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This page summarizes the INS holdings changes quarter over quarter among those 13F filers that have reported for the 3/31/2022 period, comparing share count change from 12/31/2021 to 3/31/2022. Share count is compared over these two periods to provide an indication of whether INS is being accumulated or sold by institutions that file their holdings via 13F filings (and as always, when considering this data it is important to be mindful of the long only reporting requirement).
Filer12/31/2021
 Share Count 
3/31/2022
 Share Count 
Change% Change
13F Filers Increasing INS Share Count
Millennium Management LLC 9,159 61,391 +52,232 +570.28%
Greenwood Capital Associates LLC 12,620 27,051 +14,431 +114.35%
Adirondack Trust Co. 125 265 +140 +112.00%
Benjamin F. Edwards & Company Inc. 102 193 +91 +89.22%
Bank of America Corp DE 7,438 13,351 +5,913 +79.50%
MetLife Investment Management LLC 2,617 4,109 +1,492 +57.01%
Monarch Capital Management Inc. 40,168 61,608 +21,440 +53.38%
Avalon Investment & Advisory 59,449 76,489 +17,040 +28.66%
JPMorgan Chase & Co. 5,598 6,790 +1,192 +21.29%
Man Group plc 10,000 11,400 +1,400 +14.00%
Isthmus Partners LLC 39,048 43,203 +4,155 +10.64%
Altshuler Shaham Ltd 1,062 1,148 +86 +8.10%
Marshall Wace LLP 33,259 34,826 +1,567 +4.71%
Geode Capital Management LLC 112,325 117,237 +4,912 +4.37%
Legal & General Group Plc 724 755 +31 +4.28%
Manatuck Hill Partners LLC 135,400 138,143 +2,743 +2.03%
Royal Bank of Canada 22,543 22,931 +388 +1.72%
Rice Hall James & Associates LLC 106,350 108,150 +1,800 +1.69%
Investors Asset Management of Georgia Inc. GA ADV 278,765 283,095 +4,330 +1.55%
Bank of New York Mellon Corp 49,458 49,893 +435 +0.88%
State Street Corp 129,434 130,187 +753 +0.58%
Precision Wealth Strategies LLC 12,477 12,538 +61 +0.49%
New York State Common Retirement Fund 6,361 6,370 +9 +0.14%
13F Filers Reporting New Positions In INS
Amalgamated Bank 0 1,184 +1,184 +100%
Citadel Advisors LLC 0 13,993 +13,993 +100%
Engineers Gate Manager LP 0 15,720 +15,720 +100%
Trexquant Investment LP 0 7,633 +7,633 +100%
Aquatic Capital Management LLC 0 300 +300 +100%
Amalgamated Financial Corp. 0 1,184 +1,184 +100%
13F Filers With Unchanged Share Count
Dimensional Fund Advisors LP 52,864 52,864 UNCH 0.00%
First Manhattan Co. 50 50 UNCH 0.00%
Proequities Inc. 2,000 2,000 UNCH 0.00%
Charles Schwab Investment Management Inc. 18,396 18,396 UNCH 0.00%
Ameritas Investment Partners Inc. 601 601 UNCH 0.00%
Lazard Asset Management LLC 465 465 UNCH 0.00%
Janus Henderson Group PLC 536,962 536,962 UNCH 0.00%
Financial Management Professionals Inc. 1,474 1,474 UNCH 0.00%
Rockefeller Capital Management L.P. 25 25 UNCH 0.00%
13F Filers Decreasing INS Share Count
JCSD Capital LLC 25,900 10 -25,890 -99.96%
FMR LLC 178,285 701 -177,584 -99.61%
The PNC Financial Services Group Inc. 88 6 -82 -93.18%
Citigroup Inc. 1,782 422 -1,360 -76.32%
Metropolitan Life Insurance Co NY 1,980 488 -1,492 -75.35%
Tower Research Capital LLC TRC 5,539 2,046 -3,493 -63.06%
BNP Paribas Arbitrage SA 1,513 627 -886 -58.56%
Morgan Stanley 4,143 1,853 -2,290 -55.27%
Kornitzer Capital Management Inc. KS 53,500 28,500 -25,000 -46.73%
UBS Group AG 2,242 1,318 -924 -41.21%
Wells Fargo & Company MN 21,434 13,541 -7,893 -36.82%
Olstein Capital Management L.P. 70,000 46,143 -23,857 -34.08%
Quent Capital LLC 5,440 3,900 -1,540 -28.31%
California State Teachers Retirement System 3,857 3,132 -725 -18.80%
Apis Capital Advisors LLC 236,000 194,000 -42,000 -17.80%
Nuveen Asset Management LLC 21,981 18,708 -3,273 -14.89%
Allspring Global Investments Holdings LLC 20,427 17,930 -2,497 -12.22%
American International Group Inc. 3,855 3,601 -254 -6.59%
First Trust Advisors LP 10,162 9,605 -557 -5.48%
Northern Trust Corp 65,315 62,211 -3,104 -4.75%
Renaissance Technologies LLC 214,497 205,397 -9,100 -4.24%
Acadian Asset Management LLC 16,012 15,418 -594 -3.71%
Vanguard Group Inc. 347,229 338,819 -8,410 -2.42%
Advisor Group Holdings Inc. 2,555 2,520 -35 -1.37%
BlackRock Inc. 445,132 440,299 -4,833 -1.09%
Deutsche Bank AG 44,790 44,332 -458 -1.02%
Weitz Investment Management Inc. 615,000 610,000 -5,000 -0.81%
US Bancorp DE 559 557 -2 -0.36%
13F Filers Exiting INS
CMC Financial Group 30,065 0 -30,065 -100.00%
Summit Global Investments 14,500 0 -14,500 -100.00%
Parallel Advisors LLC 42 0 -42 -100.00%
TCI Wealth Advisors Inc. 62 0 -62 -100.00%
Exencial Wealth Advisors LLC 12,690 0 -12,690 -100.00%
Two Sigma Advisers LP 5,900 0 -5,900 -100.00%
IndexIQ Advisors LLC 10,343 0 -10,343 -100.00%
Denali Advisors LLC 1,000 0 -1,000 -100.00%
Rhumbline Advisers 6,373 0 -6,373 -100.00%
Martingale Asset Management L P 7,104 0 -7,104 -100.00%
Parametric Portfolio Associates LLC 12,371 0 -12,371 -100.00%
Goldman Sachs Group Inc. 5,409 0 -5,409 -100.00%
Essex Investment Management Co. LLC 60,193 0 -60,193 -100.00%

See Summary: Institutional Holders of INS
See Details: Top 10 Hedge Funds Holding INS
Also See: INS Insider Buying

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