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Michael Kipp Kranbuhl

Treasury (joined: June 12, 2017)

Deputy Assistant Secretary (Small Business, Community Development, and Affordable Housing Policy) | Assistant Secretary for Financial Institutions | Financial Disclosure »

Former Compensation Sources

See more financial disclosure details ⬇

Employment Assets

Description Value Income
Gladstone Management Corporation, anticipated bonus $50,001 - $100,000 None (or less than $201)
Gladstone Management Corporation $515,400
Gladstone Management Corporation $80,500
Gladstone Management Corporation (Management Company for a group of Publicly Traded Investment Vehicles) $31,034
Behrens Manufacturing LLC (Manufacturer of metal containers for Consumer and Industrial use) $16,200
Galaxy Technologies (Designer and Manufacturer of Industrial Tooling and Molds) $21,066
MKK IRA
BlackRock Inc $1,001 - $15,000 $201 - $1,000
Broadridge Financial Solutions, Inc. $1,001 - $15,000 $201 - $1,000
Honeywell Intl Inc $1,001 - $15,000 $201 - $1,000
Johnson & Johnson $15,001 - $50,000 $201 - $1,000
MKK 401K
Vanguard 500 Index Admiral Shares $250,001 - $500,000 $5,001 - $15,000

Other Income/Assets

Description Value Income
U.S. bank account #1 (cash) $50,001 - $100,000 None (or less than $201)
U.S. bank account #2 (cash) $100,001 - $250,000 None (or less than $201)
U.S. bank account #3 (cash) $1,001 - $15,000 None (or less than $201)
MKK Living Trust
Apple Inc. - Common Stock $50,001 - $100,000 $1,001 - $2,500
AbbVie Inc. $50,001 - $100,000 $2,501 - $5,000
Abbott Laboratories $50,001 - $100,000 $2,501 - $5,000
Accenture plc $50,001 - $100,000 $2,501 - $5,000
Cincinnati Financial Corporation - Common Stock $250,001 - $500,000 $15,001 - $50,000
Clorox Co $50,001 - $100,000 $1,001 - $2,500
Donaldson Company $50,001 - $100,000 $1,001 - $2,500
Walt Disney Co $50,001 - $100,000 $2,501 - $5,000
Fiserv, Inc. - Common Stock $100,001 - $250,000 None (or less than $201)
General Electric Co $15,001 - $50,000 $1,001 - $2,500
Intel Corporation - Common Stock $100,001 - $250,000 $5,001 - $15,000
Illinois Tool Works Inc $1,001 - $15,000 $201 - $1,000
Johnson & Johnson $100,001 - $250,000 $5,001 - $15,000
Coca-Cola Enterprises $15,001 - $50,000 $2,501 - $5,000
Kroger Co $15,001 - $50,000 $1,001 - $2,500
McDonald's Corporation $50,001 - $100,000 $2,501 - $5,000
Microsoft Corporation - Common Stock $50,001 - $100,000 $2,501 - $5,000
NextEra Energy Inc $50,001 - $100,000 $2,501 - $5,000
Philip Morris International $50,001 - $100,000 $5,001 - $15,000
Praxair Inc $100,001 - $250,000 $2,501 - $5,000
RPM International $15,001 - $50,000 $201 - $1,000
Scripps Networks Interactive $100,001 - $250,000 $2,501 - $5,000
Stryker Corp $100,001 - $250,000 $1,001 - $2,500
Teleflex Incorporated $100,001 - $250,000 $1,001 - $2,500
U.S. Bancorp $250,001 - $500,000 $5,001 - $15,000
Texas Instruments Inc $50,001 - $100,000 $2,501 - $5,000
Wells Fargo & Co $50,001 - $100,000 $2,501 - $5,000
Xilinx, Inc. - Common Stock $50,001 - $100,000 $1,001 - $2,500
U.S. bank account #4 (cash) $15,001 - $50,000 None (or less than $201)
PCK Living Trust
Broadridge Financial Solutions, Inc. $50,001 - $100,000 $1,001 - $2,500
Comcast Corp $15,001 - $50,000 $201 - $1,000
Home Depot Inc $50,001 - $100,000 $1,001 - $2,500
Honeywell Intl Inc $50,001 - $100,000 $1,001 - $2,500
Lockheed Martin $15,001 - $50,000 $201 - $1,000
NextEra Energy Inc $50,001 - $100,000 $201 - $1,000
Stryker Corp $15,001 - $50,000 $201 - $1,000
TKK Irrevocable Trust (Family Trust)
U.S. bank account #5 (cash) $1,001 - $15,000 None (or less than $201)
Abbott Laboratories $1,001 - $15,000 $201 - $1,000
AbbVie Inc. $1,001 - $15,000 $201 - $1,000
Apple Inc. - Common Stock $1,001 - $15,000 $201 - $1,000
BlackRock Inc $1,001 - $15,000 $201 - $1,000
Broadridge Financial Solutions Inc. $1,001 - $15,000 $201 - $1,000
Cisco Systems, Inc. - Common Stock $1,001 - $15,000 $201 - $1,000
Evercore Partners Inc. Class A Stock $1,001 - $15,000 $201 - $1,000
General Electric Co $1,001 - $15,000 $201 - $1,000
Goldman Sachs Group Inc $1,001 - $15,000 $201 - $1,000
Home Depot Inc $1,001 - $15,000 $201 - $1,000
Honeywell International Inc. $1,001 - $15,000 $201 - $1,000
Intel Corp $1,001 - $15,000 $201 - $1,000
Johnson & Johnson $15,001 - $50,000 $201 - $1,000
Kroger Co $1,001 - $15,000 $201 - $1,000
Medtronic Inc $1,001 - $15,000 $201 - $1,000
Microsoft Corporation - Common Stock $1,001 - $15,000 $201 - $1,000
NextEra Energy Inc $15,001 - $50,000 $1,001 - $2,500
Novartis AG ADR $1,001 - $15,000 $201 - $1,000
One Gas Inc $1,001 - $15,000 None (or less than $201)
Oracle Corp $1,001 - $15,000 None (or less than $201)
PepsiCo Inc $1,001 - $15,000 $201 - $1,000
PNC Financial Services Group $1,001 - $15,000 $201 - $1,000
Stryker Corp $50,001 - $100,000 $201 - $1,000
Time Warner Inc $1,001 - $15,000 $201 - $1,000
Walt Disney Co $15,001 - $50,000 $201 - $1,000
CVK Irrevocable Trust (Family Trust)
Abbott Laboratories $1,001 - $15,000 $201 - $1,000
AbbVie Inc. $1,001 - $15,000 $201 - $1,000
Apple Inc. - Common Stock $1,001 - $15,000 $201 - $1,000
BlackRock Inc $1,001 - $15,000 $201 - $1,000
Broadridge Financial Solutions Inc $1,001 - $15,000 $201 - $1,000
Cisco Systems, Inc. - Common Stock $1,001 - $15,000 $201 - $1,000
Coca-Cola Enterprises $1,001 - $15,000 $201 - $1,000
Evercore Partners Inc, Class A $1,001 - $15,000 $201 - $1,000
General Electric Co $1,001 - $15,000 $201 - $1,000
Goldman Sachs Group Inc $1,001 - $15,000 $201 - $1,000
Home Depot Inc $15,001 - $50,000 $201 - $1,000
Honeywell Intl Inc $1,001 - $15,000 $201 - $1,000
Intel Corporation - Common Stock $15,001 - $50,000 $201 - $1,000
Johnson & Johnson $15,001 - $50,000 $201 - $1,000
Kroger Co $1,001 - $15,000 $201 - $1,000
Medtronic Inc $15,001 - $50,000 $201 - $1,000
Microsoft Corporation - Common Stock $15,001 - $50,000 $201 - $1,000
NextEra Energy Inc $15,001 - $50,000 $201 - $1,000
Novartis AG Sponsored ADR $15,001 - $50,000 $201 - $1,000
One Gas Inc. $1,001 - $15,000 $201 - $1,000
Oracle Corp $1,001 - $15,000 $201 - $1,000
Pepsico Inc. $15,001 - $50,000 $201 - $1,000
PNC Financial Services Group $1,001 - $15,000 $201 - $1,000
Time Warner Inc $1,001 - $15,000 $201 - $1,000
Walt Disney Co $15,001 - $50,000 $201 - $1,000
Stryker Corp $15,001 - $50,000 $201 - $1,000
U.S. bank account #6 (cash) $1,001 - $15,000 None (or less than $201)
Family Trust KAK FRT
Residential real estate, Hilton Head, SC $1,000,001 - $5,000,000 $50,001 - $100,000
Procter & Gamble $15,001 - $50,000 $201 - $1,000
Procter & Gamble $500,001 - $1,000,000 $15,001 - $50,000
Procter & Gamble $15,001 - $50,000 $201 - $1,000

Employment Agreements and Arrangements

Employer or Party City, State Status and Terms Date
Gladstone Management Corporation McLean, Virginia I am owed a payout from the Carried Interest Programs of Gladstone Capital Corporation and Gladstone Investment Corporation. These payouts are associated with work performed related to Gladstone Investment Corporation and Gladstone Capital Corporation's former investment (sold in December 2016) in Behrens Acquisition Inc. Payments are typically made in September of a calendar year. March 16, 2011
Gladstone Holding Corporation McLean, Virginia I will continue to participate in this defined contribution plan, but the plan sponsor no longer makes contributions. March 16, 2005

Liabilities

Creditor Name Creditor Type Amount Rate Year Incurred
UBS Bank Exercised Line of Credit $15,001 - $50,000 2.60% 2016

Spouse's Employment Assets

Description Value Income Type Income Amount
Stryker Sales Corporation salary, bonus
Stryker Corporation, restricted stock units $250,001 - $500,000 None (or less than $201)
Stryker Corporation, stock options $1,000,001 - $5,000,000 None (or less than $201)
IRA - PCK
BlackRock Inc $1,001 - $15,000 Dividends $201 - $1,000
Broadridge Financial Solutions, Inc. $1,001 - $15,000 None (or less than $201)
Honeywell Intl Inc $1,001 - $15,000 None (or less than $201)
Johnson & Johnson $1,001 - $15,000 Dividends $201 - $1,000
401-K PCK
Vanguard Institutional Index Fund Institutional Plus Shares $500,001 - $1,000,000 $15,001 - $50,000
Stryker Corporation Stock Fund, holds Stryker Corporation stock $100,001 - $250,000 Dividends $2,501 - $5,000
401-K PCK Supplemental
Vanguard Institutional Index Fund Institutional Plus Shares $1,001 - $15,000 $201 - $1,000

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