INSIGHT ENTERPRISES INC - Common Stock (NSIT)

Historical Holders from Q1 2014 to Q3 2025

Symbol
NSIT on Nasdaq
Type / Class
Equity / Common Stock
Shares outstanding
30.8M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
32.8M
Holdings value
$3.73B
% of all portfolios
0.002%
Grand Portfolio weight change
0%
Number of holders
293
Number of buys
138
Number of sells
-158
Average Value change %
0%
Average buys %
+0%
Average sells %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of INSIGHT ENTERPRISES INC - Common Stock (NSIT)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
BlackRock, Inc. 14% +8.46% $501M $34.6M 4.42M +7.42% BlackRock, Inc. 30 Sep 2025
FMR LLC 12.9% $570M 4.11M FMR LLC 31 Mar 2025
VANGUARD GROUP INC 12.99% $464M 4.09M The Vanguard Group 30 Sep 2025
MORGAN STANLEY 6.4% +26% $229M $43.5M 2.02M +23.5% Morgan Stanley 30 Sep 2025
Capital World Investors 5.4% $246M 1.73M Capital World Investors 30 Jun 2025
VA Partners I, LLC 4.7% -12% $150M -$22.8M 1.45M -13.2% VA Partners I, LLC 26 Nov 2025

Institutional Holders of INSIGHT ENTERPRISES INC - Common Stock (NSIT)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 32.8M $3.73B -$128M $113.41 293
2025 Q2 33.8M $4.67B -$74.8M $138.09 322
2025 Q1 34.3M $5.14B -$197M $149.99 331
2024 Q4 35.5M $5.4B -$167M $152.10 325
2024 Q3 36.2M $7.79B -$53.3M $215.39 356
2024 Q2 36.4M $7.23B -$44.4M $198.36 352
2024 Q1 36.8M $6.82B +$90.2M $185.52 341
2023 Q4 36.3M $6.43B -$17.8M $177.19 330
2023 Q3 36.4M $5.3B -$3.18M $145.50 291
2023 Q2 36.4M $5.33B -$75M $146.34 299
2023 Q1 36.9M $5.27B -$18.9M $142.96 284
2022 Q4 37.2M $3.73B +$10.3M $100.27 258
2022 Q3 37.8M $3.12B -$36.4M $82.41 244
2022 Q2 38.1M $3.29B +$31.5M $86.28 259
2022 Q1 37.9M $4.06B +$35.7M $107.32 257
2021 Q4 37.5M $4B +$26M $106.60 244
2021 Q3 37.2M $3.35B -$29.5M $90.08 229
2021 Q2 37.4M $3.74B +$50.7M $100.01 236
2021 Q1 36.9M $3.53B +$9.31M $95.42 238
2020 Q4 37M $2.82B +$4.73M $76.09 221
2020 Q3 37M $2.09B -$43.1M $56.58 217
2020 Q2 37.8M $1.86B -$14.2M $49.20 197
2020 Q1 38.2M $1.61B -$10.1M $42.13 206
2019 Q4 37.7M $2.65B +$55.7M $70.29 239
2019 Q3 37M $2.06B +$56.1M $55.69 229
2019 Q2 35.9M $2.09B +$79.5M $58.20 212
2019 Q1 35.4M $1.95B -$4.58M $55.06 223
2018 Q4 35.4M $1.44B -$3.3M $40.75 215
2018 Q3 35.3M $1.91B +$54.6M $54.09 216
2018 Q2 34.4M $1.68B -$30M $48.93 204
2018 Q1 35.2M $1.23B -$9.63M $34.93 191
2017 Q4 35.5M $1.36B +$6.97M $38.29 195
2017 Q3 35.2M $1.62B -$22.1M $45.92 200
2017 Q2 35.2M $1.41B -$13.4M $39.99 197
2017 Q1 35.5M $1.46B +$182M $41.09 200
2016 Q4 35.4M $1.43B +$32.1M $40.44 186
2016 Q3 34.8M $1.13B -$6.66M $32.55 191
2016 Q2 35.2M $914M -$30.8M $26.00 177
2016 Q1 36.3M $1.04B -$9.71M $28.64 182
2015 Q4 36.7M $921M -$7.21M $25.12 172
2015 Q3 37M $959M -$806K $25.85 170
2015 Q2 37M $1.11B -$28.2M $29.91 163
2015 Q1 38M $1.08B -$32.6M $28.52 177
2014 Q4 39.2M $1.02B -$23.8M $25.89 174
2014 Q3 40.3M $911M -$6.59M $22.63 174
2014 Q2 40.4M $1.24B +$16.4M $30.74 178
2014 Q1 39.9M $1B -$17M $25.11 163