A detailed history of M&R Capital Management Inc transactions in Insight Select Income Fund stock. As of the latest transaction made, M&R Capital Management Inc holds 29,653 shares of INSI stock, worth $518,630. This represents 0.12% of its overall portfolio holdings.

Number of Shares
29,653
Previous 30,653 3.26%
Holding current value
$518,630
Previous $505,000 4.36%
% of portfolio
0.12%
Previous 0.13%

Shares

26 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q2 2024

Jul 02, 2024

SELL
$15.74 - $16.58 $15,740 - $16,580
-1,000 Reduced 3.26%
29,653 $483,000
Q1 2024

Apr 02, 2024

SELL
$15.67 - $16.58 $38,391 - $40,620
-2,450 Reduced 7.4%
30,653 $505,000
Q4 2023

Jan 02, 2024

SELL
$14.31 - $16.25 $42,930 - $48,750
-3,000 Reduced 8.31%
33,103 $528,000
Q3 2023

Oct 10, 2023

SELL
$14.92 - $15.84 $5,968 - $6,336
-400 Reduced 1.1%
36,103 $542,000
Q2 2023

Jul 05, 2023

SELL
$15.37 - $16.26 $384 - $406
-25 Reduced 0.07%
36,503 $570,000
Q1 2023

Apr 03, 2023

SELL
$15.18 - $16.31 $15,180 - $16,309
-1,000 Reduced 2.66%
36,528 $580,000
Q4 2022

Jan 11, 2023

SELL
$14.51 - $15.82 $149,453 - $162,946
-10,300 Reduced 21.54%
37,528 $0
Q3 2022

Oct 03, 2022

SELL
$14.83 - $16.64 $431,553 - $484,224
-29,100 Reduced 37.83%
47,828 $735,000
Q2 2022

Jul 05, 2022

SELL
$15.87 - $17.9 $14,283 - $16,109
-900 Reduced 1.16%
76,928 $1.24 Million
Q1 2022

Apr 04, 2022

SELL
$17.53 - $22.1 $316,013 - $398,396
-18,027 Reduced 18.81%
77,828 $1.39 Million
Q4 2021

Jan 07, 2022

SELL
$20.71 - $22.94 $162,055 - $179,505
-7,825 Reduced 7.55%
95,855 $2.15 Million
Q3 2021

Oct 05, 2021

SELL
$20.93 - $22.82 $146,928 - $160,196
-7,020 Reduced 6.34%
103,680 $2.18 Million
Q2 2021

Jul 02, 2021

SELL
$19.9 - $21.66 $39,800 - $43,320
-2,000 Reduced 1.77%
110,700 $2.4 Million
Q1 2021

Apr 01, 2021

SELL
$20.27 - $21.77 $89,188 - $95,788
-4,400 Reduced 3.76%
112,700 $2.3 Million
Q4 2020

Jan 05, 2021

SELL
$20.25 - $21.63 $12,150 - $12,978
-600 Reduced 0.51%
117,100 $2.5 Million
Q3 2020

Oct 01, 2020

SELL
$19.76 - $21.69 $3,952 - $4,338
-200 Reduced 0.17%
117,700 $2.38 Million
Q2 2020

Jul 01, 2020

SELL
$17.27 - $20.17 $203,319 - $237,461
-11,773 Reduced 9.08%
117,900 $2.32 Million
Q3 2019

Oct 02, 2019

SELL
$19.58 - $20.78 $39,160 - $41,560
-2,000 Reduced 1.52%
129,673 $2.66 Million
Q2 2019

Jul 24, 2019

SELL
$18.39 - $20.14 $51,492 - $56,392
-2,800 Reduced 2.08%
131,673 $2.65 Million
Q1 2019

Apr 29, 2019

SELL
$17.52 - $19.22 $48,180 - $52,855
-2,750 Reduced 2.0%
134,473 $2.51 Million
Q4 2018

Feb 08, 2019

SELL
$17.42 - $18.65 $292,656 - $313,320
-16,800 Reduced 10.91%
137,223 $2.39 Million
Q3 2018

Nov 09, 2018

SELL
$18.03 - $19.39 $59,805 - $64,316
-3,317 Reduced 2.11%
154,023 $2.87 Million
Q2 2018

Aug 08, 2018

SELL
$18.23 - $19.32 $35,548 - $37,674
-1,950 Reduced 1.22%
157,340 $2.98 Million
Q1 2018

May 11, 2018

SELL
$19.19 - $20.5 $40,299 - $43,050
-2,100 Reduced 1.3%
159,290 $3.09 Million
Q4 2017

Feb 14, 2018

SELL
$19.59 - $20.65 $9,795 - $10,325
-500 Reduced 0.31%
161,390 $3.21 Million
Q2 2017

Aug 15, 2017

BUY
N/A
161,890
161,890 $3.2 Million

Others Institutions Holding INSI

About Insight Select Income Fund


  • Ticker INSI
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • Insight Select Income Fund is a closed ended fixed income mutual fund launched and managed by Cutwater Asset Management Corp. The fund invests in the fixed income markets of the United States. It primarily invests in short-term and long-term debt securities. The fund invests in the securities rated within the highest four grades by Moody's or St...
More about INSI
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