microsoft Corp $15,001 - $50,000 $201 - $1,000
Micron Technology Inc $1,001 - $15,000 None (or less than $201)
NextEra Energy Inc $1,001 - $15,000 None (or less than $201)
NetFlix Inc $1,001 - $15,000 None (or less than $201)
NIKE Inc B $1,001 - $15,000 None (or less than $201)
Northrop Grumman Corp $1,001 - $15,000 None (or less than $201)
Norfolk Southern Corp $1,001 - $15,000 None (or less than $201)
Nvidia Corp $1,001 - $15,000 None (or less than $201)
Newell brands $1,001 - $15,000 None (or less than $201)
Omnicom Group $1,001 - $15,000 None (or less than $201)
Oracle Corp $1,001 - $15,000 None (or less than $201)
O Reilly Automotive $1,001 - $15,000 None (or less than $201)
Occidental Petroleum $1,001 - $15,000 None (or less than $201)
The Priceline Group Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
PepsiCo Inc $1,001 - $15,000 $201 - $1,000
Pfizer Inc $1,001 - $15,000 $201 - $1,000
ProLogis Inc $1,001 - $15,000 None (or less than $201)
Philip Morris International $1,001 - $15,000 $201 - $1,000
PNC Finl Services Group $1,001 - $15,000 None (or less than $201)
PPG Industries Inc $1,001 - $15,000 None (or less than $201)
Prudential Financial Inc $1,001 - $15,000 None (or less than $201)
Public Storage $1,001 - $15,000 None (or less than $201)
Phillips 66 $1,001 - $15,000 None (or less than $201)
Praxair Inc $1,001 - $15,000 None (or less than $201)
Pioneer Natural Resources $1,001 - $15,000 None (or less than $201)
Paypal $1,001 - $15,000 None (or less than $201)
QUALCOMM Inc $1,001 - $15,000 None (or less than $201)
Reynolds American Inc $1,001 - $15,000 None (or less than $201)
Raytheon Co $1,001 - $15,000 None (or less than $201)
Starbucks Corp $1,001 - $15,000 None (or less than $201)
Schwab Charles Corp $1,001 - $15,000 None (or less than $201)
Schlumberger Ltd $1,001 - $15,000 None (or less than $201)
Southern Co $1,001 - $15,000 None (or less than $201)
Simon Property Group $1,001 - $15,000 None (or less than $201)
S&P Global Inc. $1,001 - $15,000 None (or less than $201)
SunTrust Banks Inc (GA) $1,001 - $15,000 None (or less than $201)
State Street Corp $1,001 - $15,000 None (or less than $201)
Constellation Brands Inc A $1,001 - $15,000 None (or less than $201)
Stryker Corp $1,001 - $15,000 None (or less than $201)
Sysco Corp $1,001 - $15,000 None (or less than $201)
AT&T Inc $1,001 - $15,000 $201 - $1,000
TE Connectivity Ltd. $1,001 - $15,000 None (or less than $201)
Target Corp $1,001 - $15,000 None (or less than $201)
TJX Cos Inc $1,001 - $15,000 None (or less than $201)
Thermo Fisher Scientific $1,001 - $15,000 None (or less than $201)
Travelers Cos Inc $1,001 - $15,000 None (or less than $201)
Time Warner Inc $1,001 - $15,000 None (or less than $201)
Texas Instruments Inc $1,001 - $15,000 None (or less than $201)
United Health Group $1,001 - $15,000 None (or less than $201)
Union Pacific Corp $1,001 - $15,000 None (or less than $201)
United Parcel Service Inc B $1,001 - $15,000 None (or less than $201)
US Bancorp $1,001 - $15,000 None (or less than $201)
United Technologies Corp $1,001 - $15,000 None (or less than $201)
Visa Inc $1,001 - $15,000 None (or less than $201)
Valero Energy Corp $1,001 - $15,000 None (or less than $201)
Vertex Pharmaceuticals Inc $1,001 - $15,000 None (or less than $201)
Verizon Communications Inc $1,001 - $15,000 $201 - $1,000
Walgreen Co $1,001 - $15,000 None (or less than $201)
Wells Fargo & Co $1,001 - $15,000 $201 - $1,000
Wal-Mart Stores $1,001 - $15,000 None (or less than $201)
Exxon Mobil Corp $1,001 - $15,000 $201 - $1,000
Yahoo Inc $1,001 - $15,000 None (or less than $201)
Yum! Brands Inc $1,001 - $15,000 None (or less than $201)
zimmer biomet $1,001 - $15,000 None (or less than $201)
Family Partnership Bypass Trust (discretionary trust) $139,180
Money Market Fund $1,000,001 - $5,000,000 $15,001 - $50,000
Procter & Gamble $1,001 - $15,000 $201 - $1,000

Employment Agreements and Arrangements

Employer or Party City, State Status and Terms Date
King & Spalding LLP (I have no other defined benefit plan from King & Spalding.) Atlanta, Georgia Following my separation from the firm, I will receive a lump sum distribution of my King & Spalding cash balance pension plan. The firm will not make further contributions after my separation. Aug. 16, 2005
King & Spalding LLP Atlanta, Georgia Pursuant to the partnership agreement, following my withdrawal from the firm, I expect to receive a lump payment returning the capital I paid into my King & Spalding capital account. The payment will be calculated and fixed as of the date of my withdrawal. Aug. 16, 2005
King & Spalding, LLP Atlanta, Georgia Pursuant to the partnership agreement, following withdrawal from the firm, I will receive my final partnership share distribution, to be calculated and fixed as of the date of my withdrawal. I will receive this distribution before I assume my duties. Aug. 16, 2005

Liabilities

Creditor Name Creditor Type Amount Rate Year Incurred
Wells Fargo Mortgage on Personal Residence $1,000,001 - $5,000,000 3.875% 2013

Spouse's Employment Assets

Description Value Income Type Income Amount
iShares MSCI Eurozone ETF $1,001 - $15,000 $201 - $1,000

Do you know something about Christopher A. Wray? Send us an email at [email protected] or send a Signal message to 347-244-2134.

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