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  Name: Insight Inv LLC
  City: EL SEGUNDO
  State: CA
  Zip: 90245
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $115,235,000
  Total Value Change : $13,192,000
  Securities Held Change : 2
   
All Securities Held : 89
  New Positions : 2
  Closed Positions : 1
  Increased Positions : 35
  Unchanged Positions : 33
  Decreased Positions : 19

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Holdings Found : 35     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (AAPL)1 Year Chart         AAPL Apple Inc 1 - $192.25 $5,042,000 29,400 4.38% -465,000 799 0    Personal Computers
   (QCOM)1 Year Chart         QCOM QUALCOMM Inc 5 - $204.05 $2,924,000 17,271 2.54% 427,000 5 0.002    Communication Equipment
   (IBM)1 Year Chart         IBM International Business Mach... 8 - $166.85 $2,803,000 14,679 2.43% 423,000 125 0.002    Diversified Computer ...
   (MRVL)1 Year Chart         MRVL Marvell Technology, Inc. 9 - $68.81 $2,684,000 37,870 2.33% 415,000 250 0.005    N/A
   (GOOGL)1 Year Chart         GOOGL Alphabet Inc 11 - $172.50 $2,485,000 16,465 2.16% 214,000 210 0    Search Engines & Info...
   (CVX)1 Year Chart         CVX Chevron Corp 12 - $162.30 $2,436,000 15,440 2.11% 146,000 85 0.001    Integrated Oil & Gas
   (ALL)1 Year Chart         ALL Allstate Corp 14 - $167.52 $2,369,000 13,623 2.06% 468,000 40 0.004    Property & Casualty I...
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 15 - $117.26 $2,301,000 19,796 2% 338,000 165 0    Integrated Oil & Gas
   (ORCL)1 Year Chart         ORCL Oracle Corp 16 - $117.19 $2,266,000 18,038 1.97% 370,000 55 0.001    Application Software
   (PEP)1 Year Chart         PEP Pepsico Inc 17 - $172.90 $2,242,000 12,725 1.95% 238,000 925 0.001    Beverage Soft Drinks...
   (GD)1 Year Chart         GD General Dynamics Corp 18 - $299.77 $2,178,000 7,710 1.89% 180,000 15 0.003    Aerospace/Defense - M...
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 19 - $60.24 $2,161,000 35,916 1.88% 282,000 23,999 0.001    Discount, Variety Stores
   (DIS)1 Year Chart         DIS Walt Disney Co 20 - $103.91 $2,138,000 17,471 1.86% 664,000 1,150 0.001    Entertainment - Diver...
   (TGT)1 Year Chart         TGT Target Corp 23 - $156.16 $2,072,000 11,695 1.8% 409,000 15 0.002    Discount, Variety Stores
   (GHC)1 Year Chart         GHC Graham Holdings Co 25 - $752.43 $2,001,000 2,607 1.74% 196,000 15 0.065    Publishing
   (CSCO)1 Year Chart         CSCO Cisco Systems Inc 27 - $46.50 $1,925,000 38,567 1.67% 79,000 2,020 0.001    Networking & Communic...
   (EMR)1 Year Chart         EMR Emerson Electric Co 29 - $112.16 $1,785,000 15,740 1.55% 364,000 1,140 0.003    Industrial Electrical...
   (FSMB)1 Year Chart         FSMB First Trust Short Duration ... 30 - $0.00 $1,780,000 89,730 1.54% 10,000 1,000 0.272    N/A
   (WRB)1 Year Chart         WRB WR Berkley Corporation 31 - $81.03 $1,729,000 19,545 1.5% 432,000 1,200 0.007    Property & Casualty I...
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 33 - $146.67 $1,710,000 10,809 1.48% 33,000 110 0    Drug Manufacturers - ...
   (C)1 Year Chart         C Citigroup Inc 34 - $62.31 $1,688,000 26,685 1.46% 358,000 825 0.001    Domestic Money Center...
   (RTX)1 Year Chart         RTX RTX Corp 35 - $101.02 $1,687,000 17,299 1.46% 240,000 105 0.001    Conglomerates
   (PNC)1 Year Chart         PNC PNC Financial Services Grou... 36 - $157.39 $1,672,000 10,349 1.45% 90,000 130 0.002    Domestic Money Center...
   (MS)1 Year Chart         MS Morgan Stanley 37 - $97.84 $1,617,000 17,177 1.4% 23,000 85 0.001    Investment Brokerage ...
   (GLW)1 Year Chart         GLW Corning Inc 38 - $37.26 $1,471,000 44,625 1.28% 117,000 150 0.006    Communication Equipment
   (PG)1 Year Chart         PG Procter & Gamble Co 39 - $164.54 $1,461,000 9,006 1.27% 240,000 675 0    Cleaning Products
   (MDT)1 Year Chart         MDT Medtronic Plc 41 - $81.37 $1,400,000 16,063 1.21% 95,000 225 0.001    Medical Appliances & ...
   (LOW)1 Year Chart         LOW Lowes Companies Inc 42 - $221.29 $1,382,000 5,427 1.2% 219,000 200 0.001    Home Improvement Stores
   (BMY)1 Year Chart         BMY Bristol-Myers Squibb Co 44 - $41.09 $1,343,000 24,771 1.17% 202,000 2,530 0.001    Drug Manufacturers - ...
   (T)1 Year Chart         T AT&T Corp 49 - $18.22 $969,000 55,068 0.84% 55,000 575 0.001    Long Distance Carriers
   (VZ)1 Year Chart         VZ Verizon Communications Inc 51 - $41.15 $906,000 21,603 0.79% 99,000 200 0.001    Telecom Services - Do...
   (VCIT)1 Year Chart         VCIT Vanguard Intermediate-Term 55 - $79.65 $720,000 8,941 0.62% 67,000 902 0.001    Closed - End Fund - Debt
   (LMBS)1 Year Chart         LMBS First Trust Low Duration Mo... 63 - $0.00 $360,000 7,470 0.31% 17,000 370 0.006    N/A
   (TXN)1 Year Chart         TXN Texas Instruments Inc 73 - $195.01 $196,000 1,125 0.17% 196,000 1,125 0    Semiconductor- Broad...
   (VBR)1 Year Chart         VBR Vanguard Small Cap Val VIPER 75 - $187.90 $176,000 918 0.15% 29,000 100 0.001    Closed - End Fund - E...

      35 Records Found
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