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Matthew Yuan-Ching Lin departed Jan. 28, 2019

Health and Human Services (joined: Aug. 20, 2017)

Deputy Assistant Secretary for Minority Health, Office of The Assistant Secretary for Health

Former Positions Outside Government

Former Compensation Sources

See more financial disclosure details ⬇

Employment Assets

Description Value Income
Olivia Joy Investment Corp $4,500,000
911 S. First Street, Alhabra, CA (Corporation Schedule K1 Income) $500,001-$1,000,000 $50,001-$100,000
912 S. First STreet, Alhabra, CA (Corporation Schedule K1 Income) $500,001-$1,000,000 $50,001-$100,000
603 S. Coast Hwy, Laguna Beach, CA (Partnership Schedule K1 Income) $1,000,001-$5,000,000 $50,001-$100,000
Olivia Joy Investment Corp. (50% ownership) (Partnership Schedule K1 Income) $500,001-$1,000,000 $1,000,001-$5,000,000
GEMW Health Investment LP
AHMC Central Health Plan LLC $1,000,001-$5,000,000
Oaklin Management LLC (30% Ownership) $1,000,001-$5,000,000
Advantage Care IPA, Inc (50% ownership) None (or less than $1,001)
Allied physicians of California
Matthew Y C Lin MD Corp. (100% ownership) $500,001-$1,000,000 $100,001-$1,000,000
American Hospital Investment Inc. (50% ownership) (Partnership Schedule K1 Income) $1,000,001-$5,000,000 $100,001-$1,000,000
707 S. Garfield Ave A CA LP (56.5% ownership) (Partnership Schedule K1 Income) $250,001-$500,000 $100,001-$1,000,000
American Hospial Investment Inc. (50% ownership) (Partnership Schedule K1 Income) $1,000,001-$5,000,000 $2,501-$5,000
Garfield & lincoln Property LLC (50% ownership) (Partnership Schedule K1 Income) $500,001-$1,000,000 $15,001-$50,000
Verde Ridge LLC (50% ownership) (Partnership Schedule K1 Income) $250,001-$500,000 None ( or less than $201)
LLV Spring Mountain LLC (12.5% ownership) (Partnership Schedule K1 Income) $100,001-$250,000 $15,001-$50,000
LSG Las Tunas LP (11.50% ownership) (Partnership Schedule K1 Income) $250,001-$500,000 $15,001-$50,000
LLV Jones Desert LP ( 11.50% ownership) $100,001-$250,000 $15,001-$50,000
LHM Bakersfield LP (11.50% ownership) (Partnership K1 Income) $100,001-$250,000 $15,001-$50,000
LHM Oxnard LP (11.50% ownership) $100,001-$250,000 $15,001-$50,000
LFM Bakerfields II, LP (34% ownership) $250,001-$500,000 None ( or less than $201)
Everlin Investment Corp. (50% ownership) $1,001-$15,000 $5,001-$15,000
LSG Santa Anita LLC (10% ownership) $50,001-$100,000 $15,001-$50,000
Sacramento Valley Medical Education LLC (9.91% ownership) $50,001-$100,000 None ( or less than $201)
Capitol Medical Educatioin LLC (1.85% ownership) None (or less than $1,001) None ( or less than $201)
Pacific Ambulatory Surgery Center LP (5.39%) $1,001-$15,000 None ( or less than $201)
Golden Life Healthcare LLC (16.17% ownership) None (or less than $1,001) None ( or less than $201)
LHM Costa Mesa LLC (50% ownership) $1,001-$15,000 None ( or less than $201)
Bank of America/Olivia Joy Investment 401k PSP acct.
Fidelity Government Portolio Inst. class $100,001-$250,000 $201-$1,000
Alphabet Inc (GOOG) $15,001-$50,000 None ( or less than $201)
Amazon.com(AMZN) $15,001-$50,000 None ( or less than $201)
Apple Inc.(AAPL) $1,000,001-$5,000,000 $15,001-$50,000
Cisco Systems Inc (CSCO) $15,001-$50,000 $1,001-$2,500
Corning Inc. (GLW) $15,001-$50,000 $201-$1,000
Facebook Inc. (FB) $250,001-$500,000 None ( or less than $201)
First Trust Down Jones Internet Index Fund (FDN) $50,001-$100,000 None ( or less than $201)
Intel Corp (INTC) $15,001-$50,000 $1,001-$2,500
Ishares Cohen & Steers REIT ETF (ICF) $50,001-$100,000 $1,001-$2,500
Ishares Core S&P 500 ETF (IVV) $250,001-$500,000 $2,501-$5,000
Merck & Co Inc. $50,001-$100,000 $1,001-$2,500
MFS Value Fund (MEIIX) $100,001-$250,000 $1,001-$2,500
Energy Select Sector SPDR ETF (XLE) $1,001-$15,000 None ( or less than $201)
Financial Select Sector SPDR (XLF) $1,001-$15,000 None ( or less than $201)
Technology Select Sector SPDR ETF (XLK) $15,001-$50,000 $201-$1,000
SPDR Dow Jones Industrial Average (DIA) $50,001-$100,000 $1,001-$2,500
Tesla Motors Inc $1,000,001-$5,000,000 None ( or less than $201)
Vanguard Value ETF $50,001-$100,000 $1,001-$2,500
Ishares Core S&P Mid Cap ETF (IJH) $250,001-$500,000 $5,001-$15,000
SPDR S&P Regional BAnking ETF $15,001-$50,000 $201-$1,000
Vanguard REIT ETF $50,001-$100,000 $1,001-$2,500
Cathay General Bancorp. (CATY) $100,001-$250,000 $5,001-$15,000
CEF Ishares Core S&P Small-Cap (IJR) $250,001-$500,000 $2,501-$5,000
Domini International Social Equity Fund (DOMOX) $100,001-$250,000 $2,501-$5,000
Ishares Core MSCI EAFE ETF ((IEFA) $100,001-$250,000 $2,501-$5,000
Wisdomtree Europe Hedge Equity Fund (HEDJ) $15,001-$50,000 $201-$1,000
Wisdomtree Japan Hedged Equity Fund (DZJ) $15,001-$50,000 $201-$1,000
Alibaba Group Holdings Ltd (BABA) $250,001-$500,000 None ( or less than $201)
Columbia Emerging Markets Sonsumer ETF (ECON) $50,001-$100,000 $201-$1,000
Vanguard FTSE Emerging Markets ETF (VWD) $100,001-$250,000 $1,001-$2,500
Wisdomtree Emerging Markets SMallcap Divdend Fund (DGS) $50,001-$100,000 $1,001-$2,500
China Medical Technologies None (or less than $1,001) None ( or less than $201)
Doubleline Core Fixed Income Fund $100,001-$250,000 $2,501-$5,000
PIMCO Income Fund $100,001-$250,000 $5,001-$15,000
Ridgeworth SEIX High Yield Bond Fund $50,001-$100,000 $1,001-$2,500
PIMCO Commodity REalReturn STrategy Fund $15,001-$50,000 $201-$1,000
SPDR Gold ETF $1,001-$15,000 None ( or less than $201)
Bank of AMerica/US Trust Individual IRA $100,000
Fidelity Government Portolio Inst. class $1,001-$15,000 None (or less than $201)
Alphabet Inc (GOOG) $1,001-$15,000 None (or less than $201)
Facebook Inc. (FB) $1,001-$15,000 None (or less than $201)
First Tr. Dow Jones Internet Index Fund (FDN) $1,001-$15,000 None (or less than $201)
Ishares Cohen & Steers REIT ETF (ICF) $1,001-$15,000 $201-$1,000
Ishares Core S&P 500 ETF (IVV) $50,001-$100,000 $1,001-$2,500
Ishares Russell 1000 Growth ETF ( IWF) $1,001-$15,000 None (or less than $201)
MFS Value Fund (MEIIX) $1,001-$15,000 $201-$1,000
Powershares QQQ Tr. Series I (QQQ) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Energy (XLE) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Financial (XLF) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Technology (XLK) $1,001-$15,000 None (or less than $201)
Vanguard Value ETF (VTV) $15,001-$50,000 $201-$1,000
Ishares Core S&P Mid Cap ETF (IJH) $50,001-$100,000 $1,001-$2,500
Ishares NASDAQ Biotechnology ETF (IBB) $1,001-$15,000 None (or less than $201)
Ishares S&P Midcap 400 VAlue Index Fund (IJJ) $15,001-$50,000 $201-$1,000
SPDR S&P Regional Banking ETF (KRE) $1,001-$15,000 None (or less than $201)
Vanguard REIT ETF (VNQ) $1,001-$15,000 $201-$1,000
Cathay General Bancorp. (CATY) $100,001-$250,000 $2,501-$5,000
CEF Ishares Core S&P Small-Cap (IJR) $50,001-$100,000 $1,001-$2,500
Ishares S&P Smallcap 600 Value ETF (IJS) $15,001-$50,000 $201-$1,000
Domini International Social Equity Fund (DOMOX) $15,001-$50,000 $201-$1,000
Ishares Core MSCI EAFE ETF ((IEFA) $15,001-$50,000 $201-$1,000
Wisdomtree Europe Hedged Equity Fund (HEDJ) $1,001-$15,000 $201-$1,000
Wisdomtree Japan Hedged Equity Fund (DXJ) $1,001-$15,000 $201-$1,000
Columbia Emerging Markets Sonsumer ETF (ECON) $15,001-$50,000 None (or less than $201)
Vanguard FTSE Emerginer Markets ETF (VWO) $15,001-$50,000 $201-$1,000
Wisdomtree Emerging Markets SMallcap Divdend Fund (DGS) $15,001-$50,000 $201-$1,000
Ridgeworth SEIX High Yield Bond Fund $1,001-$15,000 $201-$1,000
PIMCO Commodity RealReturn Strategy Fund $1,001-$15,000 None (or less than $201)
SPDR Gold Shares $1,001-$15,000 None (or less than $201)
Royal Vista Properties LLC $500,001-$1,000,000 None (or less than $201)
Royal Vista Care Center LLC $500,001-$1,000,000 None (or less than $201)
Royal Vista Care Properties LLC $500,001-$1,000,000 None (or less than $201)
Royal Vista San Gabraiel $500,001-$1,000,000 None (or less than $201)
AHMC International Cancer Center $500,001-$1,000,000 $1,001-$2,500

Other Income/Assets

Description Value Income
E-Trade individual acct. (spouse)
ETrade BAnk Sweep acct (cash) $1,001-$15,000 None (or less than $201)
Sirius XM Holdings Inc. (SIRI) $1,001-$15,000 None (or less than $201)
Tesla Inc (TSLA) $500,001-$1,000,000 None (or less than $201)
Morgan Stanley Active Assets acct.
Morgan Stanley Bank (cash) $1,001-$15,000 None (or less than $201)
Accuray Inc. (ARAY) $15,001-$50,000 None (or less than $201)
Bank of America Corp. (BAC) $15,001-$50,000 $201-$1,000
Facebook Inc. (FB) $100,001-$250,000 None (or less than $201)
Weatherford International (WFT) $1,001-$15,000 None (or less than $201)
First Commercial Bank USA (cash acct) None (or less than $1,001) None (or less than $201)
AXA $500,001-$1,000,000 $5,001-$15,000
East West Bank (cash acct.) $250,001-$500,000 $201-$1,000
AXA $1,001-$15,000 None (or less than $201)
Mony Life Insurance Company whole life policy (Cash value undetermined.) None (or less than $1,001) $2,501-$5,000
East West Bank (cash acct.) $1,000,001-$5,000,000 $5,001-$15,000

Employment Agreements and Arrangements

Employer or Party City, State Status and Terms Date
Olivia Joy Investments Corp San Marino, California 401 (k) Profit Sharing Plan Jan. 16, 2016

Liabilities

Creditor Name Creditor Type Amount Rate Year Incurred
Bank of America Morgage on Personla Residence $1,000,001-$5,000,000 3.63% 2013
East West Bank Mortgage (investment/rental property) $1,000,001-$5,000,000 4.50% 2006
Chase Bank Mortgage (investment/rental property) $10,001-$15,000 3.13% 1988
Bank of America Mortgage (investment/rental property) $1,000,001-$5,000,000 3.88% 2017

Spouse's Employment Assets

Description Value Income Type Income Amount
Olivia Joy Investment Corp. (Investment) (2016 W2 Salary $ 4,000,000 2017 Jan-May Salary $ 500,000) Salary
Olivia Joy Investment Corp. 50% ownership $5,000,001-$25,000,000 Over $1,000,000
American Hospial Investment Inc 50% ownership $1,000,001-$5,000,000 $100,001-$1,000,000
Life Plaza Center LLC, 50% ownership $1,000,001-$5,000,000 $2,501-$5,000
Garield & Lincoln Property LLC, 50% ownership (Corporation Schedule K1 Income) $500,001-$1,000,000 $15,001-$50,000
Verde Ridge LLC, 50% ownership (Corporation Schedule K1 Income) $250,001-$500,000 None (or less than $201)
LLV Spring Mountain LLC, 12.5% ownership (Corporation Schedule K1 Income) $100,001$250,000 $15,001-$50,000
LSG Las Tunas LP, 11.50% ownership (Partnership Schedule K1 Income) $250,001-$500,000 $15,001-$50,000
LLV Jones Desert LP, 11.50% ownership (Partnership Schedule K1 Income) $100,001$250,000 $15,001-$50,000
LHM Bakersfield LP, 11.50% ownership (Partnership Schedule K1 Income) $100,001$250,000 $15,001-$50,000
LHM Oxnard LP, 11.50% ownership (Partnership Schedule K1 Income) $100,001$250,000 $15,001-$50,000
Everlin Investment Corporation, 50% ownership (Partnership Schedule K1 Income) $1,001-$15,000 $5,001-$15,000
Oaklin Management Inc. (30% ownership) (Partnership Schedule K1 Income) $1,000,001-$5,000,000 Over $1,000,000
Bank of America/US Trust Individual IRA (Partnership Schedule K1 Income)
Fidelity Government Portfolio Inst class $1,001-$15,000 None (or less than $201)
Alphabet Inc (GOOG) $1,001-$15,000 None (or less than $201)
Facebook Inc. (FB) $1,001-$15,000 None (or less than $201)
First Trust Dow Jones Internet Index Fund (FDN) $1,001-$15,000 None (or less than $201)
Ishares Cohen & Streers REIT ETF (ICF) $1,001-$15,000 $201-$1,000
Ishares Core S&P 500 ETF (IVV) $50,001-$100,000 $1,001-$2,5000
Ishares Russell 1000 Growth ETF (IWF) $1,001-$15,000 None (or less than $201)
MFS Value Fund (CLI) $1,001-$15,000 $201-$1,000
Powershares QQQ Trust Ser. 1 (QQQ) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Energy (XLE) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Financial (XLF) $1,001-$15,000 None (or less than $201)
Select Sector SPDR Tr. Technology (XLK) $1,001-$15,000 None (or less than $201)
Vanguard Value ETF (VTV) $15,001-$50,000 $201-$1,000
Ishares Core S&P Mid Cap ETF (IJH) $100,001-$250,000 $1,001-$2,5000
Ishares NASDAQ Biotechnology ETF (IBB) $1,001-$15,000 None (or less than $201)
Ishares S&P Mid Cap 400 Value Index Fund (IJJ) $15,001-$50,000 $201-$1,000
SPDR S&P Regional Banking ETF (KRE) $1,001-$15,000 None (or less than $201)
Vanguard REIT ETF (VNQ) $1,001-$15,000 $1,001-$2,5000
Cathay General BAncorp (CATY) $250,001-$500,000 $5,001-$15,000
CEF Ishares Core S&P Small Cap (IJR) $50,001-$100,000 $1,001-$2,5000
Ishares S&P Smallcap 600 Value ETF (IJs) $15,001-$50,000 $201-$1,000
Domini International Social Equity Fund (DOMOX) $15,001-$50,000 $201-$1,000
Ishares Core MSCI EAFE ETF (IEFA) $15,001-$50,000 $201-$1,000
Wisdomtree Europe Hedged Equity Fund (HEDJ) $1,001-$15,000 $201-$1,000
Wisdomtree Japan Hedged Equity Fund (DXJ) $15,001-$50,000 $201-$1,000
Columbia Emerging Markets Consumer ETF (ECON) $15,001-$50,000 None (or less than $201)
Vanguard FTSE Emerging Markets ETF (VWO) $15,001-$50,000 $201-$1,000
Wisdomtree Emerging Markets Smallcap Dividend Fund (DGS) $15,001-$50,000 $201-$1,000
Rigeworth SEIX High Yield Bond Fund ( $1,001-$15,000 $201-$1,000
PIMCO Commodity RealReturn Strategy Fund $1,001-$15,000 None (or less than $201)
LSG Santa Anita, LLC (10% ownership) (Partnership Schedule K1 Income) $50,001-$100,000 $15,001-$50,000
LHM Costa Mesa, LLC, 50% ownership (Partnership Schedule K1 Income) $1,001-$15,000 None (or less than $201)

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