Insight Select Income Fund - COM (INSI)

Historical Portfolio Holders from Q4 2016 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
5.54M
Holdings value Q2 2024
$90.4M
Value change Q2 2024
+$983K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
36
Number of buys Q2 2024
14
Number of sells Q2 2024
-15
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 28.9K $510K -$13.4K $17.65 1
2024 Q2 5.54M $90.4M +$983K $16.32 36
2024 Q1 5.48M $90.4M +$682K $16.49 35
2023 Q4 5.44M $86.9M +$4.42M $15.97 33
2023 Q3 5.16M $77.6M +$3.87M $15.03 34
2023 Q2 4.9M $76.7M +$3.85M $15.64 31
2023 Q1 4.66M $73.9M +$3.67M $15.88 31
2022 Q4 4.43M $66.9M +$6.61M $15.11 31
2022 Q3 3.99M $61.3M +$5.62M $15.36 30
2022 Q2 3.62M $58.2M +$5.21M $16.07 34
2022 Q1 3.28M $58.6M +$11M $17.87 39
2021 Q4 2.64M $59.4M -$8.49M $22.47 32
2021 Q3 2.78M $58.3M -$1.62M $20.98 33
2021 Q2 2.86M $61.8M +$2.94M $21.66 32
2021 Q1 2.72M $55.7M -$5.21M $20.44 31
2020 Q4 2.97M $63.4M +$1.75M $21.35 34
2020 Q3 2.87M $58M -$1.21M $20.23 31
2020 Q2 3.22M $63.2M +$3.09M $19.65 34
2020 Q1 2.83M $55.9M -$3.8M $19.74 30
2019 Q4 3.03M $60.6M -$2.54M $20.03 34
2019 Q3 3.15M $64.5M +$461K $20.49 34
2019 Q2 3.13M $63M -$461K $20.14 32
2019 Q1 3.15M $60.3M -$121K $19.21 32
2018 Q4 3.19M $55.6M +$4.94M $17.42 38
2018 Q3 2.88M $53.5M +$756K $18.62 41
2018 Q2 2.83M $53.5M +$5.46M $18.92 42
2018 Q1 2.53M $49M +$809K $19.37 38
2017 Q4 2.49M $49.5M +$831K $19.90 34
2017 Q3 2.41M $48.4M +$3M $20.09 34
2017 Q2 2.26M $44.7M +$2.47M $19.77 41
2017 Q1 2.14M $40.9M +$8.23M $19.15 41
2016 Q4 1.71M $32.7M +$32.7M $19.15 35