Security Snapshot

Insight Select Income Fund - Common (INSI) Institutional Ownership

CUSIP: 45781W109

13F Institutional Holders and Ownership History from Q4 2016 to Q2 2025

Latest Period

n/a

Institutions Reporting

Shares (Excl. Options)

Price

$17.33

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Type / Class
Equity / Common
Symbol
INSI
Shares outstanding
10,707,232
Price per share
$17.33
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Quick Takeaways

  • INSI - Insight Select Income Fund - Common is tracked under CUSIP 45781W109.
  • Latest finished 13F holder period is not available.
  • Schedule 13D/13G significant owner rows are not currently available.

What Changed

  • Holder count moved from 0 to 1 between Q1 2025 and Q2 2025.
  • Reported value moved from $0 to $72,148.

Why This Matters

  • You can quickly see who holds this security, then open quarter and manager detail pages for full evidence.
  • 13F and Schedule 13D/13G sections are kept together so you can cross-check institutional and beneficial ownership context.

Source Evidence

Source: SEC Schedule 13D/G

Ownership context comes from Schedule 13D/G and available holder history for this CUSIP.

Open SEC Evidence

Investment Quick Answers

What is CUSIP 45781W109?
CUSIP 45781W109 identifies INSI - Insight Select Income Fund - Common in SEC 13F datasets.

Where can I see the latest institutional holders?
Use the ownership history tables below to review the newest available institutional filing periods.

Institutional Holders of Insight Select Income Fund - Common (INSI) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q2 4,163 $72,148 +$72,148 $17.33 1
2025 Q1 0 $0 -$108,506,606 $17.33 0
2024 Q4 6,261,164 $108,506,606 +$10,174,279 $17.33 38
2024 Q3 5,702,792 $100,621,447 +$2,626,422 $17.65 38
2024 Q2 5,541,481 $90,432,087 +$982,849 $16.32 36
2024 Q1 5,481,254 $90,380,858 +$682,360 $16.49 35
2023 Q4 5,440,614 $86,886,018 +$4,424,635 $15.97 33
2023 Q3 5,163,935 $77,614,080 +$3,870,449 $15.03 34
2023 Q2 4,903,247 $76,681,011 +$3,852,461 $15.64 31
2023 Q1 4,656,807 $73,949,848 +$3,670,619 $15.88 31
2022 Q4 4,426,968 $66,890,701 +$6,613,843 $15.11 31
2022 Q3 3,988,539 $61,299,000 +$5,624,725 $15.36 30
2022 Q2 3,620,921 $58,217,000 +$5,214,400 $16.07 34
2022 Q1 3,276,801 $58,554,822 +$10,978,210 $17.87 39
2021 Q4 2,644,473 $59,417,905 -$8,494,898 $22.47 32
2021 Q3 2,778,539 $58,293,667 -$1,621,264 $20.98 33
2021 Q2 2,855,453 $61,845,601 +$2,939,150 $21.66 32
2021 Q1 2,721,886 $55,656,160 -$5,213,669 $20.44 31
2020 Q4 2,970,162 $63,412,676 +$1,745,010 $21.35 34
2020 Q3 2,868,739 $58,038,673 -$1,209,463 $20.23 31
2020 Q2 3,218,954 $63,249,876 +$3,089,971 $19.65 34
2020 Q1 2,829,390 $55,851,702 -$3,796,275 $19.74 30
2019 Q4 3,028,320 $60,641,818 -$2,538,235 $20.03 34
2019 Q3 3,149,370 $64,528,000 +$461,478 $20.49 34
2019 Q2 3,127,239 $62,979,000 -$460,619 $20.14 32
2019 Q1 3,150,710 $60,331,000 -$121,088 $19.21 32
2018 Q4 3,189,629 $55,649,000 +$4,944,091 $17.42 38
2018 Q3 2,876,026 $53,549,000 +$755,763 $18.62 41
2018 Q2 2,834,865 $53,535,000 +$5,455,215 $18.92 42
2018 Q1 2,529,198 $48,993,000 +$809,028 $19.37 38
2017 Q4 2,486,985 $49,492,000 +$830,585 $19.90 34
2017 Q3 2,408,709 $48,413,000 +$3,003,060 $20.09 33
2017 Q2 2,260,042 $44,686,000 +$2,472,407 $19.77 40
2017 Q1 2,135,600 $40,908,000 +$8,231,539 $19.15 39
2016 Q4 1,706,101 $32,678,000 +$32,669,999 $19.15 34
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