Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$1.01M Sell
22,961
-776
-3% -$35.6K 0.42% 31
2025
Q4
$876K Buy
23,737
+96
+0.4% +$3.63K 0.39% 34
2025
Q3
$793K Buy
23,641
+156
+0.7% +$3.78K 0.35% 33
2025
Q2
$526K Buy
23,485
+42
+0.2% +$870 0.25% 44
2025
Q1
$532K Buy
23,443
+8,277
+55% +$181K 0.27% 44
2024
Q4
$304K Sell
15,166
-5,565
-27% -$125K 0.16% 66
2024
Q3
$486K Buy
20,731
+1,950
+10% +$48.7K 0.24% 47
2024
Q2
$582K Buy
18,781
+654
+4% +$21.4K 0.3% 40
2024
Q1
$801K Sell
18,127
-67
-0.4% -$2.98K 0.41% 28
2023
Q4
$914K Sell
18,194
-911
-5% -$37K 0.5% 21
2023
Q3
$679K Sell
19,105
-1,361
-7% -$47.4K 0.39% 29
2023
Q2
$684K Buy
20,466
+596
+3% +$18.7K 0.37% 32
2023
Q1
$649K Sell
19,870
-366
-2% -$10.4K 0.4% 30
2022
Q4
$535K Buy
20,236
+1,176
+6% +$32.7K 0.33% 39
2022
Q3
$491K Buy
19,060
+1,528
+9% +$52.1K 0.33% 34
2022
Q2
$656K Sell
17,532
-527
-3% -$22.8K 0.43% 25
2022
Q1
$895K Buy
18,059
+10,004
+124% +$496K 0.53% 18
2021
Q4
$415K Buy
8,055
+1,780
+28% +$91K 0.24% 49
2021
Q3
$334K Sell
6,275
-1,356
-18% -$73.5K 0.2% 52
2021
Q2
$428K Sell
7,631
-44
-0.6% -$2.58K 0.24% 45
2021
Q1
$491K Buy
7,675
+50
+0.7% +$2.98K 0.29% 36
2020
Q4
$380K Sell
7,625
-1,950
-20% -$95.2K 0.22% 46
2020
Q3
$496K Buy
9,575
+102
+1% +$5.3K 0.31% 28
2020
Q2
$559K Sell
9,473
-13,341
-58% -$798K 0.37% 25
2020
Q1
$1.24M Sell
22,814
-3,100
-12% -$183K 0.9% 12
2019
Q4
$1.55M Buy
25,914
+3,805
+17% +$213K 1.02% 12
2019
Q3
$1.14M Buy
22,109
+14,063
+175% +$691K 0.81% 13
2019
Q2
$390K Sell
8,046
-1,006
-11% -$49.9K 0.28% 61
2019
Q1
$486K Sell
9,052
-332
-4% -$16.8K 0.37% 47
2018
Q4
$440K Buy
9,384
+10
+0.1% +$468 0.37% 48
2018
Q3
$443K Sell
9,374
-10
-0.1% -$487 0.3% 60
2018
Q2
$466K Sell
9,384
-1,134
-11% -$60.2K 0.32% 49
2018
Q1
$548K Sell
10,518
-1,200
-10% -$57K 0.39% 45
2017
Q4
$541K Buy
11,718
+340
+3% +$14.8K 0.4% 47
2017
Q3
$433K Buy
11,378
+4,869
+75% +$173K 0.32% 49
2017
Q2
$220K Sell
6,509
-32
-0.5% -$1.15K 0.17% 74
2017
Q1
$236K Sell
6,541
-1,300
-17% -$47K 0.18% 68
2016
Q4
$284K Sell
7,841
-600
-7% -$21.5K 0.23% 55
2016
Q3
$319K Buy
8,441
+1,284
+18% +$45.5K 0.2% 68
2016
Q2
$235K Hold
7,157
0.09% 104
2016
Q1
$232K Sell
7,157
-10,125
-59% -$311K 0.09% 103
2015
Q4
$595K Buy
17,282
+1,145
+7% +$38.7K 0.28% 63
2015
Q3
$486K Sell
16,137
-1,800
-10% -$52.1K 0.28% 66
2015
Q2
$546K Buy
17,937
+255
+1% +$8.24K 0.26% 70
2015
Q1
$553K Sell
17,682
-10,600
-37% -$358K 0.26% 72
2014
Q4
$1.03M Sell
28,282
-500
-2% -$17.4K 0.5% 33
2014
Q3
$1M Sell
28,782
-3,400
-11% -$115K 0.43% 36
2014
Q2
$994K Buy
32,182
+2,532
+9% +$69.4K 0.42% 41
2014
Q1
$765K Sell
29,650
-23,300
-44% -$582K 0.32% 59
2013
Q4
$1.37M Buy
52,950
+16,400
+45% +$397K 0.68% 24
2013
Q3
$838K Sell
36,550
-5,700
-13% -$131K 0.42% 48
2013
Q2
$1.02M Buy
+42,250
New +$998K 0.56% 36

Other funds holding INTC

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

Insight 2811 Inc reduced its Intel (INTC) stake by 3.3% in Q1 2026, selling an estimated $35.6K and leaving 22,961 shares worth $1.01M. The position accounts for 0.42% of the portfolio, ranked #31.

Insight 2811 Inc first reported a position in INTC in Q2 2013 and has held it in 52 quarters since. The position peaked at $1.55M in Q4 2019. 2,567 funds tracked by Wall St. Rank hold INTC as of Q1 2026.

  • Insight 2811 Inc held 22,961 shares of Intel worth $1.01M as of Q1 2026.
  • Insight 2811 Inc sold 776 Intel shares in Q1 2026, an estimated $35.6K.
  • Intel made up 0.42% of Insight 2811 Inc's portfolio in Q1 2026, its #31 holding.
  • Insight 2811 Inc first reported a position in Intel in Q2 2013 and has held it in 52 quarters since.
  • Insight 2811 Inc's Intel position peaked at $1.55M in Q4 2019.
  • 2,567 funds tracked by Wall St. Rank held Intel as of Q1 2026.

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