Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$663K Buy
3,331
+134
+4% +$30.5K 0.28% 46
2025
Q4
$694K Buy
3,197
+41
+1% +$8.43K 0.31% 40
2025
Q3
$681K Sell
3,156
-92
-3% -$20.7K 0.3% 38
2025
Q2
$681K Buy
3,248
+50
+2% +$9.44K 0.32% 35
2025
Q1
$546K Buy
3,198
+83
+3% +$14.4K 0.28% 42
2024
Q4
$551K Buy
3,115
+769
+33% +$121K 0.28% 43
2024
Q3
$357K Buy
2,346
+290
+14% +$49.7K 0.18% 62
2024
Q2
$374K Buy
2,056
+570
+38% +$102K 0.19% 55
2024
Q1
$287K Buy
1,486
+7
+0.5% +$1.44K 0.15% 65
2023
Q4
$386K Sell
1,479
-28
-2% -$5.99K 0.21% 54
2023
Q3
$289K Buy
1,507
+25
+2% +$5.47K 0.16% 64
2023
Q2
$313K Sell
1,482
-3
-0.2% -$623 0.17% 62
2023
Q1
$316K Sell
1,485
-8
-0.5% -$1.66K 0.2% 63
2022
Q4
$284K Buy
+1,493
New +$244K 0.18% 70
2022
Q2
Sell
-1,365
Closed -$261K 85
2022
Q1
$261K Buy
1,365
+1
+0.1% +$201 0.15% 72
2021
Q4
$275K Buy
1,364
+95
+7% +$20.1K 0.16% 70
2021
Q3
$279K Sell
1,269
-65
-5% -$14.5K 0.16% 61
2021
Q2
$320K Hold
1,334
0.18% 61
2021
Q1
$340K Hold
1,334
0.2% 51
2020
Q4
$286K Sell
1,334
-80
-6% -$15.4K 0.17% 56
2020
Q3
$234K Buy
1,414
+36
+3% +$6.13K 0.15% 52
2020
Q2
$248K Sell
1,378
-30
-2% -$4.61K 0.16% 49
2020
Q1
$210K Sell
1,408
-1,441
-51% -$394K 0.15% 54
2019
Q4
$928K Buy
2,849
+125
+5% +$44.3K 0.61% 25
2019
Q3
$1.04M Buy
2,724
+67
+3% +$23.9K 0.73% 18
2019
Q2
$942K Sell
2,657
-23
-0.9% -$8.39K 0.68% 21
2019
Q1
$1.02M Buy
2,680
+563
+27% +$217K 0.78% 16
2018
Q4
$683K Buy
2,117
+43
+2% +$14.9K 0.58% 28
2018
Q3
$771K Buy
2,074
+28
+1% +$9.84K 0.52% 38
2018
Q2
$686K Sell
2,046
-235
-10% -$80.8K 0.48% 38
2018
Q1
$748K Buy
2,281
+136
+6% +$45.9K 0.54% 35
2017
Q4
$633K Sell
2,145
-132
-6% -$35.7K 0.46% 45
2017
Q3
$579K Sell
2,277
-15
-0.7% -$3.5K 0.43% 43
2017
Q2
$453K Sell
2,292
-128
-5% -$23.8K 0.35% 50
2017
Q1
$428K Buy
2,420
+184
+8% +$31.3K 0.33% 51
2016
Q4
$348K Sell
2,236
-451
-17% -$65.9K 0.28% 50
2016
Q3
$354K Sell
2,687
-1,960
-42% -$258K 0.22% 65
2016
Q2
$604K Sell
4,647
-271
-6% -$35.3K 0.23% 66
2016
Q1
$624K Sell
4,918
-208
-4% -$25.8K 0.25% 64
2015
Q4
$741K Hold
5,126
0.35% 53
2015
Q3
$671K Sell
5,126
-316
-6% -$43.8K 0.39% 54
2015
Q2
$755K Sell
5,442
-30
-0.5% -$4.38K 0.36% 52
2015
Q1
$821K Buy
5,472
+3,097
+130% +$451K 0.39% 51
2014
Q4
$309K Sell
2,375
-70
-3% -$8.88K 0.15% 89
2014
Q3
$311K Buy
2,445
+500
+26% +$63K 0.13% 96
2014
Q2
$247K Hold
1,945
0.1% 106
2014
Q1
$244K Sell
1,945
-1,200
-38% -$156K 0.1% 104
2013
Q4
$429K Sell
3,145
-4,000
-56% -$520K 0.21% 79
2013
Q3
$840K Sell
7,145
-300
-4% -$32.3K 0.42% 47
2013
Q2
$763K Buy
+7,445
New +$707K 0.42% 56

Other funds holding BA

Insight 2811 Inc's BA Position: Q1 2026 in Review

Insight 2811 Inc increased its Boeing (BA) stake by 4.2% in Q1 2026, buying an estimated $30.5K and bringing the position to 3,331 shares worth $663K. The position accounts for 0.28% of the portfolio, ranked #46.

Insight 2811 Inc first reported a position in BA in Q2 2013 and has held it in 50 quarters since. The position peaked at $1.04M in Q3 2019. 2,505 funds tracked by Wall St. Rank hold BA as of Q1 2026.

  • Insight 2811 Inc held 3,331 shares of Boeing worth $663K as of Q1 2026.
  • Insight 2811 Inc bought 134 Boeing shares in Q1 2026, an estimated $30.5K.
  • Boeing made up 0.28% of Insight 2811 Inc's portfolio in Q1 2026, its #46 holding.
  • Insight 2811 Inc first reported a position in Boeing in Q2 2013 and has held it in 50 quarters since.
  • Insight 2811 Inc's Boeing position peaked at $1.04M in Q3 2019.
  • 2,505 funds tracked by Wall St. Rank held Boeing as of Q1 2026.

Based on Insight 2811 Inc's 13F filing for Q1 2026, filed 7 May 2026.