Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$814K Buy
5,536
+44
+0.8% +$7.15K 0.34% 38
2025
Q4
$1.07M Buy
5,492
+1
+0% +$238 0.47% 28
2025
Q3
$1.54M Sell
5,491
-7
-0.1% -$1.78K 0.69% 19
2025
Q2
$1.2M Buy
5,498
+49
+0.9% +$7.91K 0.57% 21
2025
Q1
$762K Sell
5,449
-14
-0.3% -$2.28K 0.39% 32
2024
Q4
$910K Sell
5,463
-290
-5% -$51.5K 0.47% 25
2024
Q3
$980K Hold
5,753
0.49% 24
2024
Q2
$812K Sell
5,753
-200
-3% -$24.8K 0.42% 27
2024
Q1
$748K Buy
5,953
+20
+0.3% +$2.29K 0.38% 31
2023
Q4
$626K Sell
5,933
-275
-4% -$30K 0.34% 34
2023
Q3
$658K Sell
6,208
-22
-0.4% -$2.55K 0.37% 32
2023
Q2
$742K Sell
6,230
-75
-1% -$7.75K 0.4% 29
2023
Q1
$586K Sell
6,305
-163
-3% -$14.3K 0.36% 34
2022
Q4
$529K Sell
6,468
-42
-0.6% -$3.19K 0.33% 40
2022
Q3
$398K Buy
6,510
+196
+3% +$14.3K 0.27% 44
2022
Q2
$441K Buy
6,314
+359
+6% +$26.3K 0.29% 39
2022
Q1
$493K Sell
5,955
-6,999
-54% -$567K 0.29% 41
2021
Q4
$1.13M Sell
12,954
-228
-2% -$21.4K 0.64% 19
2021
Q3
$1.15M Sell
13,182
-848
-6% -$74.9K 0.68% 17
2021
Q2
$1.09M Buy
14,030
+41
+0.3% +$3.21K 0.62% 19
2021
Q1
$982K Buy
13,989
+200
+1% +$12.9K 0.57% 18
2020
Q4
$892K Sell
13,789
-3,000
-18% -$179K 0.53% 19
2020
Q3
$1M Sell
16,789
-312
-2% -$17.7K 0.62% 17
2020
Q2
$978K Sell
17,101
-3,410
-17% -$181K 0.65% 17
2020
Q1
$991K Buy
20,511
+3,954
+24% +$204K 0.73% 16
2019
Q4
$877K Sell
16,557
-533
-3% -$29.3K 0.58% 26
2019
Q3
$940K Sell
17,090
-1,200
-7% -$66.3K 0.67% 24
2019
Q2
$1.08M Sell
18,290
-1,430
-7% -$77.4K 0.78% 16
2019
Q1
$1.06M Sell
19,720
-1,144
-5% -$58.3K 0.81% 15
2018
Q4
$942K Sell
20,864
-3,512
-14% -$168K 0.8% 15
2018
Q3
$1.26M Sell
24,376
-581
-2% -$28.2K 0.85% 17
2018
Q2
$1.1M Buy
24,957
+4,123
+20% +$190K 0.76% 21
2018
Q1
$953K Buy
20,834
+528
+3% +$26.2K 0.68% 23
2017
Q4
$960K Buy
20,306
+424
+2% +$20.8K 0.7% 24
2017
Q3
$961K Buy
19,882
+566
+3% +$28.2K 0.71% 21
2017
Q2
$969K Sell
19,316
-1,515
-7% -$69K 0.74% 22
2017
Q1
$929K Buy
20,831
+2,892
+16% +$120K 0.71% 26
2016
Q4
$690K Sell
17,939
-1,115
-6% -$43.6K 0.56% 32
2016
Q3
$748K Buy
19,054
+5,642
+42% +$230K 0.47% 47
2016
Q2
$549K Sell
13,412
-2,510
-16% -$100K 0.21% 70
2016
Q1
$651K Buy
+15,922
New +$589K 0.26% 62
2015
Q1
Sell
-6,810
Closed -$306K 121
2014
Q4
$306K Sell
6,810
-300
-4% -$12.2K 0.15% 90
2014
Q3
$272K Buy
7,110
+900
+14% +$36.4K 0.12% 99
2014
Q2
$252K Hold
6,210
0.11% 105
2014
Q1
$254K Buy
+6,210
New +$236K 0.11% 102
2013
Q3
Sell
-5,700
Closed -$175K 139
2013
Q2
$175K Buy
+5,700
New +$189K 0.1% 113

Other funds holding ORCL

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

Insight 2811 Inc increased its Oracle (ORCL) stake by 0.8% in Q1 2026, buying an estimated $7.15K and bringing the position to 5,536 shares worth $814K. The position accounts for 0.34% of the portfolio, ranked #38.

Insight 2811 Inc first reported a position in ORCL in Q2 2013 and has held it in 46 quarters since. The position peaked at $1.54M in Q3 2025. 3,471 funds tracked by Wall St. Rank hold ORCL as of Q1 2026.

  • Insight 2811 Inc held 5,536 shares of Oracle worth $814K as of Q1 2026.
  • Insight 2811 Inc bought 44 Oracle shares in Q1 2026, an estimated $7.15K.
  • Oracle made up 0.34% of Insight 2811 Inc's portfolio in Q1 2026, its #38 holding.
  • Insight 2811 Inc first reported a position in Oracle in Q2 2013 and has held it in 46 quarters since.
  • Insight 2811 Inc's Oracle position peaked at $1.54M in Q3 2025.
  • 3,471 funds tracked by Wall St. Rank held Oracle as of Q1 2026.

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