Insight Inv

Latest statistics and disclosures from Insight Inv's latest quarterly 13F-HR filing:

  • Top 5 stock holdings are AAPL, WSM, MSFT, AMZN, QCOM, and represent 16.54% of Insight Inv's stock portfolio.
  • Added to shares of these 10 stocks: WMT, EOG, BITO, TXN, PEP, DIS, BMY, AAPL, EMR, PG.
  • Started 3 new stock positions in TXN, BITO, EOG.
  • Reduced shares in these 10 stocks: PFE, WSM, VCSH, SO, CTSH, FUMB, PCAR, CVS, LH, VTV.
  • Sold out of its position in PFE.
  • Insight Inv was a net buyer of stock by $2.8M.
  • Insight Inv has $115M in assets under management (AUM), dropping by 12.92%.
  • Central Index Key (CIK): 0001909322

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Portfolio Holdings for Insight Inv

Insight Inv holds 89 positions in its portfolio as reported in the March 2024 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Apple (AAPL) 4.4 $5.0M +2% 29k 171.48
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Williams-Sonoma (WSM) 3.6 $4.2M -4% 13k 317.53
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Microsoft Corporation (MSFT) 3.4 $3.9M 9.4k 420.72
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Amazon (AMZN) 2.6 $3.0M 17k 180.38
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Qualcomm (QCOM) 2.5 $2.9M 17k 169.30
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American Express Company (AXP) 2.5 $2.9M 13k 227.69
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JPMorgan Chase & Co. (JPM) 2.4 $2.8M 14k 200.30
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International Business Machines (IBM) 2.4 $2.8M 15k 190.96
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Marvell Technology (MRVL) 2.3 $2.7M 38k 70.88
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Applied Materials (AMAT) 2.2 $2.5M 12k 206.23
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Alphabet Cap Stk Cl A (GOOGL) 2.2 $2.5M 17k 150.93
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Chevron Corporation (CVX) 2.1 $2.4M 15k 157.74
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Merck & Co (MRK) 2.1 $2.4M 18k 132.72
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Allstate Corporation (ALL) 2.1 $2.4M 14k 173.93
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Exxon Mobil Corporation (XOM) 2.0 $2.3M 20k 116.24
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Oracle Corporation (ORCL) 2.0 $2.3M 18k 125.61
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Pepsi (PEP) 1.9 $2.2M +7% 13k 176.18
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General Dynamics Corporation (GD) 1.9 $2.2M 7.7k 282.49
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Wal-Mart Stores (WMT) 1.9 $2.2M +201% 36k 60.17
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Walt Disney Company (DIS) 1.9 $2.1M +7% 18k 122.36
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Vanguard Scottsdale Fds Shrt Trm Corp Bd (VCSH) 1.8 $2.1M -6% 27k 77.31
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TJX Companies (TJX) 1.8 $2.1M 21k 101.42
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Target Corporation (TGT) 1.8 $2.1M 12k 177.21
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Amgen (AMGN) 1.8 $2.1M 7.2k 284.32
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Graham Hldgs Com Cl B (GHC) 1.7 $2.0M 2.6k 767.68
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Berkshire Hathaway Inc Del Cl B New (BRK.B) 1.7 $2.0M 4.7k 420.52
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Cisco Systems (CSCO) 1.7 $1.9M +5% 39k 49.91
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Paccar (PCAR) 1.7 $1.9M -3% 16k 123.89
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Emerson Electric (EMR) 1.5 $1.8M +7% 16k 113.42
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First Tr Exch Traded Fd Iii Shrt Dur Mng Mun (FSMB) 1.5 $1.8M 90k 19.84
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W.R. Berkley Corporation (WRB) 1.5 $1.7M +6% 20k 88.44
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BP Sponsored Adr (BP) 1.5 $1.7M 45k 38.12
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Johnson & Johnson (JNJ) 1.5 $1.7M 11k 158.19
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Citigroup Com New (C) 1.5 $1.7M +3% 27k 63.24
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Raytheon Technologies Corp (RTX) 1.5 $1.7M 17k 97.53
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PNC Financial Services (PNC) 1.5 $1.7M 10k 161.60
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Morgan Stanley Com New (MS) 1.4 $1.6M 17k 94.16
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Corning Incorporated (GLW) 1.3 $1.5M 45k 32.96
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Procter & Gamble Company (PG) 1.3 $1.5M +8% 9.0k 162.25
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CVS Caremark Corporation (CVS) 1.2 $1.4M -3% 18k 79.76
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Medtronic SHS (MDT) 1.2 $1.4M 16k 87.15
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Lowe's Companies (LOW) 1.2 $1.4M +3% 5.4k 254.73
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Anthem (ELV) 1.2 $1.4M 2.6k 518.54
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Bristol Myers Squibb (BMY) 1.2 $1.3M +11% 25k 54.23
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Lincoln National Corporation (LNC) 1.1 $1.3M -3% 40k 31.93
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Johnson Ctls Intl SHS (JCI) 1.1 $1.2M 19k 65.32
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Intuitive Surgical Com New (ISRG) 1.0 $1.2M 2.9k 399.09
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Madison Square Grdn Sprt Cor Cl A (MSGS) 1.0 $1.1M 6.1k 184.52
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At&t (T) 0.8 $969k 55k 17.60
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Cognizant Technology Solutio Cl A (CTSH) 0.8 $909k -9% 12k 73.29
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Verizon Communications (VZ) 0.8 $907k 22k 41.96
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Intel Corporation (INTC) 0.7 $853k 19k 44.17
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Laboratory Corp Amer Hldgs Com New (LH) 0.7 $761k -6% 3.5k 218.46
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EOG Resources (EOG) 0.6 $738k NEW 5.8k 127.84
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Vanguard Scottsdale Fds Int-term Corp (VCIT) 0.6 $720k +11% 8.9k 80.51
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Ishares U S Etf Tr Blackrock Short (MEAR) 0.6 $692k 14k 50.12
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Southern Company (SO) 0.5 $625k -17% 8.7k 71.74
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Abbvie (ABBV) 0.5 $574k 3.2k 182.10
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Home Depot (HD) 0.4 $455k 1.2k 383.60
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McDonald's Corporation (MCD) 0.4 $409k 1.5k 281.95
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First Tr Exch Traded Fd Iii Ultra Sht Dur Mu (FUMB) 0.3 $402k -15% 20k 20.04
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Costco Wholesale Corporation (COST) 0.3 $369k 504.00 732.63
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First Tr Exchange-traded Fst Low Oppt Eft (LMBS) 0.3 $360k +5% 7.5k 48.25
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Vanguard Index Fds Value Etf (VTV) 0.3 $317k -11% 1.9k 162.86
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Alphabet Cap Stk Cl C (GOOG) 0.2 $286k 1.9k 152.26
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Paramount Global Class B Com (PARA) 0.2 $262k -8% 22k 11.82
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Broadcom (AVGO) 0.2 $260k 195.00 1330.66
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Tyler Technologies (TYL) 0.2 $255k 600.00 425.01
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Valkyrie Etf Trust Ii Bitcoin And Ethe (BTF) 0.2 $239k 11k 21.16
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Proshares Tr Bitcoin Strate (BITO) 0.2 $225k NEW 7.0k 32.30
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Royal Gold (RGLD) 0.2 $214k 1.8k 121.81
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Sprott Physical Silver Tr Tr Unit (PSLV) 0.2 $214k 26k 8.29
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Texas Instruments Incorporated (TXN) 0.2 $196k NEW 1.1k 174.21
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Vanguard Index Fds S&p 500 Etf Shs (VOO) 0.2 $185k -8% 385.00 480.70
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Vanguard Index Fds Sm Cp Val Etf (VBR) 0.2 $176k +12% 918.00 191.88
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Ishares Tr S&p 500 Grwt Etf (IVW) 0.1 $108k 1.3k 84.44
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Ishares Tr Rus 1000 Grw Etf (IWF) 0.1 $105k 311.00 337.50
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Vanguard Index Fds Growth Etf (VUG) 0.1 $77k 223.00 344.20
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Ishares Tr S&p Mc 400gr Etf (IJK) 0.1 $70k 772.00 91.25
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Ishares Tr S&p 500 Val Etf (IVE) 0.1 $70k 376.00 186.81
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First Tr Exchange-traded First Tr Enh New (FTSM) 0.1 $70k -31% 1.2k 59.62
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Ishares Tr Rus Mdcp Val Etf (IWS) 0.1 $62k 498.00 125.33
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Ishares Tr S&P SML 600 GWT (IJT) 0.0 $56k 426.00 130.73
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Vanguard Index Fds Mid Cap Etf (VO) 0.0 $48k 191.00 249.86
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Ishares Tr Sp Smcp600vl Etf (IJS) 0.0 $45k 438.00 102.76
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Vanguard Scottsdale Fds Vng Rus1000val (VONV) 0.0 $23k 287.00 78.64
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Ishares Tr Core S&p Scp Etf (IJR) 0.0 $10k 92.00 110.52
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Vanguard Scottsdale Fds Vng Rus2000idx (VTWO) 0.0 $9.2k 108.00 85.06
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Vanguard Scottsdale Fds Vng Rus1000grw (VONG) 0.0 $5.9k 68.00 86.68
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Past Filings by Insight Inv

SEC 13F filings are viewable for Insight Inv going back to 2021