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Method: Avg excess-return vs SPY across all BUY transactions disclosed by this member since 2022-01-01where Quiver supplies a matched SPY comparison. Negative numbers mean the member's portfolio underperformed a plain S&P 500 position over the same holding window. Past performance is not predictive; not investment advice.

Copy-trade strategy
Gary Peters
D-MIsenate
Avg excess return vs SPY
-446.0%
10 buys · 2022–2026 · win rate 50% · total volume $178K
Best trade
+813.6%
VZ · 2025-12-12
Worst trade
-3137.1%
CAG · 2025-11-14
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