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Top Acquisition      Top Disposition      Sector Sentiment      Industry Sentiment
Consensus Insider Trading Data last updated 2023-12-06 07:28:03 -0600 US CDT

Top Acquisition

CSV download

Current Scope:Market    Statistical summary based on filings of the last 3 months sorted by Num of Transaction Count in descending order

Symbol Company Name Sector Industry 52-week High/Low Acq/Dsp Transaction Counta Ids/Sec/Mkt Quantb Acq/Dsp Shares Amountc Shares Outstanding (Mil)d Acq/Dsp PctSOe
RCG RENN FUND, INC. finance investment management
1.6
2.1
1.7
302 / 0
22935 / 0
0.0 /
TPL TEXAS PACIFIC LAND CORP energy oil & gas production
1266.2
2659.4
1485.7
93 / 1
369 / 100
7.7 0.0 / 0.0
NONE STARWOOD CREDIT REAL ESTATE INCOME TRUST others others NAf 62 / 5
19197892 / 1660301
0.0 /
BUKS BUTLER NATIONAL CORP others others NAf 33 / 0
810000 / 0
68.7 1.2 /
ECAT BLACKROCK ESG CAPITAL ALLOCATION TERM TRUST finance investor finance services
13.3
16.1
15.8
31 / 1
6819520 / 20000
0.0 /
SFBC SOUND FINANCIAL BANCORP, INC. finance saving banks
33.3
41.0
36.3
30 / 3
35296 / 3500
2.6 1.4 / 0.1
MMLP MARTIN MIDSTREAM PARTNERS L.P. energy oil refining
2.0
3.4
2.4
26 / 0
316180 / 0
38.9 0.8 /
GABC GERMAN AMERICAN BANCORP, INC. finance banks
24.9
40.7
30.2
25 / 0
40899 / 0
29.6 0.1 /
BIGZ BLACKROCK INNOVATION & GROWTH TERM TRUST others others
6.2
8.4
7.3
24 / 0
16233925 / 0
0.0 /
RMCF ROCKY MOUNTAIN CHOCOLATE FACTORY, INC. consumer non-durables packaged/specialty foods
3.7
6.1
4.1
22 / 0
158717 / 0
6.3 2.5 /
SCKT SOCKET MOBILE, INC. technology computer manufacturing
0.9
2.5
1.1
20 / 1
100000 / 2000
7.3 1.4 / 0.0
FYBR FRONTIER COMMUNICATIONS PARENT, INC. consumer services telecommunication/television equipment/service
11.7
30.8
22.3
20 / 0
2750000 / 0
245.8 1.1 /
NMAI NUVEEN MULTI-ASSET INCOME FUND finance investment management
10.6
13.0
12.1
19 / 0
863234 / 0
0.0 /
ED CONSOLIDATED EDISON INC public utilities eletricity/gas production/distribution (non state-owned)
80.5
100.9
91.7
19 / 0
592 / 0
345.2 0.0 /
BFZ BLACKROCK CALIFORNIA MUNICIPAL INCOME TRUST finance financing/mortgage
9.9
12.1
11.5
19 / 0
760775 / 0
0.0 /
SRET STERLING REAL ESTATE TRUST others others
18.1
24.9
20.7
18 / 0
13817 / 0
11.3 0.1 /
NMRA NEUMORA THERAPEUTICS, INC. others others
9.4
16.4
11.8
17 / 0
7293833 / 0
152.7 4.8 /
HHH HOWARD HUGHES HOLDINGS INC. finance real estate/investment trust
65.4
80.5
74.7
17 / 0
2246412 / 0
50.1 4.5 /
TMB REDWOOD ENHANCED INCOME CORP. others others NAf 17 / 8
10667199 / 15128
14.5 73.5 / 0.1
VRME VERIFYME, INC. technology prepackaged software/programming/edp services
0.9
2.3
1.0
17 / 0
53490 / 0
10.0 0.5 /
PVBC PROVIDENT BANCORP, INC. /MD/ finance saving banks
5.8
10.4
9.8
17 / 0
44846 / 0
17.7 0.3 /
EMO CLEARBRIDGE ENERGY MIDSTREAM OPPORTUNITY FUND INC. finance investment management
25.6
35.0
33.8
17 / 0
459619 / 0
0.0 /
FXNC FIRST NATIONAL CORP /VA/ finance banks
13.1
19.3
19.2
17 / 0
18062 / 0
6.2 0.3 /
NA STARWOOD REAL ESTATE INCOME TRUST, INC. technology semiconductors
0.9
3.0
1.9
16 / 3
6024894 / 77294
206.8 2.9 / 0.0
GRNT GRANITE RIDGE RESOURCES, INC. finance business/consulting/commercial services
4.8
9.6
5.9
16 / 2
100784 / 8165000
133.0 0.1 / 6.1

Top Disposition

CSV download

Current Scope:Market    Statistical summary based on filings of the last 3 months sorted by Num of Transaction Count in descending order

Symbol Company Name Sector Industry 52-week High/Low Dsp/Acq Transaction Counta Ids/Sec/Mkt Quantb Dsp/Acq Shares Amountc Shares Outstanding (Mil)d Acq/Dsp PctSOe
TEAM ATLASSIAN CORP technology prepackaged software/programming/edp services
116.4
215.8
188.6
150 / 0
1086082 / 0
155.0 0.7 /
CRM SALESFORCE, INC. technology prepackaged software/programming/edp services
126.3
263.4
249.1
109 / 0
1440661 / 0
968.0 0.2 /
METC RAMACO RESOURCES, INC. energy coal mining/beneficiating
7.3
19.9
17.5
90 / 0
6439465 / 0
43.9 14.7 /
META META PLATFORMS, INC. technology prepackaged software/programming/edp services
112.5
342.9
317.5
84 / 0
704302 / 0
2219.6 0.0 /
DNA GINKGO BIOWORKS HOLDINGS, INC. health care biological products (diagnostic and non diagnostic)
1.1
2.5
1.3
64 / 0
4295665 / 0
1619.4 0.3 /
IOT SAMSARA INC. technology prepackaged software/programming/edp services
10.5
36.0
34.6
46 / 0
4460389 / 0
179.3 2.5 /
PACW PACWEST BANCORP finance banks NAf 43 / 0
2500752 / 0
118.6 2.1 /
EDR ENDEAVOR GROUP HOLDINGS, INC. consumer services recreation services
17.7
26.3
24.1
42 / 0
1735572 / 0
226.2 0.8 /
RETA REATA PHARMACEUTICALS INC others others NAf 41 / 0
6952009 / 0
33.5 20.8 /
ANET ARISTA NETWORKS, INC. technology computer communications equipment
107.6
223.5
213.4
40 / 0
289680 / 0
311.1 0.1 /
CSTL CASTLE BIOSCIENCES INC health care medical specialty equipment/services
9.3
29.6
19.5
40 / 0
87544 / 0
26.9 0.3 /
PCTY PAYLOCITY HOLDING CORP technology prepackaged software/programming/edp services
139.4
235.0
154.4
39 / 0
165138 / 0
56.2 0.3 /
INTA INTAPP, INC. technology prepackaged software/programming/edp services
21.4
50.5
37.4
39 / 0
5477556 / 0
69.6 7.9 /
DIBS 1STDIBS.COM, INC. consumer services electronics distributions
3.4
6.6
4.9
38 / 0
497145 / 0
40.0 1.2 /
IBKR INTERACTIVE BROKERS GROUP, INC. finance security broker services
68.2
95.6
80.1
36 / 0
933744 / 0
107.0 0.9 /
ABNB AIRBNB, INC. consumer services other consumer services
81.9
155.0
135.3
35 / 0
1797140 / 0
434.7 0.4 /
NET CLOUDFLARE, INC. technology prepackaged software/programming/edp services
37.6
80.2
76.7
34 / 0
1083338 / 0
295.9 0.4 /
HZNP HORIZON THERAPEUTICS PUBLIC LTD CO others others NAf 34 / 0
2006501 / 0
229.0 0.9 /
VMW VMWARE LLC technology prepackaged software/programming/edp services NAf 31 / 0
254283986 / 0
431.8 58.9 /
VPLM VOIP-PAL.COM INC others others NAf 31 / 0
22249508 / 0
2927.5 0.8 /
COUR COURSERA, INC. technology prepackaged software/programming/edp services
9.9
21.2
20.8
30 / 0
1040399 / 0
152.5 0.7 /
LEGH LEGACY HOUSING CORP basic industries residential building construction
17.5
25.3
22.7
30 / 1
310485 / 3000
24.4 1.3 / 0.0
CRDO CREDO TECHNOLOGY GROUP HOLDING LTD technology semiconductors
7.2
19.5
17.6
30 / 0
1269806 / 0
150.7 0.8 /
DASH DOORDASH, INC. miscellaneous business/consulting/commercial services
45.9
99.3
96.9
29 / 0
1299677 / 0
370.7 0.4 /
TTOO T2 BIOSYSTEMS, INC. health care medical specialty equipment/services
0.1
10.5
3.8
28 / 0
48345798 / 0
4.1 1193.6 /

a For acquisitions, transaction code P (open market purchase), L (small acquisition), and I (at discretion of broker) are counted. For dispositions, transaction code S (open market sell), D (sell back to issuer) and I (at discretion of broker) are counted. Same code appeared multiple times in a single filing is counted only once. The black thin bar is a constant size ruler (10 count) for easy comparison between symbols.
b Quantile value calculated from tickers with at least one transaction code as explained in a. Tickers without any related transaction code are not included in calculation. Quantile values (green/red circles) are comparisons to industry peers, sector peers, and the market, respectively
c Total share amount presented in the original forms. For reference only
d The shares outstanding at the time of the latest transaction
e The percentage of acquisition/disposition shares amount relative to shares outstanding
f Stock price not available for stocks traded on OTC market or PINK list
Note: Data updated daily between 4~6am US CDT



Insider Sentiment Data last updated 2023-12-06 07:28:03 -0600 US CDT

Sector Sentiment

Statistical summary based on filings of the last 3 months

Sector/Industry Acq Transaction Counta Dsp Transaction Counta Acq/Dsp Chart(Transaction Count)c Acq (Mil USD)b Dsp (Mil USD)b Acq/Dsp Chart(USD Amount)c
Others 705 833
31952881.5 1478992.1
Finance 1425 905
1022.3 8234.9
Health Care 568 1433
923.1 2544.9
Energy 198 300
397.6 4024.1
Technology 324 2734
362.7 50832.8
Transportation 14 75
278.2 32.7
Consumer Services 365 1275
161.7 7949.3
Capital Goods 159 522
120.0 1290.0
Consumer Non Durables 149 227
64.3 982.6
Basic Industries 64 137
20.0 82.7
Public Utilities 111 132
18.8 476.8
Miscellaneous 38 185
6.8 600.9
Consumer Durables 22 51
3.5 43.7


Industry Sentiment

Statistical summary based on filings of the last 3 months

Sector/Industry Acq Transaction Counta Dsp Transaction Counta Acq/Dsp Chart(Transaction Count)c Acq (Mil USD)b Dsp (Mil USD)b Acq/Dsp Chart(USD Amount)c
Others 696 836
31952882.3 1478994.1
Pharmaceuticals 291 657
635.0 1655.4
Investment Management 437 60
432.8 196.3
Oil & Gas Production 173 121
394.6 3721.0
Transportation Services 21 29
301.8 37.7
Investor Finance Services 196 23
253.4 2.1
Real Estate/Investment Trust 108 160
231.5 177.5
Prepackaged Software/Programming/Edp Services 158 2143
161.7 48756.7
Biological Products (Diagnostic And Non Diagnostic) 72 234
142.1 122.2
Semiconductors 54 227
128.9 268.3
Aerospace (Military & Civilian) 3 37
70.3 44.8
Medical Specialty Equipment/Services 108 286
70.1 201.7
Telecommunication/Television Equipment/Service 43 106
51.8 439.5
Consumer Finance Services 59 128
39.9 502.1
Electrical Components/Products 25 86
38.4 98.8
Packaged Goods 5 39
38.1 35.6
Specialty Tech/Drug/Chemicals 33 24
35.6 9.7
Electromedical & Electrotherapeutic Apparatus 39 73
28.9 85.7
Banks 407 262
27.1 156.7
Industrial Machinery 58 315
25.6 220.2
Apparel/Shoe/Accessory Stores 21 36
22.9 32.2
Industrial Specialties 25 92
19.3 68.2
Water Transportation 7 36
17.6 20.3
Property/Casualty/Life/Health/Specialty Insurers 48 138
17.3 2252.3
Major Chemicals Manufacturing 39 34
16.8 29.0
Financing/Mortgage 77 15
16.1 1.4
Auto Parts 11 42
15.9 23.2
Precious Metals 28 28
13.6 4.6
Oilfield Equipment/Services 8 45
11.9 83.5
Business/Consulting/Commercial Services 74 274
8.2 5430.3
Rental/Leasing 1 7
6.9 12.5
Household Appliances 13 14
6.8 14.2
Packaged/Specialty Foods 78 63
6.4 68.0
Building Material Store/Dealer 6 17
5.6 11.3
Beverages (Production & Distribution) 23 51
5.4 367.6
Recreational Products/Toys 20 20
5.1 404.5
Metal Fabrications 10 54
4.3 75.6
Miscellaneous Manufacturing 12 28
4.2 9.4
Hotels/Resorts 28 26
3.7 2046.7
Advertising 21 28
3.7 21.5
Electronics Distributions 12 133
3.4 1951.3
Saving Banks 101 23
3.2 2.3
Department/General/Specialty Stores 27 137
3.2 1642.6
Security Broker Services 11 135
2.9 241.2
Restaurants 9 86
2.6 317.5
Engineering & Construction Services 6 29
2.5 28.4
Electric Utilities 17 20
2.5 6.1
Trucking/Hauling Services 5 11
2.4 17.6
Automotive Aftermarket Services 4 17
2.2 19.9
Assisted Living 3 19
2.1 5.2
Water Supply/Sewer 19 20
2.1 2.1
Broadcasting And Communications Equipment 18 27
1.9 88.6
Diversified Financial Services 9 0
1.7 0.0
Environmental Equipment/Services 29 12
1.6 24.1
Natural Gas Production & Distribution 8 30
1.6 434.2
Shoe Manufacturing 3 8
1.5 33.8
Office Equipment/Services 6 13
1.4 10.5
Paper Products 6 16
1.3 47.0
Residential Building Construction 16 55
1.2 142.2
Hospitals 4 51
1.1 22.0
Farming/Field/Seed 23 12
1.0 4.9
Computer Communications Equipment 10 69
1.0 81.2
Commercial Physical/Biological Research Or Service 2 35
1.0 360.3
Laboratory Analytical Instruments 11 20
1.0 3.1
Professional Services 13 58
1.0 127.9
Oil Refining 27 1
0.9 0.0
Air Transportation/Courier Services 7 27
0.9 7.4
Broadcasting (Tv & Radio) 15 8
0.8 11.5
Other Consumer Services 19 173
0.7 459.1
Apparel 8 23
0.6 27.1
News Agencies/Publishing 4 19
0.6 4.1
Home Furnishings 4 14
0.6 22.3
Commercial Printing 1 0
0.5 0.0
Agriculture/Construction Equipment 4 3
0.5 0.0
Building Products (Power, New Energy)#Mostly Led Light 13 33
0.5 384.1
Military/Tech 17 69
0.4 533.7
Textiles 11 3
0.4 1.6
Containers/Bottling/Packaging 8 20
0.4 36.5
Computer Peripheral Equipment 3 26
0.4 739.5
Railroad Transportation 1 6
0.3 2.2
Food Distributors 5 11
0.3 3.1
Motion Picture Entertainment 4 21
0.3 1.6
Steel Production 3 14
0.3 4.4
Recreation Services 4 73
0.3 359.3
Coal Mining/Beneficiating 1 111
0.2 200.5
Auto Manufacturing 3 17
0.2 27.0
Consumer Specialties 13 25
0.2 10.1
Pharmaceuticals Distribution 1 12
0.2 49.3
Argricultural Chemicals/Fertilizer 2 3
0.1 4.8
Oil/Gas Transmission 5 11
0.1 2.4
Computer Manufacturing 20 22
0.1 746.5
Eletricity/Gas Production/Distribution (Non State Owned) 20 16
0.1 4.1
Mining Nonmetal Minerals (Except Fuels) 2 11
0.1 8.2
Paints/Coating 2 6
0.1 17.0
Forest Products 1 13
0.0 9.6
Ordnance And Accessories 1 9
0.0 20.0
Building Operators 2 0
0.0 0.0
Fluid Controls 1 7
0.0 15.3
Commercial Banks 2 3
0.0 0.6
Plastic Products 0 29
0.0 33.0
Wholesaler 0 6
0.0 0.8
Nonresidential Building Construction 0 6
0.0 3.1
Meat/Poultry/Fish 0 5
0.0 6.8
Food Stores 0 23
0.0 14.8

a For acquisitions, transaction code P (open market purchase), L (small acquisition), and I (at discretion of broker) are counted. For dispositions, transaction code S (open market sell), D (sell back to issuer) and I (at discretion of broker) are counted. Same code appeared multiple times in a single filing is counted only once
b Based on transaction shares amount multiply per share price (as reported, or the market price closest to the transaction date)
c Black thin bar is fixed size ruler for easy comparison across categories.