Average Insider

Where insiders trade, we follow

Insider Buy/Sell Ratio — Last 3 Months

Extreme outlier transactions (>3σ) are excluded.Show All Data
Ratio0.2:1
Daily Buy & Sell Volume

By Sector

By Industry

Hardware, Equipment & Parts
Buys21
Sells1336
Buy $$14.14B
Sell $$794.10M
Ratio17.80:1
% Change vs. Prior
Ratio -15.0%Value +3.6%
Software - Infrastructure
Buys57
Sells3799
Buy $$33.64M
Sell $$3.93B
Ratio1:116.76
% Change vs. Prior
Ratio -39.1%Value +24.0%
Biotechnology
Buys383
Sells3320
Buy $$362.10M
Sell $$3.46B
Ratio1:9.56
% Change vs. Prior
Ratio -58.4%Value +57.6%
Medical - Instruments & Supplies
Buys34
Sells113
Buy $$16.29M
Sell $$3.67B
Ratio1:225.38
% Change vs. Prior
Ratio +82.3%Value -52.0%
Semiconductors
Buys126
Sells1835
Buy $$3.35M
Sell $$3.21B
Ratio1:960.27
% Change vs. Prior
Ratio +38.7%Value +14.1%
Software - Application
Buys371
Sells1965
Buy $$303.97M
Sell $$2.63B
Ratio1:8.64
% Change vs. Prior
Ratio -63.6%Value +77.7%
Oil & Gas Exploration & Production
Buys165
Sells87
Buy $$45.22M
Sell $$2.55B
Ratio1:56.44
% Change vs. Prior
Ratio +309.4%Value -26.6%
Computer Hardware
Buys2
Sells1908
Buy $$43.39K
Sell $$2.24B
Ratio1:51558.16
% Change vs. Prior
Ratio -93.3%Value +57.5%
Medical - Healthcare Information Services
Buys22
Sells322
Buy $$7.54M
Sell $$2.16B
Ratio1:286.30
% Change vs. Prior
Ratio -80.0%Value +21.2%
Specialty Retail
Buys69
Sells952
Buy $$23.44M
Sell $$1.63B
Ratio1:69.50
% Change vs. Prior
Ratio -84.8%Value -19.7%
Information Technology Services
Buys54
Sells247
Buy $$8.17M
Sell $$1.40B
Ratio1:171.82
Financial - Capital Markets
Buys30
Sells482
Buy $$718.99M
Sell $$641.11M
Ratio1.12:1
Leisure
Buys28
Sells107
Buy $$7.62M
Sell $$1.29B
Ratio1:169.92
Medical - Diagnostics & Research
Buys12
Sells487
Buy $$7.10M
Sell $$1.19B
Ratio1:166.92
Asset Management
Buys340
Sells240
Buy $$137.58M
Sell $$994.72M
Ratio1:7.23
Shares
59
Price
$71.82
Total Value
$4.24K
Shares Held After
6,328
% of Holdings
0.9%
Shares
44
Price
$71.82
Total Value
$3.16K
Shares Held After
1,136
% of Holdings
3.9%
Shares
44
Price
$71.82
Total Value
$3.16K
Shares Held After
145
% of Holdings
30.3%
Shares
57
Price
$71.82
Total Value
$4.09K
Shares Held After
6,281
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
160
Price
$71.82
Total Value
$11.49K
Shares Held After
17,539
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
75
Price
$71.82
Total Value
$5.39K
Shares Held After
7,887
% of Holdings
1.0%
Shares
53
Price
$71.82
Total Value
$3.81K
Shares Held After
5,834
% of Holdings
0.9%
Shares
56
Price
$71.82
Total Value
$4.02K
Shares Held After
6,515
% of Holdings
0.9%
Shares
52
Price
$71.82
Total Value
$3.73K
Shares Held After
5,747
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
49
Price
$71.82
Total Value
$3.52K
Shares Held After
5,788
% of Holdings
0.8%
May 8, 2026
Purchase
Shares
30
Price
$71.82
Total Value
$2.15K
Shares Held After
3,466
% of Holdings
0.9%
Shares
54
Price
$71.82
Total Value
$3.88K
Shares Held After
6,281
% of Holdings
0.9%
Shares
48
Price
$71.82
Total Value
$3.45K
Shares Held After
159
% of Holdings
30.2%
Shares
42
Price
$71.82
Total Value
$3.02K
Shares Held After
139
% of Holdings
30.2%
Shares
53
Price
$71.82
Total Value
$3.81K
Shares Held After
6,145
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
59
Price
$71.82
Total Value
$4.24K
Shares Held After
6,486
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
34
Price
$71.82
Total Value
$2.44K
Shares Held After
74
% of Holdings
45.9%
May 8, 2026
Purchase
Shares
49
Price
$71.82
Total Value
$3.52K
Shares Held After
5,224
% of Holdings
0.9%
Shares
51
Price
$71.82
Total Value
$3.66K
Shares Held After
4,096
% of Holdings
1.2%
May 8, 2026
Purchase
Shares
59
Price
$71.82
Total Value
$4.24K
Shares Held After
6,554
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
66
Price
$71.82
Total Value
$4.74K
Shares Held After
7,274
% of Holdings
0.9%
May 8, 2026
Purchase
Shares
75
Price
$71.82
Total Value
$5.39K
Shares Held After
8,223
% of Holdings
0.9%
Shares
48
Price
$71.82
Total Value
$3.45K
Shares Held After
5,668
% of Holdings
0.8%
Shares
56
Price
$71.82
Total Value
$4.02K
Shares Held After
5,269
% of Holdings
1.1%
Shares
49
Price
$71.82
Total Value
$3.52K
Shares Held After
1,213
% of Holdings
4.0%

SmartRent, Inc. (SMRT)

Martell Frank — Director
May 8, 2026
Purchase
Shares
50,000
Price
$1.12
Total Value
$56.22K
Shares Held After
3,065,266
% of Holdings
1.6%
May 8, 2026
Purchase
Shares
15,878
Price
$15.73
Total Value
$249.77K
Shares Held After
11,931,074
% of Holdings
0.1%

Pampa Energy Inc. (PAM)

Mariani Gustavo — Vice President
May 8, 2026
Purchase
Shares
25,000
Price
$81.02
Total Value
$2.03M
Shares Held After
1,591,184
% of Holdings
1.6%
May 8, 2026
Purchase
Shares
1,221
Price
$81.95
Total Value
$100.06K
Shares Held After
81,539
% of Holdings
1.5%

YORK WATER CO (YORW)

Scarpato Matthew J — Chief Operating Officer
May 8, 2026
Purchase
Shares
700
Price
$29.30
Total Value
$20.51K
Shares Held After
2,570
% of Holdings
27.2%

WESBANCO INC (WSBC)

Love Scott A — EVP - Wealth Management
May 8, 2026
Purchase
Shares
400
Price
$34.08
Total Value
$13.63K
Shares Held After
26,803
% of Holdings
1.5%

LIBERTY ALL STAR EQUITY FUND (USA)

MILAS ROBERT — Access Person of the Fund
May 8, 2026
Purchase
Shares
1,700
Price
$5.82
Total Value
$9.89K
Shares Held After
5,759
% of Holdings
29.5%

LIBERTY ALL STAR GROWTH FUND INC. (ASG)

MILAS ROBERT — Access Person of the Fund
May 8, 2026
Purchase
Shares
1,900
Price
$5.25
Total Value
$9.98K
Shares Held After
6,826
% of Holdings
27.8%
May 7, 2026
Purchase
Shares
2,000
Price
$86.82
Total Value
$173.64K
Shares Held After
23,319
% of Holdings
8.6%

USVC Venture Capital Access Fund

Nagpal Ankur — Portfolio Manager
May 7, 2026
Purchase
Shares
12,444
Price
$20.09
Total Value
$250.00K
Shares Held After
23,147
% of Holdings
53.8%
Shares
1,520
Price
$17.86
Total Value
$27.15K
Shares Held After
3,445,049
% of Holdings
0.0%
May 7, 2026
Purchase
Shares
2,976
Price
$2.62
Total Value
$7.80K
Shares Held After
1,065,914
% of Holdings
0.3%
May 7, 2026
Purchase
Shares
2,976
Price
$2.62
Total Value
$7.80K
Shares Held After
1,065,914
% of Holdings
0.3%
May 7, 2026
Purchase
Shares
24,180
Price
$25.01
Total Value
$604.74K
Shares Held After
26,155,920
% of Holdings
0.1%
May 7, 2026
Purchase
Shares
2,500
Price
$4.23
Total Value
$10.58K
Shares Held After
51,283
% of Holdings
4.9%
May 7, 2026
Purchase
Shares
346
Price
$58.45
Total Value
$20.22K
Shares Held After
1,395
% of Holdings
24.8%
May 7, 2026
Purchase
Shares
56,630
Price
$40.46
Total Value
$2.29M
Shares Held After
3,761,908
% of Holdings
1.5%
May 7, 2026
Purchase
Shares
94,356
Price
$39.39
Total Value
$3.72M
Shares Held After
3,705,278
% of Holdings
2.5%
May 7, 2026
Purchase
Shares
116,412
Price
$38.46
Total Value
$4.48M
Shares Held After
3,610,922
% of Holdings
3.2%
May 7, 2026
Purchase
Shares
123,393
Price
$37.60
Total Value
$4.64M
Shares Held After
3,494,510
% of Holdings
3.5%
May 7, 2026
Purchase
Shares
14,786
Price
$36.33
Total Value
$537.18K
Shares Held After
3,371,117
% of Holdings
0.4%
May 7, 2026
Purchase
Shares
128,181
Price
$35.46
Total Value
$4.55M
Shares Held After
3,356,331
% of Holdings
3.8%
May 7, 2026
Purchase
Shares
18,000
Price
$8.30
Total Value
$149.41K
Shares Held After
4,140,200
% of Holdings
0.4%
May 7, 2026
Purchase
Shares
8,680
Price
$2.88
Total Value
$25.00K
Shares Held After
20,318
% of Holdings
42.7%

Cellectar Biosciences, Inc. (CLRB)

Longcor Jarrod — Chief Operating Officer
May 7, 2026
Purchase
Shares
8,680
Price
$2.88
Total Value
$25.00K
Shares Held After
20,451
% of Holdings
42.4%
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