Average Insider

Where insiders trade, we follow

Insider Buy/Sell Ratio — Last 3 Months

Extreme outlier transactions (>3σ) are excluded.Show All Data
Ratio0.2:1
Daily Buy & Sell Volume

By Sector

By Industry

Hardware, Equipment & Parts
Buys26
Sells1351
Buy $$14.14B
Sell $$818.08M
Ratio17.28:1
% Change vs. Prior
Ratio -19.2%Value +3.9%
Software - Infrastructure
Buys57
Sells3876
Buy $$33.89M
Sell $$4.60B
Ratio1:135.70
% Change vs. Prior
Ratio -60.5%Value +92.8%
Medical - Instruments & Supplies
Buys35
Sells114
Buy $$16.30M
Sell $$3.68B
Ratio1:225.50
% Change vs. Prior
Ratio +82.1%Value -51.9%
Biotechnology
Buys367
Sells3356
Buy $$371.26M
Sell $$3.09B
Ratio1:8.33
% Change vs. Prior
Ratio -46.0%Value +34.2%
Semiconductors
Buys114
Sells1924
Buy $$2.68M
Sell $$3.37B
Ratio1:1257.02
% Change vs. Prior
Ratio -17.0%Value +26.0%
Software - Application
Buys376
Sells1858
Buy $$292.26M
Sell $$2.45B
Ratio1:8.40
% Change vs. Prior
Ratio -59.5%Value +58.9%
Oil & Gas Exploration & Production
Buys166
Sells81
Buy $$45.57M
Sell $$2.55B
Ratio1:56.06
% Change vs. Prior
Ratio +322.3%Value -26.7%
Computer Hardware
Buys2
Sells1951
Buy $$43.39K
Sell $$2.53B
Ratio1:58337.57
% Change vs. Prior
Ratio -95.6%Value +136.6%
Medical - Healthcare Information Services
Buys30
Sells318
Buy $$8.45M
Sell $$2.16B
Ratio1:255.66
% Change vs. Prior
Ratio -77.0%Value +21.5%
Rental & Leasing Services
Buys9
Sells120
Buy $$2.96M
Sell $$1.87B
Ratio1:632.67
Specialty Retail
Buys75
Sells983
Buy $$23.61M
Sell $$1.63B
Ratio1:68.97
% Change vs. Prior
Ratio -86.9%Value -18.0%
Information Technology Services
Buys62
Sells241
Buy $$9.55M
Sell $$1.40B
Ratio1:146.09
Shell Companies
Buys90
Sells267
Buy $$101.49M
Sell $$1.28B
Ratio1:12.56
Leisure
Buys28
Sells112
Buy $$7.62M
Sell $$1.29B
Ratio1:170.02
Medical - Diagnostics & Research
Buys13
Sells459
Buy $$7.35M
Sell $$1.18B
Ratio1:159.92

TON Strategy Co (TONX)

Marbach Mary — General Counsel/Corp Secretary
May 15, 2026
Purchase
Shares
1,600
Price
$3.52
Total Value
$5.63K
Shares Held After
1,600
% of Holdings
100.0%
May 15, 2026
Purchase
Shares
200
Price
$27.69
Total Value
$5.54K
Shares Held After
9,600
% of Holdings
2.1%
May 14, 2026
Purchase
Shares
5,871
Price
$25.55
Total Value
$150.00K
Shares Held After
5,871
% of Holdings
100.0%
May 14, 2026
Purchase
Shares
90,600
Price
$2.84
Total Value
$257.30K
Shares Held After
6,516,775
% of Holdings
1.4%
May 14, 2026
Purchase
Shares
35,000
Price
$26.33
Total Value
$921.38K
Shares Held After
2,068,366
% of Holdings
1.7%
May 14, 2026
Purchase
Shares
1,500
Price
$22.98
Total Value
$34.47K
Shares Held After
2,033,366
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
95,371
Price
$25.24
Total Value
$2.41M
Shares Held After
2,031,866
% of Holdings
4.7%
May 14, 2026
Purchase
Shares
1,410
Price
$14.16
Total Value
$19.97K
Shares Held After
52,244
% of Holdings
2.7%
May 14, 2026
Purchase
Shares
30,000
Price
$25.22
Total Value
$756.60K
Shares Held After
26,313,180
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
97,111
Price
$208.52
Total Value
$20.25M
Shares Held After
110,623,487
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
151,554
Price
$207.51
Total Value
$31.45M
Shares Held After
110,526,376
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
58,840
Price
$206.71
Total Value
$12.16M
Shares Held After
110,374,822
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
15,000
Price
$1.72
Total Value
$25.86K
Shares Held After
908,635
% of Holdings
1.7%
May 14, 2026
Purchase
Shares
1,000,000
Price
$1.33
Total Value
$1.33M
Shares Held After
13,800,508
% of Holdings
7.2%
May 14, 2026
Purchase
Shares
35,000
Price
$26.33
Total Value
$921.38K
Shares Held After
2,068,366
% of Holdings
1.7%
May 14, 2026
Purchase
Shares
1,500
Price
$22.98
Total Value
$34.47K
Shares Held After
2,033,366
% of Holdings
0.1%
May 14, 2026
Purchase
Shares
95,371
Price
$25.24
Total Value
$2.41M
Shares Held After
2,031,866
% of Holdings
4.7%
May 14, 2026
Purchase
Shares
16,179
Price
$14.65
Total Value
$236.95K
Shares Held After
4,675,000
% of Holdings
0.3%
May 14, 2026
Purchase
Shares
27,946
Price
$14.65
Total Value
$409.28K
Shares Held After
4,658,821
% of Holdings
0.6%
May 14, 2026
Purchase
Shares
191,209
Price
$14.65
Total Value
$2.80M
Shares Held After
4,630,875
% of Holdings
4.1%
May 14, 2026
Purchase
Shares
64,658
Price
$14.65
Total Value
$946.94K
Shares Held After
4,439,666
% of Holdings
1.5%
May 14, 2026
Purchase
Shares
14,708
Price
$14.65
Total Value
$215.40K
Shares Held After
4,375,008
% of Holdings
0.3%
May 14, 2026
Purchase
Shares
11,321
Price
$14.50
Total Value
$164.14K
Shares Held After
4,360,300
% of Holdings
0.3%
May 14, 2026
Purchase
Shares
19,554
Price
$14.50
Total Value
$283.51K
Shares Held After
4,348,979
% of Holdings
0.4%
May 14, 2026
Purchase
Shares
133,791
Price
$14.50
Total Value
$1.94M
Shares Held After
4,329,425
% of Holdings
3.1%
May 14, 2026
Purchase
Shares
45,242
Price
$14.50
Total Value
$655.95K
Shares Held After
4,195,634
% of Holdings
1.1%
May 14, 2026
Purchase
Shares
10,292
Price
$14.50
Total Value
$149.22K
Shares Held After
4,150,392
% of Holdings
0.2%
May 14, 2026
Purchase
Shares
2,058
Price
$14.50
Total Value
$29.84K
Shares Held After
150,000
% of Holdings
1.4%
May 14, 2026
Purchase
Shares
2,942
Price
$14.65
Total Value
$43.09K
Shares Held After
147,942
% of Holdings
2.0%
May 14, 2026
Purchase
Shares
16,179
Price
$14.65
Total Value
$236.95K
Shares Held After
900,000
% of Holdings
1.8%
May 14, 2026
Purchase
Shares
11,321
Price
$14.50
Total Value
$164.14K
Shares Held After
883,821
% of Holdings
1.3%
May 14, 2026
Purchase
Shares
11,321
Price
$14.50
Total Value
$164.14K
Shares Held After
872,500
% of Holdings
1.3%
May 14, 2026
Purchase
Shares
16,179
Price
$14.65
Total Value
$236.95K
Shares Held After
861,179
% of Holdings
1.9%

PIMCO Dynamic Income Strategy Fund (PDX)

SHARENOW GREG ELLIOT — Pacific Investment Management Company LLC ("PIMCO") is the investment advisor of the Issuer
May 14, 2026
Purchase
Shares
5,000
Price
$21.53
Total Value
$107.63K
Shares Held After
26,285
% of Holdings
19.0%
May 14, 2026
Purchase
Shares
1,000
Price
$5.83
Total Value
$5.83K
Shares Held After
1,000
% of Holdings
100.0%
May 14, 2026
Purchase
Shares
1,000
Price
$5.83
Total Value
$5.83K
Shares Held After
1,000
% of Holdings
100.0%
May 14, 2026
Purchase
Shares
1,510
Price
$5.83
Total Value
$8.80K
Shares Held After
26,500
% of Holdings
5.7%
May 14, 2026
Purchase
Shares
30,000
Price
$7.44
Total Value
$223.11K
Shares Held After
30,000
% of Holdings
100.0%
May 14, 2026
Purchase
Shares
700
Price
$190.61
Total Value
$133.43K
Shares Held After
28,700
% of Holdings
2.4%
May 14, 2026
Purchase
Shares
4,500
Price
$189.86
Total Value
$854.37K
Shares Held After
28,000
% of Holdings
16.1%
May 14, 2026
Purchase
Shares
33,108
Price
$22.00
Total Value
$728.38K
Shares Held After
1,945,303
% of Holdings
1.7%

AWARE INC /MA/ (AWRE)

Amlani Ajay K — Director
May 14, 2026
Purchase
Shares
734
Price
$1.21
Total Value
$888.14
Shares Held After
893,108
% of Holdings
0.1%

OPAL Fuels Inc. (OPAL)

Nisar Nadeem — Director
May 14, 2026
Purchase
Shares
10,000
Price
$2.05
Total Value
$20.50K
Shares Held After
217,785
% of Holdings
4.6%
May 14, 2026
Purchase
Shares
14,082
Price
$11.94
Total Value
$168.14K
Shares Held After
3,102,482
% of Holdings
0.5%

KORU Medical Systems, Inc. (KRMD)

Pazdan Christopher — Chief Operating Officer
May 14, 2026
Purchase
Shares
5,000
Price
$3.88
Total Value
$19.40K
Shares Held After
305,131
% of Holdings
1.6%

SenesTech, Inc. (SNES)

Edell Michael — Director
May 14, 2026
Purchase
Shares
2,000
Price
$1.70
Total Value
$3.40K
Shares Held After
2,000
% of Holdings
100.0%

Vital Farms, Inc. (VITL)

Pappas Peter Nicholas — CSO and President, Eggs
May 14, 2026
Purchase
Shares
3,500
Price
$8.51
Total Value
$29.79K
Shares Held After
85,169
% of Holdings
4.1%
May 14, 2026
Purchase
Shares
170,830
Price
$0.86
Total Value
$146.95K
Shares Held After
2,279,408
% of Holdings
7.5%
May 14, 2026
Purchase
Shares
6,000
Price
$8.52
Total Value
$51.12K
Shares Held After
13,794
% of Holdings
43.5%
May 14, 2026
Purchase
Shares
2,500
Price
$8.40
Total Value
$21.00K
Shares Held After
22,927
% of Holdings
10.9%
Version: v26.5.2