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© 2026 Govwatch

Floor SpeechNeutral2026-06-18

Text of Senate Amendment 5862

Josh Hawley
Josh Hawley
RMO · Senator
Share:
TaxesEnvironmentDefenseTransparency

Context

On 2026-06-18, Senator Josh Hawley (R-MO) delivered a floor speech titled "Text Of Senate Amendment 5862" in the Senate.

Full Text

Text of Senate Amendment 5862

Congressional Record, Volume 172 Issue 103 (Thursday, June 18, 2026) [Congressional Record Volume 172, Number 103 (Thursday, June 18, 2026)] [Senate] [Pages S2953-S2954] From the Congressional Record Online through the Government Publishing Office [ www.gpo.gov ] SA 5862. Mr. HAWLEY submitted an amendment intended to be proposed by him to the bill S. 4784, to authorize appropriations for fiscal year 2027 for military activities of the Department of Defense, for military construction, and for defense activities of the Department of Energy, to prescribe military personnel strengths for such fiscal year, and for other purposes; which was ordered to lie on the table; as follows: At the appropriate place, insert the following: SEC. ___. PREVENTING ELECTED LEADERS FROM OWNING SECURITIES AND INVESTMENTS (PELOSI) ACT. (a) Short Title.--This section may be cited as the ``Preventing Elected Leaders from Owning Securities and Investments (PELOSI) Act''. (b) Banning Insider Trading in Congress.-- (1) In general.--Chapter 131 of title 5, United States Code, is amended by adding at the end the following: ``Subchapter IV--Banning Insider Trading in Congress ``Sec. 13161. Definitions ``In this subchapter: ``(1) Covered financial instrument.-- ``(A) In general.--The term `covered financial instrument' means-- ``(i) any investment in-- ``(I) a security (as defined in section 3(a) of Securities Exchange Act of 1934 (15 U.S.C. 78c(a))); ``(II) a security future (as defined in that section); or ``(III) a commodity (as defined in section 1a of the Commodity Exchange Act (7 U.S.C. 1a)); and ``(ii) any economic interest comparable to an interest described in clause (i) that is acquired through synthetic means, such as the use of a derivative, including an option, a warrant, or other similar means. ``(B) Exclusions.--The term `covered financial instrument' does not include-- ``(i) a diversified mutual fund; ``(ii) a diversified exchange-traded fund; ``(iii) a United States Treasury bill, note, or bond; or ``(iv) compensation from the primary occupation of a spouse or dependent child of a Member of Congress. ``(2) Dependent child; member of congress.--The terms `dependent child' and `Member of Congress' have the meanings given those terms in section 13101. ``(3) Supervising ethics committee.--The term `supervising ethics committee' means, as applicable-- ``(A) the Select Committee on Ethics of the Senate; and ``(B) the Committee on Ethics of the House of Representatives. ``Sec. 13162. Prohibition on certain transactions and holdings involving covered financial instruments ``(a) Prohibition.--Except as provided in subsection (b), a Member of Congress, or any spouse of a Member of Congress, may not, during the term of service of the Member of Congress, hold, purchase, or sell any covered financial instrument. ``(b) Exceptions.--The prohibition under subsection (a) shall not apply to a sale by a Member of Congress, or a spouse of a Member of Congress, that is completed by the date that is-- ``(1) for a Member of Congress serving on the date of enactment of the Preventing Elected Leaders from Owning Securities and Investments (PELOSI) Act, 180 days after that date of enactment; and ``(2) for any Member of Congress who commences service as a Member of Congress after the date of enactment of the Preventing Elected Leaders from Owning Securities and Investments (PELOSI) Act, 180 days after the first date of the initial term of service. ``(c) Penalties.-- ``(1) Disgorgement.--A Member of Congress shall disgorge to the Treasury of the United States any profit from a transaction or holding involving a covered financial instrument that is conducted in violation of this section. ``(2) Fines.--A Member of Congress who holds or conducts a transaction involving, or whose spouse holds or conducts a transaction involving, a covered financial instrument in violation of this section may be subject to a civil fine assessed by the applicable supervising ethics committee under section 13164. ``Sec. 13163. Certification of compliance ``(a) In General.--Not less frequently than annually, each Member of Congress shall submit to the applicable supervising ethics committee a written certification that the Member of Congress has achieved compliance with the requirements of this subchapter. ``(b) Publication.--The supervising ethics committees shall publish each certification submitted under subsection (a) on a publicly available website. ``Sec. 13164. Authority of supervising ethics committees ``(a) In General.--The supervising ethics committees may implement and enforce the requirements of this subchapter, including by-- ``(1) issuing-- ``(A) for Members of Congress-- ``(i) rules governing that implementation; and ``(ii) 1 or more reasonable extensions to achieve compliance with this subchapter, if the applicable supervising ethics committee determines that a Member of Congress is making a good faith effort to divest any covered financial instruments; and ``(B) guidance relating to covered financial instruments; ``(2) publishing on the internet certifications submitted by Members of Congress under section 13163(a); and ``(3) assessing civil fines against any Member of Congress who is in violation of this subchapter, subject to subsection (b). ``(b) Requirements for Civil Fines.-- ``(1) In general.--Before imposing a fine pursuant to this section, the applicable supervising ethics committee shall provide to the applicable Member of Congress-- ``(A) a written notice describing each covered financial instrument transaction for which a fine will be assessed; and ``(B) an opportunity, with respect to each such covered financial instrument transaction-- ``(i) for a hearing; and ``(ii) to achieve compliance with the requirements of this subchapter. ``(2) Enforcement.-- ``(A) In general.--In the event of continuing noncompliance after issuance of the notice described in paragraph (1), the applicable supervising ethics committee shall impose a civil penalty, in the amount described in subparagraph (B), on the Member of Congress to whom a notice was provided-- ``(i) on the date that is 30 days after the date of provision of the notice; and ``(ii) during the period in which such noncompliance continues, not less frequently than once every 30 days thereafter. ``(B) Amount.--The amount of each civil penalty imposed on a Member of Congress pursuant to subparagraph (A) shall be an amount equal to 10 percent of the value of each covered financial instrument that was not divested in violation of this subchapter during the period covered by the penalty. ``(3) Publication.--Each supervising ethics committee shall publish on a publicly available website a description of-- ``(A) each fine assessed by the supervising ethics committee pursuant to this section; ``(B) the reasons why each such fine was assessed; and ``(C) the result of each assessment, including any hearing under paragraph (1)(B)(i) relating to the assessment. ``(4) Appeal.--A Member of Congress may appeal the assessment of a fine under this section to a vote on the floor of the Senate [[Page S2954]] or the House of Representatives, as applicable, as a privileged motion. ``Sec. 13165. Audit by Government Accountability Office ``Not later than 2 years after the date of enactment of the Preventing Elected Leaders from Owning Securities and Investments (PELOSI) Act, the Comptroller General of the United States shall-- ``(1) conduct an audit of the compliance by Members of Congress with the requirements of this subchapter; and ``(2) submit to the supervising ethics committees a report describing the results of the audit conducted under paragraph (1).''. (2) Conforming amendments.-- (A) Table of sections.--The table of sections for chapter 131 of title 5, United States Code, is amended by adding at the end the following: ``subchapter iv--banning insider trading in congress ``13161. Definitions. ``13162. Prohibition on certain transactions and holdings involving covered financial instruments. ``13163. Certification of compliance. ``13164. Authority of supervising ethics committees. ``13165. Audit by Government Accountability Office.''. (B) Persons required to file.--Section 13103(f) of title 5, United States Code, is amended-- (i) in paragraph (9), by striking ``as defined in section 13101 of this title''; (ii) in paragraph (10), by striking ``as defined in section 13101 of this title''; (iii) in paragraph (11), by striking ``as defined in section 13101 of this title''; and (iv) in paragraph (12), by striking ``as defined in section 13101 of this title''. (C) Lobbying disclosure act of 1995.--Section 3(4)(D) of the Lobbying Disclosure Act of 1995 (2 U.S.C. 1602(4)(D)) is amended by striking ``legislative branch employee serving in a position described under section 13101(13) of title 5, United States Code'' and inserting ``officer or employee of Congress (as defined in section 13101 of title 5, United States Code)''. ______
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