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Insight Enterprises

202 hedge funds and large institutions have $1.41B invested in Insight Enterprises in 2017 Q2 according to their latest regulatory filings, with 25 funds opening new positions, 87 increasing their positions, 64 reducing their positions, and 25 closing their positions.

New
Increased
Maintained
Reduced
Closed

36% more repeat investments, than reductions

Existing positions increased: 87 | Existing positions reduced: 64

0% more first-time investments, than exits

New positions opened: 25 | Existing positions closed: 25

0% less funds holding

Funds holding: 203202 (-1)

3% less capital invested

Capital invested by funds: $1.46B → $1.41B (-$50.8M)

1.55% less ownership

Funds ownership: 100.05%98.49% (-1.6%)

27% less call options, than puts

Call options by funds: $556K | Put options by funds: $761K

33% less funds holding in top 10

Funds holding in top 10: 32 (-1)

Holders
202
Holders Change
-1
Holders Change %
-0.49%
% of All Funds
5.04%
Holding in Top 10
2
Holding in Top 10 Change
-1
Holding in Top 10 Change %
-33.33%
% of All Funds
0.05%
New
25
Increased
87
Reduced
64
Closed
25
Calls
$556K
Puts
$761K
Net Calls
-$205K
Net Calls Change
-$517K
Name Holding Trade Value Shares
Change
Change in
Stake
AW
151
Alpha Windward
Massachusetts
$427K -$5.07K -120 -1%
PPCM
152
Pillar Pacific Capital Management
California
$424K
ARTA
153
A.R.T. Advisors
New York
$419K +$444K +10,500 New
Fuller & Thaler Asset Management
154
Fuller & Thaler Asset Management
California
$356K +$135K +3,200 +56%
MSA
155
Mason Street Advisors
Wisconsin
$353K +$21.9K +518 +6%
CONA
156
Capital One National Association
New York
$332K +$351K +8,310 New
Jane Street
157
Jane Street
New York
$323K +$341K +8,070 New
Public Employees Retirement Association of Colorado
158
Public Employees Retirement Association of Colorado
Colorado
$307K
NIT
159
NumerixS Investment Technologies
British Columbia, Canada
$304K +$46.5K +1,100 +17%
VKH
160
Virtu KCG Holdings
New York
$283K -$128K -3,040 -30%
SOADOR
161
State of Alaska Department of Revenue
Alaska
$282K +$133K +3,137 +80%
PP
162
Paloma Partners
Connecticut
$277K +$293K +6,927 New
SCM
163
Stevens Capital Management
Pennsylvania
$273K +$288K +6,823 New
BCM
164
Bayesian Capital Management
New York
$257K +$48.3K +1,143 +22%
B
165
Barings
North Carolina
$256K -$270K -6,400 -50%
AIM
166
Alambic Investment Management
California
$252K -$266K -6,300 -50%
Nisa Investment Advisors
167
Nisa Investment Advisors
Missouri
$249K
PA
168
Profund Advisors
Maryland
$219K -$100K -2,374 -30%
TC
169
TFS Capital
Pennsylvania
$208K -$1.31M -31,123 -86%
NCCM
170
Nine Chapters Capital Management
New Jersey
$208K -$270K -6,400 -55%
GHCM
171
Glen Harbor Capital Management
California
$166K +$74.7K +1,768 +74%
PCM
172
Prelude Capital Management
New York
$162K -$133K -3,146 -44%
MCIM
173
Meadow Creek Investment Management
Georgia
$137K +$61.5K +1,456 +74%
AIP
174
Ameritas Investment Partners
Nebraska
$120K
EP
175
Elkfork Partners
Oregon
$107K +$48.3K +1,144 +74%

NSIT Hedge Fund Activity: Q2 2017 in Review

202 of the 4,011 institutional investors tracked by Wall St. Rank reported a position in Insight Enterprises (NSIT) for Q2 2017, worth a combined $1.41B — down 3.5% from $1.46B a quarter earlier.

Fund positioning in NSIT was balanced in Q2 2017: 25 funds opened new positions, 25 closed out, 87 added to existing stakes and 64 trimmed.

The largest buyer was Royce & Associates, opening a new position worth an estimated $21.6M. The largest seller was Fidelity Investments, exiting entirely with an estimated $66.2M sold.

  • 202 institutional investors held Insight Enterprises (NSIT) as of Q2 2017, down from 203 in Q1 2017.
  • Funds reported $1.41B of Insight Enterprises stock for Q2 2017, down 3.5% quarter-over-quarter.
  • 25 funds opened new Insight Enterprises positions in Q2 2017 and 25 closed out, a net change of 0 holders.
  • The largest Insight Enterprises buyer in Q2 2017 was Royce & Associates, an estimated $21.6M added.
  • The largest Insight Enterprises seller in Q2 2017 was Fidelity Investments, an estimated $66.2M sold.

Based on aggregated 13F filings for Q2 2017.