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Speece Thorson Capital Group Inc. has purchased shares of Insight Enterprises, Inc. (NASDAQ:NSIT).

Speece Thorson Capital Group Inc. has purchased shares of Insight Enterprises, Inc. (NASDAQ:NSIT).

The most recent SEC filing submitted by Insight Enterprises, Inc. (NASDAQ: NSIT) revealed that during the third quarter, Speece Thorson Capital Group Inc. increased the percentage of the company’s stock that it held by 3.3%. The fund increased its stake in the software developer during the quarter by purchasing an additional 3,605 shares, bringing the total number of shares it owns to 114,127. Because Speece Thorson Capital Group Inc. has a holding size of 2.1% in Insight Enterprises, the investment is ranked as the 27th largest investment that the company has. Speece Thorson Capital Group Inc. held Insight Enterprises at the end of the most recent fiscal quarter for approximately 0.33% of the company’s market value, which was $9,405,000.

Several other institutional investors and hedge funds have also adjusted their company holdings, which has resulted in some new ownership structures. Raymond James & Associates increased the amount of Insight Enterprises stock they owned by 14.3% over the year’s first three months. The investment company Raymond James & Associates currently holds 3,020 shares of the software manufacturer’s stock, valued at $324,000. During the most recent quarter, the company increased its holdings by 377 shares, bringing the total value of its stock to $324,000. Raymond James Financial Services Advisors Inc. invested approximately 410 thousand dollars in Insight Enterprises during the first three months of 2018 to increase its ownership stake in the company. The Bank of Montreal increased the proportion of Insight Enterprises owned by 7.6% during the year’s first three months. Bank of Montreal now has a total of 11,631 software maker’s stock shares after purchasing an additional 826 shares during the most recent quarter. The stock is currently valued at $1,268,000, and Bank of Montreal’s holdings are worth $1,268,000. Over the first three months of the year, MetLife Investment Management LLC increased the percentage of Insight Enterprises shares it owned by 54 percent. After completing the acquisition of 6,347 additional shares during the most recent quarter, MetLife Investment Management LLC now directly owns 18,092 shares of the software maker’s stock, which have a value of $1,942,000. This brings the total number of shares owned by MetLife Investment Management LLC to 18,092. MetLife Investment Management LLC has become the owner of these shares. And finally, throughout the first quarter, Rhumbline Advisers increased the proportion of ownership it possessed in Insight Enterprises by 2.5 percent. Rhumbline Advisers now holds 101,604 shares of the software maker’s stock, valued at $10,904,000, following purchasing an additional 2,524 shares during the most recent quarter.

On Monday, November

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