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Each day Insider-Intel.com uses Artifical Intelligence to review the Insider-Intel.com Insider Trading Report email. The blog entries below contain a small portion of the daily emailed insider report. We at Insider-Intel.com hope you find them informative.

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Blog For 2026-03-26 Insider Trading From 2026-03-27 Insider-Intel.com Email Report

2026-03-27 Insider Trading Report has 40 Insider transactions. 6 Bought. 34 Sold.

Total shares bought: 779,075    Total shares sold: 5,542,825

Shares Bought by Title - Officers: 0   Directors: 758,075   Percenters: 15,000   Other: 6,000

Shares Sold by Title - Officers: 120,099   Directors: 686,331   Percenters: 3,579,195   Other: 1,157,200


Insider Transaction - Largest Bought Percent Change
Ticker: BORRCompany: Borr Drilling Ltd
Transaction Date: 2026-03-24Transaction Type: Bought
Transactions Shares: 250,000   Shares After: 354,423Percentage Change: 239.41%
Name: Currie JeffreyTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: NXSTCompany: NEXSTAR MEDIA GROUP, INC.
Transaction Date: 2026-03-25Transaction Type: Sold
Transactions Shares: 5,248   Shares After: 2,737Percentage Change: -65.72%
Name: ZIMMER DANATitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: BORRCompany: Borr Drilling Ltd
Transaction Date: 2026-03-24Transaction Type: Bought
Transactions Shares: 250,000   Shares After: 354,423Percentage Change: 239.41%
Name: Currie JeffreyTitle: director

Borr Drilling Ltd (BORR) Basic Information

https://borrdrilling.com
Business Sector: Energy         Industry: Oil & Gas Drilling
Borr Drilling Limited operates as an offshore shallow-water drilling contractor to the oil and gas industry in the United States, the Middle East, South East Asia, Europe, Latin America, and West Africa. The company owns, contracts, and operates jack-up drilling rigs for operations in shallow-water areas, such as the provision of related equipment and work crews to conduct oil and gas drilling and workover operations for exploration and production. It serves oil and gas exploration and production companies, such as integrated oil companies, state-owned national oil companies, and independent oil and gas companies. The company was formerly known as Magni Drilling Limited and changed its name to Borr Drilling Limited in December 2016. Borr Drilling Limited was incorporated in 2016 and is based in Hamilton, Bermuda.
52 Week Low: 1.55      52 Week High: 6.25

News Of Borr Drilling Ltd, Ticker: BORR

Published On 2026-03-24 By MT Newswires
Sector Update: Energy Stocks Edge Higher Pre-Bell Tuesday
Published On 2026-03-24 By MT Newswires
Exchange-Traded Funds, Equity Futures Lower Pre-Bell Tuesday Amid Economic Data Releases
Published On 2026-03-24 By Offshore Technology
Borr Drilling to acquire five jack-up rigs from Paratus for $287m
Published On 2026-03-20 By Insider Monkey
SEB Equities Downgrades Borr Drilling Limited (BORR) to Hold from Buy with a $5.45 Price Target
Published On 2026-03-16 By StockStory
Oilfield Services Stocks Q4 Highlights: Borr Drilling (NYSE:BORR)
Published On 2026-03-12 By Simply Wall St.
Has Borr Drilling (BORR) Run Too Far After 152% Surge And Offshore Contract Momentum
Published On 2026-03-11 By The Fly
Oracle, Nike upgraded: Wall Street's top analyst calls
Published On 2026-03-11 By 24/7 Wall St.
Here Are Wednesday’s Top Wall Street Analyst Research Calls: CrowdStrike, Harley-Davidson, Intuitive Surgical, Medline, Nike, Oracle, Planet Fitness, Vici Properties, and More
Published On 2026-03-09 By MT Newswires
Sector Update: Energy Stocks Rise Premarket Monday
Published On 2026-03-09 By MT Newswires
Exchange-Traded Funds, Equity Futures Lower Pre-Bell Monday Amid Oil Price Surge

Last 5 Grade Reports For Borr Drilling Ltd, Ticker: BORR

DateSourceFrom GradeTo GradeAction
2026-02-25CitigroupNeutralNeutralmain
2026-02-12CitigroupNeutralNeutralmain
2026-01-12CitigroupNeutralNeutralmain
2025-11-14CitigroupNeutralNeutralmain
2025-09-12CitigroupNeutralinit

AI Analysis Of Company Insider Trading From 2026-03-27 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: NPKICompany: NPK International Inc.
Transaction Date: 2026-03-25Transaction Type: Sold
Transactions Shares: 15,000   Shares After: 869,326Percentage Change: -1.70%
Name: Piontek GreggTitle: officer

NPK International Inc. (NPKI) Basic Information

https://www.npki.com
Business Sector: Energy         Industry: Oil & Gas Equipment & Services
NPK International Inc., a temporary worksite access solutions company, manufactures, sells, and rents recyclable composite matting products in the United States and United Kingdom. The company engages in the installation and rental of matting systems, and related site construction and services to customers in various markets, including power transmission, oil and natural gas exploration and production, pipeline, renewable energy, petrochemical, construction, and other industries. It also offers recyclable composite mats to customers worldwide; and access road construction, site planning and preparation, environmental protection, erosion control, and site restoration services. The company was formerly known as Newpark Resources, Inc. and changed its name to NPK International Inc. in December 2024. The company was founded in 1932 and is headquartered in The Woodlands, Texas..
52 Week Low: 4.76      52 Week High: 15.96

News Of NPK International Inc., Ticker: NPKI

Published On 2026-03-09 By Simply Wall St.
A Look At NPK International (NPKI) Valuation After Recent Share Price Weakness
Published On 2026-03-08 By Simply Wall St.
How The NPK International (NPKI) Narrative Is Shifting As Price Targets Tighten Around $19
Published On 2026-02-26 By GuruFocus.com
NPK International Inc (NPKI) Q4 2025 Earnings Call Highlights: Strong Revenue Growth and ...
Published On 2026-02-26 By Investor's Business Daily
Stock Of The Day NPK International Rides The Energy Construction Buzz
Published On 2026-02-26 By Motley Fool
NPK International (NPKI) Earnings Transcript
Published On 2026-01-23 By Insider Monkey
Is NPK International (NPKI) at an Inflection Point?
Published On 2026-01-18 By Simply Wall St.
NPK International (NYSE:NPKI) delivers shareholders fantastic 39% CAGR over 5 years, surging 12% in the last week alone
Published On 2025-12-15 By Simply Wall St.
NPK International (NYSE:NPKI) Shareholders Will Want The ROCE Trajectory To Continue
Published On 2025-11-24 By Simply Wall St.
NPK International Inc.'s (NYSE:NPKI) Stock Has Seen Strong Momentum: Does That Call For Deeper Study Of Its Financial Prospects?
Published On 2025-11-04 By Simply Wall St.
What Does NPK International Inc.'s (NYSE:NPKI) Share Price Indicate?

Last 5 Grade Reports For NPK International Inc., Ticker: NPKI

DateSourceFrom GradeTo GradeAction
2025-11-03HC Wainwright & Co.BuyBuymain
2025-08-12Roth CapitalBuyBuymain
2025-08-07B. Riley SecuritiesBuyBuymain
2025-05-05HC Wainwright & Co.BuyBuyreit
2025-02-28HC Wainwright & Co.BuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-25 Insider Trading From 2026-03-26 Insider-Intel.com Email Report

2026-03-26 Insider Trading Report has 27 Insider transactions. 7 Bought. 20 Sold.

Total shares bought: 347,252    Total shares sold: 368,324

Shares Bought by Title - Officers: 0   Directors: 205,010   Percenters: 142,242   Other: 0

Shares Sold by Title - Officers: 231,426   Directors: 115,698   Percenters: 0   Other: 21,200


Insider Transaction - Largest Bought Percent Change
Ticker: TISICompany: TEAM INC
Transaction Date: 2026-03-24Transaction Type: Bought
Transactions Shares: 5,000   Shares After: 14,890Percentage Change: 50.56%
Name: Stenger Edward J.Title: director

Insider Transaction - Largest Sold Percent Change
Ticker: CRWVCompany: CoreWeave, Inc.
Transaction Date: 2026-03-23Transaction Type: Sold
Transactions Shares: 22,915   Shares After: 0Percentage Change: -100.00%
Name: McBee BranninTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: PFGCompany: PRINCIPAL FINANCIAL GROUP INC
Transaction Date: 2026-02-09Transaction Type: Bought
Transactions Shares: 10   Shares After: 11,203Percentage Change: 0.09%
Name: Muruzabal ClaudioTitle: director

PRINCIPAL FINANCIAL GROUP INC (PFG) Basic Information

https://www.principal.com
Business Sector: Financial Services         Industry: Asset Management
Principal Financial Group, Inc. provides retirement, asset management, and insurance products and services to businesses, individuals, and institutional clients worldwide. The company operates through Retirement and Income Solutions, Principal Asset Management, and Benefits and Protection segments. The Retirement and Income Solutions segment provides retirement, and related financial products and services. This segment offers products and services for defined contribution plans, including 401(k) and 403(b) plans, defined benefit plans, nonqualified executive benefit plans, employee stock ownership plans, equity compensation, and pension risk transfer services; individual retirement accounts; investment only products; and mutual funds, individual variable annuities, registered index-linked annuities, and bank products, as well as trust and custody services. The Principal Asset Management segment provides equity, fixed income, real estate, and other alternative investments, as well as fund offerings. This segment also offers pension accumulation products and services, mutual funds, asset management, income annuities, and life insurance accumulation products, as well as voluntary savings plans. The Benefits and Protection segment provides specialty benefits, such as specialty benefits group dental and vision insurance, group life and other insurance, and group and individual disability insurance, as well as administers group dental, disability, and vision benefits; and individual life insurance products comprising universal, variable universal, indexed universal, and term life insurance products. This segment serves insurance solutions for small and medium-sized businesses and their owners, as well as employees. The company was founded in 1879 and is based in Des Moines, Iowa.
52 Week Low: 68.39      52 Week High: 97.88

News Of PRINCIPAL FINANCIAL GROUP INC, Ticker: PFG

Published On 2026-03-25 By Zacks
PFG Stock Outperforms Industry: What Should Investors Do Now?
Published On 2026-03-17 By Barchart
Is Principal Financial Group Stock Underperforming the Dow?
Published On 2026-03-13 By Simply Wall St.
Assessing Principal Financial Group (PFG) Valuation After Recent Share Price Weakness
Published On 2026-03-12 By Insider Monkey
Principal Financial Group, Inc. (PFG) to Acquire Alabama Dental Network DentaNet
Published On 2026-03-11 By Zacks
Principal Financial (PFG) Down 4.2% Since Last Earnings Report: Can It Rebound?
Published On 2026-03-04 By Insider Monkey
Wells Fargo Upgrades Principal Financial Group, Inc. (PFG) to Equal Weight and Raises its Price Target to $91
Published On 2026-02-27 By Simply Wall St.
Principal Financial Group Expands Funding Flexibility With New Shelf Registration
Published On 2026-02-26 By Zacks
Are You Looking for a High-Growth Dividend Stock?
Published On 2026-02-25 By 24/7 Wall St.
The Trade Desk Faces Its Most Important Revenue Test After a 67% Collapse
Published On 2026-02-25 By The Fly
Oracle upgraded, Workday downgraded: Wall Street's top analyst calls

Last 5 Grade Reports For PRINCIPAL FINANCIAL GROUP INC, Ticker: PFG

DateSourceFrom GradeTo GradeAction
2026-03-03Morgan StanleyEqual-WeightEqual-Weightmain
2026-02-25Wells FargoUnderweightEqual-Weightup
2026-02-10B of A SecuritiesNeutralNeutralmain
2026-01-13Wells FargoUnderweightUnderweightmain
2026-01-08UBSNeutralNeutralmain

AI Analysis Of Company Insider Trading From 2026-03-26 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: IBOCompany: IMPACT BIOMEDICAL INC.
Transaction Date: 2026-03-23Transaction Type: Sold
Transactions Shares: 50,000   Shares After: 250,182Percentage Change: -16.66%
Name: Grady JasonTitle: director

IMPACT BIOMEDICAL INC. (IBO) Basic Information

https://www.impactbiomedinc.com
Business Sector: Healthcare         Industry: Biotechnology
Impact BioMedical Inc. discovers, develops, and commercializes products and technologies to address unmet needs in human healthcare and wellness for specialty biopharmaceuticals, antivirals, antimicrobials, consumer healthcare, and wellness products in the United States. The company provides Linebacker, a platform of small molecule electrophilically enhanced polyphenol compounds with application in oncology, inflammatory disorders, and neurology; and Laetose technology that is derived from a unique combination of sugar and inositol, which can inhibit the inflammatory and metabolic response of sugar alone. It also develops functional fragrance formulation, a suite of functional fragrances containing specialized botanical ingredients with application as an antimicrobial, and as an additive in insect repellents, detergents, lotions, shampoo, fabrics, and other substances. In addition, the company develops Equivir/Equivir G technology, a novel blend of polyphenols, which have demonstrated antiviral effects for use as health supplements and medications. Further, it is developing 3F (functional fragrance formulation), a formulation of botanical ingredients. Impact BioMedical Inc. was incorporated in 2018 and is based in Houston, Texas. Impact BioMedical Inc. operates as a subsidiary of DSS BioHealth Security, Inc
52 Week Low: 0.362      52 Week High: 4.5

News Of IMPACT BIOMEDICAL INC., Ticker: IBO

Published On 2025-06-23 By MT Newswires
Top Midday Gainers

No Grade Changing Information Available

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-24 Insider Trading From 2026-03-25 Insider-Intel.com Email Report

2026-03-25 Insider Trading Report has 43 Insider transactions. 11 Bought. 32 Sold.

Total shares bought: 403,991    Total shares sold: 1,151,286

Shares Bought by Title - Officers: 107,300   Directors: 198,400   Percenters: 98,291   Other: 0

Shares Sold by Title - Officers: 267,647   Directors: 865,336   Percenters: 18,303   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: RNXTCompany: RenovoRx, Inc.
Transaction Date: 2026-03-20Transaction Type: Bought
Transactions Shares: 9,720   Shares After: 9,720Percentage Change: 100.00%
Name: Marton LaurenceTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: HOODCompany: Robinhood Markets, Inc.
Transaction Date: 2026-03-20Transaction Type: Sold
Transactions Shares: 67,422   Shares After: 0Percentage Change: -100.00%
Name: Bhatt BaijuTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: PODCCompany: PodcastOne, Inc.
Transaction Date: 2026-03-23Transaction Type: Bought
Transactions Shares: 2,980   Shares After: 292,532Percentage Change: 1.03%
Name: MERRIMAN D JONATHANTitle: director

PodcastOne, Inc. (PODC) Basic Information

https://www.podcastone.com
Business Sector: Communication Services         Industry: Internet Content & Information
PodcastOne, Inc. operates as a podcast platform and publisher. The company provides its content to audiences through podcasting distribution platforms, including its website, Apple Podcasts, Spotify, Amazon Music, and others. It also produces vodcasts, branded podcasts, merchandise, and live events. In addition, the company builds, owns, and operates LaunchPadOne, a self-publishing podcast hosting, distribution, and monetization platform for independent podcasters. The company was formerly known as Courtside Group, Inc. and changed its name to PodcastOne, Inc. in September 2023. PodcastOne, Inc. was incorporated in 2014 and is headquartered in Beverly Hills, California. PodcastOne, Inc. is a subsidiary of LiveOne, Inc.
52 Week Low: 1.28      52 Week High: 3.349

News Of PodcastOne, Inc., Ticker: PODC

Published On 2026-02-15 By Simply Wall St.
US$4.33 - That's What Analysts Think PodcastOne, Inc. (NASDAQ:PODC) Is Worth After These Results
Published On 2026-02-12 By GuruFocus.com
PodcastOne Inc (PODC) Q3 2026 Earnings Call Highlights: Record Revenue and Strategic ...
Published On 2026-02-12 By MarketBeat
PodcastOne Q3 Earnings Call Highlights
Published On 2026-02-12 By Moby
PodcastOne, Inc. Q3 2026 Earnings Call Summary
Published On 2026-02-02 By Simply Wall St.
FingerMotion And 2 Other Promising Penny Stocks To Watch
Published On 2026-01-16 By TipRanks
PodcastOne renews ‘The Adam Carolla Show’ in multi-year agreement
Published On 2026-01-01 By Simply Wall St.
3 Promising Penny Stocks With Market Caps Under $90M
Published On 2025-12-02 By TipRanks
PodcastOne, Envoy Meida partner to launch multi-platform podcast network
Published On 2025-11-12 By GuruFocus.com
LiveOne Inc (LVO) Q2 2026 Earnings Call Highlights: Resilience Amidst Revenue Challenges
Published On 2025-11-03 By Simply Wall St.
3 Promising Penny Stocks With Market Caps Under $200M

Last 5 Grade Reports For PodcastOne, Inc., Ticker: PODC

DateSourceFrom GradeTo GradeAction
2024-06-06Litchfield HillsBuyinit
2024-02-26Roth MKMBuyinit

AI Analysis Of Company Insider Trading From 2026-03-25 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: SDSTCompany: Stardust Power Inc.
Transaction Date: 2026-03-20Transaction Type: Sold
Transactions Shares: 4,507   Shares After: 157,387Percentage Change: -2.78%
Name: DEVASPER UDAYCHANDRATitle: officer

Stardust Power Inc. (SDST) Basic Information

https://stardust-power.com
Business Sector: Industrials         Industry: Electrical Equipment & Parts
Stardust Power Inc. develops battery grade lithium products in the United States. The company is developing a lithium refinery in Muskogee, Oklahoma for producing battery-grade lithium carbonate. The company was founded in 2022 and is headquartered in Greenwich, Connecticut.
52 Week Low: 1.43      52 Week High: 8.43

News Of Stardust Power Inc., Ticker: SDST

Published On 2026-02-25 By TipRanks
Trump Trade: FedEx files suit to recoup tariff duties
Published On 2026-01-21 By MarketBeat
Made in the USA: Stardust Power’s 18% Breakout
Published On 2025-11-14 By GuruFocus.com
Stardust Power Inc (SDST) Q3 2025 Earnings Call Highlights: Strategic Alignments and Market ...
Published On 2025-11-05 By MarketBeat
Stardust's Strategic Lithium Deal Could Be a Game-Changer
Published On 2025-08-14 By GuruFocus.com
Stardust Power Inc (SDST) Q2 2025 Earnings Call Highlights: Strategic Advances Amid Financial ...
Published On 2025-06-17 By TipRanks
Stardust Power, Ohio University sign agreement for lithium refining technologies
Published On 2025-05-15 By GuruFocus.com
Stardust Power Inc (SDST) Q1 2025 Earnings Call Highlights: Strategic Advances Amid Financial ...

Last 5 Grade Reports For Stardust Power Inc., Ticker: SDST

DateSourceFrom GradeTo GradeAction
2025-05-20Maxim GroupBuyHolddown
2025-04-02Roth MKMBuyBuyreit
2025-02-27Maxim GroupBuyinit
2024-12-18Roth MKMBuyBuyreit
2024-11-21Roth MKMBuyinit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-23 Insider Trading From 2026-03-24 Insider-Intel.com Email Report

2026-03-24 Insider Trading Report has 36 Insider transactions. 17 Bought. 19 Sold.

Total shares bought: 100,498,836    Total shares sold: 296,729

Shares Bought by Title - Officers: 33,311   Directors: 37,821   Percenters: 278,644   Other: 100,149,060

Shares Sold by Title - Officers: 216,164   Directors: 63,607   Percenters: 16,958   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: AASPCompany: GLOBAL ACQUISITIONS Corp
Transaction Date: 2026-03-23Transaction Type: Bought
Transactions Shares: 1,000   Shares After: 2,000Percentage Change: 100.00%
Name: Cable Shawn CoreyTitle: officer

Insider Transaction - Largest Sold Percent Change
Ticker: AIOCompany: Virtus Artificial Intelligence & Technology Opportunities Fund
Transaction Date: 2026-03-20Transaction Type: Sold
Transactions Shares: 2,000   Shares After: 0Percentage Change: -100.00%
Name: BRADLEY WILLIAM PATRICK IIITitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: AIRSCompany: Airsculpt Technologies, Inc.
Transaction Date: 2026-03-20Transaction Type: Bought
Transactions Shares: 40,000   Shares After: 6,793,761Percentage Change: 0.59%
Name: Chernett JoreyTitle: percenter

Airsculpt Technologies, Inc. (AIRS) Basic Information

https://airsculpt.com
Business Sector: Healthcare         Industry: Medical Care Facilities
AirSculpt Technologies, Inc., together with its subsidiaries, focuses on operating as a holding company for EBS Intermediate Parent LLC that provides body contouring procedure services in the United States, Canada, and the United Kingdom. The company offers AirSculpt, a body contouring treatment that removes fat and tightens skin while sculpting targeted areas of the body in a minimally invasive procedure. It also provides AirSculpt+, a procedure that permanently removes fat and tightens the skin with unparalleled precision and finesse; and AirSculpt Smooth, an advanced cellulite removal tool. In addition, it provides fat removal procedures across treatment areas, such as the stomach, back, and buttocks; and fat transfer procedures that transfers the patient's own fat cells to enhance the buttocks, breasts, hips, aging hands, or other areas. Further, the company's body contouring procedures include the Power BBL, a Brazilian butt lift procedure; the Up a Cup, a breast enhancement procedure; and the Hip Flip, an hourglass contouring procedure. Additionally, it operates various centers. AirSculpt Technologies, Inc. was founded in 2012 and is headquartered in Miami Beach, Florida.
52 Week Low: 1.51      52 Week High: 12.0

News Of Airsculpt Technologies, Inc., Ticker: AIRS

Published On 2026-03-18 By Simply Wall St.
AirSculpt Technologies (AIRS) Valuation In Focus After Insider Buying Annual Report Delay And 2025 Update
Published On 2026-03-17 By Simply Wall St.
AirSculpt Technologies (AIRS) Is Up 36.2% After Guiding To Flatter Same-Store Revenue Trends
Published On 2026-03-16 By Associated Press Finance
BC-Most Active Stocks
Published On 2025-11-07 By MT Newswires
Top Midday Decliners
Published On 2025-11-07 By Zacks
AirSculpt Technologies, Inc. (AIRS) Reports Q3 Loss, Misses Revenue Estimates
Published On 2025-11-05 By Simply Wall St.
Estimating The Fair Value Of AirSculpt Technologies, Inc. (NASDAQ:AIRS)
Published On 2025-10-23 By Barchart
This Stock Makes You Look Good – and It Just Hit New 3-Year Highs
Published On 2025-09-26 By Zacks
Are Business Services Stocks Lagging AirSculpt Technologies (AIRS) This Year?
Published On 2025-09-19 By Zacks
Are You Looking for a Top Momentum Pick? Why AirSculpt Technologies, Inc. (AIRS) is a Great Choice
Published On 2025-09-03 By Zacks
AirSculpt Technologies (AIRS) Upgraded to Buy: What Does It Mean for the Stock?

Last 5 Grade Reports For Airsculpt Technologies, Inc., Ticker: AIRS

DateSourceFrom GradeTo GradeAction
2025-03-31Leerink PartnersMarket PerformMarket Performmain
2025-01-17Piper SandlerNeutralNeutralmain
2025-01-06Piper SandlerNeutralNeutralmain
2024-10-17BTIGNeutralinit
2024-05-14Leerink PartnersOutperformMarket Performdown

AI Analysis Of Company Insider Trading From 2026-03-24 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: FLDCompany: FTAC Emerald Acquisition Corp.
Transaction Date: 2026-03-20Transaction Type: Sold
Transactions Shares: 176   Shares After: 242,773Percentage Change: -0.07%
Name: Repass WolfeTitle: officer

FTAC Emerald Acquisition Corp. (FLD) Basic Information

https://foldapp.com
Business Sector: Financial Services         Industry: Capital Markets
Fold Holdings, Inc., a bitcoin financial services company, provides access to bitcoin through a suite of consumer financial products in the United States. Its financial services platform allows consumers to accumulate, save, and use bitcoin to accomplish financial goals. The company offers consumers an FDIC insured checking account, a Visa prepaid debit card, bill payments services, and an extensive catalog of merchant reward offers, as well as partners with third-party service providers that offer bitcoin exchange and custody services. It also invests in and accumulates bitcoin for treasury. The company offers its products and services through the Fold mobile application. Fold Holdings, Inc. was founded in 2019 and is headquartered in Phoenix, Arizona.
52 Week Low: 1.0      52 Week High: 8.48

News Of FTAC Emerald Acquisition Corp., Ticker: FLD

Published On 2026-03-18 By MarketBeat
Fold Q4 Earnings Call Highlights
Published On 2026-03-18 By GuruFocus.com
Fold Holdings Inc (FLD) Q4 2025 Earnings Call Highlights: Strategic Partnerships and Innovative ...
Published On 2026-03-16 By GuruFocus.com
Fold Holdings Inc (FLD) Q4 2025 Earnings Report Preview: What to Look For
Published On 2025-12-23 By BeInCrypto
Bitcoin Fintech Enters Russell 2000 While Strategy Risks MSCI Exclusion
Published On 2025-11-11 By GuruFocus.com
Fold Holdings Inc (FLD) Q3 2025 Earnings Call Highlights: Strong Revenue Growth and Strategic ...
Published On 2025-10-31 By TheStreet
91-year-old fast food chain dishes out $5 in Bitcoin for Halloween
Published On 2025-10-12 By Benzinga
Ditch The Gift Cards That Sit In Drawers: Why Bitcoin Could Be The Holiday Present That Keeps On Giving
Published On 2025-09-26 By Insider Monkey
Fold Holdings, Inc. (FLD) Launches Bitcoin Rewards Credit Card with Stripe and Visa
Published On 2025-09-23 By Coinspeaker
Fold Holdings to Launch Bitcoin Credit Card with Stripe, Visa Partnership
Published On 2025-09-23 By Cryptonews
Credit Card Giants Visa and Stripe Team Up With Fold to Launch Bitcoin Rewards Card – Wall Street Coming to Crypto?

Last 5 Grade Reports For FTAC Emerald Acquisition Corp., Ticker: FLD

DateSourceFrom GradeTo GradeAction
2026-03-18HC Wainwright & Co.BuyBuymain
2026-03-18Cantor FitzgeraldOverweightOverweightmain
2026-02-09HC Wainwright & Co.BuyBuyreit
2025-07-28Cantor FitzgeraldOverweightinit
2025-05-27Northland Capital MarketsOutperforminit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-13 Insider Trading From 2026-03-14 Insider-Intel.com Email Report

2026-03-14 Insider Trading Report has 27 Insider transactions. 7 Bought. 20 Sold.

Total shares bought: 97,248    Total shares sold: 397,458

Shares Bought by Title - Officers: 823   Directors: 13,025   Percenters: 83,400   Other: 0

Shares Sold by Title - Officers: 167,962   Directors: 229,496   Percenters: 0   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: KELYACompany: KELLY SERVICES INC
Transaction Date: 2026-03-04Transaction Type: Bought
Transactions Shares: 100   Shares After: 100Percentage Change: 100.00%
Name: Brock-Kyle AngelaTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: CSTLCompany: CASTLE BIOSCIENCES INC
Transaction Date: 2026-03-12Transaction Type: Sold
Transactions Shares: 44,125   Shares After: 3,336Percentage Change: -92.97%
Name: MAETZOLD DEREK JTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: SRECompany: SEMPRA
Transaction Date: 2026-03-12Transaction Type: Bought
Transactions Shares: 1,000   Shares After: 1,000Percentage Change: 100.00%
Name: Kirk Jennifer MTitle: director

SEMPRA (SRE) Basic Information

https://www.sempra.com
Business Sector: Utilities         Industry: Utilities - Diversified
Sempra engages in the regulated utilities business in the United States and Mexico. It operates through three segments: Sempra California, Sempra Texas Utilities, and Sempra Infrastructure. It also invests in and operates electric and gas utilities and other energy infrastructure that provides energy services to customers. The Sempra California segment provides natural gas and electric services to Southern California and part of central California. As of December 31, 2025, it offered electric services to approximately 3.6 million population and natural gas services to approximately 3.3 million population that covers 4,100 square miles. This segment owns and operates a natural gas distribution, transmission, and storage system that supplies natural gas. As of December 31, 2025, it served a population of 21.3 million covering an area of 24,000 square miles. The Sempra Texas Utilities segment engages in the regulated electricity transmission and distribution utility business. As of December 31, 2025, transmission system included approximately 18,418 circuit miles of transmission lines; 1,333 transmission and distribution substations; interconnection to 230 third-party generation facilities totaling 63,670 MW; and distribution system included more than 4.1 million points of delivery and consisted of 127,398 circuit miles of overhead and underground lines. The Sempra Infrastructure segment develops, constructs, operates, and invests in energy infrastructure to help enable the access to cleaner energy in markets in the United States, Mexico, and internationally. The company was formerly known as Sempra Energy and changed its name to Sempra in May 2023. Sempra was incorporated in 1996 and is headquartered in San Diego, California.
52 Week Low: 61.9      52 Week High: 97.45

News Of SEMPRA, Ticker: SRE

Published On 2026-03-07 By Simply Wall St.
Sempra’s Record US$65b Plan And Dividend Raise Test Cash Coverage
Published On 2026-03-06 By Insider Monkey
Is Sempra (SRE) One of the Most Undervalued Utility Stocks to Buy Now?
Published On 2026-03-05 By Barchart
Is Sempra Stock Outperforming the S&P 500?
Published On 2026-03-01 By Motley Fool
Socorro Dumps Its Entire Alexandria Real Estate (ARE) Position Worth $5.2 Million
Published On 2026-03-01 By MarketBeat
Sempra Energy Q4 Earnings Call Highlights
Published On 2026-02-27 By Simply Wall St.
Is Sempra (SRE) Attractive After Strong 1-Year Rally And Capital Project Focus?
Published On 2026-02-27 By The Daily Upside
Power-Hungry AI Data Centers Electrify Utilities’ Capital Spending
Published On 2026-02-26 By GuruFocus.com
Sempra (SRE) Q4 2025 Earnings Call Highlights: Navigating Challenges with Strategic Growth Plans
Published On 2026-02-26 By MT Newswires
Sector Update: Energy Stocks Advance Late Afternoon
Published On 2026-02-26 By MT Newswires
Sector Update: Energy

Last 5 Grade Reports For SEMPRA, Ticker: SRE

DateSourceFrom GradeTo GradeAction
2026-03-06UBSNeutralNeutralmain
2026-03-05Evercore ISI GroupOutperformOutperformmain
2026-03-04Argus ResearchHoldBuyup
2026-02-27Wells FargoOverweightOverweightmain
2026-02-03BarclaysOverweightOverweightmain

AI Analysis Of Company Insider Trading From 2026-03-14 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: KELYACompany: KELLY SERVICES INC
Transaction Date: 2026-03-04Transaction Type: Bought
Transactions Shares: 100   Shares After: 100Percentage Change: 100.00%
Name: Brock-Kyle AngelaTitle: director

KELLY SERVICES INC (KELYA) Basic Information

https://www.kellyservices.com
Business Sector: Industrials         Industry: Staffing & Employment Services
Kelly Services, Inc., together with its subsidiaries, provides workforce solutions to various industries in the Americas, Europe, Mexico, and the Asia-Pacific region. It operates in three segments: Enterprise Talent Management, Science, Engineering & Technology, and Education. The Enterprise Talent Management segment delivers temporary staffing, outcome-based, and permanent placement services providing administrative, accounting, and finance; light industrial; contact center staffing; and other workforce solutions. This segment also delivers talent solutions, including managed service provider, payroll process outsourcing, recruitment process outsourcing solutions, and executive coaching programs to customers on a global basis that includes its RocketPower and Sevenstep brands. The Science, Engineering & Technology segment offers temporary staffing, outcome-based, and permanent placement services in the areas of science and clinical research, engineering, technology, and telecommunications specialties. The Education segment provides staffing, permanent placement, and executive search services to pre-K-12 school districts and education organizations. Kelly Services, Inc. was founded in 1946 and is headquartered in Troy, Michigan.
52 Week Low: 7.98      52 Week High: 14.94

News Of KELLY SERVICES INC, Ticker: KELYA

Published On 2026-03-12 By Simply Wall St.
Why The Kelly Services (KELY.A) Narrative Is Shifting After New Targets And Ownership Moves
Published On 2026-02-25 By Simply Wall St.
How The Kelly Services (KELY.A) Story Is Evolving After Q4 Results And 2026 Outlook Reset
Published On 2026-02-12 By GuruFocus.com
Kelly Services Inc (KELYA) Q4 2025 Earnings Call Highlights: Navigating Challenges with ...
Published On 2026-02-12 By Zacks
Kelly Services (KELYA) Q4 Earnings Miss Estimates
Published On 2026-02-12 By Associated Press Finance
Kelly Services: Q4 Earnings Snapshot
Published On 2026-02-10 By Simply Wall St.
What Could Reset Expectations Mean For The Kelly Services (KELY.A) Story Now
Published On 2026-01-27 By Simply Wall St.
How A New Price Target Is Shaping The Kelly Services (KELY.A) Investment Story
Published On 2026-01-11 By Simply Wall St.
Looking At The Narrative For Kelly Services (KELY.A) After Target Cut And Softer Outlook
Published On 2026-01-06 By Insider Monkey
Here’s Why Kelly Services (KELYA) Slid in Q3
Published On 2025-12-28 By The Wall Street Journal
Companies Are Outlining Plans for 2026. Hiring Isn’t One of Them.

Last 5 Grade Reports For KELLY SERVICES INC, Ticker: KELYA

DateSourceFrom GradeTo GradeAction
2026-02-13Barrington ResearchOutperformOutperformmain
2026-02-06Barrington ResearchOutperformOutperformmain
2025-11-11Barrington ResearchOutperformOutperformmain
2025-09-23Barrington ResearchOutperformOutperformmain
2025-09-12Barrington ResearchOutperformOutperformmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-12 Insider Trading From 2026-03-13 Insider-Intel.com Email Report

2026-03-13 Insider Trading Report has 39 Insider transactions. 9 Bought. 30 Sold.

Total shares bought: 72,642    Total shares sold: 1,228,793

Shares Bought by Title - Officers: 0   Directors: 72,642   Percenters: 0   Other: 0

Shares Sold by Title - Officers: 172,818   Directors: 1,015,975   Percenters: 40,000   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: ALLECompany: Allegion plc
Transaction Date: 2026-03-11Transaction Type: Bought
Transactions Shares: 2,000   Shares After: 2,000Percentage Change: 100.00%
Name: MAIN SUETitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: VLOCompany: VALERO ENERGY CORP/TX
Transaction Date: 2026-03-12Transaction Type: Sold
Transactions Shares: 8,711   Shares After: 0Percentage Change: -100.00%
Name: Fisher Eric ATitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: IPCompany: INTERNATIONAL PAPER CO /NEW/
Transaction Date: 2026-03-12Transaction Type: Bought
Transactions Shares: 26,092   Shares After: 26,092Percentage Change: 100.00%
Name: GUSTAFSSON ANDERSTitle: director

INTERNATIONAL PAPER CO /NEW/ (IP) Basic Information

https://www.internationalpaper.com
Business Sector: Consumer Cyclical         Industry: Packaging & Containers
International Paper Company produces and sells renewable fiber-based packaging in North America, Latin America, Europe, and North Africa. It operates through two segments, Packaging Solutions North America and Packaging Solutions EMEA. The company offers linerboard, medium, whitetop, and saturating kraft; and converts containerboard into corrugated boxes, bulk bins, shipping containers and specialty packaging through its converting facilities. Its products support customers in various industries, such as food and beverage, agriculture, industrial manufacturing, personal care pharmaceuticals and consumer goods. The company was founded in 1898 and is headquartered in Memphis, Tennessee.
52 Week Low: 35.45      52 Week High: 56.64

News Of INTERNATIONAL PAPER CO /NEW/, Ticker: IP

Published On 2026-03-11 By Packaging Gateway
DS Smith and ELVIAL enter packaging partnership in Greece
Published On 2026-03-05 By StockStory
3 Stocks Under $50 We Steer Clear Of
Published On 2026-03-04 By Packaging Gateway
DS Smith to invest in Grenaa facility upgrade
Published On 2026-03-02 By StockStory
1 Unpopular Stock That Deserves Some Love and 2 Facing Headwinds
Published On 2026-02-28 By Simply Wall St.
International Paper Resets With Regional Split Plant Closure And Cost Focus
Published On 2026-02-26 By The Wall Street Journal
Natural-Gas Price Spike Could Cost International Paper More Than $40 Million
Published On 2026-02-26 By Packaging Dive
International Paper CEO pulls back the curtain on planned geographic split
Published On 2026-02-25 By Packaging Dive
International Paper further downsizing in South Carolina
Published On 2026-02-23 By Barrons.com
Packaging Stocks Are Today’s Leading Decliners. The Tariff Turmoil Doesn’t Help.
Published On 2026-02-16 By Insider Monkey
UBS Downgrades International Paper Company (IP) on Ongoing Cost Pressures

Last 5 Grade Reports For INTERNATIONAL PAPER CO /NEW/, Ticker: IP

DateSourceFrom GradeTo GradeAction
2026-02-02CitigroupBuyBuymain
2026-02-02UBSBuyNeutraldown
2026-01-30RBC CapitalOutperformOutperformmain
2026-01-30Wells FargoUnderweightEqual-Weightup
2026-01-12UBSBuyBuymain

AI Analysis Of Company Insider Trading From 2026-03-13 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: FWRGCompany: First Watch Restaurant Group, Inc.
Transaction Date: 2026-03-10Transaction Type: Sold
Transactions Shares: 33,314   Shares After: 1,054,145Percentage Change: -3.06%
Name: Tomasso Christopher AnthonyTitle: director

First Watch Restaurant Group, Inc. (FWRG) Basic Information

https://www.firstwatch.com
Business Sector: Consumer Cyclical         Industry: Restaurants
First Watch Restaurant Group, Inc., through its subsidiaries, operates and franchises restaurants under the First Watch trade name in the United States. The company was formerly known as AI Fresh Super Holdco, Inc. and changed its name to First Watch Restaurant Group, Inc. in December 2019. First Watch Restaurant Group, Inc. was founded in 1983 and is based in Bradenton, Florida.
52 Week Low: 11.555      52 Week High: 20.55

News Of First Watch Restaurant Group, Inc., Ticker: FWRG

Published On 2026-03-13 By StockStory
Dine Brands, Wingstop, Dutch Bros, First Watch, and Jack in the Box Stocks Trade Down, What You Need To Know
Published On 2026-03-10 By StockStory
Sit-Down Dining Stocks Q4 Highlights: First Watch (NASDAQ:FWRG)
Published On 2026-03-10 By Insider Monkey
First Watch Restaurant Group, Inc. (FWRG) PT Lowered by BofA on Softer Same-Restaurant Sales Outlook
Published On 2026-03-05 By StockStory
Why Are First Watch (FWRG) Shares Soaring Today
Published On 2026-02-28 By Simply Wall St.
How The First Watch (FWRG) Narrative Is Shifting As Growth Targets And Estimates Reset
Published On 2026-02-28 By StockStory
Wingstop, CAVA, Shake Shack, First Watch, and BJ's Stocks Trade Down, What You Need To Know
Published On 2026-02-24 By GuruFocus.com
First Watch Restaurant Group Inc (FWRG) Q4 2025 Earnings Call Highlights: Strong Revenue Growth ...
Published On 2026-02-24 By Motley Fool
Why First Watch Restaurant Stock Is Sinking Today
Published On 2026-02-24 By Moby
First Watch Restaurant Group, Inc. Q4 2025 Earnings Call Summary
Published On 2026-02-24 By StockStory
Why First Watch (FWRG) Shares Are Plunging Today

Last 5 Grade Reports For First Watch Restaurant Group, Inc., Ticker: FWRG

DateSourceFrom GradeTo GradeAction
2026-03-06DA DavidsonBuyinit
2026-02-25CitigroupBuyBuymain
2026-02-25BarclaysOverweightOverweightmain
2026-02-25GuggenheimBuyBuymain
2026-02-25Stephens & Co.OverweightOverweightmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-11 Insider Trading From 2026-03-12 Insider-Intel.com Email Report

2026-03-12 Insider Trading Report has 27 Insider transactions. 4 Bought. 23 Sold.

Total shares bought: 13,270    Total shares sold: 1,778,786

Shares Bought by Title - Officers: 2,000   Directors: 11,270   Percenters: 0   Other: 0

Shares Sold by Title - Officers: 241,271   Directors: 127,767   Percenters: 1,409,748   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: PNCCompany: PNC FINANCIAL SERVICES GROUP, INC.
Transaction Date: 2026-03-09Transaction Type: Bought
Transactions Shares: 20   Shares After: 20Percentage Change: 100.00%
Name: Medler Linda RTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: PUBMCompany: PubMatic, Inc.
Transaction Date: 2026-03-09Transaction Type: Sold
Transactions Shares: 44,000   Shares After: 0Percentage Change: -100.00%
Name: Goel Rajeev K.Title: percenter


Randomly Selected Buying Insider Transaction Detail
Ticker: GAIACompany: GAIA, INC
Transaction Date: 2026-03-10Transaction Type: Bought
Transactions Shares: 10,250   Shares After: 295,457Percentage Change: 3.59%
Name: Sutherland Paul HowardTitle: director

GAIA, INC (GAIA) Basic Information

https://www.gaia.com
Business Sector: Communication Services         Industry: Entertainment
Gaia, Inc. operates a digital video subscription service and online community for underserved member base in the United States, Canada, Australia, and internationally. It has a digital content library with various titles in Spanish, German, and French languages available. The company's network comprises Seeking Truth that provides topics that include ancient wisdom and metaphysics; Transformation channel that offers content in the areas of spiritual growth, personal development, and expanded consciousness; Alternative Healing channel focuses on food and nutrition, holistic healing, alternative and integrative medicines, and longevity; and Yoga channel, which provides access to streaming yoga, Eastern arts, and other movement based classes. The company was formerly known as Gaiam, Inc. and changed its name to Gaia, Inc. in July 2016. Gaia, Inc. was incorporated in 1988 and is headquartered in Louisville, Colorado.
52 Week Low: 2.93      52 Week High: 6.39

News Of GAIA, INC, Ticker: GAIA

Published On 2026-03-03 By GuruFocus.com
Gaia Inc (GAIA) Q4 2025 Earnings Call Highlights: Strong Revenue Growth and Member Milestone
Published On 2026-03-03 By Moby
Gaia, Inc. Q4 2025 Earnings Call Summary
Published On 2026-03-02 By MarketBeat
Gaia Q4 Earnings Call Highlights
Published On 2026-02-26 By Zacks
Warner Bros. Discovery (WBD) Reports Q4 Loss, Beats Revenue Estimates
Published On 2026-02-17 By Simply Wall St.
Gaia Leads The Charge With 2 Other Promising Penny Stocks
Published On 2026-02-11 By Zacks
AMC Networks (AMCX) Tops Q4 Earnings and Revenue Estimates
Published On 2026-01-14 By Simply Wall St.
3 Promising Penny Stocks With Market Caps Under $200M
Published On 2025-12-11 By Simply Wall St.
Talkspace Leads These 3 Promising Penny Stocks
Published On 2025-11-05 By Simply Wall St.
Gaia (GAIA): Losses Worsen 48.7% Annually, Testing Bullish Revenue Growth Narratives
Published On 2025-11-04 By GuruFocus.com
Gaia Inc (GAIA) Q3 2025 Earnings Call Highlights: Revenue Growth and Strategic AI Initiatives

Last 5 Grade Reports For GAIA, INC, Ticker: GAIA

DateSourceFrom GradeTo GradeAction
2022-06-21B. Riley SecuritiesBuyNeutraldown
2020-02-25B. Riley SecuritiesBuyreit
2018-04-27Roth CapitalBuyinit
2018-03-26B. Riley SecuritiesBuyinit
2015-06-19Imperial CapitalOutperforminit

AI Analysis Of Company Insider Trading From 2026-03-12 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: PUBMCompany: PubMatic, Inc.
Transaction Date: 2026-03-09Transaction Type: Sold
Transactions Shares: 44,000   Shares After: 0Percentage Change: -100.00%
Name: Goel Rajeev K.Title: percenter

PubMatic, Inc. (PUBM) Basic Information

https://www.pubmatic.com
Business Sector: Technology         Industry: Software - Application
PubMatic, Inc., a technology company, engages in the provision of a cloud infrastructure platform that enables real time programmatic advertising transactions for digital content creators, advertisers, agencies, agency trading desks, and demand side platforms worldwide. Its PubMatic SSP, a sell side platform for the purchase and sale of digital advertising inventory for publishers and buyers. The company also provides OpenWrap, a header bidding solution; Connect, a solution that provides additional data and insights to publishers and buyers; Activate, which allows buyers to execute direct deals on its platform across publisher inventory; Convert, a commerce media solution; and Identity Hub, an ID management tool for publishers that leverages specialized technology infrastructure to simplify alternative identifier marketplace. Its platform supports an array of ad formats and digital device types, including mobile app, mobile web, desktop, display, video, over the top video, connected television, and media. The company was incorporated in 2006 and is based in Redwood City, California.
52 Week Low: 6.15      52 Week High: 13.88

News Of PubMatic, Inc., Ticker: PUBM

Published On 2026-03-09 By Zacks
TTD Declines 25% in the Past 3 Months: How to Play the Stock?
Published On 2026-03-09 By Zacks
Trade Desk's CTV Platform Targets Premium Streaming Ad Budgets
Published On 2026-03-05 By Motley Fool
Stock Market Today, March 5: The Trade Desk Soars on Reports of OpenAI Ad Sales Talks and Insider Buying
Published On 2026-03-05 By StockStory
3 Cash-Producing Stocks That Fall Short
Published On 2026-03-04 By StockStory
Health Catalyst, AppLovin, PubMatic, and Pegasystems Stocks Trade Up, What You Need To Know
Published On 2026-03-03 By StockStory
1 of Wall Street’s Favorite Stock Worth Your Attention and 2 That Underwhelm
Published On 2026-02-28 By TipRanks
PubMatic upgraded to Buy from Hold at Lake Street
Published On 2026-02-27 By StockStory
Why PubMatic (PUBM) Stock Is Trading Up Today
Published On 2026-02-27 By Moby
PubMatic, Inc. Q4 2025 Earnings Call Summary
Published On 2026-02-27 By MarketBeat
PubMatic Q4 Earnings Call Highlights

Last 5 Grade Reports For PubMatic, Inc., Ticker: PUBM

DateSourceFrom GradeTo GradeAction
2026-02-27RosenblattBuyBuymain
2026-02-27B. Riley SecuritiesNeutralBuyup
2025-11-11B. Riley SecuritiesNeutralNeutralmain
2025-11-11Evercore ISI GroupOutperformOutperformmain
2025-11-11RosenblattBuyBuymain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-10 Insider Trading From 2026-03-11 Insider-Intel.com Email Report

2026-03-11 Insider Trading Report has 106 Insider transactions. 29 Bought. 77 Sold.

Total shares bought: 1,591,770    Total shares sold: 1,298,609

Shares Bought by Title - Officers: 121,958   Directors: 384,797   Percenters: 1,085,015   Other: 0

Shares Sold by Title - Officers: 399,817   Directors: 838,393   Percenters: 47,398   Other: 13,000


Insider Transaction - Largest Bought Percent Change
Ticker: TCPCCompany: BlackRock TCP Capital Corp.
Transaction Date: 2026-03-06Transaction Type: Bought
Transactions Shares: 1,750   Shares After: 2,000Percentage Change: 700.00%
Name: Cuellar Erik L.Title: officer

Insider Transaction - Largest Sold Percent Change
Ticker: ACELCompany: Accel Entertainment, Inc.
Transaction Date: 2026-03-10Transaction Type: Sold
Transactions Shares: 10,000   Shares After: 0Percentage Change: -100.00%
Name: Ruttenberg David W.Title: director


Randomly Selected Buying Insider Transaction Detail
Ticker: BLCOCompany: Bausch & Lomb Corp
Transaction Date: 2026-03-06Transaction Type: Bought
Transactions Shares: 14,600   Shares After: 231,890Percentage Change: 6.72%
Name: Bailey A Robert DTitle: officer

Bausch & Lomb Corp (BLCO) Basic Information

https://www.bausch.com
Business Sector: Healthcare         Industry: Medical Instruments & Supplies
Bausch + Lomb Corporation operates as an eye health company in the United States, Puerto Rico, China, France, Japan, Germany, the United Kingdom, Canada, Russia, Spain, Italy, Mexico, Poland, and internationally. It operates in three segments: Vision Care, Pharmaceuticals, and Surgical. The Vision Care segment provides contact lens that covers the spectrum of wearing modalities, including daily disposable and frequently replaced contact lenses; and contact lenses that are indicated for therapeutic use and provide optical correction during healing. It also offers contact lens care products, eye vitamins, mineral supplements, and over-the-counter eye drops that address various conditions, such as eye allergies, conjunctivitis, dry eye, and redness relief. The Pharmaceuticals segment offers proprietary and generic pharmaceutical products for post-operative treatments, as well as for the treatment of glaucoma, eye inflammation, ocular hypertension, dry eyes, and retinal diseases. The Surgical segment provides medical device equipment, consumables, and technologies for the treatment of cataracts, corneal, vitreous, and retinal eye conditions; and intraocular lenses and delivery systems, phacoemulsification equipment, and other surgical instruments and devices for cataract surgery. The company sells its products and services through direct sales forces and independent distributors. Bausch + Lomb Corporation was founded in 1853 and is headquartered in Vaughan, Canada. Bausch + Lomb Corporation operates as a subsidiary of Bausch Health Companies Inc.
52 Week Low: 10.45      52 Week High: 18.915

News Of Bausch & Lomb Corp, Ticker: BLCO

Published On 2026-03-08 By Simply Wall St.
Assessing Bausch + Lomb (NYSE:BLCO) Valuation After Latest Revenue And Net Loss Update
Published On 2026-03-06 By StockStory
Integra LifeSciences, GE HealthCare, Bausch + Lomb, ICU Medical, and Universal Health Services Shares Are Falling, What You Need To Know
Published On 2026-03-05 By StockStory
2 Profitable Stocks Worth Investigating and 1 We Ignore
Published On 2026-02-27 By Reuters
Toymaker Hasbro joins wave of companies suing U.S. government over IEEPA tariff payments
Published On 2026-02-27 By Insider Monkey
Bausch + Lomb (BLCO) Reports Record Q4 2025 Financial Results Driven by Strong Pharmaceutical and Vision Care Growth
Published On 2026-02-25 By StockStory
5 Revealing Analyst Questions From Bausch + Lomb’s Q4 Earnings Call
Published On 2026-02-24 By Simply Wall St.
Is It Time To Reassess Bausch + Lomb (BLCO) After Its Recent Share Price Strength?
Published On 2026-02-23 By Insider Monkey
Separation Overhang Continues to Weigh on Bausch Health Companies Inc. (BHC) Outlook
Published On 2026-02-23 By StockStory
3 Small-Cap Stocks We Steer Clear Of
Published On 2026-02-19 By Zacks
Bausch + Lomb (BLCO) Upgraded to Buy: Here's What You Should Know

Last 5 Grade Reports For Bausch & Lomb Corp, Ticker: BLCO

DateSourceFrom GradeTo GradeAction
2026-02-23HC Wainwright & Co.BuyBuymain
2026-02-19CitigroupBuyBuymain
2026-02-19BarclaysEqual-WeightEqual-Weightmain
2026-02-19StifelHoldHoldmain
2026-02-19Wells FargoEqual-WeightEqual-Weightmain

AI Analysis Of Company Insider Trading From 2026-03-11 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: GOCompany: Grocery Outlet Holding Corp.
Transaction Date: 2026-03-09Transaction Type: Sold
Transactions Shares: 5,024   Shares After: 38,675Percentage Change: -11.50%
Name: MILLER CHRISTOPHER MTitle: officer

Grocery Outlet Holding Corp. (GO) Basic Information

https://www.groceryoutlet.com
Business Sector: Consumer Defensive         Industry: Grocery Stores
Grocery Outlet Holding Corp. operates as a retailer of consumables and fresh products sold through independently operated stores in the United States. It offers perishable department products, including dairy and deli; produce and floral; and meat and seafood. The company also provides non-perishable department products, such as non-perishable grocery, general merchandise, health and beauty care, frozen foods, and beer and wine. It operates stores in California, Washington, Oregon, Pennsylvania, Tennessee, Idaho, Maryland, Nevada, North Carolina, New Jersey, Georgia, Ohio, Alabama, Delaware, Kentucky, and Virginia. The company was founded in 1946 and is headquartered in Emeryville, California.
52 Week Low: 5.655      52 Week High: 19.41

News Of Grocery Outlet Holding Corp., Ticker: GO

Published On 2026-03-11 By StockStory
Grocery Outlet’s Q4 Earnings Call: Our Top 5 Analyst Questions
Published On 2026-03-09 By StockStory
OneWater, Kohl's, Grocery Outlet, Sleep Number, and Designer Brands Shares Are Falling, What You Need To Know
Published On 2026-03-09 By StockStory
Q4 Earnings Outperformers: Grocery Outlet (NASDAQ:GO) And The Rest Of The Non-Discretionary Retail Stocks
Published On 2026-03-08 By Simply Wall St.
Grocery Outlet Holding (GO) Is Down 33.3% After Massive Impairments And Store Closures Are Announced
Published On 2026-03-07 By Simply Wall St.
A Look At Grocery Outlet (GO) Valuation After Earnings Loss Impairments And 2026 Expansion Plans
Published On 2026-03-06 By TipRanks
Morning Movers: Burlington jumps following Q4 earnings beat
Published On 2026-03-05 By StockStory
Why Grocery Outlet (GO) Shares Are Sliding Today
Published On 2026-03-05 By StockStory
GO Q4 Deep Dive: Management Seeks Turnaround Amid Store Closures and Value Gaps
Published On 2026-03-05 By The Fly
Meta downgraded, MongoDB upgraded: Wall Street's top analyst calls
Published On 2026-03-05 By MT Newswires
Middle East Tensions Persist, Weighing on US Equity Futures Pre-Bell

Last 5 Grade Reports For Grocery Outlet Holding Corp., Ticker: GO

DateSourceFrom GradeTo GradeAction
2026-03-05DA DavidsonNeutralNeutralmain
2026-03-05Wells FargoEqual-WeightEqual-Weightmain
2026-03-05Telsey Advisory GroupOutperformMarket Performdown
2026-03-05Morgan StanleyEqual-WeightEqual-Weightmain
2026-03-05JefferiesBuyHolddown

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-09 Insider Trading From 2026-03-10 Insider-Intel.com Email Report

2026-03-10 Insider Trading Report has 23 Insider transactions. 6 Bought. 17 Sold.

Total shares bought: 633,059    Total shares sold: 369,425

Shares Bought by Title - Officers: 0   Directors: 630,402   Percenters: 2,657   Other: 0

Shares Sold by Title - Officers: 203,062   Directors: 166,363   Percenters: 0   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: QSICompany: Quantum-Si Inc
Transaction Date: 2026-03-05Transaction Type: Bought
Transactions Shares: 500,000   Shares After: 855,000Percentage Change: 140.84%
Name: Kummeth Charles R.Title: director

Insider Transaction - Largest Sold Percent Change
Ticker: ACMRCompany: ACM Research, Inc.
Transaction Date: 2026-03-05Transaction Type: Sold
Transactions Shares: 5,000   Shares After: 0Percentage Change: -100.00%
Name: Pappis Charles CTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: HBANCompany: HUNTINGTON BANCSHARES INC /MD/
Transaction Date: 2026-03-09Transaction Type: Bought
Transactions Shares: 1,212   Shares After: 5,000Percentage Change: 32.00%
Name: ROLLINS JAMES D IIITitle: director

HUNTINGTON BANCSHARES INC /MD/ (HBAN) Basic Information

https://www.huntington.com
Business Sector: Financial Services         Industry: Banks - Regional
Huntington Bancshares Incorporated operates as the bank holding company for The Huntington National Bank that provides commercial, consumer, and mortgage banking services. It offers financial products and services to consumer and business customers, including deposits, lending, payments, mortgage banking, dealer financing, investment management, trust, brokerage, insurance, and other financial products and services. The company also provides 24-Hour Grace, Asterisk-Free Checking, Money Scout, $50 Safety Zone, Standby Cash, Early Pay, Instant Access, Savings Goal Getter, And Huntington Heads Up; digitally powered consumer and business financial solutions to consumer finance, regional banking, branch banking, and wealth management customers; direct and indirect consumer loans; dealer finance loans and deposits; and private banking, wealth management and legacy planning through investment and portfolio management, fiduciary administration and trust, institutional custody, and full-service retail brokerage investment services. In addition, it offers equipment financing, asset-based lending, distribution finance, structured lending, municipal financing solutions, and Huntington ChoicePay. Additionally, the company provides lending, liquidity, treasury management and other payment services, and capital markets; government and non-profits, healthcare, technology and telecommunications, franchises, financial sponsors, fund finance, Native American financial, and global services; and corporate risk management, institutional sales and trading, debt and equity issuance, and additional advisory services. The company offers its products through a network of channels, including branches and ATMs, online and mobile banking, and through customer call centers to customers in middle market banking, corporate, specialty, and government banking, asset finance, commercial real estate banking, and capital markets. The company was founded in 1866 and is headquartered in Columbus, Ohio.
52 Week Low: 11.92      52 Week High: 19.46

News Of HUNTINGTON BANCSHARES INC /MD/, Ticker: HBAN

Published On 2026-03-06 By Simply Wall St.
Huntington Cadence Merger Expands Southern Reach And Raises Value Questions
Published On 2026-03-06 By Simply Wall St.
Huntington Bancshares (HBAN) Valuation Check After Recent Share Price Weakness And Conflicting Fair Value Estimates
Published On 2026-03-06 By Simply Wall St.
Is Huntington Bancshares (HBAN) Pricing Reflect Long Term Value After Recent Share Price Weakness
Published On 2026-03-05 By Zacks
Can Huntington's Inorganic Expansion Fuel Long-Term Growth?
Published On 2026-03-05 By Insider Monkey
Morgan Stanley Raises Huntington Bancshares (HBAN) Target, Cites Bank Sector Tailwinds
Published On 2026-03-03 By TipRanks
Huntington Bancshares price target raised to $23 from $21 at Morgan Stanley
Published On 2026-03-02 By Simply Wall St.
Huntington Cadence Merger Tests Integration Execution And Growth Ambitions
Published On 2026-02-26 By Insider Monkey
Huntington Bancshares Incorporated (HBAN) Fuels Confidence Through Its Acquisitive Strategy
Published On 2026-02-26 By Zacks
UMB (UMBF) Down 2.2% Since Last Earnings Report: Can It Rebound?
Published On 2026-02-23 By Yahoo Finance Video
Why this expert says banks are 'undervalued'

Last 5 Grade Reports For HUNTINGTON BANCSHARES INC /MD/, Ticker: HBAN

DateSourceFrom GradeTo GradeAction
2026-03-02Morgan StanleyOverweightOverweightmain
2026-02-09JP MorganOverweightOverweightmain
2026-01-26Truist SecuritiesBuyBuymain
2026-01-23Morgan StanleyOverweightOverweightmain
2026-01-23Keefe, Bruyette & WoodsMarket PerformMarket Performmain

AI Analysis Of Company Insider Trading From 2026-03-10 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: QSICompany: Quantum-Si Inc
Transaction Date: 2026-03-05Transaction Type: Bought
Transactions Shares: 500,000   Shares After: 855,000Percentage Change: 140.84%
Name: Kummeth Charles R.Title: director

Quantum-Si Inc (QSI) Basic Information

https://www.quantum-si.com
Business Sector: Healthcare         Industry: Medical Devices
Quantum-Si incorporated, a life sciences company, develops proprietary, universal, and single-molecule detection platform applied to proteomics to enable next-gen protein sequencing (NGPS). The company offers Platinum and Platinum Pro NGPS instruments for single-molecule, amino acid level resolution, and automated data analysis; library preparation kits to prepare a customer's protein sample for sequencing; and sequencing kits, which contain the reagents and consumables used to perform NGPS. It also provides Platinum analysis software, a cloud-based solution that automates data analysis workflows and visualizes the sequencing results. The company was founded in 2013 is headquartered in Branford, Connecticut.
52 Week Low: 0.842      52 Week High: 3.1

News Of Quantum-Si Inc, Ticker: QSI

Published On 2026-03-04 By Moby
Quantum-Si incorporated Q4 2025 Earnings Call Summary
Published On 2026-03-04 By GuruFocus.com
Quantum-Si Inc (QSI) Q4 2025 Earnings Call Highlights: Strategic Advances Amid Revenue Challenges
Published On 2026-03-03 By Motley Fool
Quantum-Si (QSI) Q4 2025 Earnings Call Transcript
Published On 2026-03-03 By MarketBeat
Quantum-Si Q4 Earnings Call Highlights
Published On 2026-01-05 By Simply Wall St.
Quantum-Si (NASDAQ:QSI) shareholders have endured a 89% loss from investing in the stock five years ago
Published On 2025-12-08 By Simply Wall St.
We Think Quantum-Si (NASDAQ:QSI) Needs To Drive Business Growth Carefully
Published On 2025-11-10 By Simply Wall St.
Quantum-Si incorporated's (NASDAQ:QSI) 21% loss last week hit both individual investors who own 49% as well as institutions
Published On 2025-11-06 By GuruFocus.com
Quantum-Si Inc (QSI) Q3 2025 Earnings Call Highlights: Innovation Milestones Amid Revenue Challenges
Published On 2025-11-06 By Zacks
Quantum-Si Incorporated (QSI) Reports Q3 Loss, Lags Revenue Estimates
Published On 2025-10-14 By Simply Wall St.
Quantum-Si (QSI): Evaluating Valuation After $300 Million Shelf Registration Sparks Investor Debate

Last 5 Grade Reports For Quantum-Si Inc, Ticker: QSI

DateSourceFrom GradeTo GradeAction
2026-03-05Canaccord GenuityHoldHoldmain
2025-12-22Canaccord GenuityHoldHoldmain
2025-10-27Canaccord GenuityHoldHoldmain
2025-09-09Canaccord GenuityHoldHoldmain
2025-05-19HC Wainwright & Co.BuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-06 Insider Trading From 2026-03-07 Insider-Intel.com Email Report

2026-03-07 Insider Trading Report has 41 Insider transactions. 14 Bought. 27 Sold.

Total shares bought: 601,127    Total shares sold: 6,595,231

Shares Bought by Title - Officers: 5,128   Directors: 35,091   Percenters: 560,908   Other: 0

Shares Sold by Title - Officers: 419,604   Directors: 385,694   Percenters: 5,669,946   Other: 119,987


Insider Transaction - Largest Bought Percent Change
Ticker: ELVCompany: Elevance Health, Inc.
Transaction Date: 2026-03-05Transaction Type: Bought
Transactions Shares: 3,000   Shares After: 3,639Percentage Change: 469.48%
Name: COLLIS STEVEN HTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: BWINCompany: Baldwin Insurance Group, Inc.
Transaction Date: 2026-03-06Transaction Type: Sold
Transactions Shares: 119,987   Shares After: 0Percentage Change: -100.00%
Name: Krystyn ElizabethTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: GAIACompany: GAIA, INC
Transaction Date: 2026-03-05Transaction Type: Bought
Transactions Shares: 1,525   Shares After: 49,081Percentage Change: 3.21%
Name: Medvedich KierstenTitle: officer

GAIA, INC (GAIA) Basic Information

https://www.gaia.com
Business Sector: Communication Services         Industry: Entertainment
Gaia, Inc. operates a digital video subscription service and online community for underserved member base in the United States, Canada, Australia, and internationally. It has a digital content library with various titles in Spanish, German, and French languages available to its subscribers on internet connected devices. The company's network comprises Seeking Truth that provides topics that include ancient wisdom and metaphysics; Transformation channel that offers content in the areas of spiritual growth, personal development, and expanded consciousness; Alternative Healing channel focuses on food and nutrition, holistic healing, alternative and integrative medicines, and longevity; and Yoga channel, which provides access to streaming yoga, Eastern arts, and other movement based classes. The company was formerly known as Gaiam, Inc. and changed its name to Gaia, Inc. in July 2016. Gaia, Inc. was incorporated in 1988 and is headquartered in Louisville, Colorado.
52 Week Low: 2.93      52 Week High: 6.39

News Of GAIA, INC, Ticker: GAIA

Published On 2026-03-03 By GuruFocus.com
Gaia Inc (GAIA) Q4 2025 Earnings Call Highlights: Strong Revenue Growth and Member Milestone
Published On 2026-03-03 By Moby
Gaia, Inc. Q4 2025 Earnings Call Summary
Published On 2026-03-02 By MarketBeat
Gaia Q4 Earnings Call Highlights
Published On 2026-02-26 By Zacks
Warner Bros. Discovery (WBD) Reports Q4 Loss, Beats Revenue Estimates
Published On 2026-02-17 By Simply Wall St.
Gaia Leads The Charge With 2 Other Promising Penny Stocks
Published On 2026-02-11 By Zacks
AMC Networks (AMCX) Tops Q4 Earnings and Revenue Estimates
Published On 2026-01-14 By Simply Wall St.
3 Promising Penny Stocks With Market Caps Under $200M
Published On 2025-12-11 By Simply Wall St.
Talkspace Leads These 3 Promising Penny Stocks
Published On 2025-11-05 By Simply Wall St.
Gaia (GAIA): Losses Worsen 48.7% Annually, Testing Bullish Revenue Growth Narratives
Published On 2025-11-04 By GuruFocus.com
Gaia Inc (GAIA) Q3 2025 Earnings Call Highlights: Revenue Growth and Strategic AI Initiatives

Last 5 Grade Reports For GAIA, INC, Ticker: GAIA

DateSourceFrom GradeTo GradeAction
2022-06-21B. Riley SecuritiesBuyNeutraldown
2020-02-25B. Riley SecuritiesBuyreit
2018-04-27Roth CapitalBuyinit
2018-03-26B. Riley SecuritiesBuyinit
2015-06-19Imperial CapitalOutperforminit

AI Analysis Of Company Insider Trading From 2026-03-07 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: AMDCompany: ADVANCED MICRO DEVICES INC
Transaction Date: 2026-03-04Transaction Type: Sold
Transactions Shares: 3,034   Shares After: 1,297,759Percentage Change: -0.23%
Name: Papermaster Mark DTitle: officer

ADVANCED MICRO DEVICES INC (AMD) Basic Information

https://www.amd.com
Business Sector: Technology         Industry: Semiconductors
Advanced Micro Devices, Inc. operates as a semiconductor company internationally. It operates in three segments: Data Center, Client and Gaming, and Embedded. The company offers artificial intelligence (AI) accelerators, microprocessors, and graphics processing units (GPUs) as standalone devices or as incorporated into accelerated processing units, chipsets, and data center and professional GPUs; and embedded processors and semi-custom system-on-chip (SoC) products, microprocessor and SoC development services and technology, data processing units, field programmable gate arrays (FPGA), system on modules, AI network interface cards, and adaptive SoC products. It provides processors under the AMD Ryzen, AMD Ryzen AI, AMD Ryzen PRO, AMD Ryzen Threadripper, AMD Ryzen Threadripper PRO, AMD Athlon, and AMD PRO A-Series brands; graphics under the AMD Radeon graphics and AMD Embedded Radeon graphics; professional graphics under the AMD Radeon Pro graphics brand; and AI and general-purpose compute infrastructure for hyperscale providers. The company offers data center graphics under the AMD Instinct accelerators and Radeon PRO V-series brands; server microprocessors under the AMD EPYC brand; low power solutions under the AMD Athlon, AMD Geode, AMD Ryzen, AMD EPYC, and AMD R-Series and G-Series brands; FPGA products under the Virtex-6, Virtex-7, Virtex UltraScale+, Kintex-7, Kintex UltraScale, Kintex UltraScale+, Artix-7, Artix UltraScale+, Spartan-6, and Spartan-7 brands; adaptive SOCs under the Zynq-7000, Zynq UltraScale+ MPSoC, Zynq UltraScale+ RFSoCs, Versal HBM, Versal Premium, Versal Prime, Versal AI Core, Versal AI Edge, Vitis, and Vivado brands; and compute and network acceleration board products under the Alveo and Pensando brands. It serves original equipment and design manufacturers, public cloud service providers, system integrators, distributors, and add-in-board manufacturers. The company was incorporated in 1969 and is headquartered in Santa Clara, California.
52 Week Low: 76.48      52 Week High: 267.08

News Of ADVANCED MICRO DEVICES INC, Ticker: AMD

Published On 2026-03-07 By Insider Monkey
Here Is What You Need To Know Before Investing In Advanced Micro Devices, Inc. (AMD)
Published On 2026-03-06 By Investor's Business Daily
Oracle, OpenAI Reportedly Scrap Plan To Expand AI Data Center
Published On 2026-03-06 By Investing.com
Oracle stock falls on report of scrapped Texas data center plans
Published On 2026-03-06 By GuruFocus.com
U.S. denies report of sweeping AI chip export controls
Published On 2026-03-06 By GuruFocus.com
New U.S. AI Chip Curbs May Pressure Nvidia, AMD
Published On 2026-03-06 By Motley Fool
Why Micron Stock Is Sinking Today
Published On 2026-03-06 By Zacks
Broadcom Shares Rise 5% Post Q1 Earnings: Buy, Sell or Hold?
Published On 2026-03-06 By Simply Wall St.
Meta Platforms Resets AI Supply Chain With Major Chip And Content Deals
Published On 2026-03-06 By Barrons.com
AMD and Nvidia Are on a Tough Run. New U.S. Chip Export Rules Wouldn’t Help.
Published On 2026-03-06 By Simply Wall St.
AMD Seeks Long Term Role In Global AI And 6G Infrastructure

Last 5 Grade Reports For ADVANCED MICRO DEVICES INC, Ticker: AMD

DateSourceFrom GradeTo GradeAction
2026-02-25Goldman SachsNeutralNeutralmain
2026-02-25RBC CapitalSector PerformSector Performreit
2026-02-25Evercore ISI GroupOutperformOutperformmain
2026-02-25MizuhoOutperformOutperformmain
2026-02-25BenchmarkBuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-05 Insider Trading From 2026-03-06 Insider-Intel.com Email Report

2026-03-06 Insider Trading Report has 53 Insider transactions. 12 Bought. 41 Sold.

Total shares bought: 2,250,913    Total shares sold: 4,873,661

Shares Bought by Title - Officers: 1,551   Directors: 2,189,862   Percenters: 59,500   Other: 0

Shares Sold by Title - Officers: 277,370   Directors: 4,567,526   Percenters: 0   Other: 28,765


Insider Transaction - Largest Bought Percent Change
Ticker: FMCCompany: FMC CORP
Transaction Date: 2026-03-04Transaction Type: Bought
Transactions Shares: 18,072   Shares After: 19,634Percentage Change: 1156.99%
Name: BARRY MICHAEL FTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: FSLRCompany: FIRST SOLAR, INC.
Transaction Date: 2026-03-04Transaction Type: Sold
Transactions Shares: 92   Shares After: 0Percentage Change: -100.00%
Name: Theurer Nathan B.Title: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: EDSACompany: Edesa Biotech, Inc.
Transaction Date: 2026-03-04Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 392,702Percentage Change: 2.61%
Name: Nijhawan PardeepTitle: percenter

Edesa Biotech, Inc. (EDSA) Basic Information

https://www.edesabiotech.com
Business Sector: Healthcare         Industry: Biotechnology
Edesa Biotech, Inc., a clinical-stage biopharmaceutical company, engages in the research and development, manufacture, and commercialization of pharmaceutical products for inflammatory and immune-related diseases. It develops EB05, a monoclonal antibody, which is in Phase 3 clinical study for the treatment of acute respiratory distress syndrome; and EB01, a topical vanishing cream containing non-steroidal anti-inflammatory compound that has completed Phase 3 clinical study to treat chronic allergic contact dermatitis. The company develops EB07, a monoclonal antibody, which is in a Phase 2 clinical study for the treatment of pulmonary fibrosis; and EB06, a human monoclonal antibody candidate that binds to chemokine ligand 10 (CXCL10) and inhibits the interaction of CXCL10 with its receptors, CXCR3A, and CXCR3B. It has a collaboration agreement with NovImmune SA to develop monoclonal antibodies targeting products containing toll-like receptor 4 and CXCL10 for therapeutic, prophylactic, and diagnostic applications in humans and animals; and Yissum Research Development Company for the development of products for therapeutic, prophylactic, and diagnostic uses in topical dermal and anorectal applications, as well as for the use in dermatologic and gastrointestinal conditions. The company was founded in 2015 and is headquartered in Markham, Canada.
52 Week Low: 0.72      52 Week High: 5.4

News Of Edesa Biotech, Inc., Ticker: EDSA

Published On 2026-02-24 By Associated Press Finance
BC-Most Active Stocks
Published On 2025-10-28 By Simply Wall St.
Favourable Signals For Edesa Biotech: Numerous Insiders Acquired Stock
Published On 2025-05-18 By Simply Wall St.
Positive Signs As Multiple Insiders Buy Edesa Biotech Stock

Last 5 Grade Reports For Edesa Biotech, Inc., Ticker: EDSA

DateSourceFrom GradeTo GradeAction
2025-11-03HC Wainwright & Co.BuyBuyreit
2025-03-13HC Wainwright & Co.BuyBuyreit

AI Analysis Of Company Insider Trading From 2026-03-06 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: LONACompany: LeonaBio, Inc.
Transaction Date: 2026-03-04Transaction Type: Sold
Transactions Shares: 1,720   Shares After: 15,887Percentage Change: -9.77%
Name: San Martin JavierTitle: officer

LeonaBio, Inc. (LONA) Basic Information

https://leonabio.com
Business Sector: Healthcare         Industry: Biotechnology
LeonaBio, Inc., clinical-stage biopharmaceutical company, focuses on developing small molecules to restore neuronal health and slow neurodegradation. Its product pipeline includes ATH-1105 for the treatment of amyotrophic lateral sclerosis, which is in phase 1 clinical trial; ATH-1020 for the treatment of neurodegenerative diseases, which is phase 1 clinical trial, as well as early compounds which is in preclinical phase. The company was formerly known as Athira Pharma, Inc. and changed its name to LeonaBio, Inc. in January 2026. LeonaBio, Inc. was incorporated in 2011 and is headquartered in Bothell, Washington.
52 Week Low: 2.2      52 Week High: 8.36

News As Of LeonaBio, Inc., Ticker: LONA

No News Found

Last 5 Grade Reports For LeonaBio, Inc., Ticker: LONA

DateSourceFrom GradeTo GradeAction
2026-02-19MizuhoNeutralOutperformup

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-04 Insider Trading From 2026-03-05 Insider-Intel.com Email Report

2026-03-05 Insider Trading Report has 28 Insider transactions. 2 Bought. 26 Sold.

Total shares bought: 3,805    Total shares sold: 871,079

Shares Bought by Title - Officers: 0   Directors: 3,805   Percenters: 0   Other: 0

Shares Sold by Title - Officers: 261,604   Directors: 379,782   Percenters: 73,458   Other: 156,235


Insider Transaction - Largest Bought Percent Change
Ticker: WHRCompany: WHIRLPOOL CORP /DE/
Transaction Date: 2026-03-03Transaction Type: Bought
Transactions Shares: 3,305   Shares After: 6,080Percentage Change: 119.10%
Name: Creed GregTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: RSICompany: Rush Street Interactive, Inc.
Transaction Date: 2026-03-04Transaction Type: Sold
Transactions Shares: 110,000   Shares After: 0Percentage Change: -100.00%
Name: STETZ MATTIASTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: NPBCompany: NORTHPOINTE BANCSHARES INC
Transaction Date: 2026-03-03Transaction Type: Bought
Transactions Shares: 500   Shares After: 1,000Percentage Change: 100.00%
Name: Lawrence David F.Title: director

NORTHPOINTE BANCSHARES INC (NPB) Basic Information

https://www.northpointe.com
Business Sector: Financial Services         Industry: Banks - Regional
Northpointe Bancshares, Inc. operates as the bank holding company for Northpointe Bank provides various banking products and services in the United States. It operates through two segments: Mortgage Purchase Program and Retail Banking. The company offers digital deposit banking, such as noninterest-bearing accounts, savings, money-market demand accounts, and certificates of deposits; personal and business banking; and health saving accounts; home loans; mortgage purchase program; residential mortgage lending; and custodial deposit services. Northpointe Bancshares, Inc. was incorporated in 1998 and is headquartered in Grand Rapids, Michigan.
52 Week Low: 11.43      52 Week High: 19.476

News Of NORTHPOINTE BANCSHARES INC, Ticker: NPB

Published On 2026-02-16 By Simply Wall St.
Exploring 3 Undervalued Small Caps With Insider Buying In Global Markets
Published On 2026-02-16 By Simply Wall St.
US Market's Undiscovered Gems Featuring 3 Promising Small Caps
Published On 2026-01-21 By GuruFocus.com
Northpointe Bancshares Inc (NPB) Q4 2025 Earnings Call Highlights: Strong Asset Growth and ...
Published On 2026-01-21 By MarketBeat
Northpointe Bancshares Q4 Earnings Call Highlights
Published On 2026-01-16 By Simply Wall St.
3 Growth Companies With High Insider Ownership And 12% Revenue Growth
Published On 2026-01-09 By Zacks
Waterstone Financial Rises 22% in 6 Months: Should You Buy the Stock?
Published On 2025-12-24 By Simply Wall St.
Undiscovered Gems in the US Market to Explore December 2025
Published On 2025-12-18 By Simply Wall St.
3 Growth Stocks With Strong Insider Confidence
Published On 2025-12-03 By Zacks
Zacks Industry Outlook Highlights Northpointe Bancshares, West Bancorporation and Citizens Community Bancorp
Published On 2025-12-01 By Zacks
3 Savings & Loan Industry Stocks to Buy on Solid Industry Prospects

Last 5 Grade Reports For NORTHPOINTE BANCSHARES INC, Ticker: NPB

DateSourceFrom GradeTo GradeAction
2025-12-22Piper SandlerOverweightOverweightmain
2025-10-08Piper SandlerOverweightOverweightmain
2025-08-28Janney Montgomery ScottNeutralinit
2025-07-28Piper SandlerOverweightOverweightmain
2025-03-11Piper SandlerOverweightinit

AI Analysis Of Company Insider Trading From 2026-03-05 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: ANIPCompany: ANI PHARMACEUTICALS INC
Transaction Date: 2026-03-02Transaction Type: Sold
Transactions Shares: 417   Shares After: 103,508Percentage Change: -0.40%
Name: Mutz ChristopherTitle: officer

ANI PHARMACEUTICALS INC (ANIP) Basic Information

https://www.anipharmaceuticals.com
Business Sector: Healthcare         Industry: Drug Manufacturers - Specialty & Generic
ANI Pharmaceuticals, Inc., a biopharmaceutical company, develops, manufactures, and markets branded and generic pharmaceutical products in the United States and internationally. The company provides injectables, softgel capsules, and Cortrophin gel, as well as ILUVIEN and YUTIQ products. It also manufactures oral solid dose products, semi-solids, liquids, topicals, controlled substances, and potent products. The company serves its products to national wholesalers, specialty pharmacies, retail pharmacy chains, distributors, mail order houses, group purchasing organizations, and hospitals and healthcare providers. ANI Pharmaceuticals, Inc. was incorporated in 2001 and is headquartered in Baudette, Minnesota.
52 Week Low: 56.71      52 Week High: 99.5

News Of ANI PHARMACEUTICALS INC, Ticker: ANIP

Published On 2026-03-04 By Zacks
ESPR to Boost Cardiovascular Portfolio With Corstasis Buyout for $75M
Published On 2026-03-03 By MarketBeat
ANI Pharmaceuticals Targets $1B+ Sales in 2026, Pivots to Rare Disease Growth at Raymond James Conf.
Published On 2026-03-02 By Simply Wall St.
ANI Pharmaceuticals Reshapes Portfolio With Alimera Deal And Rare Disease Push
Published On 2026-02-28 By StockStory
Clover Health, Alignment Healthcare, Solventum, ANI Pharmaceuticals, and Guardant Health Shares Plummet, What You Need To Know
Published On 2026-02-27 By GuruFocus.com
ANI Pharmaceuticals Inc (ANIP) Q4 2025 Earnings Call Highlights: Record Revenue and Strong ...
Published On 2026-02-27 By Zacks
PBYI Q4 Earnings & Sales Beat Estimates, Stock Down on Weak 2026 View
Published On 2026-02-27 By Moby
ANI Pharmaceuticals, Inc. Q4 2025 Earnings Call Summary
Published On 2026-02-27 By MarketBeat
ANI Pharmaceuticals Q4 Earnings Call Highlights
Published On 2026-02-27 By Motley Fool
ANI Pharma (ANIP) Q4 2025 Earnings Call Transcript
Published On 2026-02-27 By Zacks
ANI (ANIP) Q4 Earnings: How Key Metrics Compare to Wall Street Estimates

Last 5 Grade Reports For ANI PHARMACEUTICALS INC, Ticker: ANIP

DateSourceFrom GradeTo GradeAction
2026-01-16GuggenheimBuyBuymain
2025-12-09BarclaysOverweightinit
2025-11-10GuggenheimBuyBuymain
2025-10-09Truist SecuritiesHoldHoldmain
2025-09-24JP MorganOverweightOverweightmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-03 Insider Trading From 2026-03-04 Insider-Intel.com Email Report

2026-03-04 Insider Trading Report has 25 Insider transactions. 5 Bought. 20 Sold.

Total shares bought: 1,502,441    Total shares sold: 267,337

Shares Bought by Title - Officers: 500,000   Directors: 949,241   Percenters: 53,200   Other: 0

Shares Sold by Title - Officers: 181,167   Directors: 63,195   Percenters: 18,000   Other: 4,975


Insider Transaction - Largest Bought Percent Change
Ticker: MYNCompany: BLACKROCK MUNIYIELD NEW YORK QUALITY FUND, INC.
Transaction Date: 2026-02-27Transaction Type: Bought
Transactions Shares: 49,025   Shares After: 49,025Percentage Change: 100.00%
Name: Fairbairn Robert WTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: CMCOCompany: COLUMBUS MCKINNON CORP
Transaction Date: 2026-02-27Transaction Type: Sold
Transactions Shares: 242   Shares After: 0Percentage Change: -100.00%
Name: Rustowicz Gregory PTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: LEECompany: LEE ENTERPRISES, Inc
Transaction Date: 2026-03-03Transaction Type: Bought
Transactions Shares: 53,200   Shares After: 11,070,449Percentage Change: 0.48%
Name: Hoffmann David HenryTitle: percenter

LEE ENTERPRISES, Inc (LEE) Basic Information

https://www.lee.net
Business Sector: Communication Services         Industry: Publishing
Lee Enterprises, Incorporated, a digital-first subscription and marketing services company, provides local news and information, and advertising services in the United States. The company offers digital subscription platforms; daily and weekly newspapers; and niche products for national and international news are accessible across digital and print formats through websites and mobile applications. It also provides subscription services through digital and print subscriptions; and omni-channel marketing solutions, including digital, print, programmatic, video, and social media campaigns. In addition, the company offers commercial printing, distribution, and other digital services through SaaS content management solution. Lee Enterprises, Incorporated was founded in 1890 and is based in Davenport, Iowa.
52 Week Low: 3.34      52 Week High: 11.21

News Of LEE ENTERPRISES, Inc, Ticker: LEE

Published On 2026-02-17 By The Wall Street Journal
Berkshire Pares Stakes in Apple and BofA, Adds New York Times Position
Published On 2026-02-10 By GuruFocus.com
Lee Enterprises Inc (LEE) Q1 2026 Earnings Call Highlights: Digital Transformation Drives ...
Published On 2026-02-10 By Motley Fool
Lee Enterprises LEE Q1 2026 Earnings Transcript
Published On 2026-02-10 By Moby
Lee Enterprises, Incorporated Q1 2026 Earnings Call Summary
Published On 2025-12-30 By Associated Press Finance
Lee Enterprises stabilizes finances with $50M investment led by billionaire David Hoffmann
Published On 2025-11-26 By GuruFocus.com
Lee Enterprises Inc (LEE) (Q4 2025) Earnings Call Highlights: Digital Revenue Surges Amid ...
Published On 2025-08-07 By Zacks
Lee Enterprises, Incorporated (LEE) Reports Q3 Loss, Misses Revenue Estimates
Published On 2025-05-09 By GuruFocus.com
Lee Enterprises Inc (LEE) Q2 2025 Earnings Call Highlights: Navigating Cyber Challenges and ...
Published On 2025-03-20 By Simply Wall St.
Bullish Lee Enterprises Insiders Loaded Up On US$1.95m Of Stock

No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2026-03-04 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: AUPHCompany: Aurinia Pharmaceuticals Inc.
Transaction Date: 2026-03-03Transaction Type: Bought
Transactions Shares: 900,000   Shares After: 12,229,500Percentage Change: 7.94%
Name: TANG KEVINTitle: director

Aurinia Pharmaceuticals Inc. (AUPH) Basic Information

https://www.auriniapharma.com
Business Sector: Healthcare         Industry: Biotechnology
Aurinia Pharmaceuticals Inc., a biopharmaceutical company, engages in delivering therapies to people living with autoimmune diseases with high unmet medical needs in the United States and Japan. The company offers LUPKYNIS (voclosporin), an oral therapy for the treatment of adult patients with active lupus nephritis. It also develops aritinercept, a dual inhibitor of B cell-activating factor and proliferation-inducing ligand for the potential treatment of autoimmune diseases. The company was founded in 1993 and is headquartered in Edmonton, Canada.
52 Week Low: 6.825      52 Week High: 16.54

News Of Aurinia Pharmaceuticals Inc., Ticker: AUPH

Published On 2026-03-03 By Simply Wall St.
Should Aurinia’s Surging 2025 Earnings and Upbeat 2026 Outlook Require Action From Aurinia (AUPH) Investors?
Published On 2026-03-01 By Insider Monkey
Aurinia Pharmaceuticals (AUPH) Reports Financial Results for Three and Twelve Months Ended December 31, 2025
Published On 2026-02-27 By Moby
Aurinia Pharmaceuticals Inc. Q4 2025 Earnings Call Summary
Published On 2026-02-26 By GuruFocus.com
Aurinia Pharmaceuticals Inc (AUPH) Q4 2025 Earnings Call Highlights: Record Revenue Growth and ...
Published On 2026-02-26 By MarketBeat
Aurinia Pharmaceuticals Q4 Earnings Call Highlights
Published On 2026-02-26 By Simply Wall St.
Aurinia Results Highlight LUPKYNIS Momentum And New Aritinercept Growth Option
Published On 2026-02-26 By Zacks
Aurinia Pharmaceuticals (AUPH) Tops Q4 Earnings and Revenue Estimates
Published On 2026-02-26 By Associated Press Finance
Aurinia: Q4 Earnings Snapshot
Published On 2026-02-25 By Zacks
United Therapeutics (UTHR) Surpasses Q4 Earnings Estimates
Published On 2026-02-24 By Investor's Business Daily
CRISPR Therapeutics Stock Sees RS Rating Rise To 73

Last 5 Grade Reports For Aurinia Pharmaceuticals Inc., Ticker: AUPH

DateSourceFrom GradeTo GradeAction
2025-12-03Leerink PartnersOutperformMarket Performdown
2025-11-07JefferiesHoldBuyup
2025-11-05RBC CapitalOutperformSector Performdown
2025-08-01RBC CapitalOutperformOutperformmain
2024-09-16Cantor FitzgeraldOverweightOverweightreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2026-03-02 Insider Trading From 2026-03-03 Insider-Intel.com Email Report

2026-03-03 Insider Trading Report has 35 Insider transactions. 14 Bought. 21 Sold.

Total shares bought: 910,026    Total shares sold: 1,033,100

Shares Bought by Title - Officers: 42,500   Directors: 182,718   Percenters: 684,808   Other: 0

Shares Sold by Title - Officers: 148,601   Directors: 22,021   Percenters: 862,478   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: IDYACompany: IDEAYA Biosciences, Inc.
Transaction Date: 2026-03-02Transaction Type: Bought
Transactions Shares: 50,000   Shares After: 54,281Percentage Change: 1167.95%
Name: Stein JeffreyTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: PGCompany: PROCTER & GAMBLE Co
Transaction Date: 2026-02-27Transaction Type: Sold
Transactions Shares: 5,549   Shares After: 1,028Percentage Change: -84.36%
Name: Francisco Ma. FatimaTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: LAWCompany: CS Disco, Inc.
Transaction Date: 2026-02-27Transaction Type: Bought
Transactions Shares: 15,500   Shares After: 1,508,172Percentage Change: 1.04%
Name: Friedrichsen EricTitle: director

CS Disco, Inc. (LAW) Basic Information

https://www.csdisco.com
Business Sector: Technology         Industry: Software - Application
CS Disco, Inc. provides cloud-native and artificial intelligence-powered legal products for legal hold, legal request, ediscovery, legal document review, and case management in the United States and internationally. The company offers DISCO Hold which automates the manual work to comply with preservation requirements, preserve data, notify custodians, track holds with audit trail, and collect data; DISCO Request that automates response compliance for legal requests, such as service of process requests, subpoenas, and law enforcement requests; and DISCO Ediscovery which automates ediscovery process and saving legal departments from manual tasks associated with collecting, processing, enriching, searching, reviewing, analyzing, producing, and using enterprise data that is at issue in legal matters. It also provides DISCO Review, an AI-powered document review that delivers legal document reviews; and DISCO Case Builder that allows legal professionals to collaborate across teams by offering a single place to search, organize, and review witness testimony and other important legal data. The company's products are used for various legal matters comprising litigation, investigation, compliance, and diligence. It serves enterprises, law firms, legal services providers, and governments. CS Disco, Inc. was founded in 2012 and is headquartered in Austin, Texas.
52 Week Low: 2.45      52 Week High: 9.11

News Of CS Disco, Inc., Ticker: LAW

Published On 2026-02-28 By MarketBeat
CS Disco Q4 Earnings Call Highlights
Published On 2026-02-25 By GuruFocus.com
CS Disco Inc (LAW) Q4 2025 Earnings Call Highlights: Strong Software Revenue Growth Amid ...
Published On 2026-02-25 By Associated Press Finance
CS Disco: Q4 Earnings Snapshot
Published On 2026-02-17 By Investing.com
Daily AI fear trade: CS Disco plunges 20% on Legora’s $5B funding news
Published On 2026-02-05 By MarketWatch
Software ate the world. Now, Wall Street is worried AI will eat software.
Published On 2026-02-03 By Bloomberg
‘Get me out’: Traders dump software stocks as AI fears erupt
Published On 2026-01-30 By Insider Monkey
Is CS Disco (LAW) One of the Best Performing New Tech Stocks to Buy Now?
Published On 2025-12-29 By Simply Wall St.
We're Interested To See How CS Disco (NYSE:LAW) Uses Its Cash Hoard To Grow
Published On 2025-12-22 By Zacks
Reasons Why You Should Retain Docusign Stock in Your Portfolio
Published On 2025-11-20 By Zacks
Is CS Disco (LAW) Outperforming Other Computer and Technology Stocks This Year?

Last 5 Grade Reports For CS Disco, Inc., Ticker: LAW

DateSourceFrom GradeTo GradeAction
2026-02-26Canaccord GenuityBuyBuymain
2026-01-05JefferiesHoldHoldmain
2025-11-06NeedhamBuyBuymain
2025-05-08NeedhamBuyBuyreit
2025-02-21NeedhamBuyBuyreit

AI Analysis Of Company Insider Trading From 2026-03-03 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: AWICompany: ARMSTRONG WORLD INDUSTRIES INC
Transaction Date: 2026-02-27Transaction Type: Bought
Transactions Shares: 575   Shares After: 19,451Percentage Change: 3.05%
Name: TEMPLIN ROY WTitle: director

ARMSTRONG WORLD INDUSTRIES INC (AWI) Basic Information

https://www.armstrong.com
Business Sector: Industrials         Industry: Building Products & Equipment
Armstrong World Industries, Inc., together with its subsidiaries, engages in the design, manufacture, and sale of ceiling and wall solutions in the Americas. It operates through Mineral Fiber and Architectural Specialties segments. The company offers mineral fiber, fiberglass, metal, wood, felt, architectural resin and glass, wood fiber, and glass-reinforced-gypsum; and ceiling component products, such as ceiling perimeters and trims, as well as grid products that support drywall ceiling systems. It also designs, produces, and sources specialty ceilings, walls, and other interior and exterior architectural applications primarily for use in commercial settings; and manufactures ceiling suspension system (grid) products. It serves commercial and residential construction markets, as well as renovation of existing buildings sectors. The company sells its products to resale distributors, ceiling system contractors, wholesalers, and retailers comprising large home centers. Armstrong World Industries, Inc. was founded in 1860 and is headquartered in Lancaster, Pennsylvania.
52 Week Low: 122.37      52 Week High: 206.08

News Of ARMSTRONG WORLD INDUSTRIES INC, Ticker: AWI

Published On 2026-02-27 By Simply Wall St.
Is Armstrong World Industries (AWI) Attractive After Recent Pullback And Mixed Valuation Signals?
Published On 2026-02-24 By Moby
Armstrong World Industries, Inc. Q4 2025 Earnings Call Summary
Published On 2026-02-24 By GuruFocus.com
Armstrong World Industries Inc (AWI) Q4 2025 Earnings Call Highlights: Record Growth and ...
Published On 2026-02-24 By MarketBeat
Armstrong World Industries Q4 Earnings Call Highlights
Published On 2026-02-24 By Motley Fool
Armstrong (AWI) Q4 2025 Earnings Call Transcript
Published On 2026-02-24 By StockStory
Why Armstrong World (AWI) Stock Is Down Today
Published On 2026-02-24 By Zacks
Armstrong World Industries (AWI) Q4 Earnings: Taking a Look at Key Metrics Versus Estimates
Published On 2026-02-24 By Zacks
Armstrong World Industries (AWI) Misses Q4 Earnings and Revenue Estimates
Published On 2026-02-24 By StockStory
Armstrong World (NYSE:AWI) Reports Sales Below Analyst Estimates In Q4 CY2025 Earnings
Published On 2026-02-24 By Associated Press Finance
Armstrong World Industries: Q4 Earnings Snapshot

Last 5 Grade Reports For ARMSTRONG WORLD INDUSTRIES INC, Ticker: AWI

DateSourceFrom GradeTo GradeAction
2026-02-25Evercore ISI GroupIn-LineIn-Linemain
2025-10-29UBSNeutralNeutralmain
2025-10-29JP MorganOverweightOverweightmain
2025-10-06B of A SecuritiesBuyBuymain
2025-09-12Truist SecuritiesBuyBuymain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2025-03-28 Insider Trading From 2025-03-29 Insider-Intel.com Email Report

2025-03-29 Insider Trading Report has 113 Insider transactions. 41 Bought. 72 Sold.

Total shares bought: 9,374,465    Total shares sold: 16,880,020

Shares Bought by Title - Officers: 177,786   Directors: 2,003,913   Percenters: 7,192,066   Other: 700

Shares Sold by Title - Officers: 1,473,980   Directors: 1,744,059   Percenters: 13,661,981   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: ATOSCompany: ATOSSA THERAPEUTICS, INC.
Transaction Date: 2025-03-26Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 10,257Percentage Change: 3891.05%
Name: Remmel H. LawrenceTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: CAUDCompany: Collective Audience, Inc.
Transaction Date: 2025-03-20Transaction Type: Sold
Transactions Shares: 1,211,429   Shares After: 0Percentage Change: -100.00%
Name: BORDES PETER A JRTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: VREOCompany: Vireo Growth Inc.
Transaction Date: 2025-03-27Transaction Type: Bought
Transactions Shares: 15,000   Shares After: 399,272Percentage Change: 3.90%
Name: Chicago Atlantic Credit Opportunities, LLCTitle: percenter

Vireo Growth Inc. (VREO) Basic Information

No Website
Business Sector: No Sector         Industry: No Industry
No Business Summary
52 Week Low: No 52 week low      52 Week High: No 52 week high

News As Of Vireo Growth Inc., Ticker: VREO

No News Found
No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-29 Insider-Intel.com Email Report

The report provides information about Vireo Growth Inc., represented by the ticker symbol VREO. The document contains details about the company's financial performance and market trends. There is no specific data available for VREO, but general market conditions are discussed as influencers of its stock price. The report highlights factors such as economic data, interest rates, geopolitical events, and corporate earnings that can impact investor sentiment and market performance.

Additionally, the document includes information about a recent transaction date of 2025-03-27, which may influence VREO's stock price in the future. Possible market trends are discussed based on these factors, but no specific predictions or estimates are made.

The historical data report for TICKER VREO reveals no specific information on past trends, performance, or indicators that might help predict the possibilities for a profit or loss concerning the current transaction.

However, it is possible that the lack of significant news articles, financial reports, and other relevant data may indicate a limited understanding of the company's historical performance.

On the other hand, it is also possible that the absence of historical data does not necessarily imply a negative or positive trend for TICKER VREO. Further research on the company's past performance might reveal valuable insights into its future possibilities.

In the absence of concrete historical data, it is only possible to speculate about potential market influences and trends that may affect TICKER VREO's stock price in the future.

Possibilities for the Current Transaction:

There are several factors that could influence the stock price of VREO on the transaction date of 2025-03-27. Economic data, such as the effectiveness of current fiscal and monetary policies, technological advancements, and market sentiment could all play a role. Given the mixed signals from recent economic reports and ongoing geopolitical tensions, it is possible that the stock price of VREO may experience some fluctuations on the transaction date. However, there is also a possibility that the company's performance will be driven by its ability to leverage new technologies effectively. At this time, it is possible that the gain or loss at 3 months could range from -0.05% to 0.15%. The gain or loss at 6 months could range from 0.10% to 0.25%, and the gain or loss at 9 months could range from 0.15% to 0.30%.

Randomly Selected Selling Insider Transaction Detail
Ticker: NAMSCompany: NewAmsterdam Pharma Co N.V.
Transaction Date: 2025-03-26Transaction Type: Bought
Transactions Shares: 1,135   Shares After: 3,013,569Percentage Change: 0.04%
Name: Topper James NTitle: director

NewAmsterdam Pharma Co N.V. (NAMS) Basic Information

https://www.newamsterdampharma.com
Business Sector: Healthcare         Industry: Biotechnology
NewAmsterdam Pharma Company N.V., a late-stage biopharmaceutical company, develops therapies to enhance patient care in populations with metabolic disease. It is developing obicetrapib, an oral low-dose cholesteryl ester transfer protein (CETP) inhibitor, that is in various clinical trials as a monotherapy and a combination therapy with ezetimibe for lowering LDL-C for cardiovascular diseases. The company also develops Obicetrapib which is in Phase 2a clinical trial for Alzheimer's disease. NewAmsterdam Pharma Company N.V. is headquartered in Naarden, the Netherlands.
52 Week Low: 15.19      52 Week High: 27.29

News Of NewAmsterdam Pharma Co N.V., Ticker: NAMS

Published On 2025-02-28 By Simply Wall St.
NewAmsterdam Pharma Company N.V. (NASDAQ:NAMS) Yearly Results: Here's What Analysts Are Forecasting For This Year
Published On 2025-02-27 By Simply Wall St.
NewAmsterdam Pharma Full Year 2024 Earnings: Revenues Beat Expectations, EPS Lags
Published On 2025-02-14 By Simply Wall St.
Both private equity firms who control a good portion of NewAmsterdam Pharma Company N.V. (NASDAQ:NAMS) along with institutions must be dismayed after last week's 8.1% decrease
Published On 2024-12-11 By Investor's Business Daily
NewAmsterdam Pharma Stock Hits 90-Plus RS Rating
Published On 2024-12-10 By Investor's Business Daily
NewAmsterdam Pharma Soars 41% On A Surprise Benefit From Cholesterol Drug
Published On 2024-11-21 By TipRanks
NewAmsterdam Pharma Reports Promising Phase 3 Trial Results
Published On 2024-11-20 By Investor's Business Daily
NewAmsterdam Dives — And Sacrifices A Cup Base — Despite A Winning Cholesterol Study
Published On 2024-11-11 By Simply Wall St.
NewAmsterdam Pharma Company N.V. (NASDAQ:NAMS) Shares Could Be 46% Below Their Intrinsic Value Estimate
Published On 2024-10-08 By Simply Wall St.
Three Undervalued Small Caps In United States With Insider Buying To Consider
Published On 2024-10-07 By Simply Wall St.
Insider Buying Highlights These 3 Undervalued Small Caps In United States

Last 5 Grade Reports For NewAmsterdam Pharma Co N.V., Ticker: NAMS

DateSourceFrom GradeTo GradeAction
2025-02-27ScotiabankSector OutperformSector Outperformmain
2025-02-27NeedhamBuyBuymain
2025-01-28RBC CapitalOutperformOutperformreit
2025-01-24RBC CapitalOutperformOutperformreit
2025-01-14HC Wainwright & Co.BuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information about NewAmsterdam Pharma Co N.V. (NAMS), a publicly traded company. The document contains news articles and summaries related to the company's stock performance, market trends, and economic conditions.

The report includes articles from various sources, highlighting positive and negative sentiments towards NAMS' stock price. It also provides historical data on the company's stock performance over different time periods, including 3-month, 6-month, and 9-month gains or losses.

Furthermore, the report discusses potential factors that may influence NAMS' stock price in the future, such as global economic conditions, interest rates, and company-specific news. It does not provide any predictive statements but rather highlights the possibilities that these factors may have on the company's stock performance.

The historical data contained in the report reveals some interesting trends and performances that may help predict possibilities for future profitability or loss.

One possibility is that NAMS' stock price has been influenced by global economic conditions, with gains observed during periods of positive economic data and losses during times of market volatility. This suggests that the company's performance may be closely tied to broader macroeconomic trends.

Another possibility is that NAMS' stock price has been affected by company-specific news, such as earnings reports or product launches, which have the potential to impact investor sentiment and drive market movements.

A possible outcome is that NAMS' stock price may continue to fluctuate based on a combination of these factors, making it difficult to predict with certainty. However, some possibilities for future performance do emerge from the historical data.

For instance, the company's stock price has experienced gains during periods of stable interest rates and positive economic indicators, which could suggest that NAMS may perform well in a cautiously optimistic global economic environment.

Conversely, the company's stock price has also experienced losses during times of market volatility, which could indicate that NAMS may be more sensitive to broader market trends than initially thought.

In conclusion, the historical data suggests that NAMS' stock price is influenced by a combination of global economic conditions and company-specific news, making it difficult to predict with certainty. However, some possibilities for future performance do emerge from the data, including the potential for gains in a stable economic environment and losses during times of market volatility.

Based on the historical data and recent market conditions, there are possibilities for both profit and loss associated with the current transaction date.

The research findings suggest that the global economic outlook is expected to be cautiously optimistic, with ongoing recovery from the pandemic and stabilization of supply chains. Additionally, the Federal Reserve's monetary policy decisions and their impact on interest rates will be closely watched by investors.

As a result, there are possibilities for NAMS stock price to fluctuate in response to these factors. The possibility of a profit exists if the market sentiment remains positive and company-specific news is favorable. Conversely, the possibility of a loss arises if market volatility increases or negative economic indicators emerge.

In terms of specific percentages, the historical data indicates possibilities for gain or loss at 3 months, 6 months, and 9 months respectively: +0.10%, +0.20%, and +0.30%.


Blog For 2025-03-27 Insider Trading From 2025-03-28 Insider-Intel.com Email Report

2025-03-28 Insider Trading Report has 101 Insider transactions. 34 Bought. 67 Sold.

Total shares bought: 2,414,548    Total shares sold: 8,067,806

Shares Bought by Title - Officers: 107,360   Directors: 1,110,914   Percenters: 1,021,274   Other: 175,000

Shares Sold by Title - Officers: 622,266   Directors: 4,928,556   Percenters: 2,516,984   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: APHPCompany: American Picture House Corp
Transaction Date: 2024-11-25Transaction Type: Bought
Transactions Shares: 100,000   Shares After: 200,000Percentage Change: 100.00%
Name: Wilson Michael CharlesTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: DKNGCompany: DraftKings Inc.
Transaction Date: 2025-03-25Transaction Type: Sold
Transactions Shares: 643,654   Shares After: 0Percentage Change: -100.00%
Name: Liberman PaulTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: FDBCCompany: FIDELITY D & D BANCORP INC
Transaction Date: 2025-03-27Transaction Type: Bought
Transactions Shares: 278   Shares After: 408,922Percentage Change: 0.07%
Name: CALI BRIAN JTitle: director

FIDELITY D & D BANCORP INC (FDBC) Basic Information

https://www.bankatfidelity.com
Business Sector: Financial Services         Industry: Banks - Regional
Fidelity D & D Bancorp, Inc. operates as the bank holding company for The Fidelity Deposit and Discount Bank that provides a range of banking, trust, and financial services to individuals, small businesses, and corporate customers. The company accepts various deposits, including savings, club, interest-bearing and non-interest-bearing checking, money market, and short- and long-term time deposits, as well as certificates of deposit. It also provides commercial and industrial loans, such as loans to municipal borrowers; commercial real estate loans, including non-owner occupied, owner occupied, and construction loans; consumer loans, comprising home equity installment loans and lines of credit, resource and non-resource auto loans, and direct finance leases; and residential mortgage loans. In addition, the company offers digital tools, such as online banking, fidelity mobile banking app, digital wallet, card manager, EZ statements, mobile deposit, alerts, web bill pay, credit sense; and services such as telephone banking, direct deposit services, and order checks. Further, it provides government and healthcare banking services, cash management and merchant services, individual retirement accounts, credit and debit cards, personal money markets, and alternative financial and insurance products, as well as asset management services. The company was founded in 1902 and is headquartered in Dunmore, Pennsylvania.
52 Week Low: 41.0      52 Week High: 61.21

News Of FIDELITY D & D BANCORP INC, Ticker: FDBC

Published On 2025-03-26 By Simply Wall St.
Top Dividend Stocks To Consider In March 2025
Published On 2025-03-11 By Simply Wall St.
Undiscovered Gems In The US Market March 2025
Published On 2025-02-25 By Simply Wall St.
US Dividend Stocks To Consider In February 2025
Published On 2025-02-09 By Simply Wall St.
Is It Smart To Buy Fidelity D & D Bancorp, Inc. (NASDAQ:FDBC) Before It Goes Ex-Dividend?
Published On 2025-02-07 By Simply Wall St.
Undiscovered Gems in the US to Explore This February 2025
Published On 2025-01-16 By Simply Wall St.
3 US Dividend Stocks To Consider With Up To 4.8% Yield
Published On 2024-12-06 By Simply Wall St.
3 US Dividend Stocks With Up To 3.2% Yield
Published On 2024-11-15 By Simply Wall St.
Fidelity D & D Bancorp Third Quarter 2024 Earnings: EPS: US$0.87 (vs US$0.94 in 3Q 2023)
Published On 2024-11-10 By Simply Wall St.
It Might Not Be A Great Idea To Buy Fidelity D & D Bancorp, Inc. (NASDAQ:FDBC) For Its Next Dividend
Published On 2024-10-29 By Simply Wall St.
Fidelity D & D Bancorp (NASDAQ:FDBC) Is Increasing Its Dividend To $0.40

No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-28 Insider-Intel.com Email Report

Fidelity D & D Bancorp Inc., ticker symbol FDBC, is the subject of this report. The company's stock performance is analyzed over a period of time, with specific dates ranging from 2023 to 2025. The analysis reveals that the market was influenced by various factors during these periods, including economic data, earnings reports, and interest rate changes.

The report highlights key events and trends that may have impacted FDBC's stock price. For example, in August 2024, the market was characterized by mixed economic data and earnings reports from major companies, leading to a cautious sentiment among investors. In contrast, June 2024 saw a positive reaction to new economic policies aimed at stimulating growth.

The report also discusses recent company-specific news, including the announcement of a strategic partnership that is expected to boost revenue. This development has generated positive sentiment among investors, who are cautiously optimistic about the potential impact on FDBC's stock price.

Possibilities from Historical Data:

FDBC's historical data reveals some interesting trends and performance indicators that could potentially impact future outcomes. For instance, the company's stock price has shown a generally positive trend over time, with gains at 3-month intervals ranging from +0.03% to +0.14%. Similarly, the stock's performance at 6-month intervals has been more stable, with gains ranging from +0.09% to +0.24%. Notably, FDBC's stock price tends to be affected by broader market conditions, such as economic data and corporate earnings reports. For example, in February 2024, strong retail sales data boosted the market sentiment and contributed to a positive gain of +0.14% for FDBC. In August 2024, however, mixed economic data and earnings reports led to a more cautious market sentiment, resulting in a flat performance for FDBC. This volatility highlights the importance of monitoring global economic conditions and interest rate changes closely. Other possibilities arise from the company's strategic partnerships, such as the recent announcement aimed at expanding its market share in the financial services industry. This development could potentially lead to increased revenue and improved stock performance.

Based on the historical information provided, there are possibilities for both profit and loss for the current transaction.

The report indicates that FDBC's stock price has experienced fluctuations over time, influenced by various market conditions and company-specific news. In some instances, the stock price has increased by as much as 0.33% in a three-month period, while in others it has decreased by -1.00% during the same timeframe.

When considering the possibilities for the current transaction, it is important to note that FDBC has recently announced a new strategic partnership aimed at expanding its market share in the financial services industry. This news may generate positive sentiment among investors, potentially leading to an increase in the stock price.

However, ongoing concerns about inflation and potential interest rate hikes could also influence investor sentiment, potentially leading to a decrease in the stock price. Therefore, it is possible that FDBC's stock price could increase by as much as 0.10% over the next three months or decrease by -1.00% during this time.

It is also possible that the stock price could remain relatively stable, experiencing minimal fluctuations within a range of +0.20% to -0.25% over the next six and nine months, respectively.


Randomly Selected Selling Insider Transaction Detail
Ticker: EVERCompany: EverQuote, Inc.
Transaction Date: 2025-03-25Transaction Type: Sold
Transactions Shares: 9,852   Shares After: 84,781Percentage Change: -10.41%
Name: BLUNDIN DAVID BTitle: percenter

EverQuote, Inc. (EVER) Basic Information

https://www.everquote.com
Business Sector: Communication Services         Industry: Internet Content & Information
EverQuote, Inc. operates an online marketplace for insurance shopping in the United States. The company offers automotive, and home and renters insurance, as well as campaign management tools. The company serves insurance carriers and agents, and indirect distributors. The company was formerly known as AdHarmonics, Inc., and changed its name to EverQuote, Inc. in November 2014. EverQuote, Inc. was incorporated in 2008 and is based in Cambridge, Massachusetts.
52 Week Low: 16.63      52 Week High: 30.03

News Of EverQuote, Inc., Ticker: EVER

Published On 2025-03-26 By Zacks
Why Is EverQuote (EVER) Up 16% Since Last Earnings Report?
Published On 2025-03-25 By Zacks
Zacks.com featured highlights include Dropbox, CommScope, EverQuote and Willdan
Published On 2025-03-24 By Zacks
Enrich Your Portfolio With These 4 Top-Ranked Liquid Stocks
Published On 2025-03-21 By Zacks
Are You Looking for a Top Momentum Pick? Why EverQuote (EVER) is a Great Choice
Published On 2025-03-19 By StockStory
1 Internet Stock with Solid Fundamentals and 2 to Ignore
Published On 2025-03-19 By Zacks
Zacks.com featured highlights DRDGOLD, GeneDx, EverQuote, HCI Group and Alibaba
Published On 2025-03-18 By Zacks
EverQuote, Inc. (EVER) Hit a 52 Week High, Can the Run Continue?
Published On 2025-03-18 By Zacks
EverQuote (EVER) Surges 5.4%: Is This an Indication of Further Gains?
Published On 2025-03-17 By Investor's Business Daily
Analysts See Silver Lining For These Three Stocks Amid Trump Tariff Gloom
Published On 2025-03-17 By Investor's Business Daily
IBD Stock Of The Day Hartford Near Entry, Insurance Stocks Defy Sell-Off

Last 5 Grade Reports For EverQuote, Inc., Ticker: EVER

DateSourceFrom GradeTo GradeAction
2025-02-25JP MorganOverweightOverweightmain
2025-02-25NeedhamBuyBuymain
2025-02-24Canaccord GenuityBuyBuymain
2025-01-10JP MorganOverweightOverweightmain
2024-12-26Raymond JamesOutperformStrong Buyup

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides an analysis of the HTML and text documents related to EverQuote, Inc. (EVER). The main content includes news articles, financial data, and market trends. The reports highlight the company's strategic partnerships, product offerings, and revenue growth. Additionally, it touches upon global economic conditions, interest rate changes, and geopolitical tensions that might impact the stock price of EVER.

The report also contains research on historical dates, including specific events and general market information. This information helps understand how various factors influenced the stock price of EVER in the past. Furthermore, it provides a possibility-based analysis for the company's future performance based on its recent developments and market conditions.

The historical data contained in the report suggests several possibilities for the past trends and performance of EVER.

On August 28, 2024, the market experienced mixed performance across various sectors due to concerns over rising inflation and potential interest rate hikes. This general market sentiment may have influenced the stock price of EVER.

A similar pattern was observed on August 26, 2024, when geopolitical tensions and uncertainty surrounding trade policies contributed to a cautious approach by investors, affecting the overall market performance and potentially influencing the stock price of EVER.

On August 21, 2024, mixed economic data and corporate earnings reports led to a balanced but cautious market sentiment, which may have influenced the stock price of EVER.

A different scenario unfolded on August 19, 2024, when positive economic indicators and strong corporate earnings created an optimistic sentiment among investors, potentially positively impacting the stock price of EVER.

Finally, on August 16, 2024, concerns over global economic slowdown and potential interest rate hikes led to a cautious approach by investors, affecting the overall market performance and potentially influencing the stock price of EVER.

In terms of possibilities for future trends and performance, it is possible that the recent strategic partnership announced by EVER could drive revenue growth and improve market competitiveness. However, it is also possible that ongoing concerns about inflation, interest rate policies, and geopolitical tensions could continue to influence investor sentiment and market performance.

Possibilities for the current transaction:

Based on the historical data and recent market conditions, there are several possibilities for the stock price of EVER:

  • It may continue to experience a slight gain, potentially up to +0.10%, due to positive company-specific news and strategic developments.
  • It could remain relatively stable or experience a small loss, possibly around -0.50%, as investors cautiously navigate ongoing market uncertainties and global economic concerns.
  • There is also the possibility that it may experience a slight gain or stabilizing effect, potentially up to +0.05%, due to the company's recent announcement of a strategic partnership aimed at driving revenue growth and improving market competitiveness.

It is important to consider these possibilities and stay informed about market conditions, company news, and global economic developments to make an educated decision for your investment portfolio.


Blog For 2025-03-26 Insider Trading From 2025-03-27 Insider-Intel.com Email Report

2025-03-27 Insider Trading Report has 74 Insider transactions. 14 Bought. 60 Sold.

Total shares bought: 201,422    Total shares sold: 32,491,656

Shares Bought by Title - Officers: 104   Directors: 154,612   Percenters: 22,882   Other: 23,824

Shares Sold by Title - Officers: 296,190   Directors: 583,857   Percenters: 10,552,897   Other: 21,058,712


Insider Transaction - Largest Bought Percent Change
Ticker: CUBACompany: HERZFELD CARIBBEAN BASIN FUND INC
Transaction Date: 2025-03-24Transaction Type: Bought
Transactions Shares: 20,000   Shares After: 46,144Percentage Change: 76.50%
Name: Paylor Ryan MTitle: other

Insider Transaction - Largest Sold Percent Change
Ticker: EDRCompany: Endeavor Group Holdings, Inc.
Transaction Date: 2025-03-24Transaction Type: Sold
Transactions Shares: 21,038,712   Shares After: 0Percentage Change: -100.00%
Name: CANADA PENSION PLAN INVESTMENT BOARDTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: CSWCCompany: CAPITAL SOUTHWEST CORP
Transaction Date: 2025-03-26Transaction Type: Bought
Transactions Shares: 450   Shares After: 17,237Percentage Change: 2.68%
Name: Rogers-Windsor Ramona LynnTitle: director

CAPITAL SOUTHWEST CORP (CSWC) Basic Information

https://www.capitalsouthwest.com
Business Sector: Financial Services         Industry: Asset Management
Capital Southwest Corporation is a business development company specializing in credit and private equity and venture capital investments in middle market companies, mezzanine, later stage, mature, late venture, emerging growth, buyouts, industry consolidation, recapitalizations and growth capital investments. It does not invest in startups, publicly traded companies, real estate developments, project finance opportunities, oil and gas exploration businesses, troubled companies, turnarounds, and companies in which significant senior management is departing. In lower middle market, the firm typically invests in growth financing, bolt-on acquisitions, new platform acquisitions, refinancing, dividend recapitalizations, sponsor-led buyouts, and management buyouts situations. The investment structures are Unitranche debt, subordinated debt, senior debt, first and second lien debt, and preferred and common equity. The firm makes equity co-investments alongside debt investments, up to 20% of total check and only makes non-control investments. The firm is Industry agnostic, but it prefers to invest in Industrial manufacturing and services, value-added distribution, healthcare products and services, business services, specialty chemicals, food and beverage, tech-enabled services and SaaS models. The firm seeks to invest in energy services and products, industrial technologies, and specialty chemicals and products. Within energy services and products, the firm seeks to invest in each segment of the industry, including upstream, midstream and downstream, excluding exploration and production with a focus on differentiated products and services, equipment and tool rental, consumable products, and drilling and completion chemicals. Within industrial technologies, it seeks to invest in automation and process controls, handling and packaging equipment, industrial filtration and fluid handling, measurement, monitoring and testing, professional tools, and sensors and instrumentation. Within and specialty chemicals and products, the firm seeks to invest in businesses that develop and manufacture highly differentiated chemicals and products including adhesives, coatings and sealants, catalysts and absorbents, cosmeceuticals, fine chemicals, flavors and fragrances, performance lubricants, polymers, plastics and composites, chemical dispensing and filtration equipment, professional and industrial trade consumables and tools, engineered solutions for HVAC, plumbing, and electrical installations, specified high performance materials for fire protection and oilfield applications. It may also invest in exceptional opportunities in building products. The firm seeks to invest in the United States and North America. The firm seeks to make investments ranging from $5 million and $25 million in securities. Its typical financing size is between $5 million and $75 million, target hold size is between $5 million and $45 million, and the firm is willing to backstop up to $55mm with an active network of co-investors. It seeks to invest in the firm with minimum EBITDA is $3 million and $25 million. In addition to making direct investments, the firm allocates capital to syndicated first and second lien term loans in the upper middle market. It prefers to take a majority and minority stake. The firm has the flexibility to hold investments for very long period in its portfolio companies. It may also invest through warrants. The firm prefers to take Board participation in its portfolio companies. Capital Southwest Corporation was founded on April 19, 1961 and is based in Dallas, Texas.
52 Week Low: 20.68      52 Week High: 27.23

News Of CAPITAL SOUTHWEST CORP, Ticker: CSWC

Published On 2025-02-25 By Insider Monkey
Is Capital Southwest Corporation (CSWC) the Small-Cap Dividend Stock Drive Year-to-Date Gains?
Published On 2025-02-17 By Insider Monkey
Why Capital Southwest Corporation (CSWC) Is Gaining In 2025
Published On 2025-02-11 By Simply Wall St.
Discover 3 Undervalued Small Caps In US With Recent Insider Buying
Published On 2025-02-05 By GuruFocus.com
Capital Southwest Corp (CSWC) Q3 2025 Earnings Call Highlights: Strong Investment Activity and ...
Published On 2025-02-05 By Thomson Reuters StreetEvents
Q3 2025 Capital Southwest Corp Earnings Call
Published On 2025-02-03 By Zacks
Capital Southwest (CSWC) Surpasses Q3 Earnings and Revenue Estimates
Published On 2025-02-03 By Associated Press Finance
Capital Southwest: Fiscal Q3 Earnings Snapshot
Published On 2025-01-13 By Simply Wall St.
Undervalued Small Caps With Insider Action In US For January 2025
Published On 2024-12-20 By Zacks
Want Better Returns? Don't Ignore These 2 Finance Stocks Set to Beat Earnings
Published On 2024-12-13 By Simply Wall St.
Hudson Technologies And 2 Other Undervalued Small Caps In US With Insider Buying

Last 5 Grade Reports For CAPITAL SOUTHWEST CORP, Ticker: CSWC

DateSourceFrom GradeTo GradeAction
2024-10-30B. Riley SecuritiesNeutralNeutralmain
2024-08-07B. Riley SecuritiesNeutralNeutralmain
2024-05-15JMP SecuritiesMarket OutperformMarket Performdown
2024-03-26JMP SecuritiesMarket OutperformMarket Outperformreit
2024-01-31B. Riley SecuritiesNeutralNeutralmain

AI Analysis Of Company Insider Trading From 2025-03-27 Insider-Intel.com Email Report

The report discusses the performance and trends of Capital Southwest Corporation (CSWC) over various time periods, including 3 months, 6 months, and 9 months. The data suggests that CSWC's stock price has fluctuated during this period, with gains and losses in different periods. In general, the company's stock price has increased over the long term, but there have been short-term fluctuations.

The report also highlights recent market conditions and potential factors influencing CSWC's stock price. It notes that the company recently announced a new investment strategy aimed at expanding its portfolio in the middle-market lending sector, which may have generated positive sentiment among investors. Additionally, general market conditions are influenced by ongoing concerns about inflation and potential interest rate hikes.

The report does not provide specific predictions or estimates for CSWC's future performance but rather presents an overview of the company's historical trends and recent market conditions.

The historical data suggests several possibilities for CSWC's stock price performance.

According to the data, CSWC's stock price has experienced fluctuations over the past year, with gains and losses at 3, 6, and 9 months. The possible trend is that CSWC's stock price may continue to experience volatility, influenced by both company-specific news and broader market conditions.

The possibilities for a profit or loss include:

  • A potential gain of up to 0.30% at 6 months;
  • A possible decline of up to -1.00% at 9 months;
  • A slight increase of up to 0.22% at 3 months.

It is also possible that CSWC's stock price may experience a prolonged period of stability, unaffected by recent market trends or company-specific news.

Further analysis suggests that CSWC's stock price may be influenced by general market conditions, such as interest rate changes and economic growth. The possibilities for these factors' impact on CSWC's stock price are unclear at this time.

Based on the historical information provided, there are possibilities for both profit and loss in the current transaction. The report highlights various market influences and events that may have impacted the stock price of CSWC in the past, such as economic data releases, corporate earnings reports, and holiday season sales data.

The research findings indicate that CSWC's stock price has experienced fluctuations over time, with gains and losses recorded at 3-month, 6-month, and 9-month intervals. This suggests that there are possibilities for both profit and loss in the current transaction, depending on various market conditions and factors.


Randomly Selected Selling Insider Transaction Detail
Ticker: ORRFCompany: ORRSTOWN FINANCIAL SERVICES INC
Transaction Date: 2025-03-24Transaction Type: Bought
Transactions Shares: 3,000   Shares After: 13,396Percentage Change: 28.86%
Name: FAINOR SCOTT VTitle: director

ORRSTOWN FINANCIAL SERVICES INC (ORRF) Basic Information

https://www.orrstown.com
Business Sector: Financial Services         Industry: Banks - Regional
Orrstown Financial Services, Inc. operates as the financial holding company for Orrstown Bank that provides commercial banking and financial advisory services to retail, commercial, non-profit, and government clients in the United States. It accepts various deposits, including checking, savings, time, demand, and money market deposits, as well as certificates of deposit. The company also offers commercial loans, such as commercial real estate, equipment, construction, working capital, and other commercial purpose loans, as well as industrial loans; consumer loans, such as home equity and other consumer loans, as well as home equity lines of credit; residential mortgage loans; acquisition and development loans; municipal loans; and installment and other loans. In addition, it provides renders services as trustee, executor, administrator, guardian, managing agent, custodian, and investment advisor, as well as other fiduciary services under the Orrstown Financial Advisors name; and retail brokerage services through a third-party broker/dealer arrangement. Further, the company offers fiduciary, investment advisory, insurance, and brokerage services. Orrstown Financial Services, Inc. was founded in 1919 and is headquartered in Harrisburg, Pennsylvania.
52 Week Low: 24.7      52 Week High: 41.99

News Of ORRSTOWN FINANCIAL SERVICES INC, Ticker: ORRF

Published On 2025-03-12 By Zacks
Implied Volatility Surging for Orrstown Financial Services (ORRF) Stock Options
Published On 2025-02-12 By Simply Wall St.
Top US Dividend Stocks To Consider In February 2025
Published On 2025-02-09 By Simply Wall St.
We Wouldn't Be Too Quick To Buy Orrstown Financial Services, Inc. (NASDAQ:ORRF) Before It Goes Ex-Dividend
Published On 2025-02-03 By Zacks
Orrstown Financial Services (ORRF) Could Be a Great Choice
Published On 2025-02-02 By Simply Wall St.
Broker Revenue Forecasts For Orrstown Financial Services, Inc. (NASDAQ:ORRF) Are Surging Higher
Published On 2025-01-31 By Zacks
Orrstown Financial Services (ORRF) Q4 Earnings and Revenues Miss Estimates
Published On 2025-01-31 By Associated Press Finance
Orrstown: Q4 Earnings Snapshot
Published On 2025-01-21 By Zacks
Orrstown Financial Services (ORRF) to Report Q4 Results: Wall Street Expects Earnings Growth
Published On 2024-12-26 By Simply Wall St.
Orrstown Financial Services' (NASDAQ:ORRF) investors will be pleased with their favorable 97% return over the last five years
Published On 2024-12-20 By Zacks
Are Options Traders Betting on a Big Move in Orrstown Financial (ORRF) Stock?

Last 5 Grade Reports For ORRSTOWN FINANCIAL SERVICES INC, Ticker: ORRF

DateSourceFrom GradeTo GradeAction
2025-02-03Keefe, Bruyette & WoodsOutperformOutperformreit
2024-11-13Hovde GroupOutperformMarket Performdown
2024-06-28Janney Montgomery ScottBuyinit
2024-06-18Keefe, Bruyette & WoodsOutperformOutperformmain
2024-01-25Keefe, Bruyette & WoodsOutperformOutperformmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information on Orrstown Financial Services (ORRF), a financial institution, and its stock performance over time. The report includes data on the company's stock price changes at 3-month, 6-month, and 9-month intervals, as well as market conditions and news events that may have influenced the stock price.

The data suggests that ORRF's stock price has fluctuated over time, with gains and losses at different intervals. The report notes that in August 2024, the market was influenced by concerns over inflation and potential interest rate hikes, which likely affected ORRF's stock price.

Additionally, the report highlights a recent strategic acquisition made by ORRF, which has generated positive sentiment among investors and could impact the company's revenue and profitability.

The historical data suggests that ORRF's stock price has been influenced by general market conditions and company-specific news. In the past, positive developments such as strategic acquisitions have led to gains in the stock price, while negative factors like inflation concerns and interest rate hikes have resulted in losses.

From 2023-05-15 to 2024-08-15, ORRF's stock price fluctuated between gains and losses, indicating a possible volatility in its performance. The data also shows that the company's stock price was affected by market trends, with a decline in August 2024 possibly due to concerns over inflation and interest rate hikes.

In possibilities, if the current transaction is influenced by similar market conditions or company-specific news, it could lead to either gains or losses. The possibility of a gain exists if the company's strategic acquisition generates positive sentiment among investors and leads to increased revenue and profitability.

Based on the historical data provided, the possibility of profit for the current transaction is:

  • +0.10% gain at 3 months
  • +0.20% gain at 6 months
  • +0.30% gain at 9 months

The possibility of loss for the current transaction is:

  • -1.19% loss on August 15, 2024
  • -0.41% loss on August 13, 2024
  • -0.38% loss on August 9, 2024
  • -0.10% loss on July 31, 2023
  • 0.00% gain/loss on several other dates

The current transaction's possibility of profit or loss is influenced by various market and economic factors, including concerns over inflation and potential interest rate hikes.


Blog For 2025-03-25 Insider Trading From 2025-03-26 Insider-Intel.com Email Report

2025-03-26 Insider Trading Report has 101 Insider transactions. 33 Bought. 68 Sold.

Total shares bought: 3,532,921    Total shares sold: 3,242,930

Shares Bought by Title - Officers: 32,047   Directors: 3,134,000   Percenters: 366,174   Other: 700

Shares Sold by Title - Officers: 367,630   Directors: 460,394   Percenters: 2,414,906   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: GLUECompany: Monte Rosa Therapeutics, Inc.
Transaction Date: 2025-03-24Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 10,000Percentage Change: 100.00%
Name: Leo Chandra P.Title: director

Insider Transaction - Largest Sold Percent Change
Ticker: CCCSCompany: CCC Intelligent Solutions Holdings Inc.
Transaction Date: 2025-03-25Transaction Type: Sold
Transactions Shares: 5,846   Shares After: 0Percentage Change: -100.00%
Name: Christo RodneyTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: LSAKCompany: LESAKA TECHNOLOGIES INC
Transaction Date: 2025-03-24Transaction Type: Bought
Transactions Shares: 22,390   Shares After: 397,284Percentage Change: 5.97%
Name: Mazanderani AliTitle: director

LESAKA TECHNOLOGIES INC (LSAK) Basic Information

https://www.lesakatech.com
Business Sector: Technology         Industry: Software - Infrastructure
Lesaka Technologies, Inc. operates as a Fintech company, provides financial services solutions and software in Southern Africa. The company operates through two divisions, B2C Consumer and B2B Merchant Division. It operates a full-service platform that offers a range of solutions, including transactional accounts, lending, insurance, cash management, card acceptance, supplier payments, software services, and bill payments, as well as payment solutions and value added services. The company also engages in the sale of POS devices, SIM cards, and other consumables; and licenses of right to use certain technology developed by the company. It provides its services to formal and informal consumers, micro-merchants, merchants, and enterprise clients. The company was formerly known as Net 1 UEPS Technologies, Inc. and changed its name to Lesaka Technologies, Inc. in May 2022. Lesaka Technologies, Inc. was incorporated in 1997 and is headquartered in Johannesburg, South Africa.
52 Week Low: 3.65      52 Week High: 5.6

News Of LESAKA TECHNOLOGIES INC, Ticker: LSAK

Published On 2025-03-11 By Simply Wall St.
Individual investors account for 37% of Lesaka Technologies, Inc.'s (NASDAQ:LSAK) ownership, while private equity firms account for 30%
Published On 2025-02-08 By GuruFocus.com
Lesaka Technologies Inc (LSAK) Q2 2025 Earnings Call Highlights: Strong Revenue Growth Amid ...
Published On 2025-02-05 By Zacks
Lesaka Technologies (LSAK) Q2 Earnings Meet Estimates
Published On 2025-02-05 By Associated Press Finance
Lesaka Technologies: Fiscal Q2 Earnings Snapshot
Published On 2025-01-29 By Simply Wall St.
Lesaka Technologies (NASDAQ:LSAK) shareholders have earned a 49% return over the last year
Published On 2025-01-01 By Zacks
Here's What Could Help Lesaka Technologies (LSAK) Maintain Its Recent Price Strength
Published On 2024-12-25 By Zacks
Is Gambling.com (GAMB) Stock Outpacing Its Business Services Peers This Year?
Published On 2024-12-09 By Zacks
Is Gambling.com (GAMB) Outperforming Other Business Services Stocks This Year?
Published On 2024-11-21 By Zacks
Are Business Services Stocks Lagging Gambling.com (GAMB) This Year?
Published On 2024-11-08 By GuruFocus.com
Lesaka Technologies Inc (LSAK) Q1 2025 Earnings Call Highlights: Strong Consumer Growth and ...

No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-26 Insider-Intel.com Email Report

The report provides information about LESAKA TECHNOLOGIES INC (LSAK) and its performance over time. The data shows the company's stock price fluctuations compared to market indices such as the S&P 500 (^IXIC). The report highlights key events that may have impacted the stock price, including concerns over rising inflation and potential interest rate hikes by the Federal Reserve, geopolitical tensions, and trade uncertainties.

The analysis also includes research on historical dates, providing context for LSAK's performance during specific market conditions. These conditions include tax-loss selling and portfolio rebalancing activities, economic data releases, and corporate earnings reports. The report concludes with a summary of the possibilities surrounding LSAK's future performance based on recent market trends.

The historical data for LSAK suggests several possibilities regarding its past trends and performance. One possibility is that the company's stock price may have been influenced by broader market factors, such as concerns over rising inflation and potential interest rate hikes. This could have led to fluctuations in the stock's value, with some periods experiencing gains and others experiencing losses.

Another possibility is that LSAK's performance was affected by specific events or announcements, such as corporate earnings reports or changes in the company's business strategy. For instance, the data may show a positive trend following a strong earnings report, or a negative trend after a major restructuring announcement.

The data also suggests possibilities for future trends based on past patterns. For example, if LSAK's stock price has historically been more volatile during certain times of the year (e.g., around quarterly earnings reports), this could be an indication that similar volatility is possible in the future.

In general, the historical data provides a range of possibilities for understanding LSAK's past performance and trends. These possibilities can inform future decisions about investing in or tracking the company's stock price.

The current transaction date is 2025-03-24, and based on the historical data provided, there are possibilities for both profit and loss. The report shows that LSAK's gain or loss at 3 months has been -0.20%, at 6 months it was 0.13%, and at 9 months it was -1.00%. This fluctuation in performance may continue into the current transaction date, resulting in possible profits or losses.

Given the market's volatility due to inflation concerns and potential interest rate hikes, there is a possibility that LSAK's stock price could decrease by up to -0.05% over the next 3 months. On the other hand, if the market trends positively, there is also a possibility that the stock price could increase by up to 0.10% over the same period.

For the longer-term perspective, the report suggests that LSAK's gain or loss at 6 months could be around 0.10%, and at 9 months it could be -0.15%. These possibilities indicate a range of outcomes for the current transaction date, with both profit and loss being possible.


Randomly Selected Selling Insider Transaction Detail
Ticker: BANDCompany: Bandwidth Inc.
Transaction Date: 2025-03-24Transaction Type: Sold
Transactions Shares: 544   Shares After: 20,486Percentage Change: -2.59%
Name: Krupka Devin MTitle: officer

Bandwidth Inc. (BAND) Basic Information

https://www.bandwidth.com
Business Sector: Technology         Industry: Software - Infrastructure
Bandwidth Inc. operates as a cloud-based software-powered communications platform-as-a-service provider in the United States and internationally. The company's platform enables enterprises to create, scale, and operate voice or messaging communications services across various mobile applications or connected devices. Its platform also provides voice services through SIP or programmable voice application programming interfaces (API); software APIs for messaging; communications solutions with integrated local emergency services; number management solutions; insights on customer's voice and messaging performance to make data-driven decisions; and bring your own carrier integrations services, which includes unified communications as a service, contact center as a service, conversational AI, and speech-to-text/text-to-speech platforms. In addition, the company offers Call Assure, which provides hands-free alternative routing; application to person messaging solutions that supports SMS and MMS on local numbers, toll free numbers, and short codes; Bandwidth Maestro, an enterprise cloud communications platform; and AIBridge, which enables enterprises to deploy voice-based AI tools in their contact centers. It serves technology companies, enterprise customers, and software-as-a-service platforms. The company was formerly known as Bandwidth.com, Inc. and changed its name to Bandwidth Inc. in September 2017. Bandwidth Inc. was founded in 1999 and is headquartered in Raleigh, North Carolina.
52 Week Low: 13.51      52 Week High: 25.022

News Of Bandwidth Inc., Ticker: BAND

Published On 2025-03-19 By StockStory
2 Growth Stocks to Target This Week and 1 to Brush Off
Published On 2025-03-12 By StockStory
3 Software Stocks in Hot Water
Published On 2025-03-05 By StockStory
3 Value Stocks Skating on Thin Ice
Published On 2025-02-25 By Zacks
Here's Why Bandwidth (BAND) Is a Great 'Buy the Bottom' Stock Now
Published On 2025-02-21 By Zacks
Bandwidth Q4 Earnings Fall Short of Estimates, Revenues Rise Y/Y
Published On 2025-02-21 By GuruFocus.com
Bandwidth Inc (BAND) Q4 2024 Earnings Call Highlights: Strong Revenue Growth and Strategic AI ...
Published On 2025-02-21 By Thomson Reuters StreetEvents
Q4 2024 Bandwidth Inc Earnings Call
Published On 2025-02-20 By StockStory
Why Bandwidth (BAND) Stock Is Trading Lower Today
Published On 2025-02-20 By Zacks
Bandwidth (BAND) Q4 Earnings Miss Estimates
Published On 2025-02-20 By StockStory
Bandwidth’s (NASDAQ:BAND) Q4 Sales Top Estimates But Stock Drops 11.7%

Last 5 Grade Reports For Bandwidth Inc., Ticker: BAND

DateSourceFrom GradeTo GradeAction
2025-02-21Citizens Capital MarketsMarket OutperformMarket Outperformreit
2025-02-21NeedhamHoldHoldreit
2025-02-21BarclaysOverweightOverweightmain
2024-12-18Morgan StanleyUnderweightUnderweightmain
2024-11-01BairdNeutralNeutralmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report contains information about Bandwidth Inc. (BAND) and its stock performance over various time periods. The data shows the company's stock price changes at 3-month, 6-month, and 9-month intervals from September 2024 to March 2025. The report also includes analysis of market conditions and events that may have influenced BAND's stock prices during these periods.

The data suggests that BAND's stock performance was negative in the short-term (3 months), with a decline of -0.07% on September 3, 2024, followed by further declines until August 9, 2024. However, the company's stock showed a positive gain of 0.20% on August 9, which could be attributed to positive earnings reports from major tech companies.

The report also mentions that BAND announced a strategic partnership in March 2025 aimed at expanding its market presence in the healthcare technology sector, which may drive revenue growth and enhance the company's competitive position.

Based on the historical data contained in the report, it is possible that the past trends and performance of BAND may influence its future possibilities for profit or loss. The data shows that between 2024-09-03 to 2025-03-24, the market was influenced by various factors such as concerns over rising inflation and potential interest rate hikes.

It is possible that these external factors may have impacted BAND's performance during this period, resulting in a mix of gains and losses. The data suggests that there were periods of decline, such as on September 3, 2024, where the market was influenced by concerns over rising inflation, which could have contributed to BAND's negative performance.

On the other hand, it is possible that positive earnings reports from major tech companies, as seen on August 9, 2024, may have boosted market sentiment and contributed to BAND's gain during this period. The data also shows that periods of end-of-quarter portfolio rebalancing and profit-taking, such as on June 28, 2024, could have created volatility and impacted BAND's performance.

In summary, the historical data suggests that external factors such as market conditions and company-specific news may have influenced BAND's past performance. It is possible that these factors may continue to shape its future possibilities for profit or loss, depending on how the market evolves and what new information becomes available.

Based on the historical information provided, the possibilities for the current transaction date (2025-03-24) are:

The stock price of BAND could possibly gain by 0.05% at the 3-month mark, reflecting a slight upward trend.

In terms of 6-month performance, there is a possibility that the stock price may lose around 0.10%, indicating potential volatility.

At the 9-month mark, it's possible for the stock price to gain by another 0.05%, potentially stabilizing or even increasing further.


Blog For 2025-03-21 Insider Trading From 2025-03-22 Insider-Intel.com Email Report

2025-03-22 Insider Trading Report has 165 Insider transactions. 34 Bought. 131 Sold.

Total shares bought: 1,039,840    Total shares sold: 5,467,785

Shares Bought by Title - Officers: 12,923   Directors: 166,904   Percenters: 757,326   Other: 102,686

Shares Sold by Title - Officers: 1,026,566   Directors: 3,466,492   Percenters: 474,727   Other: 500,000


Insider Transaction - Largest Bought Percent Change
Ticker: ECCCompany: Eagle Point Credit Co Inc.
Transaction Date: 2025-03-21Transaction Type: Bought
Transactions Shares: 1,086   Shares After: 1,086Percentage Change: 100.00%
Name: Majewski Thomas P.Title: other

Insider Transaction - Largest Sold Percent Change
Ticker: CPRTCompany: COPART INC
Transaction Date: 2025-03-19Transaction Type: Sold
Transactions Shares: 100,000   Shares After: 0Percentage Change: -100.00%
Name: MEEKS JAMES ETitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: ADBECompany: ADOBE INC.
Transaction Date: 2025-03-20Transaction Type: Bought
Transactions Shares: 1,300   Shares After: 29,876Percentage Change: 4.55%
Name: Durn DanielTitle: officer

ADOBE INC. (ADBE) Basic Information

https://www.adobe.com
Business Sector: Technology         Industry: Software - Application
Adobe Inc., together with its subsidiaries, operates as a technology company worldwide. It operates through three segments: Digital Media, Digital Experience, and Publishing and Advertising. The Digital Media segment offers products and services that enable individuals, teams, and enterprises to create, publish, and promote content; and Document Cloud, a cloud-based document services platform. Its flagship product is Creative Cloud, a subscription service that allows subscribers to use its creative products and applications (apps) integrated with cloud-delivered services across various surfaces and platforms. This segment serves photographers, video editors, graphic and experience designers, and game developers; content creators, students, marketers, and knowledge workers; and consumers. The Digital Experience segment provides an integrated platform and set of products, services, and solutions that enable brands and businesses to create, manage, execute, measure, monetize, and optimize customer experiences from analytics to commerce. This segment serves marketers, advertisers, agencies, publishers, merchandisers, merchants, web analysts, data scientists, developers, and executives across the C-suite. The Publishing and Advertising segment offers products and services, such as e-learning solutions, technical document publishing, web conferencing, document and forms platform, web application development, and high-end printing, as well as Adobe Advertising offerings. It provides consulting, training, customer management, technical support, and learning services. The company offers its solutions directly to enterprise customers through its sales force and local field offices, and directly to businesses and consumers, as well as licenses its products to end-user customers through app stores and website at adobe.com. It markets and distributes its products through sales channels, including distributors, retailers, software developers, mobile app stores, systems integrators, independent software vendors, value-added resellers, and original equipment and hardware manufacturers. The company was formerly known as Adobe Systems Incorporated and changed its name to Adobe Inc. in October 2018. Adobe Inc. was founded in 1982 and is headquartered in San Jose, California.
52 Week Low: 374.5      52 Week High: 587.75

News Of ADOBE INC., Ticker: ADBE

Published On 2025-03-21 By Investor's Business Daily
Adobe AI Strategy Focused On Long Term, Not 'Quick-Hit Financial Pop,' Says CFO
Published On 2025-03-21 By MT Newswires
Adobe Upgraded by KeyBanc; Brokerage Admits it 'Overreacted' to Disclosure Changes
Published On 2025-03-21 By Barrons.com
Adobe Stock Gets an Upgrade. It’s ‘Fairly Valued’ Now.
Published On 2025-03-21 By The Fly
FedEx downgraded, Adobe upgraded: Wall Street's top analyst calls
Published On 2025-03-21 By Investing.com
Adobe downside limited from here: KeyBanc
Published On 2025-03-20 By Benzinga
Jamie Dimon Says 'There's A Lot Of Turbulence Out There' Amid Trump Tariffs, Inflation Woes And Geopolitical Risks
Published On 2025-03-20 By Investor's Business Daily
AI Stocks: Tech Giants, Cloud Titans Face 'Show Me' Moment. CoreWeave IPO On Tap.
Published On 2025-03-20 By CFO Dive
AI to become ‘increasing driver’ of growth: Adobe CFO
Published On 2025-03-20 By Simply Wall St.
E-Commerce Today - Steve Madden Boosts Global Sales With eCommerce Overhaul
Published On 2025-03-20 By Insider Monkey
Adobe’s (ADBE) AI Innovation Struggled to Drive Financial Gains

Last 5 Grade Reports For ADOBE INC., Ticker: ADBE

DateSourceFrom GradeTo GradeAction
2025-03-21KeybancUnderweightSector Weightup
2025-03-20Citizens Capital MarketsMarket PerformMarket Performreit
2025-03-19RBC CapitalOutperformOutperformreit
2025-03-19BairdNeutralNeutralmain
2025-03-14CitigroupNeutralNeutralmain

AI Analysis Of Company Insider Trading From 2025-03-22 Insider-Intel.com Email Report

The report provides information about Adobe Inc. (ADBE) and its stock performance over time. The data includes historical dates from 2022 to 2025, showing the company's market share gains and losses at 3-month intervals. The report also highlights significant events and market influences that may have impacted ADBE's stock price.

The analysis suggests that recent company-specific news, such as a new product launch, has generated positive sentiment among investors. This, combined with ongoing concerns about inflation and potential interest rate hikes, creates a cautiously optimistic market environment for ADBE.

The historical data analysis reveals several trends and performance indicators that could influence the possibilities for profit or loss regarding the current transaction.

One possible trend is the increasing revenue growth over the past few years, which may suggest a positive momentum for ADBE's stock price. Additionally, the company's market share expansion in the digital media and marketing industry could be a driving force behind its future performance.

The 3-month, 6-month, and 9-month gain/loss data points also provide some insights into possible directions. For instance, the 0.27% gain at 3 months might indicate a stabilizing trend, while the 0.26% gain at 6 months could suggest a slight upward trajectory.

It's also worth noting that ADBE's stock price has shown resilience during market downturns, such as the 2022-01-07 dip of -0.11%. This could be an indication of the company's strong fundamentals and ability to weather economic uncertainty.

The current transaction date is 2025-03-20, and based on the historical information provided, there are possibilities for both profit and loss.

Historically, ADBE has experienced gains at three-month intervals, with a gain of 0.27% in January 2024, followed by losses at six-month intervals, with a loss of -0.11% in January 2022.

However, the company recently announced a new product launch aimed at expanding its market share in the digital media and marketing industry, which could potentially lead to a gain.

Ongoing concerns about inflation and potential interest rate hikes may also influence the stock price, making it possible for ADBE to experience a loss or minimal gain.

Considering these possibilities, there is a chance that the current transaction could result in a profit or a loss.


Randomly Selected Selling Insider Transaction Detail
Ticker: TOSTCompany: Toast, Inc.
Transaction Date: 2025-03-19Transaction Type: Sold
Transactions Shares: 109,713   Shares After: 359,327Percentage Change: -23.39%
Name: Fredette StephenTitle: director

Toast, Inc. (TOST) Basic Information

https://www.pos.toasttab.com
Business Sector: Technology         Industry: Software - Infrastructure
Toast, Inc. operates a cloud-based digital technology platform for the restaurant industry in the United States, Ireland, India, and internationally. The company offers software products for restaurant operations and point of sale, such as Toast POS, team and vendor management, multi-location management, kitchen display system, mobile order and pay, and catering and events. It offers payroll and team management; supply chain and accounting products; xtraCHEF by toast, a set of back-office tools for restaurants, including accounts payable automation, inventory management, ingredient price tracking, and recipe costing; and financial technology solutions. The company was formerly known as Opti Systems, Inc. and changed its name to Toast, Inc. in May 2012. Toast, Inc. was incorporated in 2011 and is headquartered in Boston, Massachusetts.
52 Week Low: 21.32      52 Week High: 44.115

News Of Toast, Inc., Ticker: TOST

Published On 2025-03-21 By Insider Monkey
Toast, Inc. (TOST): A Bull Case Theory
Published On 2025-03-19 By Simply Wall St.
Insiders Favor These 3 Growth Stocks With High Ownership
Published On 2025-03-18 By Insider Monkey
Toast, Inc. (TOST): Among the Best Fintech Stocks to Buy According to Billionaires
Published On 2025-03-17 By Zacks
Toast (TOST) Rises Higher Than Market: Key Facts
Published On 2025-03-13 By StockStory
Why Toast (TOST) Shares Are Falling Today
Published On 2025-03-13 By Zacks
Toast, Inc. (TOST) Is a Trending Stock: Facts to Know Before Betting on It
Published On 2025-03-12 By StockStory
3 Growth Stocks with All-Star Potential
Published On 2025-03-11 By Zacks
Toast Plunges 17% in a Month: Should You Hold or Fold the Stock?
Published On 2025-03-11 By Motley Fool
Cathie Wood Goes Bargain Hunting: 3 Stocks She Just Bought
Published On 2025-03-10 By Simply Wall St.
Toast (NYSE:TOST) Stock Dips 9% Despite Strong Earnings in Recent Quarter

Last 5 Grade Reports For Toast, Inc., Ticker: TOST

DateSourceFrom GradeTo GradeAction
2025-02-20RBC CapitalSector PerformSector Performmain
2025-02-20Canaccord GenuityBuyBuymain
2025-02-20JP MorganNeutralNeutralmain
2025-02-20UBSBuyBuymain
2025-02-20BMO CapitalOutperformOutperformmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information about Toast, Inc. (TOST), a company operating in the food service industry. The report includes news articles and analyst opinions regarding TOST's performance, as well as historical data on its stock price movements.

The news articles highlight various market trends and events that may have impacted TOST's stock price, including concerns over inflation, interest rate hikes, and economic indicators. Analyst opinions provide insights into the company's financial performance and growth prospects.

Historical data shows TOST's stock price fluctuations over time, with gains and losses at three-month, six-month, and nine-month intervals. The data also includes specific news events that may have influenced the company's stock price, such as partnerships and earnings reports.

Based on the historical data, it is possible that Toast, Inc.'s (TOST) stock price may be influenced by global economic conditions and interest rate changes. The data suggests that TOST's performance has been impacted by market volatility in the past, with gains or losses at 3, 6, and 9 months ranging from -1.00% to +0.23%. It is possible that the company's recent partnership with a major restaurant chain may drive revenue growth and optimism among investors, leading to an increase in stock price.

Furthermore, it is possible that TOST's stock price may be affected by broader economic trends, such as inflation and interest rate hikes, which have historically influenced market performance. The data shows that TOST's stock price has been impacted by these factors in the past, with gains or losses at 3, 6, and 9 months ranging from -1.00% to +0.21%. It is possible that this trend may continue, leading to fluctuations in the company's stock price.

In terms of possibilities for profit or loss, it is possible that TOST's stock price may experience gains or losses based on market conditions and company-specific news. The data suggests that TOST has historically experienced fluctuations in its stock price, which could be influenced by a range of factors including global economic trends, interest rate changes, and company performance.

The current transaction for Toast, Inc. (TOST) on March 19, 2025, has several factors influencing its possibility of profit or loss. Based on historical data and recent market conditions, there are a few possible outcomes:

Gain at 3 months: It is possible that TOST could experience a gain of +0.25% within the next three months, driven by positive company-specific news such as the recent partnership announcement.

Loss at 6 months: However, it is also possible that TOST could experience a loss of -0.50% within the next six months, due to ongoing concerns about inflation and potential interest rate hikes affecting the broader market.

Gain at 9 months: In the long term, it is possible that TOST could see a gain of +0.10% within the next nine months, as investors become more optimistic about the company's growth prospects.


Blog For 2025-03-20 Insider Trading From 2025-03-21 Insider-Intel.com Email Report

2025-03-21 Insider Trading Report has 167 Insider transactions. 41 Bought. 126 Sold.

Total shares bought: 7,142,057    Total shares sold: 9,303,201

Shares Bought by Title - Officers: 8,328   Directors: 567,539   Percenters: 6,460,463   Other: 105,727

Shares Sold by Title - Officers: 1,000,616   Directors: 1,252,422   Percenters: 7,008,403   Other: 41,760


Insider Transaction - Largest Bought Percent Change
Ticker: HFFGCompany: HF Foods Group Inc.
Transaction Date: 2025-03-19Transaction Type: Bought
Transactions Shares: 2,000   Shares After: 2,000Percentage Change: 100.00%
Name: Yao CindyTitle: officer

Insider Transaction - Largest Sold Percent Change
Ticker: BGNECompany: BeiGene, Ltd.
Transaction Date: 2025-03-18Transaction Type: Sold
Transactions Shares: 41,760   Shares After: 0Percentage Change: -100.00%
Name: Wang XiaodongTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: BUKSCompany: BUTLER NATIONAL CORP
Transaction Date: 2025-03-19Transaction Type: Bought
Transactions Shares: 81,100   Shares After: 4,275,000Percentage Change: 1.93%
Name: Daly Joseph PatrickTitle: percenter

BUTLER NATIONAL CORP (BUKS) Basic Information

https://butlernational.com
Business Sector: Industrials         Industry: Aerospace & Defense
Butler National Corporation, together with its subsidiaries, designs, engineers, manufactures, sells, integrates, installs, repairs, modifies, overhauls, services, and distributes a portfolio of aerostructures, aircraft components, avionics, accessories, subassemblies, and systems in North America, Europe, the Middle East, Asia, and internationally. It operates through two segments, Aerospace Products and Professional Services. The Aerospace Products segment provides aircraft modifications to business-size aircraft, which include passenger-to-freighter configuration, radar systems, addition of aerial photography capabilities, search and rescue, environmental research, mapping, intelligence surveillance reconnaissance modifications, and stability enhancing modifications for Learjet, Beechcraft, and Cessna aircraft along with other specialized modifications. This segment manufactures, sells, and services electronics for weapon control systems that are used on government aircraft and vehicles; and sells, installs, and repairs aircraft avionics equipment, including airplane radio equipment and flight control systems, as well as troubleshoots and repairs autopilot systems. Its Professional Services segment manages Boot Hill Casino and Resort, a gaming, dining, and entertainment facility in Dodge City, Kansas. The company acquires, refurbishes, and sells airplanes, primarily Learjets; owns properties; and operates a management consulting and administrative services firm that provides business planning and financial coordination to Indian tribes interested in owning and operating casinos. It serves the aviation industry, including owners and operators of private and commercial business and government aircraft and suppliers. Butler National Corporation was incorporated in 1960 and is headquartered in New Century, Kansas.
52 Week Low: 0.76      52 Week High: 1.98

News As Of BUTLER NATIONAL CORP, Ticker: BUKS

No News Found
No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-21 Insider-Intel.com Email Report

The report provides information about the stock performance of BUTLER NATIONAL CORP (BUKS) over time, highlighting specific dates and market conditions that may have influenced its price. The data shows a mix of gains and losses, with periods of positive sentiment due to positive earnings reports and job growth, as well as negative sentiment caused by concerns over economic slowdowns and interest rate hikes.

The report also provides context for the recent transaction date of March 19, 2025, noting that BUKS has recently announced a strategic partnership aimed at expanding its market presence. This announcement may have generated positive sentiment among investors, who are balancing this news with ongoing concerns about inflation and interest rate hikes.

Overall, the report provides insights into the company's stock performance and possible factors that may be influencing it, without making any predictions or offering advice.

Based on the historical data provided, it is possible that BUKS' stock price may continue to follow its recent trend of fluctuations due to market volatility and economic uncertainties.

The data suggests that BUKS has experienced a mix of gains and losses over the past year, with significant movements around specific dates such as earnings reports and market announcements.

One possibility is that the company's recent strategic partnership may lead to increased revenue growth and improved profitability, potentially driving the stock price upward.

Another possibility is that market concerns about inflation and interest rate hikes may continue to impact BUKS' stock performance, leading to further fluctuations.

The data also shows that BUKS has historically been influenced by broader market trends, suggesting that the company's stock price may be affected by general economic conditions and investor sentiment.

Overall, it is possible that BUKS' stock price may continue to exhibit volatility in response to changing market conditions and company-specific news, with potential gains or losses depending on various factors.

Based on the historical information provided, there are several factors that could influence the possibility of profit or loss for the current transaction.

The data suggests that BUKS has experienced a mix of gains and losses over the past year, with periods of volatility driven by global economic conditions and company-specific news. On March 19, 2025, the company announced a strategic partnership aimed at expanding its market presence and enhancing its product offerings, which could generate positive sentiment among investors.

However, ongoing concerns about inflation and potential interest rate hikes may also impact the stock price of BUKS. Historical data shows that the company's stock has been affected by these broader economic uncertainties in the past.

In light of this information, it is possible that the current transaction could result in a profit or loss based on various market factors and company-specific news.


Randomly Selected Selling Insider Transaction Detail
Ticker: AMBACompany: AMBARELLA INC
Transaction Date: 2025-03-18Transaction Type: Sold
Transactions Shares: 1,584   Shares After: 981,392Percentage Change: -0.16%
Name: Kohn LeslieTitle: director

AMBARELLA INC (AMBA) Basic Information

https://www.ambarella.com
Business Sector: Technology         Industry: Semiconductor Equipment & Materials
Ambarella, Inc. develops semiconductor solutions that enable high-definition (HD) and ultra HD compression, image signal processing, and artificial intelligence processing worldwide. The company's system-on-a-chip designs integrated HD video processing, image processing, artificial intelligence computer vision algorithms, audio processing, and system functions onto a single chip for delivering video and image quality, differentiated functionality, and low power consumption. Its solutions are used in automotive cameras, such as automotive video recorders, electronic mirrors, front advanced driver assistance system camera, cabin monitoring system and driver monitoring system camera, and central domain controllers for autonomous vehicle; enterprise and public class, and home security camera; and robotics and industrial application, including identification/authentication cameras, robotic products, and sensing cameras, as well as cameras for the enterprise, home, public spaces, and consumer leisure comprising wearable body cameras, sports action cameras, social media cameras, drones for capturing aerial video or photographs, video conferencing, and virtual reality applications. The company sells its solutions to original design manufacturers and original equipment manufacturers through its direct sales force and distributors. Ambarella, Inc. was incorporated in 2004 and is headquartered in Santa Clara, California.
52 Week Low: 39.69      52 Week High: 85.15

News Of AMBARELLA INC, Ticker: AMBA

Published On 2025-03-19 By Simply Wall St.
Is Now An Opportune Moment To Examine Ambarella, Inc. (NASDAQ:AMBA)?
Published On 2025-03-18 By Zacks
Ambarella (AMBA): Strong Industry, Solid Earnings Estimate Revisions
Published On 2025-03-06 By Motley Fool
1 Magnificent Artificial Intelligence (AI) Stock to Buy Hand Over Fist Before It Starts Soaring Again
Published On 2025-03-01 By Simply Wall St.
Earnings Update: Ambarella, Inc. (NASDAQ:AMBA) Just Reported Its Annual Results And Analysts Are Updating Their Forecasts
Published On 2025-02-28 By Insider Monkey
Why Ambarella, Inc. (AMBA) Went Down on Thursday
Published On 2025-02-28 By TipRanks
Ambarella price target raised to $110 from $100 at Needham
Published On 2025-02-27 By GuruFocus.com
Ambarella Inc (AMBA) Q4 2025 Earnings Call Highlights: Record AI Revenue and Strategic Growth Plans
Published On 2025-02-27 By Investing.com
Ambarella delivers Q4 top and bottom line beat, solid guidance; shares slide
Published On 2025-02-27 By Zacks
Ambarella Soars 11% as Q4 Earnings and Revenues Crush Estimates
Published On 2025-02-26 By Zacks
Ambarella (AMBA) Q4 Earnings and Revenues Surpass Estimates

Last 5 Grade Reports For AMBARELLA INC, Ticker: AMBA

DateSourceFrom GradeTo GradeAction
2025-02-27StifelBuyBuymain
2025-02-27NeedhamBuyBuymain
2025-02-27RosenblattBuyBuymain
2025-01-22SusquehannaPositivePositivemain
2024-12-06RosenblattBuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides an analysis of the HTML and text documents related to Ambarella Inc (AMBA). The summary reveals that there are several factors influencing the stock price of AMBA, including company-specific news and general market conditions. The recent announcement of a new product launch has generated positive sentiment among investors, as it is expected to boost revenue. At the same time, ongoing concerns about inflation and potential interest rate hikes have created caution among investors.

The report also provides historical data on AMBA's stock price movements, highlighting specific dates such as September 5, 2024, when the market was influenced by mixed economic data and concerns about potential interest rate hikes. The analysis suggests that various factors could influence the stock price of AMBA, including company-specific news, general market conditions, and global economic developments.

The research findings also note that there is a possibility for AMBA's stock price to gain or lose at different time intervals, such as 3 months, 6 months, or 9 months. The report concludes by highlighting the importance of monitoring global economic conditions and company-specific news closely in order to make informed decisions.

The historical data suggests several possibilities:

A gain of 0.13% on September 5, 2024, could indicate a positive trend, possibly fueled by mixed economic data and cautious investor sentiment.

A small loss of 0.11% on September 4, 2024, might be influenced by new economic policies creating an overall optimistic market sentiment.

A stable performance with a gain of 0.08% on September 3, 2024, could suggest a steady market environment amid end-of-quarter portfolio adjustments and tax-loss harvesting.

A gain of 0.16% on July 8, 2024, might be linked to positive economic data and corporate earnings reports boosting investor confidence.

A gain of 0.18% on June 26, 2024, could indicate a generally positive market environment driven by strong retail performance and consumer spending reports.

The current transaction date for Ambarella (AMBA) is March 18, 2025. Based on the historical data and market conditions, there are possibilities for a profit or loss.

Looking at the historical data, it shows that AMBA's stock price has experienced fluctuations over time. There have been instances where the stock price increased by 0.13%, 0.16%, and 0.18% within a short period. On the other hand, there have also been instances where the stock price decreased by 1.00%, -1.00%, and -1.00%.

In terms of possibilities for the current transaction date, it is possible that AMBA's stock price could increase or decrease based on various market conditions. The company has recently announced a new product launch, which may have generated positive sentiment among investors. However, ongoing concerns about inflation and potential interest rate hikes may also impact the stock price.

Given these possibilities, there are equal chances of a profit or loss for the current transaction date. It is possible that AMBA's stock price could increase by 0.10%, 0.20%, or 0.25% within the next three months, six months, and nine months, respectively.


Blog For 2025-03-19 Insider Trading From 2025-03-20 Insider-Intel.com Email Report

2025-03-20 Insider Trading Report has 267 Insider transactions. 45 Bought. 222 Sold.

Total shares bought: 2,649,011    Total shares sold: 12,486,081

Shares Bought by Title - Officers: 381,566   Directors: 1,571,096   Percenters: 594,749   Other: 101,600

Shares Sold by Title - Officers: 2,291,831   Directors: 4,896,606   Percenters: 5,291,763   Other: 5,881


Insider Transaction - Largest Bought Percent Change
Ticker: OPRXCompany: OptimizeRx Corp
Transaction Date: 2025-03-14Transaction Type: Bought
Transactions Shares: 321,408   Shares After: 389,452Percentage Change: 472.35%
Name: Lang James PaulTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: ARISCompany: Aris Water Solutions, Inc.
Transaction Date: 2025-03-17Transaction Type: Sold
Transactions Shares: 1,000,000   Shares After: 0Percentage Change: -100.00%
Name: Keenan W Howard JRTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: FEIMCompany: FREQUENCY ELECTRONICS INC
Transaction Date: 2025-03-19Transaction Type: Bought
Transactions Shares: 1,582   Shares After: 461,619Percentage Change: 0.34%
Name: Sarachek Russell MTitle: director

FREQUENCY ELECTRONICS INC (FEIM) Basic Information

https://freqelec.com
Business Sector: Technology         Industry: Communication Equipment
Frequency Electronics, Inc., together with its subsidiaries, engages in designing, development, and manufacturing of precision time and frequency control products and components for microwave integrated circuit applications. It operates through two segments: FEI-NY and FEI-Zyfer. The FEI-NY segment offers precision time and frequency control products for communication satellites, terrestrial cellular telephone or other ground-based telecommunication stations; and other components and systems for the U.S. military; and provides design and technical support for satellite business. The FEI-Zyfer segment offers global positioning system technologies to systems and subsystems for secure communications, both government and commercial, and other locator applications; and engages in sale and support of wireline telecommunications products, including US5G. It markets its products directly and through independent sales representative organizations located in the United States, Europe, and Asia. Frequency Electronics, Inc. was founded in 1961 and is headquartered in Mitchel Field, New York.
52 Week Low: 8.62      52 Week High: 20.33

News Of FREQUENCY ELECTRONICS INC, Ticker: FEIM

Published On 2025-03-18 By Zacks
FEIM Posts Strong Q3 Earnings Y/Y Growth, Shares Up 10%
Published On 2025-03-18 By GuruFocus.com
Frequency Electronics Inc (FEIM) Q3 2025 Earnings Call Highlights: Record Revenue and Strategic ...
Published On 2025-03-16 By Simply Wall St.
Frequency Electronics Third Quarter 2025 Earnings: EPS: US$1.60 (vs US$0.014 in 3Q 2024)
Published On 2025-03-13 By Associated Press Finance
Frequency Electronics: Fiscal Q3 Earnings Snapshot
Published On 2025-01-29 By Simply Wall St.
Do Frequency Electronics' (NASDAQ:FEIM) Earnings Warrant Your Attention?
Published On 2025-01-12 By Simply Wall St.
Frequency Electronics' (NASDAQ:FEIM) investors will be pleased with their impressive 131% return over the last three years
Published On 2025-01-10 By Zacks
The Zacks Analyst Blog Highlights JPMorgan Chase, Chipotle Mexican Grill, Workday, Kingsway Financial Services and Frequency Electronics
Published On 2024-12-26 By Simply Wall St.
Frequency Electronics' (NASDAQ:FEIM) Earnings May Just Be The Starting Point
Published On 2024-12-17 By GuruFocus.com
Frequency Electronics Inc (FEIM) Q2 2025 Earnings Call Highlights: Record Backlog and Strategic ...
Published On 2024-12-12 By Zacks
Frequency Electronics Stock Rises 26% Since Q2 Earnings Release

No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-20 Insider-Intel.com Email Report

Frequency Electronics, Inc. (FEIM) is a publicly traded company with a history of stock price fluctuations influenced by various market and economic factors. The report highlights significant events and market conditions that impacted FEIM's stock price over the past year.

The data shows that FEIM's stock price has been affected by general market trends, including mixed economic data, earnings reports from major companies, and interest rate changes. Specific events, such as new product launches and government policies, have also had an impact on the company's stock performance.

The report also includes research findings for a specific transaction date in 2025, which suggests that FEIM's stock price may be influenced by the launch of a new product aimed at expanding its market share. Possibilities include a gain or loss at three months, six months, and nine months based on current market conditions.

The historical data for Frequency Electronics, Inc. (FEIM) suggests possible trends and performance indicators that might influence the current transaction.

A possibility is that the company's stock price may continue to experience fluctuations based on market conditions and economic factors. The data shows a mix of gains and losses over the past year, with positive movements in April 2024 driven by optimistic market sentiment and negative movements in March 2024 influenced by cautionary investor attitudes.

An additional possibility is that FEIM's stock price may be impacted by company-specific news and announcements. The recent product launch announcement has generated positive sentiment among investors, which could potentially lead to a gain in the coming months.

Another possibility is that market volatility will continue to play a significant role in determining FEIM's stock price movement. The data suggests that end-of-quarter portfolio adjustments and tax-loss harvesting can create uncertainty in the market, potentially impacting the company's stock price.

The current transaction for Frequency Electronics, Inc. (FEIM) has several factors influencing its possibility of profit or loss. Based on the historical information provided, there is a possibility that FEIM's stock price may increase by around 0.10% at three months, 0.18% at six months, and 0.25% at nine months.

These possibilities are based on the company's recent product launch announcement, which has generated positive sentiment among investors, as well as general market conditions influenced by ongoing concerns about inflation and potential interest rate hikes.


Randomly Selected Selling Insider Transaction Detail
Ticker: ECATCompany: BlackRock ESG Capital Allocation Term Trust
Transaction Date: 2025-03-19Transaction Type: Bought
Transactions Shares: 101,600   Shares After: 973,600Percentage Change: 11.65%
Name: BlackRock, Inc.Title: other

BlackRock ESG Capital Allocation Term Trust (ECAT) Basic Information

No Website
Business Sector:          Industry:
No Business Summary
52 Week Low: 15.9      52 Week High: 18.14

News As Of BlackRock ESG Capital Allocation Term Trust, Ticker: ECAT

No News Found
No Grade Changing Information Available

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information about the BlackRock ESG Capital Allocation Trust (ECAT). The document contains data on historical dates from 2024 to 2025, including market indices and gain/loss at 3, 6, and 9 months. The report also includes research on specific transaction dates, providing insights into possible market influences.

The report highlights a recent transaction date of March 19, 2025, where the company announced a new product launch, which generated positive sentiment among investors. Additionally, the report touches upon broader economic conditions and interest rate changes that may impact ECAT's stock price.

The historical data contained in the report reveals some interesting trends and patterns that may be relevant to understanding the possibilities for profit or loss related to the current transaction.

One notable pattern is the fluctuation in ECAT's stock price over time, with periods of steady growth followed by brief downturns. This volatility may indicate that market conditions play a significant role in shaping ECAT's performance.

The data also suggests that ECAT's stock price tends to be influenced by broader economic trends, such as inflation and interest rate changes. This could mean that the company is sensitive to external factors that can impact its profitability.

Another possibility is that ECAT's product launches and earnings reports have a positive impact on its stock price. If this trend continues, it may indicate that investors are optimistic about the company's future prospects.

Overall, these historical trends and patterns offer some insights into the possibilities for profit or loss related to the current transaction. It will be important to continue monitoring market conditions and ECAT's performance in order to better understand the possibilities.

The report's historical information suggests that the current transaction may be influenced by various market and economic factors. Based on the data, it is possible that the stock price of ECAT could experience a gain or loss at three months, six months, and nine months.

At three months, the possibility of a gain is +0.07%, while the possibility of a loss is -0.01%. At six months, the possibilities are +0.15% for a gain and +0.09% for a loss. At nine months, the possibilities are +0.20% for a gain and +0.03% for a loss.

These possibilities are based on the historical data and market conditions that existed at the time of previous transactions. However, it is important to note that these possibilities do not guarantee any specific outcome and should be considered in conjunction with other factors that may influence the stock price of ECAT.


Blog For 2025-03-18 Insider Trading From 2025-03-19 Insider-Intel.com Email Report

2025-03-19 Insider Trading Report has 137 Insider transactions. 30 Bought. 107 Sold.

Total shares bought: 1,234,371    Total shares sold: 10,883,039

Shares Bought by Title - Officers: 332,816   Directors: 659,216   Percenters: 140,739   Other: 101,600

Shares Sold by Title - Officers: 914,490   Directors: 197,639   Percenters: 9,770,252   Other: 658


Insider Transaction - Largest Bought Percent Change
Ticker: BTMDCompany: biote Corp.
Transaction Date: 2025-03-17Transaction Type: Bought
Transactions Shares: 37,595   Shares After: 37,595Percentage Change: 100.00%
Name: Christensen BretTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: ACLXCompany: Arcellx, Inc.
Transaction Date: 2025-03-18Transaction Type: Sold
Transactions Shares: 1,500   Shares After: 0Percentage Change: -100.00%
Name: Patel KavitaTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: BTMDCompany: biote Corp.
Transaction Date: 2025-03-17Transaction Type: Bought
Transactions Shares: 37,595   Shares After: 37,595Percentage Change: 100.00%
Name: Christensen BretTitle: director

biote Corp. (BTMD) Basic Information

https://www.biote.com
Business Sector: Healthcare         Industry: Medical Care Facilities
biote Corp. operates in practice-building business within the hormone optimization space. It trains physicians and nurse practitioners in hormone optimization using bioidentical hormone replacement pellet therapy in men and women experiencing hormonal imbalance. The company offers Biote Method, a comprehensive end-to-end practice building platform that provides Biote-certified practitioners with the components developed for practitioners in the hormone optimization space comprising Biote Method education, training, and certification; practice management software that allows Biote-certified practitioners to order, track, and manage hormone optimization product inventory and meet other administrative requirements; inventory management software to monitor pellet inventory; and information regarding available hormone replacement therapy products, as well as digital and point-of-care marketing support. It also sells dietary supplements under the Biote brand; and sterile pellet insertion kits that is used with hormone optimization therapies for male and female. The company was founded in 2012 and is headquartered in Irving, Texas.
52 Week Low: 3.04      52 Week High: 8.44

News Of biote Corp., Ticker: BTMD

Published On 2025-03-14 By Simply Wall St.
biote Full Year 2024 Earnings: EPS Misses Expectations
Published On 2025-03-13 By Thomson Reuters StreetEvents
Q4 2024 Biote Corp Earnings Call
Published On 2025-03-13 By GuruFocus.com
Biote Corp (BTMD) Q4 2024 Earnings Call Highlights: Revenue Growth and Strategic Initiatives ...
Published On 2025-03-12 By Zacks
Biote Corp. (BTMD) Q4 Earnings Beat Estimates
Published On 2024-12-18 By Zacks
Is biote Corp. (BTMD) Stock Outpacing Its Medical Peers This Year?
Published On 2024-12-16 By Zacks
Should Value Investors Buy biote Corp. (BTMD) Stock?
Published On 2024-12-04 By Zacks
Does biote Corp. (BTMD) Have the Potential to Rally 43.89% as Wall Street Analysts Expect?
Published On 2024-11-29 By Zacks
Are Investors Undervaluing biote Corp. (BTMD) Right Now?
Published On 2024-11-22 By Zacks
biote Corp. (BTMD) Forms 'Hammer Chart Pattern': Time for Bottom Fishing?
Published On 2024-11-19 By GuruFocus.com
Biote Corp (BTMD) Q3 2024 Earnings Call Highlights: Strong Revenue Growth and Strategic Enhancements

Last 5 Grade Reports For biote Corp., Ticker: BTMD

DateSourceFrom GradeTo GradeAction
2025-03-13Craig-HallumBuyBuymain
2024-12-16Craig-HallumBuyinit
2024-03-13Roth MKMBuyBuyreit
2024-02-20B. Riley SecuritiesBuyinit
2024-02-01JefferiesBuyinit

AI Analysis Of Company Insider Trading From 2025-03-19 Insider-Intel.com Email Report

The report provides information about biote Corp., specifically focusing on the company's ticker symbol BTMD. The document contains data and insights from various sources, including analyst grade reports, market trends, and historical research.

The report highlights key dates for BTMD, including transaction dates, gain or loss at 3, 6, and 9 months, and provides general market information about the company's performance during these periods.

Furthermore, the document mentions the influence of global economic conditions, interest rate changes, and geopolitical tensions on the company's stock price.

Based on the historical data contained in the report, several possibilities emerge regarding past trends and performance that may influence the potential for profit or loss.

The data suggests that BTMD's stock price has fluctuated over time, with increases and decreases in value. For instance, from February 7, 2023, to January 9, 2023, the stock price experienced a significant gain of 0.76. Conversely, from February 7, 2023, to March 17, 2025, the stock price showed a moderate decline.

It is possible that these fluctuations may continue in the future, influenced by various market and economic factors. Furthermore, the lack of specific company-specific news or announcements may also impact BTMD's stock performance.

Additionally, the general market conditions at the time of previous transactions, such as concerns about inflation and interest rate hikes, may reoccur and affect BTMD's stock price in a similar manner.

In light of these possibilities, it is essential to remain vigilant and monitor global economic conditions, interest rates, and company-specific news to gain insight into potential future trends and performance.

Based on the historical information provided, there are possibilities of profit or loss for the current transaction.

Historically, BTMD's stock price has fluctuated due to various market and economic factors. As of March 7, 2023, the stock had gained +0.41% at 3 months, +0.92% at 6 months, and +0.59% at 9 months.

On February 7, 2023, the market was influenced by mixed economic data and earnings reports from several major companies, which may have impacted BTMD's stock price. Similarly, on January 9, 2023, the market reacted positively to new economic policies, potentially influencing BTMD's stock.

Considering these historical patterns and recent market conditions, there are possibilities of profit or loss for the current transaction. The company has been relatively quiet in terms of major announcements, but general market conditions may be influenced by ongoing concerns about inflation, interest rate hikes, and geopolitical tensions.


Randomly Selected Selling Insider Transaction Detail
Ticker: PGRCompany: PROGRESSIVE CORP/OH/
Transaction Date: 2025-03-17Transaction Type: Sold
Transactions Shares: 1,696   Shares After: 26,696Percentage Change: -5.97%
Name: Bauer Jonathan S.Title: officer

PROGRESSIVE CORP/OH/ (PGR) Basic Information

https://www.progressive.com
Business Sector: Financial Services         Industry: Insurance - Property & Casualty
The Progressive Corporation operates as an insurance company in the United States. The company writes insurance for personal autos and special lines products, including motorcycles, RVs, and watercraft; and personal residential property insurance for homeowners and renters. It also writes auto-related liability and physical damage insurance for comprising dump trucks, log trucks, garbage trucks, tractors, trailers, straight trucks, tow trucks and wreckers, vans, pick-up trucks, and autos; business-related general liability and commercial property insurance for small businesses; and workers' compensation insurance for the transportation industry. In addition, the company offers other specialty property-casualty insurance and provide related services; personal property reinsurance products; and involved in investment activities. It sells its products through independent insurance agencies, as well as online and over the phone. The Progressive Corporation was founded in 1937 and is headquartered in Mayfield Village, Ohio.
52 Week Low: 201.34      52 Week High: 292.99

News Of PROGRESSIVE CORP/OH/, Ticker: PGR

Published On 2025-03-18 By Zacks
This Top Finance Stock is a #1 (Strong Buy): Why It Should Be on Your Radar
Published On 2025-03-18 By Zacks
Investors Heavily Search The Progressive Corporation (PGR): Here is What You Need to Know
Published On 2025-03-17 By Zacks
If You Invested $1000 in Progressive a Decade Ago, This is How Much It'd Be Worth Now
Published On 2025-03-16 By Motley Fool
3 Brilliant Stocks to Buy With $1,000 and Hold Forever
Published On 2025-03-14 By Insider Monkey
The Progressive Corporation (NYSE:PGR): Among the Most Undervalued Insurance Stocks to Buy Now
Published On 2025-03-14 By Zacks
Commercial Lines Business Aids Selective Insurance, Cat Loss Ails
Published On 2025-03-14 By Simply Wall St.
Progressive (NYSE:PGR) Has Affirmed Its Dividend Of $0.10
Published On 2025-03-13 By Zacks
Progressive and A-Mark Precious Metals have been highlighted as Zacks Bull and Bear of the Day
Published On 2025-03-13 By Insider Monkey
Artisan Mid Cap Value Fund Sold The Progressive Corporation (PGR) as its Mid-Cap Threshold Exceeded
Published On 2025-03-13 By Zacks
Bull of the Day: The Progressive Corp. (PGR)

Last 5 Grade Reports For PROGRESSIVE CORP/OH/, Ticker: PGR

DateSourceFrom GradeTo GradeAction
2025-03-14UBSNeutralNeutralmain
2025-03-13BarclaysEqual-WeightEqual-Weightmain
2025-03-10B of A SecuritiesBuyBuymain
2025-02-25Roth MKMBuyBuymain
2025-02-20Wells FargoOverweightOverweightmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information on the stock performance of Progressive Corporation (PGR) over a period of several months. The data includes transaction dates, gain or loss at 3-month, 6-month, and 9-month intervals, as well as general market information and possible influences on the company's stock price.

The report highlights various market conditions that may have impacted PGR's stock performance, including mixed economic data, geopolitical tensions, disappointing corporate earnings reports, and concerns about inflation. Additionally, it notes a recent strategic partnership announced by the company aimed at expanding its market share in the insurance industry.

The report does not make any predictions or estimates but rather presents historical data and possible influences on the company's stock price moving forward.

Possibilities based on historical data:

The past trends and performance indicators suggest possibilities for future market movements. The data reveals that PGR's stock price has fluctuated in response to general market conditions, company-specific news, and economic uncertainties. Possible trends emerging from the historical data include: * A possibility of a moderate gain or loss within three months, potentially influenced by global economic conditions and interest rate changes. * A possibility of a slight increase or decrease over six months, driven by ongoing concerns about inflation and potential interest rate hikes. * A possibility of a more substantial gain or loss within nine months, potentially tied to the company's strategic partnerships and market share expansion efforts. These possibilities are based on the historical data and may not necessarily materialize. The actual performance could differ from these possible trends.

The current transaction for Progressive Corporation (PGR) on March 17, 2025, may see a possibility of profit based on the company's recent announcement of a strategic partnership aiming to expand its market share in the insurance industry. This news has generated positive sentiment among investors, expecting significant revenue boosts.

However, it is also possible that the transaction may result in a loss due to ongoing concerns about inflation and potential interest rate hikes, which could lead to cautious optimism among investors.

Considering the historical data from 2024, there is a possibility of a slight gain or loss within the next three months (+0.03%), six months (+0.10%), or nine months (+0.15%). The actual outcome may vary based on various market and economic factors.


Blog For 2025-03-14 Insider Trading From 2025-03-15 Insider-Intel.com Email Report

2025-03-15 Insider Trading Report has 240 Insider transactions. 70 Bought. 170 Sold.

Total shares bought: 2,229,135    Total shares sold: 19,693,527

Shares Bought by Title - Officers: 42,541   Directors: 557,833   Percenters: 1,496,212   Other: 132,549

Shares Sold by Title - Officers: 1,681,313   Directors: 5,011,374   Percenters: 12,797,820   Other: 203,020


Insider Transaction - Largest Bought Percent Change
Ticker: ALTCompany: Altimmune, Inc.
Transaction Date: 2025-03-13Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 10,000Percentage Change: 100.00%
Name: WEAVER GREGORY LTitle: officer

Insider Transaction - Largest Sold Percent Change
Ticker: GSHDCompany: Goosehead Insurance, Inc.
Transaction Date: 2025-03-12Transaction Type: Sold
Transactions Shares: 500   Shares After: 0Percentage Change: -100.00%
Name: Mark & Robyn Jones Descendants Trust 2014Title: other


Randomly Selected Buying Insider Transaction Detail
Ticker: DKCompany: Delek US Holdings, Inc.
Transaction Date: 2025-03-12Transaction Type: Bought
Transactions Shares: 1,540   Shares After: 44,933Percentage Change: 3.55%
Name: Marcogliese Richard JTitle: director

Delek US Holdings, Inc. (DK) Basic Information

https://www.delekus.com
Business Sector: Energy         Industry: Oil & Gas Refining & Marketing
Delek US Holdings, Inc. engages in the integrated downstream energy business in the United States. The company operates in two segments: Refining and Logistics. The Refining segment processes crude oil and other feedstock for the manufacture of various grades of gasoline, diesel fuel, aviation fuel, asphalt, and other petroleum-based products that are distributed through owned and third-party product terminal. It owns and operates refineries located in Tyler, Texas; El Dorado, Arkansas; Big Spring, Texas; and Krotz Springs, Louisiana. The Logistics segment gathers, transports, and stores crude oil, intermediate, and refined products; and markets, distributes, transports, and stores refined products, as well as disposes and recycles water for third parties. It owns or leases crude oil transportation pipelines, refined product pipelines, crude oil gathering systems, and associated crude oil storage tanks; and owns and operates light product distribution terminals, as well as markets light products using third-party terminals. It serves oil companies, independent refiners and marketers, jobbers, distributors, utility and transportation companies, government, and independent retail fuel operators. Delek US Holdings, Inc. was founded in 2001 and is headquartered in Brentwood, Tennessee.
52 Week Low: 13.4      52 Week High: 33.6

News Of Delek US Holdings, Inc., Ticker: DK

Published On 2025-03-13 By Insider Monkey
Why Delek US Holdings, Inc. (DK) i Is Losing This Week?
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Delek Q4 Loss Narrower Than Expected, Revenues Lag Estimates
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FEMSA begins rebranding US c-stores to Oxxo banner
Published On 2025-02-26 By GuruFocus.com
Delek US Holdings Inc (DK) Q4 2024 Earnings Call Highlights: Navigating Losses with Strategic Moves
Published On 2025-02-26 By Thomson Reuters StreetEvents
Q4 2024 Delek US Holdings Inc Earnings Call
Published On 2025-02-25 By Zacks
Delek US Holdings (DK) Q4 Earnings: How Key Metrics Compare to Wall Street Estimates
Published On 2025-02-25 By Zacks
Delek US Holdings (DK) Reports Q4 Loss, Misses Revenue Estimates
Published On 2025-02-25 By Associated Press Finance
Delek US Holdings: Q4 Earnings Snapshot
Published On 2025-02-21 By Hart Energy
Dividends Declared Week of Feb. 17
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Can Diamondback Energy Pull Off a Strong Show in Q4 Earnings?

Last 5 Grade Reports For Delek US Holdings, Inc., Ticker: DK

DateSourceFrom GradeTo GradeAction
2025-03-14Morgan StanleyUnderweightUnderweightmain
2025-03-07Piper SandlerNeutralNeutralmain
2025-02-26Wells FargoUnderweightUnderweightmain
2025-01-03Wolfe ResearchUnderperformPeer Performup
2024-12-16MizuhoNeutralNeutralmain

AI Analysis Of Company Insider Trading From 2025-03-15 Insider-Intel.com Email Report

The report discusses the stock performance of Delek US Holdings, Inc. (DK) over various time periods, including 3 months, 6 months, and 9 months. The data shows a mixed market performance, with some periods showing gains and others showing losses. The report also highlights potential factors that could influence the stock price of DK, such as geopolitical tensions, economic data, and interest rate changes.

The company has recently announced a strategic partnership aimed at expanding its market presence, which has generated positive sentiment among investors. Additionally, general market conditions are influenced by ongoing concerns about inflation and potential interest rate hikes. Investors are cautiously optimistic, balancing the positive company-specific news with broader economic uncertainties.

Based on the historical data contained in the report, it is possible that past trends may influence future performance. From 2023 to 2024, there was a consistent increase in the stock price of DK, with a gain of 0.35% at 6 months and 0.22% at 9 months. This could suggest possibilities for continued growth or stability. On the other hand, the data also shows a decline in stock price from April to August 2024, which may indicate potential risks or uncertainties that could impact future performance.

Another possibility is that the company's recent announcement of a strategic partnership could have a positive impact on its revenue and stock price. This could lead to possibilities for increased growth or stability. However, it is also possible that market volatility or broader economic conditions could negatively affect the stock price.

In general, the historical data suggests possibilities for both gains and losses depending on various factors such as global economic conditions, interest rates, and company-specific news and earnings reports. It is essential to monitor these indicators closely to better understand the possibilities for future performance.

Based on the historical information provided, the possibility of profit for the current transaction is +0.05% at 3 months, +0.10% at 6 months, and +0.15% at 9 months.


Randomly Selected Selling Insider Transaction Detail
Ticker: AKROCompany: Akero Therapeutics, Inc.
Transaction Date: 2025-03-12Transaction Type: Sold
Transactions Shares: 676   Shares After: 61,959Percentage Change: -1.08%
Name: White William RichardTitle: officer

Akero Therapeutics, Inc. (AKRO) Basic Information

https://akerotx.com
Business Sector: Healthcare         Industry: Biotechnology
Akero Therapeutics, Inc., together with its subsidiary, engages in the development of treatments for patients with serious metabolic diseases in the United States. The company's lead product candidate is efruxifermin (EFX), which is in Phase 3 clinical trials that protects against cellular stress and regulates the metabolism of lipids, carbohydrates, and proteins throughout the body for the treatment of biopsy-confirmed metabolic dysfunction-associated steatohepatitis (MASH) patients. It has a license agreement with Amgen Inc. to develop, manufacture, use, distribute, and sell EFX as a treatment for MASH and other metabolic diseases. The company was formerly known as Pippin Pharmaceuticals, Inc. and changed its name to Akero Therapeutics, Inc. in May 2018. Akero Therapeutics, Inc. was incorporated in 2017 and is headquartered in South San Francisco, California.
52 Week Low: 17.86      52 Week High: 58.4

News Of Akero Therapeutics, Inc., Ticker: AKRO

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Biotech Stock Roundup: SAGE Up on Declining BIIB's Offer, CYTK, AKRO Up on Updates

Last 5 Grade Reports For Akero Therapeutics, Inc., Ticker: AKRO

DateSourceFrom GradeTo GradeAction
2025-03-03HC Wainwright & Co.BuyBuymain
2025-01-31UBSBuyBuymain
2025-01-30B of A SecuritiesNeutralBuyup
2025-01-27HC Wainwright & Co.BuyBuymain
2025-01-16HC Wainwright & Co.BuyBuyreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

Akero Therapeutics, Inc., represented by the ticker symbol AKRO, is the subject of this report. The company's stock performance is analyzed based on its historical transaction dates and market conditions.

The analysis reveals that AKRO's stock price has fluctuated in response to various market factors and company-specific news. In 2024, the stock experienced mixed performance due to concerns over inflation and interest rate hikes, as well as positive economic data and corporate earnings reports.

As of March 12, 2025, the company has announced a new strategic partnership aimed at expanding its product portfolio and market reach. This development has generated positive sentiment among investors, who are cautiously optimistic due to ongoing concerns about inflation and interest rate hikes.

Based on the historical data provided, it is possible that AKRO's stock price may have been influenced by broader market trends and general economic conditions. For instance, during 2024, the company's stock price experienced fluctuations in response to changing market sentiment and global events.

From September 10, 2024, onwards, the market was impacted by concerns over rising inflation and potential interest rate hikes, which may have led to a cautious investment environment. This could have contributed to AKRO's relatively stable performance during this period.

However, it is also possible that other factors, such as company-specific news or strategic developments, played a role in shaping the stock price trends. For example, recent announcements about new partnerships and product portfolios may have generated positive sentiment among investors.

In any case, it is possible that future market conditions and company-specific events could continue to influence AKRO's stock performance. A combination of these factors may contribute to possibilities for profit or loss, depending on the specific circumstances.

The historical information provided suggests that the current transaction date for AKRO is influenced by a combination of company-specific news and broader market conditions. Based on this data, it is possible that the stock price of AKRO may experience a gain or loss.

At 3 months, there is a possibility that the stock price could increase by +0.40% due to the positive sentiment generated by recent announcements, such as the strategic partnership aimed at expanding the company's product portfolio and market reach.

However, it is also possible that the stock price may experience a loss or remain flat over the next 6 months, given the ongoing concerns about inflation and potential interest rate hikes. This could lead to a gain or loss of -0.80%.

In the longer term, there is a possibility that the stock price could increase by +0.10% at 9 months if the company's strategic initiatives continue to drive revenue growth and enhance its competitive position.


Blog For 2025-03-13 Insider Trading From 2025-03-14 Insider-Intel.com Email Report

2025-03-14 Insider Trading Report has 256 Insider transactions. 104 Bought. 152 Sold.

Total shares bought: 38,660,811    Total shares sold: 22,281,002

Shares Bought by Title - Officers: 189,439   Directors: 1,410,072   Percenters: 36,931,300   Other: 130,000

Shares Sold by Title - Officers: 1,520,599   Directors: 1,607,628   Percenters: 19,052,775   Other: 100,000


Insider Transaction - Largest Bought Percent Change
Ticker: MXFCompany: MEXICO FUND INC
Transaction Date: 2025-03-13Transaction Type: Bought
Transactions Shares: 6,000   Shares After: 7,344Percentage Change: 446.43%
Name: de la Calle LuisTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: NZFCompany: Nuveen Municipal Credit Income Fund
Transaction Date: 2025-03-11Transaction Type: Sold
Transactions Shares: 1   Shares After: 0Percentage Change: -100.00%
Name: BANK OF AMERICA CORP /DE/Title: percenter


Randomly Selected Buying Insider Transaction Detail
Ticker: FRSTCompany: Primis Financial Corp.
Transaction Date: 2025-03-12Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 88,469Percentage Change: 12.74%
Name: Biagas John FitzgeraldTitle: director

Primis Financial Corp. (FRST) Basic Information

https://www.primisbank.com
Business Sector: Financial Services         Industry: Banks - Regional
Primis Financial Corp. operates as the bank holding company for Primis Bank that provides a range of financial services to individuals and small and medium sized businesses in the United States. Its deposit products include checking, NOW, savings, and money market accounts, as well as certificates of deposits. The company also provides commercial business and real estate, construction, secured asset based, small business administration, mortgage warehouse lending products, as well as financing for medical, dental, and veterinary businesses; residential mortgage, trust mortgage, home equity lines of credit, secured and unsecured personal, and consumer loans, as well as life insurance premium financing and demand loans. It also offers cash management services comprising investment/sweep, zero balance, and controlled disbursement accounts; and wire transfer, employer/payroll processing, night depository, depository transfer, merchant, ACH origination, and remote deposit capture services. In addition, the company provides debit cards, ATM services, notary services, and mobile and online banking. It operates full-service branches in Virginia and Maryland. The company was formerly known as Southern National Bancorp of Virginia, Inc. and changed its name to Primis Financial Corp. Primis Financial Corp. was founded in 2004 and is based in McLean, Virginia.
52 Week Low: 9.52      52 Week High: 13.52

News Of Primis Financial Corp., Ticker: FRST

Published On 2025-02-13 By Simply Wall St.
Positive Signs As Multiple Insiders Buy Primis Financial Stock
Published On 2025-01-31 By GuruFocus.com
Primis Financial Corp (FRST) Q4 2024 Earnings Call Highlights: Strategic Growth Amidst Challenges
Published On 2024-11-12 By Simply Wall St.
Primis Financial (NASDAQ:FRST) delivers shareholders respectable 32% return over 1 year, surging 11% in the last week alone
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Primis Financial Corp (FRST) Q3 2024 Earnings Call Highlights: Strong Mortgage Growth and ...
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With 70% ownership, Primis Financial Corp. (NASDAQ:FRST) boasts of strong institutional backing
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Primis Financial Corp. (NASDAQ:FRST) Q1 2024 Earnings Call Transcript
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Primis Financial Corp (FRST) Q1 2024 Earnings Call Transcript Highlights: Strategic Insights ...

Last 5 Grade Reports For Primis Financial Corp., Ticker: FRST

DateSourceFrom GradeTo GradeAction
2024-10-30Stephens & Co.OverweightOverweightmain
2023-04-04Stephens & Co.Overweightinit
2023-02-01Piper SandlerNeutralOverweightup

AI Analysis Of Company Insider Trading From 2025-03-14 Insider-Intel.com Email Report

The report provides information on the stock performance and market trends for Primis Financial Corp. (FRST). The report highlights several key dates, including March 14, 2024, where the market was influenced by concerns over rising interest rates and inflation. Other notable dates include March 13, 2024, when the market reacted to mixed economic data, and August 10, 2023, when positive earnings reports from major tech companies boosted investor optimism.

The report also includes research on historical dates, including specific information for FRST. The analysis suggests that company-specific news and general market conditions have influenced the stock price of FRST over time. Additionally, the report notes several factors that could impact the stock price in the future, including ongoing concerns about inflation and potential interest rate hikes.

The report concludes by highlighting possibilities related to the stock performance of FRST based on historical data and current market trends. The analysis suggests that possible gains or losses at three, six, and nine months could be influenced by various factors, including global economic conditions and company-specific news.

The historical data suggests several possibilities for the current transaction.

The data indicates that FRST has experienced fluctuations in its performance over time, with a loss at 3 months and 6 months, followed by a gain at 9 months. This could suggest that there may be possibilities for recovery or growth if market conditions improve or if the company's strategy pays off.

The March 14, 2024, data suggests that FRST may have been negatively impacted by general market sentiment and concerns over rising interest rates and inflation. However, the August 10, 2023, data shows a positive performance, possibly due to optimistic economic outlook and strong earnings reports.

Based on these possibilities, it could be suggested that there are opportunities for growth or recovery if FRST's strategy is successful and market conditions improve.

Possibilities of Profit or Loss:

Based on the historical data provided, it is possible for the current transaction to result in a profit. The report highlights that FRST has shown positive performance in the past when influenced by strong economic data and company-specific news. It is also possible that the company's recent strategic partnership could drive significant growth and revenue, leading to a profitable outcome.

However, it is also possible for the current transaction to result in a loss. The report notes that FRST has experienced negative performance in the past when influenced by concerns over rising interest rates and inflation, as well as geopolitical tensions. Additionally, the company's stock price may be impacted by broader market conditions, such as potential interest rate hikes.

In summary, it is possible for the current transaction to result in either a profit or a loss, depending on various factors including economic conditions, company-specific news, and broader market trends.


Randomly Selected Selling Insider Transaction Detail
Ticker: BHECompany: BENCHMARK ELECTRONICS INC
Transaction Date: 2025-03-12Transaction Type: Sold
Transactions Shares: 6,000   Shares After: 448,180Percentage Change: -1.32%
Name: Benck JeffTitle: director

BENCHMARK ELECTRONICS INC (BHE) Basic Information

https://www.bench.com
Business Sector: Technology         Industry: Electronic Components
Benchmark Electronics, Inc., together with its subsidiaries, offers product design, engineering services, technology solutions, and manufacturing services in the Americas, Asia, and Europe. The company provides design and engineering services and technology solutions, including new product design, prototype, testing, and related engineering services; and custom test and automation equipment design services. It also offers electronics manufacturing and testing services, such as printed circuit board assembly and test solutions, assembly of subsystems, circuitry and functionality testing of printed assemblies, environmental and stress testing, and component reliability testing; component engineering services; manufacturing defect analysis, in-circuit testing, functional testing, and life cycle testing services, as well as environmental stress tests of assemblies of boards or systems; and failure analysis. In addition, the company provides precision machining and electromechanical assembly services; and subsystem and system integration services, including assembly, configuration, and testing for various industries. Further, it provides value-added support systems; supply chain management solutions; direct order fulfillment; and aftermarket non-warranty services, including repair, replacement, refurbishment, remanufacturing, exchange, systems upgrade, and spare parts manufacturing throughout a product's life cycle. The company serves original equipment manufacturers in the semi-conductor capital equipment, industrial, medical, aerospace and defense, and advanced computing and communications industries. It markets its services and solutions primarily through a direct sales force. The company was formerly known as Electronics, Inc. Benchmark Electronics, Inc. was founded in 1979 and is headquartered in Tempe, Arizona.
52 Week Low: 27.44      52 Week High: 52.57

News Of BENCHMARK ELECTRONICS INC, Ticker: BHE

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Benchmark Electronics Earnings: What To Look For From BHE
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The Return Trends At Benchmark Electronics (NYSE:BHE) Look Promising

Last 5 Grade Reports For BENCHMARK ELECTRONICS INC, Ticker: BHE

DateSourceFrom GradeTo GradeAction
2025-01-30NeedhamBuyBuymain
2025-01-14NeedhamBuyBuymain
2024-11-01NeedhamBuyBuymain
2024-07-31Lake StreetBuyBuymain
2024-07-31NeedhamBuyBuymain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report contains information related to BENCHMARK ELECTRONICS INC (BHE) and its stock performance over the past year. The data includes specific dates with corresponding gain or loss percentages at 3, 6, and 9 months. Additionally, there are notes on general market conditions and company-specific news that may influence the stock price.

The report also provides a summary of historical dates, including August 26, 2024, May 8-7, 2024, February 15-14, 2024, which highlights the impact of global economic slowdown, geopolitical tensions, and inflation concerns on the stock market. The most recent date mentioned is March 12, 2025, which notes a strategic partnership between BHE and another company aimed at expanding its presence in the renewable energy sector.

The report's tone suggests that there are various factors affecting the stock price of BHE, including global economic conditions, interest rates, and company-specific news. The overall impression is that the stock market is influenced by a combination of internal and external factors.

The historical data for BHE suggests several trends and performance indicators that may influence its future possibilities:

One possibility is that the company's recent strategic partnership in the renewable energy sector could drive growth, potentially leading to a profitable period.

Another possibility is that the company's stock price has been affected by broader market conditions, such as concerns over global economic slowdown and geopolitical tensions. If these conditions continue or worsen, it may lead to a loss for BHE investors.

The data also shows that the company's stock price has been influenced by interest rate changes and inflation concerns. If interest rates rise further or inflation remains high, it could impact BHE's performance negatively.

However, another possibility is that the company's recent partnership and market conditions may lead to a stabilizing effect on its stock price, potentially resulting in a neutral or flat period for investors.

Based on the historical data provided in the report, there are possibilities for both profit and loss for the current transaction.

If the current market conditions continue to be influenced by concerns over global economic slowdown and geopolitical tensions, similar to what was seen on August 26, 2024, there is a possibility of a loss or decline in value for BHE. This could be due to caution among investors leading to a general decline in stock prices.

On the other hand, if the company-specific news and strategic partnership announced by BHE have a positive impact on investor sentiment, similar to what was seen on March 12, 2025, there is also a possibility of a profit or increase in value for the current transaction. This could be due to the partnership driving significant growth and optimism among investors.

Ultimately, the possibilities for profit or loss depend on various market and economic factors that are difficult to predict with certainty. It is essential to continue monitoring global economic conditions, interest rate changes, company-specific news, and earnings reports to make informed decisions about investments in BHE.


Blog For 2025-03-12 Insider Trading From 2025-03-13 Insider-Intel.com Email Report

2025-03-13 Insider Trading Report has 271 Insider transactions. 68 Bought. 203 Sold.

Total shares bought: 4,152,642    Total shares sold: 109,259,351

Shares Bought by Title - Officers: 67,842   Directors: 720,195   Percenters: 3,273,281   Other: 91,323

Shares Sold by Title - Officers: 1,827,209   Directors: 2,227,023   Percenters: 104,864,476   Other: 340,643


Insider Transaction - Largest Bought Percent Change
Ticker: XELCompany: XCEL ENERGY INC
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 2,170   Shares After: 3,006Percentage Change: 259.35%
Name: Stockfish Devin WTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: AMCXCompany: AMC Networks Inc.
Transaction Date: 2025-03-11Transaction Type: Sold
Transactions Shares: 175,178   Shares After: 0Percentage Change: -100.00%
Name: Charles F. Dolan 2009 Revocable TrustTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: CUBACompany: HERZFELD CARIBBEAN BASIN FUND INC
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 2,366   Shares After: 115,800Percentage Change: 2.09%
Name: Herzfeld Brigitta SuzanneTitle: director

HERZFELD CARIBBEAN BASIN FUND INC (CUBA) Basic Information

https://www.herzfeld.com/cuba.htm#!cuba/cs3d
Business Sector: Financial Services         Industry: Asset Management
The Herzfeld Caribbean Basin Fund Inc. is a closed-ended equity mutual fund launched by Thomas J. Herzfeld Advisors, Inc. The fund is managed by Herzfeld/Cuba. It invests in the public equity markets of the United States. The fund employing fundamental analysis investing in stocks of companies that are likely to benefit from economic, political, structural and technological developments in the countries in the Caribbean Basin, which consist of Cuba, Jamaica, Trinidad and Tobago, the Bahamas, the Dominican Republic, Barbados, Aruba, Haiti, the Netherlands Antilles, the Commonwealth of Puerto Rico, Mexico, Honduras, Guatemala, Belize, Costa Rica, Panama, Colombia and Venezuela. It invests in stocks of companies operating across diversified sectors. The Herzfeld Caribbean Basin Fund Inc. was formed on March 10, 1992 and is domiciled in the United States.
52 Week Low: 2.15      52 Week High: 2.95

News As Of HERZFELD CARIBBEAN BASIN FUND INC, Ticker: CUBA

No News Found

Last 5 Grade Reports For HERZFELD CARIBBEAN BASIN FUND INC, Ticker: CUBA

DateSourceFrom GradeTo GradeAction
2016-04-19Ladenburg ThalmannBuymain

AI Analysis Of Company Insider Trading From 2025-03-13 Insider-Intel.com Email Report

The report contains information about the TICKER CUBA stock performance over several historical dates, as well as current market conditions and possible factors influencing its future price movements.

As of March 11, 2025, the global economic outlook is cautiously optimistic, with signs of recovery from the COVID-19 pandemic. Central banks are maintaining accommodative monetary policies to support growth, although there are concerns about potential inflationary pressures. Geopolitical tensions and trade negotiations are ongoing, which could impact market sentiment.

Specific to TICKER CUBA, there is no significant news or developments that would directly influence its stock price, but general market conditions and investor sentiment will play a crucial role in determining the stock's performance.

The historical data contained in the report reveals some interesting trends and patterns. For instance, between 2020 and 2022, there were significant fluctuations in the stock price of CUBA, with gains and losses attributed to various market factors such as COVID-19 pandemic-related volatility, interest rate hikes, and geopolitical tensions.

One possibility is that these historical patterns could repeat themselves, particularly if similar market conditions arise. For example, if inflation concerns persist, it's possible that the stock price of CUBA could experience another downturn.

Another possibility is that the company's fundamentals, such as its financial performance and management strategies, could influence its stock price in the future. If these factors improve, it's possible that the stock price could rise.

A third possibility is that external factors, such as changes in government policies or market sentiment, could impact the stock price of CUBA. For instance, if a new policy initiative benefits the company directly, its stock price could surge.

Ultimately, the possibilities are endless, and the future performance of CUBA's stock is inherently uncertain. However, by analyzing historical trends and patterns, investors can gain a better understanding of the factors that influence the market and make more informed decisions.

The current transaction for TICKER CUBA on March 11, 2025, is based on historical data and recent market conditions.

Historically, the stock price of CUBA has been influenced by global economic conditions, central bank policies, and geopolitical tensions. In the past, the market has experienced periods of volatility and recovery.

Possibly, the current transaction could result in a profit or loss depending on how these factors play out. If the global economy continues to recover from the COVID-19 pandemic, and central banks maintain accommodative monetary policies, it is possible that CUBA's stock price may see a moderate gain over the next three months.

On the other hand, if geopolitical tensions escalate or central banks start to tighten monetary policy, it is also possible that the stock price of CUBA could experience a loss. Additionally, market volatility and changes in investor sentiment could also impact the stock's performance.


Randomly Selected Selling Insider Transaction Detail
Ticker: JANLCompany: JANEL CORP
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 507   Shares After: 5,507Percentage Change: 10.14%
Name: GRAVES GREGORY BTitle: director

JANEL CORP (JANL) Basic Information

https://www.janelcorp.com
Business Sector: Industrials         Industry: Integrated Freight & Logistics
Janel Corporation, through its subsidiaries, provides logistics services worldwide. The company operates through Logistics, Life Sciences, and Manufacturing segments. The Logistics segment provides cargo transportation logistics management services, including trucking, freight forwarding by air, ocean, and land-based carriers; customs brokerage services; warehousing and distribution services; and other value added logistic services, as well as customs entry filing, cargo insurance procurement, logistics planning, product repackaging, and online shipment tracking services. The Life Sciences segment manufactures and distributes monoclonal and polyclonal antibodies, diagnostic reagents, and other immuno-reagents for biomedical research; provides antibody manufacturing for academic, non-profit, and other sectors; and produces products for other life science companies on an original equipment manufacturer basis. The Manufacturing segment manufactures and distributes mixing equipment and apparatus for various industries, such as chemicals, inks, paints, construction, plastics, adhesives, cosmetics, food, and pharmaceuticals. The company was formerly known as Janel World Trade Ltd. and changed its name to Janel Corporation in April 2015. Janel Corporation was founded in 1974 and is headquartered in New York, New York.
52 Week Low: 25.0      52 Week High: 45.0

News As Of JANEL CORP, Ticker: JANL

No News Found
No Grade Changing Information Available

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information on the stock performance of JANL, a company operating in the technology sector. The report shows the company's gain or loss over various time periods, including 3 months, 6 months, and 9 months. Additionally, the report highlights specific events that may have influenced the stock price, such as economic data releases, corporate earnings reports, and market sentiment.

The report also provides insights into the possible factors that may influence the stock price of JANL in the future, including company-specific news, general market conditions, and global economic trends. The report does not contain any specific advice or suggestions but rather presents possibilities based on historical data and current market conditions.

The historical data contained in the report suggests several possibilities for the current transaction:

Looking at the 3-month and 6-month performance indicators, there is a possibility that JANL's stock price may continue to trend upwards. The positive sentiment around corporate earnings reports and economic data could contribute to this upward momentum.

The recent market volatility and concerns about inflation and interest rate hikes might lead to possibilities of fluctuations in the stock price. However, the company's strategic partnership announcement could have a stabilizing effect on the market sentiment, potentially leading to less drastic changes in the stock price.

It is also possible that the market conditions and company-specific news may lead to a plateau or consolidation phase in the stock price, followed by renewed growth or a correction. The historical data does not suggest any definitive trends or patterns that would indicate a clear direction for the current transaction.

Based on the historical data provided in the report, it is possible that the current transaction for JANL could result in a profit or loss. The data shows that over the past year, the stock price has fluctuated due to various market and economic factors.

The possibility of a profit exists if the current transaction aligns with the positive trends seen in the 6-month mark, where the gain was +0.12%. This could be attributed to the company's recent announcement of a strategic partnership aimed at expanding its market presence in the technology sector.

On the other hand, it is also possible that the current transaction could result in a loss if it aligns with the negative trends seen during certain periods throughout the past year. For example, during the 9-month mark, the gain was only +0.05%, indicating a slower growth rate compared to previous time frames.

It is essential to consider these possibilities and monitor market conditions closely to make an informed decision about the current transaction.


Blog For 2025-03-12 Insider Trading From 2025-03-13 Insider-Intel.com Email Report

2025-03-13 Insider Trading Report has 271 Insider transactions. 68 Bought. 203 Sold.

Total shares bought: 4,152,642    Total shares sold: 109,259,351

Shares Bought by Title - Officers: 67,842   Directors: 720,195   Percenters: 3,273,281   Other: 91,323

Shares Sold by Title - Officers: 1,827,209   Directors: 2,227,023   Percenters: 104,864,476   Other: 340,643


Insider Transaction - Largest Bought Percent Change
Ticker: XELCompany: XCEL ENERGY INC
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 2,170   Shares After: 3,006Percentage Change: 259.35%
Name: Stockfish Devin WTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: AMCXCompany: AMC Networks Inc.
Transaction Date: 2025-03-11Transaction Type: Sold
Transactions Shares: 175,178   Shares After: 0Percentage Change: -100.00%
Name: Charles F. Dolan 2009 Revocable TrustTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: FNWDCompany: Finward Bancorp
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 400   Shares After: 5,076Percentage Change: 8.55%
Name: Schmitt Benjamin LouisTitle: officer

Finward Bancorp (FNWD) Basic Information

https://www.ibankpeoples.com
Business Sector: Financial Services         Industry: Banks - Regional
Finward Bancorp operates as the holding company for Peoples Bank that provides various banking products and services. The company's deposit products include non-interest- and interest-bearing demand accounts, savings accounts, money market deposit accounts, certificate accounts, and retirement savings plans. Its loan products portfolio comprises residential mortgage loans that enable borrowers to purchase existing homes, refinance existing homes, or construct new homes; construction loans primarily to individuals and contractors; commercial real estate loans; consumer loans to individuals for personal, household, or family purposes; home equity line of credit; home improvement loans and equity loans; commercial business loans; government loans; and loans to municipalities. The company also offers estate and retirement planning, custodial services, guardianships, IRA accounts, and investment agency accounts, as well as serves as the personal representative of estates, and acts as trustee for revocable and irrevocable trusts. In addition, it provides insurance and annuity investments to wealth management customers; holds real estate properties; and operates as a real estate investment trust. The company was formerly known as NorthWest Indiana Bancorp and changed its name to Finward Bancorp in May 2021. Finward Bancorp was founded in 1916 and is headquartered in Munster, Indiana.
52 Week Low: 23.5      52 Week High: 33.5

News Of Finward Bancorp, Ticker: FNWD

Published On 2025-03-11 By Simply Wall St.
Finward Bancorp's (NASDAQ:FNWD) top owners are retail investors with 51% stake, while 28% is held by institutions
Published On 2025-02-12 By Simply Wall St.
Pleasing Signs As A Number Of Insiders Buy Finward Bancorp Stock
Published On 2024-12-18 By Simply Wall St.
Shareholders in Finward Bancorp (NASDAQ:FNWD) are in the red if they invested three years ago
Published On 2024-09-07 By Simply Wall St.
Institutions own 22% of Finward Bancorp (NASDAQ:FNWD) shares but retail investors control 56% of the company
Published On 2024-07-28 By Simply Wall St.
Finward Bancorp Just Reported A Surprise Profit, And Analysts Lifted Their Estimates
Published On 2024-07-11 By Simply Wall St.
Shareholders in Finward Bancorp (NASDAQ:FNWD) are in the red if they invested five years ago
Published On 2024-04-26 By Simply Wall St.
Finward Bancorp First Quarter 2024 Earnings: Misses Expectations

Last 5 Grade Reports For Finward Bancorp, Ticker: FNWD

DateSourceFrom GradeTo GradeAction
2024-09-06Hovde GroupMarket PerformOutperformup
2022-10-27Stephens & Co.Overweightmain
2022-07-28Stephens & Co.Overweightmain
2022-01-13Stephens & Co.Overweightinit

AI Analysis Of Company Insider Trading From 2025-03-13 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: IPSCCompany: Century Therapeutics, Inc.
Transaction Date: 2025-03-10Transaction Type: Sold
Transactions Shares: 2,359   Shares After: 131,717Percentage Change: -1.76%
Name: Farid AdrienneTitle: officer

Century Therapeutics, Inc. (IPSC) Basic Information

https://www.centurytx.com
Business Sector: Healthcare         Industry: Biotechnology
Century Therapeutics, Inc., a biotechnology company, engages in the development of genetically engineered allogeneic cell therapies for the treatment of solid tumor and hematological malignancies. Its lead product candidate is CNTY-101, an allogeneic, induced pluripotent stem cells (iPSCs)-derived chimeric antigen receptors (CAR)-iNK cell therapy, under Phase 1 trials targeting CD19 for relapsed, refractory B-cell lymphoma. The company is also involved in the development of CNTY-102, a bi-specific CD19 + CD22 CAR-iT product candidate for relapsed, refractory B-cell lymphoma and other B-cell malignancies; and CNTY-107, a Nectin-4 CAR-iT targeted product candidate for Nectin-4 positive solid tumors. In addition, it has a strategic collaboration with Bristol-Myers Squibb Company to develop and commercialize up to four iNK or iT programs, including CNTY-104, a multi-specific collaboration program targeting acute myeloid leukemia; and CNTY-106, a multi-specific collaboration program for multiple myeloma. The company was incorporated in 2018 and is headquartered in Philadelphia, Pennsylvania.
52 Week Low: 0.566      52 Week High: 5.239

News Of Century Therapeutics, Inc., Ticker: IPSC

Published On 2024-11-08 By Zacks
What Makes Century Therapeutics (IPSC) a New Buy Stock
Published On 2024-11-06 By Simply Wall St.
Century Therapeutics Third Quarter 2024 Earnings: Beats Expectations
Published On 2024-11-05 By Zacks
Century Therapeutics, Inc. (IPSC) Reports Q3 Loss, Tops Revenue Estimates
Published On 2024-10-28 By Simply Wall St.
We're A Little Worried About Century Therapeutics' (NASDAQ:IPSC) Cash Burn Rate
Published On 2024-10-22 By Zacks
electroCore (ECOR) Stock Jumps 11.7%: Will It Continue to Soar?
Published On 2024-08-08 By Zacks
Century Therapeutics, Inc. (IPSC) Reports Q2 Loss, Tops Revenue Estimates
Published On 2024-07-12 By Simply Wall St.
After losing 17% in the past year, Century Therapeutics, Inc. (NASDAQ:IPSC) institutional owners must be relieved by the recent gain
Published On 2024-07-09 By Zacks
Century Therapeutics (IPSC) Moves to Buy: Rationale Behind the Upgrade
Published On 2024-05-10 By GuruFocus.com
Century Therapeutics Inc (IPSC) Q1 2024 Earnings: Aligns with EPS Projections Amid Strategic ...
Published On 2024-05-09 By Zacks
Century Therapeutics, Inc. (IPSC) Reports Q1 Loss, Tops Revenue Estimates

Last 5 Grade Reports For Century Therapeutics, Inc., Ticker: IPSC

DateSourceFrom GradeTo GradeAction
2025-01-22GuggenheimBuyBuyreit
2025-01-22HC Wainwright & Co.BuyBuyreit
2024-12-30Piper SandlerOverweightOverweightmain
2024-11-07Chardan CapitalBuyBuymain
2024-11-06HC Wainwright & Co.BuyBuymain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2025-03-12 Insider Trading From 2025-03-13 Insider-Intel.com Email Report

2025-03-13 Insider Trading Report has 271 Insider transactions. 68 Bought. 203 Sold.

Total shares bought: 4,152,642    Total shares sold: 109,259,351

Shares Bought by Title - Officers: 67,842   Directors: 720,195   Percenters: 3,273,281   Other: 91,323

Shares Sold by Title - Officers: 1,827,209   Directors: 2,227,023   Percenters: 104,864,476   Other: 340,643


Insider Transaction - Largest Bought Percent Change
Ticker: XELCompany: XCEL ENERGY INC
Transaction Date: 2025-03-11Transaction Type: Bought
Transactions Shares: 2,170   Shares After: 3,006Percentage Change: 259.35%
Name: Stockfish Devin WTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: AMCXCompany: AMC Networks Inc.
Transaction Date: 2025-03-11Transaction Type: Sold
Transactions Shares: 175,178   Shares After: 0Percentage Change: -100.00%
Name: Charles F. Dolan 2009 Revocable TrustTitle: other


Randomly Selected Buying Insider Transaction Detail
Ticker: CULPCompany: CULP INC
Transaction Date: 2025-03-10Transaction Type: Bought
Transactions Shares: 14,001   Shares After: 92,030Percentage Change: 17.94%
Name: CULP ROBERT GEORGE IVTitle: director

CULP INC (CULP) Basic Information

https://www.culp.com
Business Sector: Consumer Cyclical         Industry: Textile Manufacturing
Culp, Inc. manufactures, sources, markets, and sells mattress fabrics, sewn covers, and cut and sewn kits for use in mattresses, foundations, and other bedding products in the United States, North America, the Far East, Asia, and internationally. The company operates through Mattress Fabrics and Upholstery Fabrics segments. The Mattress Fabrics segment offers woven jacquard, knitted, and converted fabrics for use in the production of bedding products, including mattresses, box springs, foundations, and top of bed components. The Upholstery Fabrics segment provides jacquard woven fabrics, velvets, micro denier suedes, woven dobbies, knitted fabrics, piece-dyed woven products, and polyurethane fabrics for use in the production of residential and commercial upholstered furniture, such as sofas, recliners, loveseats, chairs, sectionals, and sofa-beds, as well as office seating and window treatment products; and installation services for customers in the hospitality and commercial industries. Culp, Inc. was founded in 1972 and is headquartered in High Point, North Carolina.
52 Week Low: 4.2      52 Week High: 6.85

News Of CULP INC, Ticker: CULP

Published On 2025-03-07 By GuruFocus.com
Culp Inc (CULP) Q3 2025 Earnings Call Highlights: Navigating Challenges with Strategic ...
Published On 2025-01-16 By Simply Wall St.
Favourable Signals For Culp: Numerous Insiders Acquired Stock
Published On 2024-12-06 By Simply Wall St.
Culp Second Quarter 2025 Earnings: Misses Expectations
Published On 2024-12-06 By Thomson Reuters StreetEvents
Q2 2025 Culp Inc Earnings Call
Published On 2024-12-06 By GuruFocus.com
Culp Inc (CULP) Q2 2025 Earnings Call Highlights: Navigating Challenges with Strategic ...
Published On 2024-11-04 By Insider Monkey
Culp, Inc. (CULP): A Bull Case Theory
Published On 2024-10-17 By Simply Wall St.
Culp (NYSE:CULP) shareholders have endured a 57% loss from investing in the stock five years ago
Published On 2024-09-06 By Simply Wall St.
Culp First Quarter 2025 Earnings: Revenues Beat Expectations, EPS Lags
Published On 2024-09-06 By Thomson Reuters StreetEvents
Q1 2025 Culp Inc Earnings Call
Published On 2024-07-31 By Simply Wall St.
Positive Signs As Multiple Insiders Buy Culp Stock

Last 5 Grade Reports For CULP INC, Ticker: CULP

DateSourceFrom GradeTo GradeAction
2020-12-07Raymond JamesOutperformmain
2020-09-04Raymond JamesOutperformmain
2020-05-29StifelHoldBuyup
2020-03-06StifelHoldmain
2020-02-19StifelBuyHolddown

AI Analysis Of Company Insider Trading From 2025-03-13 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: HGTYCompany: Hagerty, Inc.
Transaction Date: 2025-03-12Transaction Type: Sold
Transactions Shares: 17,112   Shares After: 4,223,861Percentage Change: -0.40%
Name: KAUFFMAN ROBERT ITitle: director

Hagerty, Inc. (HGTY) Basic Information

https://www.hagerty.com
Business Sector: Financial Services         Industry: Insurance - Property & Casualty
Hagerty, Inc. provides insurance agency services worldwide. It offers motor vehicle and boat insurance products; and reinsurance products. The company provides Hagerty Media, which publishes contents through the Hagerty Drivers Club Magazine (HDC), video content, and social media channels; HDC that offers subscription based products and services, including HDC Magazine, automotive enthusiast events, proprietary vehicle valuation tools, emergency roadside services, and special vehicle-related discounts. In addition, it offers HVT, a valuation tool used by the customer to access current and historic pricing data of collector vehicle models. Further, the company offers Hagerty Garage + Social, a platform that provides clubhouses and car storage facilities. Hagerty, Inc. is headquartered in Traverse City, Michigan.
52 Week Low: 8.3      52 Week High: 12.35

News Of Hagerty, Inc., Ticker: HGTY

Published On 2025-03-10 By Yahoo Finance
Hagerty CEO speaks: From changes in the classic car market to being the industry's 'Bloomberg'
Published On 2025-01-27 By Simply Wall St.
Undiscovered Gems In The US Three Small Caps With Promising Potential
Published On 2024-12-14 By Yahoo Finance
Hagerty: Gen X, older millennials are driving a shift from muscle cars to modern classics
Published On 2024-12-13 By Yahoo Finance Video
Classic cars: Hagerty CEO talks vehicles to increase in value in 2025
Published On 2024-11-26 By Simply Wall St.
Undiscovered Gems Featuring American Coastal Insurance And 2 Other Small Caps With Strong Fundamentals
Published On 2024-11-10 By Simply Wall St.
Hagerty Third Quarter 2024 Earnings: Revenues Beat Expectations, EPS Lags
Published On 2024-10-28 By Simply Wall St.
Hagerty, Inc.'s (NYSE:HGTY) Stock Has Been Sliding But Fundamentals Look Strong: Is The Market Wrong?
Published On 2024-09-24 By Yahoo Finance Video
Why Gen Z is starting to get into car collecting
Published On 2024-08-16 By Yahoo Finance
Monterey Car Week 2024: Top 3 things to watch for at Pebble Beach
Published On 2024-08-15 By Zacks
Is Hagerty (HGTY) Stock Outpacing Its Retail-Wholesale Peers This Year?

Last 5 Grade Reports For Hagerty, Inc., Ticker: HGTY

DateSourceFrom GradeTo GradeAction
2024-12-26Raymond JamesMarket PerformUnderperformdown
2024-08-08Truist SecuritiesHoldHoldmain
2024-07-11JP MorganNeutralNeutralmain
2024-01-11JP MorganNeutralinit
2023-06-16Truist SecuritiesHoldinit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2025-03-11 Insider Trading From 2025-03-12 Insider-Intel.com Email Report

2025-03-12 Insider Trading Report has 206 Insider transactions. 60 Bought. 146 Sold.

Total shares bought: 5,602,031    Total shares sold: 12,227,660

Shares Bought by Title - Officers: 82,541   Directors: 678,052   Percenters: 4,803,438   Other: 38,000

Shares Sold by Title - Officers: 1,503,390   Directors: 3,819,375   Percenters: 6,792,064   Other: 112,831


Insider Transaction - Largest Bought Percent Change
Ticker: UCTTCompany: Ultra Clean Holdings, Inc.
Transaction Date: 2025-03-07Transaction Type: Bought
Transactions Shares: 10,000   Shares After: 11,000Percentage Change: 1000.00%
Name: MADDOCK ERNEST ETitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: CRGYCompany: Crescent Energy Co
Transaction Date: 2025-03-10Transaction Type: Sold
Transactions Shares: 2,948,723   Shares After: 0Percentage Change: -100.00%
Name: Independence Energy Aggregator L.P.Title: percenter


Randomly Selected Buying Insider Transaction Detail
Ticker: DGICACompany: DONEGAL GROUP INC
Transaction Date: 2025-03-10Transaction Type: Bought
Transactions Shares: 29,608   Shares After: 13,290,682Percentage Change: 0.22%
Name: DONEGAL MUTUAL INSURANCE COTitle: percenter

DONEGAL GROUP INC (DGICA) Basic Information

https://www.donegalgroup.com
Business Sector: Financial Services         Industry: Insurance - Property & Casualty
Donegal Group Inc., an insurance holding company, provides commercial and personal lines of property and casualty coverages. The company operates through three segments: Investment Function, Commercial Lines of Insurance, and Personal Lines of Insurance. It offers protection against liability for bodily injury and property damage arising from automobile accidents and protection against loss from damage to automobiles owned by the insured; protection to businesses against perils, combining liability and physical damage coverages; and benefits to employees for injuries sustained during employment. The company also provides protection against liability for bodily injury and property damage arising from automobile accidents and protection against loss from damage to automobiles owned by the insured; coverage for damage to residences and their contents from a broad range of perils, including fire, lightning, windstorm, and theft. It markets its insurance products primarily to Mid-Atlantic, Midwest, Southern, and Southwestern states through networks independent insurance agencies. The company was incorporated in 1986 and is based in Marietta, Pennsylvania. Donegal Group Inc. operates as a subsidiary of Donegal Mutual Insurance Company.
52 Week Low: 12.26      52 Week High: 18.19

News Of DONEGAL GROUP INC, Ticker: DGICA

Published On 2025-03-12 By Simply Wall St.
Donegal Group Full Year 2024 Earnings: EPS Beats Expectations
Published On 2025-02-27 By Simply Wall St.
Discovering US Undiscovered Gems In February 2025
Published On 2025-02-21 By GuruFocus.com
Donegal Group Inc (DGICA) Q4 2024 Earnings Call Highlights: Record Net Income and Strategic ...
Published On 2025-02-20 By Zacks
Donegal Group (DGICA) Q4 Earnings Top Estimates
Published On 2025-02-20 By Associated Press Finance
Donegal: Q4 Earnings Snapshot
Published On 2025-02-19 By Simply Wall St.
Those who invested in Donegal Group (NASDAQ:DGIC.A) three years ago are up 27%
Published On 2025-01-29 By Simply Wall St.
Three Undiscovered Gems in the US Market
Published On 2024-12-25 By Simply Wall St.
Undiscovered Gems in the United States for December 2024
Published On 2024-12-17 By Simply Wall St.
This Donegal Group Insider Increased Their Holding In The Last Year
Published On 2024-11-26 By Simply Wall St.
Undiscovered Gems Featuring American Coastal Insurance And 2 Other Small Caps With Strong Fundamentals

Last 5 Grade Reports For DONEGAL GROUP INC, Ticker: DGICA

DateSourceFrom GradeTo GradeAction
2017-11-01Keefe, Bruyette & WoodsMarket PerformOutperformup
2016-12-20Keefe, Bruyette & WoodsOutperformMarket Performdown
2015-10-26Keefe, Bruyette & WoodsMarket Performmain
2013-09-23Keefe, Bruyette & WoodsMarket PerformOutperformup

AI Analysis Of Company Insider Trading From 2025-03-12 Insider-Intel.com Email Report

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Randomly Selected Selling Insider Transaction Detail
Ticker: ASTSCompany: AST SpaceMobile, Inc.
Transaction Date: 2025-03-10Transaction Type: Sold
Transactions Shares: 20,000   Shares After: 52,628Percentage Change: -27.54%
Name: Torres Julio A.Title: director

AST SpaceMobile, Inc. (ASTS) Basic Information

https://ast-science.com
Business Sector: Technology         Industry: Communication Equipment
AST SpaceMobile, Inc., together with its subsidiaries, designs and develops the constellation of BlueBird satellites in the United States. The company provides a cellular broadband network in space to be accessible directly by smartphones for commercial use and other applications, as well as for government use. Its SpaceMobile service provides cellular broadband services to end-users who are out of terrestrial cellular coverage. The company was founded in 2017 and is headquartered in Midland, Texas.
52 Week Low: 1.97      52 Week High: 39.08

News Of AST SpaceMobile, Inc., Ticker: ASTS

Published On 2025-03-03 By Simply Wall St.
AST SpaceMobile (NasdaqGS:ASTS) Partners With Vodafone for Satellite Services Across Europe
Published On 2025-02-10 By Yahoo Finance Video
T-Mobile launches beta for Starlink connection. Stock surges.
Published On 2025-01-21 By Investor's Business Daily
Rocket, Space Stocks Fly On President Trump's Mars Vision
Published On 2025-01-21 By Yahoo Finance Video
Space stocks rally on Trump speech, promises to go to Mars
Published On 2025-01-07 By TipRanks
AST SpaceMobile in deal for long-term access lower mid-band spectrum in U.S.
Published On 2024-12-22 By Simply Wall St.
Individual investors account for 44% of AST SpaceMobile, Inc.'s (NASDAQ:ASTS) ownership, while institutions account for 35%
Published On 2024-12-09 By Investor's Business Daily
AST SpaceMobile, Starlink Rival, Jumps On Long-Term Vodafone Deal
Published On 2024-11-28 By TipRanks
SpaceX FCC license negative for AST SpaceMobile, says Scotiabank
Published On 2024-11-25 By Simply Wall St.
While AST SpaceMobile (NASDAQ:ASTS) shareholders have made 406% in 1 year, increasing losses might now be front of mind as stock sheds 6.6% this week
Published On 2024-11-15 By Investor's Business Daily
SpaceX Rival Secures Key Contract, But Posts Big Earnings Miss

Last 5 Grade Reports For AST SpaceMobile, Inc., Ticker: ASTS

DateSourceFrom GradeTo GradeAction
2025-03-05UBSBuyBuymain
2025-03-05ScotiabankSector OutperformSector Outperformmain
2025-03-04Cantor FitzgeraldOverweightOverweightreit
2025-02-06Cantor FitzgeraldOverweightinit
2025-01-24ScotiabankSector OutperformSector Outperformmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

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Blog For 2025-03-10 Insider Trading From 2025-03-11 Insider-Intel.com Email Report

2025-03-11 Insider Trading Report has 267 Insider transactions. 93 Bought. 174 Sold.

Total shares bought: 2,698,289    Total shares sold: 10,223,804

Shares Bought by Title - Officers: 94,490   Directors: 1,078,528   Percenters: 1,282,805   Other: 242,466

Shares Sold by Title - Officers: 1,260,271   Directors: 2,598,405   Percenters: 6,165,128   Other: 200,000


Insider Transaction - Largest Bought Percent Change
Ticker: BLNDCompany: Blend Labs, Inc.
Transaction Date: 2025-03-06Transaction Type: Bought
Transactions Shares: 587,149   Shares After: 644,888Percentage Change: 1016.90%
Name: Haveli Investments, L.P.Title: percenter

Insider Transaction - Largest Sold Percent Change
Ticker: CCCSCompany: CCC Intelligent Solutions Holdings Inc.
Transaction Date: 2025-03-07Transaction Type: Sold
Transactions Shares: 12,186   Shares After: 0Percentage Change: -100.00%
Name: Christo RodneyTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: EVHCompany: Evolent Health, Inc.
Transaction Date: 2025-03-06Transaction Type: Bought
Transactions Shares: 55,225   Shares After: 762,217Percentage Change: 7.81%
Name: Blackley SethTitle: director

Evolent Health, Inc. (EVH) Basic Information

https://www.evolent.com
Business Sector: Healthcare         Industry: Health Information Services
Evolent Health, Inc., through its subsidiary, Evolent Health LLC, offers specialty care management services in oncology, cardiology, and musculoskeletal markets in the United States. The company provides integrated platform for health plan administration and value-based business infrastructure. It offers administrative services, such as health plan services, pharmacy benefits management, risk management, analytics and reporting, and leadership and management; and Identifi, a proprietary technology system that aggregates and analyzes data, manages care workflows, and engages patients. In addition, the company provides holistic total cost of care management; and Machinify Auth, a software platform that leverages advances in artificial intelligence. Evolent Health, Inc. was founded in 2011 and is headquartered in Arlington, Virginia.
52 Week Low: 8.35      52 Week High: 34.07

News Of Evolent Health, Inc., Ticker: EVH

Published On 2025-03-07 By StockStory
3 Reasons to Sell EVH and 1 Stock to Buy Instead
Published On 2025-02-22 By Simply Wall St.
Evolent Health Full Year 2024 Earnings: EPS Beats Expectations
Published On 2025-02-21 By Motley Fool
Evolent Health (EVH) Q4 2024 Earnings Call Transcript
Published On 2025-02-21 By GuruFocus.com
Evolent Health Inc (EVH) Q4 2024 Earnings Call Highlights: Strong Revenue Growth Amid Oncology ...
Published On 2025-02-20 By Zacks
Evolent Health (EVH) Q4 Earnings: Taking a Look at Key Metrics Versus Estimates
Published On 2025-02-20 By StockStory
Evolent Health (NYSE:EVH) Misses Q4 Sales Targets
Published On 2025-02-20 By Zacks
Evolent Health (EVH) Reports Q4 Loss, Lags Revenue Estimates
Published On 2025-02-20 By Associated Press Finance
Evolent Health: Q4 Earnings Snapshot
Published On 2025-02-19 By StockStory
Evolent Health (EVH) Q4 Earnings Report Preview: What To Look For
Published On 2025-02-19 By Simply Wall St.
Evolent Health (NYSE:EVH) Is Doing The Right Things To Multiply Its Share Price

Last 5 Grade Reports For Evolent Health, Inc., Ticker: EVH

DateSourceFrom GradeTo GradeAction
2025-03-10JP MorganOverweightOverweightmain
2025-02-24Citizens Capital MarketsMarket OutperformMarket Outperformmain
2025-02-21Piper SandlerOverweightOverweightreit
2025-02-21NeedhamBuyBuyreit
2025-02-14JMP SecuritiesMarket OutperformMarket Outperformreit

AI Analysis Of Company Insider Trading From 2025-03-11 Insider-Intel.com Email Report

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The historical data for EVH shows a mix of positive and negative trends. From 2016 to 2019, the stock experienced steady growth, with gains ranging from 0.08% to 1.10%. However, the market volatility increased around August 2019, with the stock experiencing significant losses (-0.02%). The data suggests that EVH may be influenced by broader market conditions, as well as company-specific news and announcements.

One possibility is that EVH's recent strategic partnership could lead to improved revenue growth and a positive impact on its stock price. Additionally, the company's historical performance shows that it can recover from market downturns. It is possible that EVH could rebound from any potential losses in the current transaction.

Another possibility is that the market's concerns about inflation and interest rate hikes could continue to affect EVH's stock price. If these factors remain a concern, it is possible that the company's stock could experience further volatility. However, it is also possible that EVH's diversification strategy and recent partnership could help mitigate some of this risk.

Based on the historical information provided in the report, there are certain possibilities for the current transaction.

The possibility of a profit for the current transaction is +0.30% at 3 months, +0.50% at 6 months, and +0.70% at 9 months, as indicated by the research findings.

On the other hand, there is also a possibility of loss, which could be influenced by various factors such as global economic conditions, interest rate changes, and company-specific news and earnings reports for EVH.


Randomly Selected Selling Insider Transaction Detail
Ticker: AORTCompany: ARTIVION, INC.
Transaction Date: 2025-03-06Transaction Type: Sold
Transactions Shares: 88,439   Shares After: 860,368Percentage Change: -9.32%
Name: Mackin James PTitle: officer

ARTIVION, INC. (AORT) Basic Information

https://artivion.com
Business Sector: Healthcare         Industry: Medical Devices
Artivion, Inc. manufactures, processes, and distributes medical devices and implantable human tissues worldwide. The company operates through two segments, Medical Devices and Preservation Services. The company provides BioGlue, a polymer consisting of bovine blood protein and an agent for cross-linking proteins for cardiac, vascular, neurologic, and pulmonary procedures; cardiac preservation services; Vascular Preservation Services; PhotoFix, a bovine pericardial patch; and aortic arch stent grafts including E-vita Open Plus, E-vita Open Neo, AMDS, and NEXUS products. It offers E-xtra design engineering systems for the treatment of aortic vascular diseases; E-nside, an off-the-shelf stent graft for the treatment of thoraco-abdominal disease; E-vita THORACIC 3G for the endovascular treatment of thoracic aortic aneurysms; E-ventus BX, a balloon-expandable peripheral stent graft for the endovascular treatment of renal and pelvic arteries; E-liac to treat aneurysmal iliac arteries, and aneurysmal iliac side branches; and E-tegra, a stent graft system for the treatment of infrarenal abdominal aortic aneurysms. In addition, the company offers synthetic vascular grafts for use in open aortic and peripheral vascular surgical procedures; PerClot, an absorbable powdered hemostat for use in surgical procedures; cardiac laser therapy products for angina treatment; CryoVein femoral vein and CryoArtery femoral artery vascular preservation services; On-X prosthetic aortic and mitral heart valves and the On-X ascending aortic prosthesis; and ascyrus medical dissection stents, as well as pyrolytic carbon coating services to medical device manufacturers. It serves physicians, hospitals, and other healthcare facilities, as well as cardiac, vascular, thoracic, and general surgeons. The company was formerly known as CryoLife, Inc. and changed its name to Artivion, Inc. in January 2022. Artivion, Inc. was incorporated in 1984 and is headquartered in Kennesaw, Georgia.
52 Week Low: 19.11      52 Week High: 32.33

News Of ARTIVION, INC., Ticker: AORT

Published On 2025-03-04 By Simply Wall St.
Artivion Full Year 2024 Earnings: EPS Misses Expectations
Published On 2025-02-27 By Zacks
Down -18.58% in 4 Weeks, Here's Why Artivion (AORT) Looks Ripe for a Turnaround
Published On 2025-02-27 By Simply Wall St.
Earnings Miss: Artivion, Inc. Missed EPS And Analysts Are Revising Their Forecasts
Published On 2025-02-26 By TipRanks
Artivion price target lowered to $32 from $34 at Needham
Published On 2025-02-24 By Simply Wall St.
Should You Investigate Artivion, Inc. (NYSE:AORT) At US$28.26?
Published On 2025-02-04 By Simply Wall St.
Estimating The Fair Value Of Artivion, Inc. (NYSE:AORT)
Published On 2025-01-14 By Simply Wall St.
3 US Stocks Estimated To Be Trading Below Their Intrinsic Value In January 2025
Published On 2024-11-30 By Simply Wall St.
Returns On Capital Are Showing Encouraging Signs At Artivion (NYSE:AORT)
Published On 2024-11-09 By Simply Wall St.
Artivion Third Quarter 2024 Earnings: Beats Expectations
Published On 2024-09-26 By Simply Wall St.
Those who invested in Artivion (NYSE:AORT) a year ago are up 61%

Last 5 Grade Reports For ARTIVION, INC., Ticker: AORT

DateSourceFrom GradeTo GradeAction
2025-02-25Citizens Capital MarketsMarket OutperformMarket Outperformreit
2025-02-25StifelBuyBuymain
2025-02-25NeedhamBuyBuymain
2025-01-28NeedhamBuyBuyreit
2024-12-10JMP SecuritiesMarket OutperformMarket Outperformreit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides an analysis of the HTML and text documents related to ARTIVION, INC. (AORT). The data suggests that AORT's stock price has experienced fluctuations over time, with a decline in recent months. The report highlights various market influences that may have contributed to this decline, including concerns over inflation and potential interest rate hikes.

The analysis also discusses several news events and partnerships that could impact AORT's stock price, such as a strategic partnership aimed at expanding product offerings and market reach. Overall, the report presents various possibilities related to AORT's future performance based on historical data and current market conditions.

The historical data for AORT suggests possible trends and patterns that could influence its future performance. From August 26, 2024, to August 13, 2024, the stock price showed a decline, possibly due to market volatility and concerns over inflation and interest rate hikes. This period was marked by negative sentiment and uncertainty.

However, on May 10, 2024, the market experienced a slight gain, which could be attributed to positive economic data and strong corporate earnings reports. This possibility might indicate that AORT's stock price could experience a similar upturn in response to company-specific news or general market improvements.

The historical data also highlights the possibility of AORT's stock price being influenced by broader economic conditions and interest rate changes. As such, it is possible that future market fluctuations could impact its performance.

Overall, the historical data suggests that AORT's stock price could be influenced by a combination of company-specific news and general market conditions. The possibilities include both positive and negative outcomes, depending on how these factors unfold in the future.

Based on the historical information provided, it is possible that the current transaction for AORT could result in a profit or loss. The report highlights several factors that may influence the stock price, including company-specific news and broader economic conditions.

Possibly, the recent announcement of a strategic partnership could lead to a gain at 3 months of +0.05%, with a possible gain at 6 months of +0.10% and a possible gain at 9 months of +0.15%. However, it is also possible that the stock price may decline due to ongoing concerns about inflation and potential interest rate hikes.

Overall, the possibilities for profit or loss are influenced by both company-specific news and broader market conditions, making it difficult to determine a specific outcome.


Blog For 2025-03-07 Insider Trading From 2025-03-08 Insider-Intel.com Email Report

2025-03-08 Insider Trading Report has 304 Insider transactions. 71 Bought. 233 Sold.

Total shares bought: 73,689,826    Total shares sold: 13,488,679

Shares Bought by Title - Officers: 88,967   Directors: 587,778   Percenters: 72,824,402   Other: 188,679

Shares Sold by Title - Officers: 2,892,730   Directors: 2,004,516   Percenters: 7,857,043   Other: 734,390


Insider Transaction - Largest Bought Percent Change
Ticker: TNYACompany: Tenaya Therapeutics, Inc.
Transaction Date: 2025-03-05Transaction Type: Bought
Transactions Shares: 35,714,284   Shares After: 49,313,559Percentage Change: 262.62%
Name: COLUMN GROUP III GP, LPTitle: percenter

Insider Transaction - Largest Sold Percent Change
Ticker: ACHRCompany: Archer Aviation Inc.
Transaction Date: 2025-03-05Transaction Type: Sold
Transactions Shares: 53,225   Shares After: 0Percentage Change: -100.00%
Name: Lentell EricTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: MRVLCompany: Marvell Technology, Inc.
Transaction Date: 2025-03-07Transaction Type: Bought
Transactions Shares: 3,000   Shares After: 87,113Percentage Change: 3.57%
Name: Buss Brad WTitle: director

Marvell Technology, Inc. (MRVL) Basic Information

https://www.marvell.com
Business Sector: Technology         Industry: Semiconductors
Marvell Technology, Inc., together with its subsidiaries, provides data infrastructure semiconductor solutions, spanning the data center core to network edge. The company develops and scales complex System-on-a-Chip architectures, integrating analog, mixed-signal, and digital signal processing functionality. It offers a portfolio of Ethernet solutions, including controllers, network adapters, physical transceivers, and switches; single or multiple core processors; and custom application specific integrated circuits. The company also provides electro-optical products, including pulse amplitude modulations, coherent digital signal processors, laser drivers, trans-impedance amplifiers, silicon photonics, and data center interconnect solutions; fibre channel products comprising host bus adapters and controllers; storage controllers for hard disk drives and solid-state-drives; and host system interfaces, including serial attached SCSI, serial advanced technology attachment, peripheral component interconnect express, non-volatile memory express (NVMe), and NVMe over fabrics. It has operations in the United States, Argentina, China, India, Israel, Japan, Singapore, South Korea, Taiwan, and Vietnam. Marvell Technology, Inc. was incorporated in 1995 and is headquartered in Wilmington, Delaware.
52 Week Low: 53.19      52 Week High: 127.48

News Of Marvell Technology, Inc., Ticker: MRVL

Published On 2025-03-10 By Simply Wall St.
Marvell Technology (NasdaqGS:MRVL) Shares Fall 23% Despite Positive Q4 Earnings Turnaround
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2 AI Chip Stocks to Buy on the Dip
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Marvell (MRVL) Secures Amazon AI Contract, $120 Price Target Reiterated
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Marvell Technology, Inc. (NASDAQ:MRVL) Just Reported, And Analysts Assigned A US$116 Price Target
Published On 2025-03-08 By Insider Monkey
Is Marvell Technology, Inc. (MRVL) the Best Growth Stock Under $100 to Buy Now?
Published On 2025-03-08 By Insider Monkey
Marvell Technology, Inc. (MRVL) Reaffirmed ‘Buy’ on AI and Data Center Growth
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These Stocks Moved the Most Today: Broadcom, HPE, Tesla, Gap, Walgreens, Costco, Intuitive Machines, BigBear.ai, and More
Published On 2025-03-07 By Insider Monkey
Why Marvell Technology, Inc. (MRVL) Crashed on Thursday
Published On 2025-03-07 By Zacks
Marvell Stock Falls 20% on Dim Q1 Sales View: Should You Buy the Dip?
Published On 2025-03-07 By Yahoo Finance
Nvidia sheds $1 trillion from record high market cap as market sell-off intensifies

Last 5 Grade Reports For Marvell Technology, Inc., Ticker: MRVL

DateSourceFrom GradeTo GradeAction
2025-03-06StifelBuyBuymain
2025-03-06CitigroupBuyBuymain
2025-03-06Loop CapitalHoldBuyup
2025-03-06Piper SandlerOverweightOverweightmain
2025-03-06BarclaysOverweightOverweightmain

AI Analysis Of Company Insider Trading From 2025-03-08 Insider-Intel.com Email Report

The report contains information about Marvell Technology, Inc.'s (MRVL) stock performance and market trends. The report highlights the company's recent product launch, which is expected to boost revenue and generate positive sentiment among investors. Additionally, the report notes ongoing concerns about inflation and potential interest rate hikes, which may influence investor behavior.

The report also includes historical data on MRVL's stock price movements, including gains and losses over various time periods. The data suggests that the company's stock has been relatively stable in recent months, with some fluctuations due to market conditions.

Overall, the report provides a snapshot of MRVL's current market situation and highlights potential factors that may influence its stock performance going forward.

According to the historical data, Marvell Technology (MRVL) has shown mixed performance over the past few years. In June 2024, the stock price experienced a slight gain of 0.07% compared to three months prior, which could indicate a possible stabilizing trend. However, this growth was short-lived, as the stock price dropped by 0.02% in September 2022, possibly due to market volatility and economic uncertainty. In contrast, the company's performance in June 2024 suggests that MRVL might be poised for future growth. The recent product launch announcement could potentially boost revenue, leading to a possible increase in the stock price. This possibility is further supported by the optimistic sentiment among investors, which may have been fueled by the new product's expected market share expansion. Considering these historical trends and possibilities, it appears that MRVL's current transaction might be influenced by both company-specific news and broader market conditions. Possibilities for a profit or loss include:

  • A possible stabilizing trend driven by the company's recent product launch announcement.
  • A potential increase in stock price due to the new product's expected revenue growth.
  • A possibility of market volatility affecting MRVL's performance, potentially leading to a loss.

The current transaction for Marvell Technology (MRVL) on March 7, 2025, shows possibilities of profit or loss based on historical information.

Against the backdrop of ongoing economic uncertainties and concerns about inflation and potential interest rate hikes, there are possibilities that MRVL's stock price could fluctuate.

The company's recent product launch aimed at expanding its market share in the semiconductor industry has generated positive sentiment among investors, creating possibilities for a profit.

However, the broader economic uncertainties and concerns about inflation and potential interest rate hikes also create possibilities for a loss.

In this context, it is possible that MRVL's stock price could experience a gain or loss at 3 months, 6 months, or 9 months based on global economic conditions and interest rate changes.


Randomly Selected Selling Insider Transaction Detail
Ticker: CVICompany: CVR ENERGY INC
Transaction Date: 2025-03-07Transaction Type: Bought
Transactions Shares: 203,219   Shares After: 68,151,072Percentage Change: 0.30%
Name: ICAHN CARL CTitle: percenter

CVR ENERGY INC (CVI) Basic Information

https://www.cvrenergy.com
Business Sector: Energy         Industry: Oil & Gas Refining & Marketing
CVR Energy, Inc., together with its subsidiaries, engages in renewable fuels and petroleum refining and marketing, and nitrogen fertilizer manufacturing activities in the United States. It operates in three segments: Petroleum, Renewables, and Nitrogen Fertilizer. The Petroleum segment refines and markets transportation fuels, such as gasoline, diesel, jet fuel, and distillates; and includes crude gathering and logistics that support the refinery operations. This segment also owns and operates a coking medium-sour crude oil refinery in Kansas; and a crude oil refinery in Oklahoma. This segment serves retailers, railroads, farm cooperatives, and other refiners/marketers. The Renewables segment refines renewable feedstocks, including soybean oil, corn oil, and other renewable feedstocks into renewable diesel; and marketing of renewables products. The Nitrogen Fertilizer segment owns and operates a nitrogen fertilizer plant in Coffeyville, Kansas that utilizes a pet coke gasification process to produce nitrogen fertilizer products; and a nitrogen fertilizer facility in East Dubuque, Illinois that produces nitrogen fertilizers in the form of ammonia and urea ammonium nitrate (UAN) and nitric acid. This segment primarily markets UAN products to agricultural customers; and ammonia products to agricultural and industrial customers. The company was founded in 1906 and is headquartered in Sugar Land, Texas. CVR Energy, Inc. is a subsidiary of Icahn Enterprises Holdings L.P.
52 Week Low: 15.6      52 Week High: 38.07

News Of CVR ENERGY INC, Ticker: CVI

Published On 2025-03-05 By Insider Monkey
CVR Energy, Inc. (CVI): Among Stocks With At Least $10 Million In Insider Spending Recently
Published On 2025-03-01 By Insider Monkey
CVR Energy, Inc. (CVI): Among Top Stock Picks From Carl Icahn’s Portfolio
Published On 2025-02-27 By Insider Monkey
Why CVR Energy, Inc. (CVI) Is Gaining This Week?
Published On 2025-02-26 By Simply Wall St.
CVR Energy (NYSE:CVI) Posted Weak Earnings But There Is More To Worry About
Published On 2025-02-23 By Insider Monkey
Is CVR Energy, Inc. (CVI) The Best Oil Refinery Stock To Invest In According to Analysts?
Published On 2025-02-20 By Simply Wall St.
CVR Energy Full Year 2024 Earnings: Beats Expectations
Published On 2025-02-20 By Thomson Reuters StreetEvents
Q4 2024 CVR Energy Inc Earnings Call
Published On 2025-02-20 By GuruFocus.com
CVR Energy Inc (CVI) Q4 2024 Earnings Call Highlights: Strong Liquidity and Segment Performance ...
Published On 2025-02-18 By Zacks
CVR Energy (CVI) Reports Q4 Loss, Tops Revenue Estimates
Published On 2025-02-18 By Associated Press Finance
CVR: Q4 Earnings Snapshot

Last 5 Grade Reports For CVR ENERGY INC, Ticker: CVI

DateSourceFrom GradeTo GradeAction
2024-12-16MizuhoNeutralNeutralmain
2024-12-06Goldman SachsSellSellmain
2024-10-10ScotiabankSector UnderperformSector Underperformmain
2024-10-02JP MorganUnderweightUnderweightmain
2024-09-16MizuhoNeutralNeutralmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report contains information about the stock price performance of CVI, CVR Energy Inc., over a period of time. The data shows the gain or loss at 3 months, 6 months, and 9 months for specific dates in May 2012. Additionally, the report provides general market information for each date, highlighting factors that influenced the market's sentiment.

The report also includes research on historical dates, providing context about global economic conditions and interest rate changes. Furthermore, it highlights company-specific news and earnings reports for CVI.

The historical data reveals several trends and patterns that could influence the possibilities for CVI's performance. Notably, the company experienced significant gains between 2012-05-25 to 2012-05-17, with a peak gain of 1.03% in three months. This period was marked by positive economic data from the US and cautious sentiment among investors due to concerns over the European debt crisis.

Additionally, CVI's performance was affected by mixed economic data and ongoing concerns about the European debt crisis between 2012-05-24 and 2012-05-18. During this period, the company experienced moderate losses, with a peak loss of -0.04% in three months.

It is possible that CVI's recent announcement of a new strategic partnership could have a positive impact on its performance, potentially leading to gains in revenue and market presence. The partnership may also attract new investors, contributing to an increase in demand for the company's shares.

The overall trend suggests that CVI's performance is influenced by broader economic conditions, as well as company-specific news and announcements. It is possible that a combination of these factors could lead to profitable outcomes or losses, depending on the market environment.

The current transaction for CVI has various possibilities based on the historical information provided.

At 3 months, there is a possibility that the stock price may increase by around +0.05%, which could be influenced by company-specific news and general market conditions.

At 6 months, there is a possibility that the stock price may rise by approximately +0.50%, which could be driven by both company-specific developments and broader economic factors.

At 9 months, there is a possibility that the stock price may increase by around +0.90%, potentially due to the continued impact of positive company news and any changes in market conditions.


Blog For 2025-03-06 Insider Trading From 2025-03-07 Insider-Intel.com Email Report

2025-03-07 Insider Trading Report has 277 Insider transactions. 83 Bought. 194 Sold.

Total shares bought: 1,841,129    Total shares sold: 17,275,797

Shares Bought by Title - Officers: 72,835   Directors: 928,442   Percenters: 610,952   Other: 228,900

Shares Sold by Title - Officers: 1,862,131   Directors: 7,364,398   Percenters: 7,539,524   Other: 509,743


Insider Transaction - Largest Bought Percent Change
Ticker: GAMCompany: GENERAL AMERICAN INVESTORS CO INC
Transaction Date: 2025-03-06Transaction Type: Bought
Transactions Shares: 650   Shares After: 1,000Percentage Change: 185.71%
Name: Grassi Craig AnthonyTitle: officer

Insider Transaction - Largest Sold Percent Change
Ticker: ARESCompany: Ares Management Corp
Transaction Date: 2025-03-05Transaction Type: Sold
Transactions Shares: 100,000   Shares After: 0Percentage Change: -100.00%
Name: KAPLAN DAVID BTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: SSBCompany: SouthState Corp
Transaction Date: 2025-03-06Transaction Type: Bought
Transactions Shares: 3,100   Shares After: 36,779Percentage Change: 9.20%
Name: SMITH G STACYTitle: director

SouthState Corp (SSB) Basic Information

https://www.southstatebank.com
Business Sector: Financial Services         Industry: Banks - Regional
SouthState Corporation operates as the bank holding company for SouthState Bank, National Association that provides a range of banking services and products to individuals and companies in the United States. The company offers checking accounts, savings accounts, money market accounts, and time deposit accounts; interest-bearing deposits, certificates of deposits, and other time deposits; and interest-bearing transaction accounts. It also provides bond accounting services for correspondents, asset/liability consulting related activities, international wires, and other clearing and corporate checking account services. In addition, the company offers commercial real estate, residential real estate, and commercial and industrial loans, as well as consumer loans, including auto, boat, and personal installment, as well as business, agriculture, real estate-secured (mortgage), home improvement, and manufactured housing loans. Further, it provides debit and credit card, mobile services, funds transfer products and services, and treasury management services comprising merchant, automated clearing house, lock-box, remote deposit capture, and other treasury services, as well as asset and wealth management, and other fiduciary and private banking services. Additionally, the company offers safe deposit boxes, bank money orders, wire transfer and ACH services, brokerage services, and alternative investment products, such as annuities and mutual funds, trust and asset management services; letters of credit and home equity lines of credit; and online, mobile, and telephone banking platforms. The company was formerly known as First Financial Holdings, Inc. and changed its name to SouthState Corporation in July 2013. SouthState Corporation was founded in 1933 and is headquartered in Winter Haven, Florida.
52 Week Low: 70.68      52 Week High: 114.27

News Of SouthState Corp, Ticker: SSB

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SouthState Full Year 2024 Earnings: EPS Beats Expectations
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South State closes merger with Independent Financial
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3 US Stocks Estimated To Be Trading At Discounts Of Up To 33.6%
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What Makes SouthState (SSB) a New Buy Stock
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Here's What We Like About SouthState's (NYSE:SSB) Upcoming Dividend
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Discover 3 US Stocks That Might Be Trading Below Fair Value

Last 5 Grade Reports For SouthState Corp, Ticker: SSB

DateSourceFrom GradeTo GradeAction
2025-03-07Stephens & Co.OverweightOverweightreit
2025-01-27CitigroupNeutralBuyup
2025-01-24Stephens & Co.OverweightOverweightreit
2025-01-02Stephens & Co.OverweightOverweightreit
2024-12-17UBSBuyinit

AI Analysis Of Company Insider Trading From 2025-03-07 Insider-Intel.com Email Report

The report contains information about SouthState Corp (SSB) and its stock performance over various time periods. The data suggests that SSB's stock price has fluctuated based on market conditions, with some periods showing gains and others showing losses. The report also highlights recent company-specific news, such as a strategic acquisition aimed at expanding the company's presence in the southeastern United States.

The overall trend of SSB's stock performance is characterized by small gains and losses over time, with no clear pattern emerging. The data suggests that investors are cautious due to ongoing concerns about inflation and potential interest rate hikes. The report also notes that recent news has generated positive sentiment among investors, which could potentially impact the company's stock price in the future.

The historical data reveals several trends and patterns that might influence the future performance of SSB. One possibility is that the company's stock price may continue to fluctuate based on market conditions and economic indicators, such as inflation and interest rates. The data suggests that during times of positive market sentiment, SSB's stock price tends to increase, while during periods of uncertainty or market volatility, it may decline.

Another possibility is that the company's strategic acquisition announced recently might have a significant impact on its revenue and market share, potentially leading to an upward trend in its stock price. The data also shows that SSB has historically performed well during periods of strong corporate earnings reports and positive economic data.

It is also possible that the current market conditions, characterized by concerns about inflation and potential interest rate hikes, might lead to a more cautious investor sentiment, resulting in a stable or slightly declining stock price for SSB. The company's ability to adapt to these changing market conditions will likely play a crucial role in determining its future performance.

Based on the historical information provided, there are possibilities for both profit and loss for the current transaction. The company's recent acquisition announcement has generated positive sentiment among investors, which could lead to a potential gain of +0.10% at 3 months, +0.15% at 6 months, or +0.20% at 9 months.

However, general market conditions are influenced by ongoing concerns about inflation and potential interest rate hikes, which could also impact the stock price negatively. The possibilities of a loss would depend on how these macroeconomic factors affect the overall market sentiment.

In this scenario, it is possible that the stock price may fluctuate based on these external factors, leading to either a profit or loss for the current transaction.


Randomly Selected Selling Insider Transaction Detail
Ticker: MORNCompany: Morningstar, Inc.
Transaction Date: 2025-03-05Transaction Type: Sold
Transactions Shares: 9,062   Shares After: 10,047,332Percentage Change: -0.09%
Name: Mansueto Joseph DTitle: percenter

Morningstar, Inc. (MORN) Basic Information

https://www.morningstar.com
Business Sector: Financial Services         Industry: Financial Data & Stock Exchanges
Morningstar, Inc. provides independent investment insights in the United States, Asia, Australia, Canada, Continental Europe, the United Kingdom, and internationally. The company operates in five segments: Morningstar Data and Analytics; PitchBook; Morningstar Wealth; Morningstar Credit; and Morningstar Retirement. The company offers managed investments, including mutual funds, ETFs, separate accounts, collective investment trusts, model portfolios, equities, and fixed income securities; Morningstar Direct is an investment-analysis and reporting application; Morningstar Advisor Workstation, a suite of tools to provide advice to clients. It also provides PitchBook that offers data and research covering the private capital markets comprising venture capital, private equity, private credit and bank loans, and merger and acquisition activities through the PitchBook platform; model portfolios and wealth platforms; Morningstar Model Portfolios, an advisor service with model portfolios for fee-based independent financial advisors; and Morningstar.com that discovers, evaluates, and monitors stocks, ETFs, and mutual funds, as well as build and monitor portfolios and markets. In addition, the company offers credit ratings, research, data, and credit analytics solutions; Morningstar DBRS which offers securitizations and other structured finance instruments, such as asset-backed securities, residential and commercial mortgage-backed securities, and collateralized loan obligations. Further, it provides managed retirement accounts, fiduciary services, Morningstar Lifetime Allocation funds, and custom models; Morningstar Sustainalytics provides environmental, social and governance data, research, and ratings; and Morningstar Indexes offers market indexes used for performance benchmarks and as the basis for investment products and other portfolio strategies. Morningstar, Inc. was incorporated in 1984 and is headquartered in Chicago, Illinois.
52 Week Low: 281.37      52 Week High: 365.0

News Of Morningstar, Inc., Ticker: MORN

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This stock fund is fully diversified from the S&P 500 — and pays high dividends
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Should iShares Morningstar Mid-Cap ETF (IMCB) Be on Your Investing Radar?

Last 5 Grade Reports For Morningstar, Inc., Ticker: MORN

DateSourceFrom GradeTo GradeAction
2025-03-03BMO CapitalOutperformOutperformmain
2024-10-09Redburn AtlanticBuyNeutraldown
2024-10-08UBSBuyinit
2024-08-28BMO CapitalOutperformOutperformmain
2024-08-12BMO CapitalOutperforminit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report appears to be an analysis of the content and data contained within HTML and text documents related to Morningstar, Inc. (MORN) stock performance. The document provides a summary of various market conditions, economic data, and company-specific news that may have influenced the stock price of MORN over time. Some notable events mentioned include mixed economic data, earnings reports from major companies, holiday season sales data, and corporate announcements.

The report also includes historical transaction date information for MORN, highlighting specific dates where market conditions and company-specific news may have impacted the stock price. Additionally, it mentions ongoing concerns about inflation and potential interest rate hikes that may influence investors' decisions.

Overall, the report appears to provide an analysis of the factors that may have influenced the stock performance of Morningstar, Inc. (MORN) over time, highlighting the complexities of market conditions and their potential impact on investor decisions.

The historical data contained in the report suggests several possibilities for past trends and performance indicators.

According to the data, Morningstar, Inc.'s (MORN) stock price has experienced fluctuations over the past few months, with a slight decline in September 2024 followed by a moderate increase in subsequent periods. This trend may indicate that MORN's stock is sensitive to broader market conditions and economic announcements.

The lack of specific news related to MORN on certain dates suggests that external factors, such as general market sentiment and economic data releases, can significantly influence the company's stock price. This possibility highlights the importance of monitoring global economic conditions and interest rate changes for potential impacts on MORN's performance.

Further analysis reveals a possible connection between positive market trends and MORN's stock price. For instance, the strong retail performance during the holiday season (September 5, 2024) may have contributed to the company's moderate increase in stock price. This possibility suggests that MORN's stock could benefit from a favorable economic environment.

Ultimately, these possibilities underscore the need for ongoing monitoring and analysis of market trends, economic data releases, and company-specific news to better understand the potential outcomes for MORN's stock performance.

Based on the historical data provided, it is possible that the current transaction for Morningstar, Inc. (MORN) could result in a profit or loss. The report suggests that market conditions and company-specific news can influence the stock price of MORN.

Possibly, a profit could be made if the new product launch generates positive sentiment among investors, leading to an increase in revenue and stock price. Additionally, if the company continues to perform well financially, its stock price may continue to rise.

On the other hand, it is also possible that the current transaction could result in a loss. If market conditions remain uncertain due to concerns about inflation and interest rate hikes, investors may become cautious, leading to a decrease in MORN's stock price.


Blog For 2025-03-05 Insider Trading From 2025-03-06 Insider-Intel.com Email Report

2025-03-06 Insider Trading Report has 244 Insider transactions. 33 Bought. 211 Sold.

Total shares bought: 7,265,234    Total shares sold: 15,891,097

Shares Bought by Title - Officers: 112,008   Directors: 951,759   Percenters: 6,191,467   Other: 10,000

Shares Sold by Title - Officers: 1,196,765   Directors: 9,028,081   Percenters: 5,639,592   Other: 26,659


Insider Transaction - Largest Bought Percent Change
Ticker: PRCompany: Permian Resources Corp
Transaction Date: 2025-03-04Transaction Type: Bought
Transactions Shares: 750,000   Shares After: 1,062,429Percentage Change: 240.05%
Name: Quinn William JTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: ANETCompany: Arista Networks, Inc.
Transaction Date: 2025-03-03Transaction Type: Sold
Transactions Shares: 51,848   Shares After: 0Percentage Change: -100.00%
Name: Taxay MarcTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: MODCompany: MODINE MANUFACTURING CO
Transaction Date: 2025-03-03Transaction Type: Bought
Transactions Shares: 2,530   Shares After: 7,277Percentage Change: 53.30%
Name: WULFSOHN WILLIAM ATitle: director

MODINE MANUFACTURING CO (MOD) Basic Information

https://www.modine.com
Business Sector: Consumer Cyclical         Industry: Auto Parts
Modine Manufacturing Company provides thermal management products and solutions in the United States, Italy, Hungary, China, the United Kingdom, and internationally. It operates through Climate Solutions and Performance Technologies segments. The company offers heat transfer coils, including heat recovery and round tube plate fin coils; gas-fired, hydronic, electric and oilfired unit heaters; roof-mounted direct- and indirect-fired makeup air units; duct furnaces; infrared units; perimeter heating products; single packaged unit ventilators; modular chillers; air handler and condensing units; ceiling cassettes; evaporator unit coolers, remote condensers, fluid coolers, gas coolers, and dry and brine coolers; and motor and generator cooling coils, transformer oil coolers, radiators, dryers, and industrial heat exchangers. It also provides data center products consisting of IT cooling solutions, including precision air conditioning units for data center applications; computer room air conditioning and handler units; hybrid fan coils; fan walls; chillers; condensers; condensing units; and liquid cooling solutions for high-density computing, as well as replacement parts, maintenance service and control solutions for existing equipment and new building management controls and systems. In addition, the company offers powertrain cooling products, such as radiators, condensers, engine cooling modules, charge air coolers, fan shrouds, and surge tanks; cooling module generator sets; aluminum and stainless steel engine oil coolers, exhaust gas recirculation coolers, liquid charge air coolers, transmission and retarder oil coolers, and chillers; battery thermal management systems, electronics cooling packages, battery chillers, battery cooling plates, coolers and casings for electronics cooling, and coolers for electric axles; and coatings products and application services. Modine Manufacturing Company was incorporated in 1916 and is headquartered in Racine, Wisconsin.
52 Week Low: 72.49      52 Week High: 146.84

News Of MODINE MANUFACTURING CO, Ticker: MOD

Published On 2025-03-04 By Insider Monkey
Jim Cramer on Modine Manufacturing Company (MOD): ‘It Has Come Down So Much’
Published On 2025-02-27 By Zacks
Modine Manufacturing Company (MOD) is Attracting Investor Attention: Here is What You Should Know
Published On 2025-02-15 By Insider Monkey
Modine Manufacturing Company (MOD): Among the Best Consumer Discretionary Stocks to Buy According to Analysts
Published On 2025-02-11 By Zacks
Modine Manufacturing Company (MOD) Is a Trending Stock: Facts to Know Before Betting on It
Published On 2025-02-07 By Simply Wall St.
Is There An Opportunity With Modine Manufacturing Company's (NYSE:MOD) 30% Undervaluation?
Published On 2025-02-07 By Facilities Dive
Data centers drive Modine’s Q3 growth; CEO sees no DeepSeek ‘slowdown’
Published On 2025-02-06 By GuruFocus.com
Modine Manufacturing Co (MOD) Q3 2025 Earnings Call Highlights: Robust Revenue Growth and ...
Published On 2025-02-06 By Thomson Reuters StreetEvents
Q3 2025 Modine Manufacturing Co Earnings Call
Published On 2025-02-05 By Zacks
Compared to Estimates, Modine (MOD) Q3 Earnings: A Look at Key Metrics
Published On 2025-02-04 By Zacks
Modine (MOD) Beats Q3 Earnings and Revenue Estimates

Last 5 Grade Reports For MODINE MANUFACTURING CO, Ticker: MOD

DateSourceFrom GradeTo GradeAction
2024-10-31OppenheimerOutperformOutperformmain
2024-10-14OppenheimerOutperformOutperformmain
2024-09-24DA DavidsonBuyBuymain
2024-09-12OppenheimerOutperformOutperformreit
2024-08-01B. Riley SecuritiesBuyBuyreit

AI Analysis Of Company Insider Trading From 2025-03-06 Insider-Intel.com Email Report

The report provides information about MODINE MANUFACTURING CO (MOD) and its stock performance over the years. The data shows that the company's stock price has fluctuated over time, influenced by various market conditions and company-specific news. The report highlights several key dates, including June 7, 2023, November 20, 2019, November 19, 2019, March 22, 2019, and November 1, 2011, which had significant impacts on the stock's performance.

The report also discusses possible market influences that could affect MOD's stock price in the future. For instance, it notes that the company has recently announced a strategic partnership aimed at expanding its market presence in the automotive industry, which could drive revenue growth and enhance the company's competitive position. Additionally, general market conditions are influenced by ongoing concerns about inflation and potential interest rate hikes.

The report concludes by noting that MOD's stock performance is influenced by various factors, including global economic conditions and interest rates. It suggests that investors should monitor these trends closely to stay updated on the company's performance.

The historical data for MOD suggests several possibilities:

Based on the past trends, it is possible that MOD's stock performance might be influenced by global economic conditions and interest rate changes.

The 2023-06-07 date shows a positive gain of +0.43%, which could indicate a possibility of continued growth if market conditions remain favorable.

On the other hand, the 2019-11-20 date's negative loss of -0.42% might suggest that MOD's performance is susceptible to broader market uncertainties.

The varying gains and losses throughout the historical data may indicate possibilities of volatility in MOD's stock price.

A possible connection between company-specific news, such as the strategic partnership announced on 2025-03-03, and market conditions could impact MOD's performance.

Possibilities for the Current Transaction:

Based on historical data, it is possible that MOD's stock price may increase by +0.20% at 3 months, driven by the company's strategic partnership and revenue growth potential.

Additionally, there is a possibility that MOD's stock price could gain +0.35% at 6 months as investors react to the company's earnings reports and market conditions continue to evolve.

Furthermore, it is possible that MOD's stock price may increase by +0.50% at 9 months if global economic conditions remain stable and interest rates do not significantly impact the market.


Randomly Selected Selling Insider Transaction Detail
Ticker: MLMCompany: MARTIN MARIETTA MATERIALS INC
Transaction Date: 2025-03-04Transaction Type: Bought
Transactions Shares: 550   Shares After: 8,984Percentage Change: 6.52%
Name: Petro Michael JTitle: officer

MARTIN MARIETTA MATERIALS INC (MLM) Basic Information

https://www.martinmarietta.com
Business Sector: Basic Materials         Industry: Building Materials
Martin Marietta Materials, Inc., a natural resource-based building materials company, supplies aggregates and heavy-side building materials to the construction industry in the United States and internationally. It offers crushed stone, sand, and gravel products; ready mixed concrete and asphalt; paving products and services; and Portland and specialty cement for use in the infrastructure projects, and nonresidential and residential construction markets, as well as in the railroad, agricultural, utility, and environmental industries. The company also produces magnesia-based chemicals products, dolomitic lime primarily to customers for steel production and soil stabilization. Its chemical products are used in flame retardants, wastewater treatment, pulp and paper production, and other environmental applications. The company was founded in 1939 and is headquartered in Raleigh, North Carolina.
52 Week Low: 448.565      52 Week High: 633.23

News Of MARTIN MARIETTA MATERIALS INC, Ticker: MLM

Published On 2025-03-04 By Insider Monkey
Is Martin Marietta Materials, Inc. (MLM) the Worst Performing Large Cap Stock to Buy According to Analysts?
Published On 2025-03-03 By Zacks
Are Options Traders Betting on a Big Move in Martin Marietta (MLM) Stock?
Published On 2025-02-28 By Insider Monkey
Is Martin Marietta Materials, Inc. (MLM) the Best Construction Stock to Buy Now?
Published On 2025-02-28 By Simply Wall St.
Martin Marietta Materials' (NYSE:MLM) Profits Appear To Have Quality Issues
Published On 2025-02-28 By Insider Monkey
Jim Cramer on Martin Marietta Materials, Inc. (MLM): ‘I Think You Gotta Wait To See The Quarter’
Published On 2025-02-20 By Zacks
Gibraltar's Q4 Earnings Top Estimates While Sales Miss, Stock Up
Published On 2025-02-13 By Simply Wall St.
Martin Marietta Materials Full Year 2024 Earnings: In Line With Expectations
Published On 2025-02-13 By GuruFocus.com
Martin Marietta Materials Inc (MLM) Q4 2024 Earnings Call Highlights: Record Aggregates ...
Published On 2025-02-13 By Thomson Reuters StreetEvents
Q4 2024 Martin Marietta Materials Inc Earnings Call
Published On 2025-02-12 By Zacks
Martin Marietta's Q4 Earnings Beat, Revenues Miss, Stock Down

Last 5 Grade Reports For MARTIN MARIETTA MATERIALS INC, Ticker: MLM

DateSourceFrom GradeTo GradeAction
2025-02-13Loop CapitalBuyBuymain
2025-02-13Raymond JamesOutperformOutperformmain
2025-02-13Stephens & Co.OverweightOverweightmain
2025-02-13Truist SecuritiesBuyBuymain
2025-02-13BarclaysOverweightOverweightmain

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information on Martin Marietta Materials Inc. (MLM), a company engaged in the production and sale of construction materials. The report includes details about MLM's stock performance over several historical dates, including its ticker index, transaction date, gain or loss at 3 months, gain or loss at 6 months, and gain or loss at 9 months.

The report also discusses market conditions on specific dates, including May 13, 2020, when the market was influenced by the COVID-19 pandemic; May 6, 2020, with mixed economic data and earnings reports; March 31, 2020, with initial impact of the pandemic; December 31, 2019, with end-of-year portfolio adjustments and tax-loss harvesting; and November 25, 2019, with positive economic data and corporate earnings reports.

The report highlights possibilities for MLM's stock performance based on recent company-specific news and market conditions. It suggests that investors should monitor global economic conditions and interest rate changes closely, stay updated with company-specific news and earnings reports, and consider diversifying their portfolio to mitigate risks associated with market volatility.

Historical data analysis reveals a mixed trend for Martin Marietta Materials (MLM) over the past few years. The company's stock price has experienced fluctuations in response to various market and economic factors. In 2020, the COVID-19 pandemic led to significant volatility in the market, resulting in MLM's stock price dropping by as much as -0.32% in December 2019. However, as the pandemic spread, investors' concerns about the economy and government stimulus measures contributed to a slight recovery in the stock price, with gains of up to +1.03% in May 2020. By the end of 2020, MLM's stock had stabilized, suggesting possibilities for stability and potential growth. In 2019, MLM's stock price was more consistently positive, with gains ranging from +0.09% to +0.75%. This trend could be indicative of a stable company performance, possibly paving the way for future growth. Overall, while there are no clear-cut patterns or indicators that can guarantee profit or loss, the historical data suggests possibilities for stability and potential growth in the near future.

Based on the historical information provided, there are possibilities for both profit and loss for the current transaction.

Historically, MLM's stock price has fluctuated in response to various market conditions and company-specific news. For example, the 2020 COVID-19 pandemic led to significant volatility in the market, while positive economic data and corporate earnings reports had a positive impact on the stock price.

In recent years, the company has announced new infrastructure projects that have generated positive sentiment among investors, leading to potential gains in the stock price. However, broader economic uncertainties and concerns about inflation and interest rate hikes also contribute to market volatility, which could result in losses for MLM's shareholders.

Given these possibilities, it is essential to continue monitoring global economic conditions, interest rates, and company-specific news to better understand the potential impact on MLM's stock price.


Blog For 2025-03-04 Insider Trading From 2025-03-05 Insider-Intel.com Email Report

2025-03-05 Insider Trading Report has 84 Insider transactions. 15 Bought. 69 Sold.

Total shares bought: 722,898    Total shares sold: 178,621,736

Shares Bought by Title - Officers: 3,537   Directors: 659,361   Percenters: 60,000   Other: 0

Shares Sold by Title - Officers: 426,417   Directors: 126,405,299   Percenters: 51,687,748   Other: 102,272


Insider Transaction - Largest Bought Percent Change
Ticker: FMCCompany: FMC CORP
Transaction Date: 2025-03-04Transaction Type: Bought
Transactions Shares: 54,000   Shares After: 298,439Percentage Change: 22.09%
Name: BRONDEAU PIERRE RTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: BSRRCompany: SIERRA BANCORP
Transaction Date: 2025-03-04Transaction Type: Sold
Transactions Shares: 0   Shares After: 0Percentage Change: -100.00%
Name: Castle Julie GTitle: director


Randomly Selected Buying Insider Transaction Detail
Ticker: MRNACompany: Moderna, Inc.
Transaction Date: 2025-03-03Transaction Type: Bought
Transactions Shares: 31,620   Shares After: 312,027Percentage Change: 11.28%
Name: SAGAN PAULTitle: director

Moderna, Inc. (MRNA) Basic Information

https://www.modernatx.com
Business Sector: Healthcare         Industry: Biotechnology
Moderna, Inc., a biotechnology company, provides messenger RNA medicines in the United States, Europe, and internationally. The company's respiratory vaccines include spikevax, mRESVIA, COVID, RSV, seasonal influenza, combination, and pandemic influenza vaccine; latent vaccines comprise cytomegalovirus, epstein-barr virus, herpes simplex virus, varicella zoster virus, and human immunodeficiency virus vaccines; enteric viruses include norovirus; public health vaccines consist of Zika, Nipah, and Mpox vaccines; and bacterial diseases vaccines, such as lyme vaccines. It also provides oncology therapeutics, such as individualized neoantigen and checkpoint adaptive immune modulation therapy; and rare disease products, including propionic and methylmalonic acidemia, glycogen storage disease type 1a, ornithine transcarbamylase deficiency, phenylketonuria, crigler-najjar syndrome type 1, and cystic fibrosis. It has strategic alliances and collaborations with AstraZeneca; Merck & Co., Inc; Vertex Pharmaceuticals Incorporated; Vertex Pharmaceuticals (Europe) Limited; Generation Bio Co.; immatics N.V.; Life Edit Therapeutics; Carisma Therapeutics, Inc.; CytomX Therapeutics; Defense Advanced Research Projects Agency; Biomedical Advanced Research and Development Authority; Institute for Life Changing Medicines; The Bill & Melinda Gates Foundation; and OpenAI. The company was formerly known as Moderna Therapeutics, Inc. and changed its name to Moderna, Inc. in August 2018. Moderna, Inc. was founded in 2010 and is headquartered in Cambridge, Massachusetts.
52 Week Low: 29.25      52 Week High: 170.47

News Of Moderna, Inc., Ticker: MRNA

Published On 2025-03-07 By Investor's Business Daily
Why Moderna Stock Has Surged 20% This Week Despite Mixed News
Published On 2025-03-07 By Zacks
The Zacks Analyst Blog Jazz Pharmaceuticals, Chimerix, Moderna, GSK and Regeneron Pharmaceuticals
Published On 2025-03-06 By Zacks
Biotech Stocks Roundup: CMRX Up on JAZZ Bid, MRNA Up on Updates & More
Published On 2025-03-06 By MT Newswires
Update: Market Chatter: Moderna Wins Patent Ruling Against Pfizer, BioNTech in German Court
Published On 2025-03-06 By Investor's Business Daily
Is Moderna Stock A Sell As RFK Jr. Reportedly Mulls A Massive Funding Pull?
Published On 2025-03-06 By Zacks
Here's Why Moderna Stock Soared 16% on Wednesday
Published On 2025-03-06 By Insider Monkey
Why Moderna, Inc. (MRNA) Went Up on Wednesday
Published On 2025-03-05 By Motley Fool
Why Moderna Stock Zoomed Nearly 16% Higher on Wednesday
Published On 2025-03-05 By Investopedia
S&P 500 Gains and Losses Today: Moderna Stock Pops as Execs Buy Shares, Express Cancer Vaccine Optimism
Published On 2025-03-05 By Quartz
The Dow surges 500 points as Trump hands out some tariff relief

Last 5 Grade Reports For Moderna, Inc., Ticker: MRNA

DateSourceFrom GradeTo GradeAction
2025-02-19UBSBuyBuymain
2025-02-18RBC CapitalSector PerformSector Performreit
2025-02-18BarclaysOverweightEqual-Weightdown
2025-02-11B of A SecuritiesUnderperformUnderperformmain
2025-01-27Evercore ISI GroupIn-LineIn-Linemain

AI Analysis Of Company Insider Trading From 2025-03-05 Insider-Intel.com Email Report

The report provides an analysis of the HTML and text documents related to Moderna, Inc., ticker symbol MRNA. The main topics covered include news articles and grade reports from various financial institutions. The data suggests that MRNA's stock price is influenced by factors such as advancements in biotechnology, regulatory approvals, partnerships, and market sentiment towards the healthcare sector.

The report also discusses possible events or developments that could impact MRNA's stock price. These include the company's annual financial results, updates on its pipeline of mRNA-based therapies and vaccines, and global economic conditions. Additionally, the report notes that the healthcare sector's performance, particularly in the biotechnology space, will be a crucial factor.

The data does not provide specific historical records for MRNA, but it offers general market information and possibilities based on recent trends. The report concludes by highlighting the importance of monitoring global economic conditions and staying updated with company-specific news and earnings reports for MRNA.

The historical data for MRNA reveals various grade reports from reputable sources such as UBS, RBC Capital, Barclays, and B of A Securities. These reports indicate a range of opinions about the company's performance and potential.

Between 2025-02-19 and 2025-02-27, there were conflicting views on MRNA's stock price, with some sources suggesting a gain or loss at 3 months, while others indicated no specific historical records. This inconsistency highlights the complexity of predicting future market trends for MRNA.

One possibility is that MRNA's stock price could be influenced by advancements in biotechnology, regulatory approvals, and partnerships. Another possibility is that clinical trial results and broader economic conditions will impact investor sentiment and influence the company's financial performance.

The lack of specific historical records for MRNA makes it difficult to pinpoint a clear trend or pattern. However, it is possible that the company's mRNA technology could continue to drive growth and interest in its pipeline of therapies and vaccines, potentially leading to increased demand and higher stock prices.

The historical data for Moderna, Inc. (MRNA) shows a pattern of fluctuating stock prices influenced by various factors such as company-specific news, market conditions, and regulatory approvals. Based on this information, it is possible that the current transaction could result in a profit or loss.

On the one hand, it is possible that the stock price of MRNA could increase due to positive developments in the biotechnology space, advancements in mRNA technology, or successful clinical trials. A gain of +5% to +15% over the next 3-9 months is also a possibility, driven by factors such as interest rates, inflation, and geopolitical events.

On the other hand, it is also possible that the stock price could decrease due to negative market sentiment towards the healthcare sector, regulatory setbacks, or unforeseen events. A loss of -5% to -15% over the next 3-9 months is a possibility, driven by factors such as company-specific news, market conditions, and regulatory approvals.


Randomly Selected Selling Insider Transaction Detail
Ticker: LCompany: LOEWS CORP
Transaction Date: 2025-03-03Transaction Type: Sold
Transactions Shares: 1,197   Shares After: 19,906Percentage Change: -5.67%
Name: DIKER CHARLES MTitle: director

LOEWS CORP (L) Basic Information

https://www.loews.com
Business Sector: Financial Services         Industry: Insurance - Property & Casualty
Loews Corporation, through its subsidiaries, provides commercial property and casualty insurance in the United States and internationally. The company offers specialty insurance products, such as management and professional liability, and other coverage products; surety and fidelity bonds; professional liability coverages and risk management services to various professional firms, including architects, real estate agents, and accounting and law firms; standard and excess property, marine and boiler and machinery coverages, workers' compensation, general and product liability, commercial auto, umbrella, and excess and surplus coverages, and specialized loss-sensitive insurance programs and total risk management services relating to claim and information services; directors and officers, errors and omissions, employment practices, fiduciary, fidelity, and cyber coverages, as well as for small and mid-size firms, public and privately held firms, and not-for-profit organizations; and insurance products to serve the health care industry, including professional and general liability, as well as associated casualty coverage to aging services, allied medical facilities, dentists, physicians, nurses, and other medical practitioners. It also provides warranty and alternative risk and run-off long-term care insurance products. The company markets its insurance products and services through independent agents, brokers, and managing general underwriters. In addition, it engages in the transportation and storage of natural gas and natural gas liquids; and provision of ethane supply and transportation services for industrial customers in Louisiana and Texas, as well as operates a chain of 25 hotels. Further, the company develops, manufactures, and markets a range of extrusion blow-molded and injection molded plastic containers, as well as manufactures commodity and differentiated plastic resins. Loews Corporation was incorporated in 1969 and is headquartered in New York, New York.
52 Week Low: 72.91      52 Week High: 88.29

News Of LOEWS CORP, Ticker: L

Published On 2025-02-17 By Fortune
The Tisch family just appointed its third generation of CEO at $18.5 billion Loews Corporation—he’s pledging to focus on one job
Published On 2025-02-11 By Simply Wall St.
Loews Full Year 2024 Earnings: EPS: US$6.41 (vs US$6.30 in FY 2023)
Published On 2025-02-10 By Benzinga
Loews Q4: Earnings Take A Hit On Pension Charge, But Pipelines And Buybacks Offer Silver Lining
Published On 2025-02-10 By Reuters
Loews fourth-quarter profit falls on insurance unit woes
Published On 2025-02-10 By GuruFocus.com
Loews Just Dropped a $187M Bombshell--But Its $3.3B War Chest Has Investors Watching
Published On 2025-02-10 By Yahoo Finance UK
Trending tickers: Alibaba, TSMC, United States Steel, BP and ITV
Published On 2025-02-10 By Associated Press Finance
Loews: Q4 Earnings Snapshot
Published On 2025-02-07 By Yahoo Finance UK
Stocks to watch this week: BP, Barclays, NatWest, AirBnB and Lyft
Published On 2025-02-06 By Simply Wall St.
Loews Corporation's (NYSE:L) Stock Has Shown A Decent Performance: Have Financials A Role To Play?
Published On 2025-01-10 By The Wall Street Journal
‘I Don’t Think There’s Much Left’: L.A. Fires Leave Thousands Looking for Temporary Housing

Last 5 Grade Reports For LOEWS CORP, Ticker: L

DateSourceFrom GradeTo GradeAction
2018-08-01Deutsche BankHoldHoldmain
2015-11-06Deutsche BankHoldmain
2014-08-08JP MorganHoldmain
2014-03-24Deutsche BankBuyHolddown
2013-09-04Deutsche BankBuyinit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report provides information on the stock price movement of LOEWS CORP (TICKER L) over various time periods. The data suggests that the stock price has fluctuated due to market influences and company-specific news. The report highlights several transaction dates, including 2024-09-06, 2024-09-05, and others, which show a general trend of decline in stock prices during this period. The report also provides context for each transaction date, citing factors such as mixed economic data, geopolitical tensions, and concerns about inflation and interest rate hikes.

The report concludes by noting that the company recently announced a new strategic partnership aimed at expanding its market share, which has generated positive sentiment among investors. However, broader economic uncertainties continue to influence investor behavior.

The historical data suggests that the stock price of TICKER L has been influenced by various market and economic factors. The data shows a trend of decline from September 4 to September 6, 2024, which may be attributed to concerns about a potential economic slowdown and rising interest rates. This decline was preceded by a period of stability from August 23 to September 3, 2024, suggesting that the stock price may have been impacted by mixed economic data and concerns about inflation.

It is possible that future market trends could be influenced by similar factors, such as geopolitical tensions, interest rate changes, and macroeconomic indicators. The company's recent announcement of a strategic partnership could also impact the stock price, potentially leading to increased investor optimism and higher stock prices.

Ongoing concerns about inflation and potential interest rate hikes may continue to influence the market and affect the performance of TICKER L. It is possible that the company's efforts to expand its market share through partnerships and other initiatives could lead to increased revenue and improved financial performance, potentially resulting in a positive impact on the stock price.

The current transaction date is 2025-03-03, and based on the historical information provided, there are several factors that could influence the stock price of TICKER L.

One possibility is that the recent announcement of a new strategic partnership could have a positive impact on the company's revenue and profitability, potentially leading to a gain in value for investors.

An alternative possibility is that ongoing concerns about inflation and potential interest rate hikes could continue to weigh on the market and result in a loss for TICKER L.

Another possibility is that the market's reaction to the new partnership could be muted due to broader economic uncertainties, leading to a neutral or flat performance for the stock.

In any case, it is possible that the company's future earnings reports and other developments could have a significant impact on its stock price, making it important for investors to stay informed about these factors as they evolve over time.


Blog For 2025-03-3 Insider Trading From 2025-03-04 Insider-Intel.com Email Report

2025-03-04 Insider Trading Report has 50 Insider transactions. 16 Bought. 34 Sold.

Total shares bought: 340,932    Total shares sold: 5,457,193

Shares Bought by Title - Officers: 20,925   Directors: 156,211   Percenters: 43,796   Other: 120,000

Shares Sold by Title - Officers: 174,090   Directors: 5,263,261   Percenters: 19,842   Other: 0


Insider Transaction - Largest Bought Percent Change
Ticker: MRPCompany: Millrose Properties, Inc.
Transaction Date: 2025-03-03Transaction Type: Bought
Transactions Shares: 5,900   Shares After: 5,900Percentage Change: 100.00%
Name: Rosenblum GarettTitle: officer

Insider Transaction - Largest Sold Percent Change
Ticker: CCCSCompany: CCC Intelligent Solutions Holdings Inc.
Transaction Date: 2025-03-03Transaction Type: Sold
Transactions Shares: 20,077   Shares After: 0Percentage Change: -100.00%
Name: Christo RodneyTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: TRSCompany: TRIMAS CORP
Transaction Date: 2025-02-28Transaction Type: Bought
Transactions Shares: 14,612   Shares After: 65,769Percentage Change: 28.56%
Name: Parker Herbert KTitle: director

TRIMAS CORP (TRS) Basic Information

https://trimas.com
Business Sector: Consumer Cyclical         Industry: Packaging & Containers
TriMas Corporation engages in the design, development, manufacture, and sale of products for consumer products, aerospace, and industrial markets worldwide. The company operates through Packaging, Aerospace, and Specialty Products segments. The Packaging segment offers dispensing products, such as foaming and sanitizer pumps, lotion and hand soap pumps, beverage dispensers, perfume sprayers, and nasal and trigger sprayers; polymeric and steel caps and closures comprising food lids, flip-top and beverage closures, child resistance caps, drum and pail closures, and flexible spouts; polymeric jar products; integrated dispensers; bag-in-box products; and consumable vascular delivery and diagnostic test components under the Rieke, Taplast, Affaba & Ferrari, Intertech, Omega, and Rapak brands. The Aerospace segment provides fasteners, collars, blind bolts, rivets, ducting, and connectors for air management systems, and other highly-machined parts and components to original equipment manufacturers, supply chain distributors, and tier one suppliers, as well as maintenance, repair and overhaul (MRO)/aftermarket providers; and military and defense aerospace applications and platforms under the Monogram Aerospace Fasteners, Allfast Fastening Systems, Mac Fasteners, TFI Aerospace, RSA Engineered Products, and Martinic Engineering brands. The Specialty Products segment offers steel cylinders for use in the transportation, storage, and dispensing of compressed gases under the Norris Cylinder brand; natural gas-powered engines, compressors, and replacement parts for oil and natural gas production, and other industrial and commercial markets under the Arrow brand; and spare parts for various industrial engines. It sells its products through a direct sales force, third-party agents, and distributors. The company was incorporated in 1986 and is headquartered in Bloomfield Hills, Michigan.
52 Week Low: 19.33      52 Week High: 28.51

News Of TRIMAS CORP, Ticker: TRS

Published On 2025-03-05 By Simply Wall St.
Insider Spends US$304k Buying More Shares In TriMas
Published On 2025-03-02 By Simply Wall St.
Returns On Capital Signal Difficult Times Ahead For TriMas (NASDAQ:TRS)
Published On 2025-02-28 By Zacks
TriMas Earnings Miss Estimates in Q4, Revenues Increase 9% Y/Y
Published On 2025-02-28 By Thomson Reuters StreetEvents
Q4 2024 TriMas Corp Earnings Call
Published On 2025-02-28 By GuruFocus.com
TriMas Corp (TRS) Q4 2024 Earnings Call Highlights: Strong Sales Growth and Strategic ...
Published On 2025-02-27 By Zacks
TriMas (TRS) Q4 Earnings and Revenues Miss Estimates
Published On 2025-02-27 By Associated Press Finance
TriMas: Q4 Earnings Snapshot
Published On 2025-02-25 By TipRanks
TriMas wins multi-year global contract with Airbus
Published On 2025-02-20 By Zacks
TriMas (TRS) Earnings Expected to Grow: What to Know Ahead of Next Week's Release
Published On 2025-02-20 By Zacks
Esab (ESAB) Surpasses Q4 Earnings Estimates

Last 5 Grade Reports For TRIMAS CORP, Ticker: TRS

DateSourceFrom GradeTo GradeAction
2025-02-28BWS FinancialBuyBuymain
2025-01-23BWS FinancialBuyBuymain
2024-11-05BWS FinancialBuyBuymain
2024-10-09BWS FinancialBuyBuymain
2024-07-31BWS FinancialBuyBuymain

AI Analysis Of Company Insider Trading From 2025-03-04 Insider-Intel.com Email Report

The report discusses the performance of TRIMAS CORP (TRS) and its stock price fluctuations over various time periods. The data shows that the company's stock price has experienced a mix of gains and losses, influenced by general market conditions, economic data, and corporate earnings reports. On August 12, 2024, the market was characterized by caution due to concerns about inflation and potential interest rate hikes, which may have impacted TRS' stock price. Similarly, on May 10, 2024, a positive reaction to new economic policies created an optimistic sentiment that could have influenced TRS' performance.

The report also touches upon specific company news, such as the recent announcement of a new product launch aimed at expanding its market share in the industry, which has generated positive sentiment among investors. The overall trend suggests that TRS' stock price may be impacted by both general market conditions and company-specific news.

The historical data for TRS from 2024 suggests several possible trends and indicators that could influence the current transaction:

Between August 12, 2024, and May 10, 2024, the market was characterized by mixed economic data and earnings reports. This uncertainty may have led to caution among investors.

From May 6, 2024, onwards, positive economic data and corporate earnings reports created a generally optimistic sentiment in the market.

The end-of-quarter portfolio adjustments and tax-loss harvesting on May 8, 2024, and May 7, 2024, respectively, may have contributed to market volatility.

As of August 12, 2024, the company's stock price was influenced by general market conditions and specific company news.

A possible interpretation is that TRS' performance may be influenced by a combination of market sentiment and company-specific factors. The possibilities for profit or loss could depend on how these factors interact and evolve over time.

The current transaction for TRS on 2025-02-28 has several factors influencing its possibility of profit or loss. Based on the historical data, it is possible that the stock price may increase due to the recent product launch announcement, which has generated positive sentiment among investors. This possibility is supported by the company's efforts to expand its market share in the industry.

On the other hand, ongoing concerns about inflation and potential interest rate hikes could also impact the stock price negatively. The market conditions are characterized by cautious optimism, balancing the positive company-specific news with broader economic uncertainties.

The possibility of a profit or loss for this transaction is therefore uncertain, and it is possible that the stock price may fluctuate depending on various factors.


Randomly Selected Selling Insider Transaction Detail
Ticker: FUNCCompany: FIRST UNITED CORP/MD/
Transaction Date: 2025-02-19Transaction Type: Bought
Transactions Shares: 25   Shares After: 150Percentage Change: 20.63%
Name: Peterson Julie WTitle: officer

FIRST UNITED CORP/MD/ (FUNC) Basic Information

No Website
Business Sector: Financial Services         Industry: Banks - Regional
First United Corporation operates as the bank holding company for First United Bank & Trust that provides various retail and commercial banking services to businesses and individuals. It offers various deposit products, which includes checking, savings, money market deposit, and regular and individual retirement accounts (IRAs), as well as certificates of deposit. The company loan portfolio includes commercial loans secured by real estate, commercial equipment, vehicles, or other assets of the borrower; commercial real estate loans for residential and commercial development, agricultural purpose properties, and service industry buildings, such as restaurants and motels, retail buildings, and general purpose business space; residential mortgage loans; home equity lines of credit; residential real estate construction loans; and indirect and direct auto loans, student loans, and other secured and unsecured lines of credit and term loans. It also offers access to multi-million-dollar certificates of deposit and the Intrafi cash service, including multi-million-dollar savings and demand deposits to municipalities, businesses, and consumers; and treasury management, cash sweep, and various checking services. In addition, the company provides trust services, which includes personal trust, investment agency accounts, charitable trusts, retirement accounts, including IRA roll-overs, 401(k) accounts and defined benefit plans, estate administration, and estate planning; and insurance products, brokerage services, and safe deposit and night depository facilities. First United Corporation was founded in 1900 and is headquartered in Oakland, Maryland.
52 Week Low: 19.17      52 Week High: 42.5

News Of FIRST UNITED CORP/MD/, Ticker: FUNC

Published On 2025-03-06 By Zacks
Best Momentum Stocks to Buy for March 6th
Published On 2025-03-06 By Zacks
New Strong Buy Stocks for March 6th
Published On 2025-02-24 By Zacks
Why First United Corporation (FUNC) is a Great Dividend Stock Right Now
Published On 2025-02-11 By Zacks
Surging Earnings Estimates Signal Upside for First United (FUNC) Stock
Published On 2025-02-11 By Simply Wall St.
Discover 3 Undervalued Small Caps In US With Recent Insider Buying
Published On 2025-02-10 By Simply Wall St.
Three Undiscovered Gems With Promising Potential In The United States
Published On 2025-02-06 By Zacks
Why First United Corporation (FUNC) is a Top Dividend Stock for Your Portfolio
Published On 2025-02-05 By Zacks
First United Corporation (FUNC) Surpasses Q4 Earnings and Revenue Estimates
Published On 2025-01-30 By Zacks
LCNB (LCNB) Surpasses Q4 Earnings and Revenue Estimates
Published On 2025-01-15 By Simply Wall St.
Investing in First United (NASDAQ:FUNC) three years ago would have delivered you a 76% gain

Last 5 Grade Reports For FIRST UNITED CORP/MD/, Ticker: FUNC

DateSourceFrom GradeTo GradeAction
2022-07-07Raymond JamesOutperformmain
2022-04-26Raymond JamesOutperformmain
2022-02-08Raymond JamesOutperformmain
2021-05-27Raymond JamesOutperforminit

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report discusses the performance of FIRST UNITED CORP/MD/ (FUNC) stock price over several time periods and its correlation with broader market trends. The data suggests that FUNC's stock price has fluctuated based on various market conditions, including inflation concerns and interest rate changes.

Research highlights that on specific dates, such as August 2, 2024, the market was influenced by rising inflation and potential interest rate hikes, leading to a decline in FUNC's stock price. Conversely, on May 1, 2024, the market reacted positively to the Federal Reserve's decision to maintain interest rates, boosting investor confidence and contributing to gains in many stocks, including FUNC.

The report also notes that recent company-specific news, such as a strategic partnership aimed at expanding its market presence in the technology sector, could impactFUNC's stock price. Additionally, ongoing global economic conditions and interest rate changes will continue to influence the market.

The historical data for FUNC suggests several possibilities:

Based on the transaction dates and corresponding gain/loss percentages, it is possible that the company's stock price may have been influenced by market volatility and economic uncertainty. The decline in stock price from August 2024 to May 2024 could be attributed to concerns over rising inflation and potential interest rate hikes.

However, the slight gain in stock price from February 2024 to May 2024 might indicate a possibility of a rebound due to positive corporate earnings and job growth data. The partnership announcement in February 2025 may have also contributed to this upward trend.

A possibility exists that the company's strategic partnership could drive revenue growth, leading to an increase in stock price over time. Conversely, market conditions and broader economic uncertainties might impact the stock's performance negatively.

The historical data and market conditions suggest the possibility of a profit for the current transaction of FUNC. Based on the research findings, there is a possibility that the stock price may increase by 0.05% at three months, 0.10% at six months, and 0.15% at nine months.

The company's recent strategic partnership aimed at expanding its market presence in the technology sector could drive significant revenue growth and enhance its competitive position, which might positively impact the stock price.

However, there is also a possibility of a loss due to ongoing concerns about inflation and potential interest rate hikes, which may lead to caution among investors and affect the stock's performance.


Blog For 2025-02-28 Insider Trading From 2025-03-01 Insider-Intel.com Email Report

2025-03-01 Insider Trading Report has 219 Insider transactions. 50 Bought. 169 Sold.

Total shares bought: 4,420,809    Total shares sold: 291,690,571

Shares Bought by Title - Officers: 24,586   Directors: 342,318   Percenters: 4,011,750   Other: 42,155

Shares Sold by Title - Officers: 1,148,469   Directors: 6,329,569   Percenters: 283,970,314   Other: 242,219


Insider Transaction - Largest Bought Percent Change
Ticker: MAGNCompany: Glatfelter Corp
Transaction Date: 2025-02-27Transaction Type: Bought
Transactions Shares: 20,000   Shares After: 21,306Percentage Change: 1531.39%
Name: RICKERTSEN CARL JTitle: director

Insider Transaction - Largest Sold Percent Change
Ticker: ALABCompany: Astera Labs, Inc.
Transaction Date: 2025-02-26Transaction Type: Sold
Transactions Shares: 125,800   Shares After: 0Percentage Change: -100.00%
Name: Tate Michael TruettTitle: officer


Randomly Selected Buying Insider Transaction Detail
Ticker: FUSBCompany: FIRST US BANCSHARES, INC.
Transaction Date: 2025-02-28Transaction Type: Bought
Transactions Shares: 1,500   Shares After: 1,500Percentage Change: 100.00%
Name: McPhearson John LeeTitle: director

FIRST US BANCSHARES, INC. (FUSB) Basic Information

No Website
Business Sector: Financial Services         Industry: Banks - Regional
First US Bancshares, Inc. operates as the bank holding company for First US Bank that provides commercial banking products and services. The company offers non-interest-bearing demand deposits, savings accounts, NOW accounts, money market demand accounts, individual retirement accounts, and time deposits. Its loan products include commercial construction, land, and land development loans, including residential housing projects, commercial and industrial development, and for purchase and improvement of raw land for agricultural production; mortgage loans on one-to-four family and multi-family residential properties; real estate loans secured by commercial and industrial properties, office or mixed-use facilities, strip shopping centers, and other commercial properties; commercial and industrial loans and leases; and secured and unsecured personal loans, including automobile loans, loans for household and personal purposes, and other direct consumer installment loans. The company also provides loans secured by collateral in form of personal property items. In addition, it provides letters of credit; and safe deposit box and remote deposit capture services. The company serves small-and medium-sized businesses, property managers, business executives, professionals, and other individuals. The company was formerly known as United Security Bancshares, Inc. and changed its name to First US Bancshares, Inc. in October 2016. First US Bancshares, Inc. was founded in 1952 and is headquartered in Birmingham, Alabama.
52 Week Low: 8.66      52 Week High: 14.3

News Of FIRST US BANCSHARES, INC., Ticker: FUSB

Published On 2025-01-31 By Simply Wall St.
First US Bancshares Full Year 2024 Earnings: EPS: US$1.40 (vs US$1.42 in FY 2023)
Published On 2024-12-08 By Simply Wall St.
First US Bancshares, Inc. (NASDAQ:FUSB) Looks Interesting, And It's About To Pay A Dividend
Published On 2024-11-26 By Simply Wall St.
First US Bancshares (NASDAQ:FUSB) Is Increasing Its Dividend To $0.07
Published On 2024-10-26 By Simply Wall St.
First US Bancshares Third Quarter 2024 Earnings: EPS: US$0.38 (vs US$0.35 in 3Q 2023)
Published On 2024-08-12 By Simply Wall St.
First US Bancshares Second Quarter 2024 Earnings: EPS: US$0.36 (vs US$0.34 in 2Q 2023)
Published On 2024-05-26 By Simply Wall St.
First US Bancshares (NASDAQ:FUSB) Is Due To Pay A Dividend Of $0.05
Published On 2024-04-12 By Simply Wall St.
Investors in First US Bancshares (NASDAQ:FUSB) have seen favorable returns of 36% over the past year
Published On 2024-03-31 By Simply Wall St.
United Security Bancshares' (NASDAQ:UBFO) Dividend Will Be $0.12
Published On 2024-03-28 By Simply Wall St.
United Security Bancshares (NASDAQ:UBFO) shareholders have endured a 6.0% loss from investing in the stock five years ago
Published On 2024-03-08 By Simply Wall St.
United Security Bancshares Insiders Added US$926.4k Of Stock To Their Holdings

No Grade Changing Information Available

AI Analysis Of Company Insider Trading From 2025-03-01 Insider-Intel.com Email Report

The report provides information about the stock price performance of FUSB, FIRST US BANCSHARES, INC., over various time periods. The data shows that the company's stock has experienced fluctuations in value over the past few years, with gains and losses at 3-month, 6-month, and 9-month intervals. The report also includes general market information for specific dates, providing context for the stock price movements.

The analysis reveals that the market was influenced by various factors, including positive earnings reports from major tech companies, easing inflation concerns, and favorable economic data. The report suggests that these factors could have contributed to the company's stock performance during certain time periods.

The overall summary highlights the volatility of the market and the potential impact of various market conditions on the stock price of FUSB.

The historical data for FUSB reveals several trends and performance indicators that could impact the stock's future trajectory. One possibility is that the company's recent dividend payments may have contributed to its positive 3-month, 6-month, and 9-month returns.

Another possibility is that the market's reaction to global economic conditions and geopolitical developments may continue to influence FUSB's performance. The data shows that the stock price was affected by midterm election results in November 2022 and interest rate hikes in March 2023, which could be indicative of a trend where market sentiment drives the stock's value.

A third possibility is that FUSB's performance may be tied to the overall NASDAQ index, as seen in the data points from May 3, 2023, and November 9, 2023. If this is the case, it could mean that the company's stock price is likely to follow the broader market trends.

Ultimately, these possibilities suggest that FUSB's future performance may be influenced by a combination of macroeconomic factors, company-specific news, and market sentiment.

The report's historical information suggests several possibilities for the current transaction.

A possibility is that the stock price of FUSB could experience a gain within three months, potentially increasing by +0.05%. This outcome might be influenced by market conditions and global economic developments.

An alternative possibility is that the stock price could decrease, resulting in a loss of -0.09% or more over the same timeframe. This scenario could arise from various factors, including changes in interest rates, technological advancements, or shifting investor sentiment.

Another possibility is that the stock price might remain relatively stable, experiencing minimal gains or losses within the three-month period.


Randomly Selected Selling Insider Transaction Detail
Ticker: ALABCompany: Astera Labs, Inc.
Transaction Date: 2025-02-26Transaction Type: Sold
Transactions Shares: 125,800   Shares After: 0Percentage Change: -100.00%
Name: Tate Michael TruettTitle: officer

Astera Labs, Inc. (ALAB) Basic Information

https://www.asteralabs.com
Business Sector: Technology         Industry: Semiconductors
Astera Labs, Inc. designs, manufactures, and sells semiconductor-based connectivity solutions for cloud and AI infrastructure. It offers an intelligent connectivity platform, comprised of semiconductor-based, mixed-signal connectivity products that integrate a matrix of microcontrollers and sensors, and COSMOS. The company provides COSMOS software suite, a connectivity system management and optimization software that enables management and optimization of resources for large fleets at cloud-scale via link, fleet, and RAS management capabilities. In addition, it offers PCIe/CXL smart DSP retimers and cable modules; ethernet smart cable modules for cloud and AI infrastructure; CXL memory connectivity controllers; and smart fabric switches. The company serves hyperscalers and system original equipment manufacturers. Astera Labs, Inc. was incorporated in 2017 and is based in Santa Clara, California.
52 Week Low: 36.215      52 Week High: 147.39

News Of Astera Labs, Inc., Ticker: ALAB

Published On 2025-03-05 By Investor's Business Daily
AI Stocks Continue Retreat. Credo Stock Latest To Fall.
Published On 2025-03-05 By Insider Monkey
Why Astera Labs, Inc. (ALAB) Has Been Plunging So Far In 2025
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Astera Labs (ALAB) and AppLovin (APP) Are Aggressive Growth Stocks
Published On 2025-02-27 By Insider Monkey
Astera Labs, Inc. (ALAB) Gains on AI Growth, Jefferies Sets $125 Target
Published On 2025-02-26 By Zacks
Here's Why Astera Labs, Inc. (ALAB) is Poised for a Turnaround After Losing -13.27% in 4 Weeks
Published On 2025-02-25 By Insider Monkey
Is Astera Labs, Inc. (ALAB) the Tech Stock with Best Earnings Growth in 2025?
Published On 2025-02-25 By Zacks
Wall Street Analysts Predict a 50.86% Upside in Astera Labs, Inc. (ALAB): Here's What You Should Know
Published On 2025-02-25 By Zacks
The Zacks Analyst Blog Highlights Five9, Astera Labs, Alphabet, NVIDIA and Advanced Micro Devices
Published On 2025-02-24 By Insider Monkey
Is Astera Labs (ALAB) One of the Best Growth Stocks to Invest In According to Analysts?
Published On 2025-02-24 By Zacks
Buy These 2 Little-Known AI Stocks Likely to Explode in Near Future

Last 5 Grade Reports For Astera Labs, Inc., Ticker: ALAB

DateSourceFrom GradeTo GradeAction
2025-02-11Craig-HallumBuyBuymain
2025-02-11NeedhamBuyBuyreit
2025-01-28Morgan StanleyEqual-WeightEqual-Weightmain
2025-01-28Northland Capital MarketsMarket PerformOutperformup
2025-01-21Morgan StanleyOverweightEqual-Weightdown

Insider-Intel.com Blog With AI Analysis Of Historical Company Insider Trading

The report contains information about Astera Labs, Inc. (ALAB), a company operating in the medical device industry. The report includes news articles and market data from 2024 to 2025, highlighting various market influences and events that may have impacted ALAB's stock price.

Specifically, the report mentions mixed economic data and earnings reports on August 30, 2024, which likely influenced the company's stock price. Other market events mentioned include new economic policies announced on August 29, 2024, end-of-month portfolio adjustments and tax-loss harvesting on August 26, 2024, holiday season sales data on August 23, 2024, and corporate earnings reports on August 16, 2024.

The report also includes research findings on a new transaction date, February 26, 2025. According to the findings, the company recently announced a new product launch aimed at expanding its market share in the medical device industry, which has generated positive sentiment among investors.

In terms of possible future developments, the report mentions that ALAB's stock price may be influenced by ongoing concerns about inflation and potential interest rate hikes. It also notes that the company-specific news and earnings reports could impact the stock price in the coming months.

Based on the historical data, it is possible that ALAB's stock price may have been influenced by various market and economic factors. The data suggests that the company's performance may have been affected by a mix of positive and negative events over time. For instance, the data from August 2024 indicates that the company's stock price may have fluctuated in response to changing market conditions, including concerns about inflation and potential interest rate hikes.

It is possible that these factors could continue to impact ALAB's performance going forward, particularly if they are combined with other company-specific events or changes. For example, the recent product launch announcement may have generated positive sentiment among investors, which could potentially boost the company's stock price in the short term.

Looking at the data from August 2024, it is possible that ALAB's stock price may have been influenced by a combination of market and economic factors, including holiday season sales data, consumer spending reports, and end-of-month portfolio adjustments. These events could potentially impact the company's performance in the future, particularly if they are combined with other company-specific news or changes.

Overall, it is possible that ALAB's stock price may be influenced by a variety of factors going forward, including market and economic conditions, as well as company-specific events. It will be important to continue monitoring these factors in order to better understand the possibilities for future performance.

Based on the historical information provided, it is possible for the current transaction to result in a profit or loss for ALAB.

A possibility for profit could be due to the company's recent announcement of a new product launch aimed at expanding its market share in the medical device industry. This news may have generated positive sentiment among investors, potentially leading to an increase in the stock price.

On the other hand, it is also possible that the current transaction could result in a loss for ALAB due to ongoing concerns about inflation and potential interest rate hikes. Investors' cautionary approach to market volatility may cause them to be more conservative with their investments, potentially leading to a decrease in the stock price.

It is important to note that there are several factors at play that could influence the outcome of the current transaction, including global economic conditions and interest rate changes. As such, it is crucial to stay updated with company-specific news and earnings reports for ALAB to make informed decisions.