Point72 Asset Management
INSM icon

Point72 Asset Management’s Insmed INSM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$49.4M Buy
+490,667
New +$49.4M 0.1% 231
2024
Q4
Sell
-315,151
Closed -$23M 1494
2024
Q3
$23M Sell
315,151
-543,149
-63% -$39.6M 0.06% 328
2024
Q2
$57.5M Buy
+858,300
New +$57.5M 0.15% 178
2024
Q1
Hold
0
1644
2023
Q4
Sell
-16
Closed -$413 1693
2023
Q3
$413 Buy
+16
New +$413 ﹤0.01% 1687
2023
Q1
Sell
-1,291,580
Closed -$25.8M 1840
2022
Q4
$25.8M Sell
1,291,580
-249,894
-16% -$4.99M 0.09% 261
2022
Q3
$33.2M Sell
1,541,474
-119,380
-7% -$2.57M 0.13% 198
2022
Q2
$32.8M Sell
1,660,854
-703,806
-30% -$13.9M 0.14% 195
2022
Q1
$55.6M Sell
2,364,660
-34,592
-1% -$813K 0.22% 121
2021
Q4
$65.4M Sell
2,399,252
-1,192,736
-33% -$32.5M 0.26% 86
2021
Q3
$98.9M Buy
3,591,988
+716,392
+25% +$19.7M 0.43% 36
2021
Q2
$81.8M Sell
2,875,596
-1,626
-0.1% -$46.3K 0.37% 48
2021
Q1
$98M Buy
2,877,222
+2,597,121
+927% +$88.5M 0.46% 40
2020
Q4
$9.33M Sell
280,101
-24,450
-8% -$814K 0.05% 431
2020
Q3
$9.79M Buy
304,551
+262,874
+631% +$8.45M 0.05% 389
2020
Q2
$1.15M Sell
41,677
-3,286,999
-99% -$90.5M 0.01% 628
2020
Q1
$53.4M Buy
3,328,676
+3,087,841
+1,282% +$49.5M 0.43% 53
2019
Q4
$5.75M Sell
240,835
-471,654
-66% -$11.3M 0.03% 447
2019
Q3
$12.6M Sell
712,489
-34,777
-5% -$613K 0.08% 289
2019
Q2
$19.1M Buy
747,266
+675,166
+936% +$17.3M 0.1% 226
2019
Q1
$2.1M Sell
72,100
-243,050
-77% -$7.07M 0.01% 598
2018
Q4
$4.14M Sell
315,150
-334,150
-51% -$4.38M 0.02% 519
2018
Q3
$13.1M Buy
+649,300
New +$13.1M 0.05% 311
2017
Q4
Sell
-110,410
Closed -$3.45M 833
2017
Q3
$3.45M Buy
+110,410
New +$3.45M 0.02% 495
2017
Q2
Sell
-50,000
Closed -$876K 791
2017
Q1
$876K Buy
+50,000
New +$876K ﹤0.01% 661
2016
Q3
Sell
-201,354
Closed -$1.99M 723
2016
Q2
$1.99M Buy
+201,354
New +$1.99M 0.01% 504
2015
Q1
Sell
-2,840,830
Closed -$43.9M 690
2014
Q4
$43.9M Buy
2,840,830
+271,194
+11% +$4.2M 0.31% 91
2014
Q3
$33.5M Buy
2,569,636
+1,917,949
+294% +$25M 0.25% 100
2014
Q2
$13M Buy
+651,687
New +$13M 0.08% 259