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Last Closing Day Summary - Buys Explanation
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  Below are today's Form 4 insider buying transaction data filed with the SEC (Securities & Exchange Commission, www.sec.gov).  Transactions are grouped by company showing the amount of insiders and combined transaction data.  Also represented within each group is the company's transaction summary history for the last 3 month.  Data will show how many insiders, the total amount of transactions that occurred, the amount of combined shares purchased and the combined shares market value.  Insider transaction data is updated every 0-5 min Monday - Friday.  The Form 3 (Initial Ownership Statement), Form 4 (Change in Ownership) and form 5 (Insider who has at least one transaction which was not reported during the year) are also sent in our daily summary emails.

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Ticker Company Name Total Trades
Avg. Rank  
Total People Total   Shares Total Value 3 Mo. Trades 3 Mo. People 3 Mo. Shares
   (PBF)1 Year Chart         PBF PBF Energy Inc 1 0.01 1 300,000 $9,245,400 29 1 7,543,900
   (PMD)1 Year Chart         PMD Psychemedics Corp 1 2.25 1 1,409,712 $3,312,823 0 0 0
   (DMLP)1 Year Chart         DMLP Dorchester Minerals LP 2 2.74 2 26,480 $911,177 1 1 3,218
   (EVM)1 Year Chart         EVM Eaton Vance Insured California Municipal Bond Fund 2 1.5 1 81,948 $779,325 14 1 424,631
   (EQBK)1 Year Chart         EQBK Equity Bancshares Inc 4 0.01 4 11,700 $520,650 3 2 3,657
   (HHS)1 Year Chart         HHS Harte-Hanks Inc 1 2.39 1 42,775 $241,551 1 1 850
   (CINF)1 Year Chart         CINF Cincinnati Financial Corp 1 0.01 1 1,000 $157,188 0 0 0
   (MHI)1 Year Chart         MHI Pioneer Municipal High Income Trust 1 1.5 1 7,974 $76,630 14 2 237,350
   (NMFC)1 Year Chart         NMFC New Mountain Finance Corp 1 2.1 1 6,200 $72,833 17 4 1,045,602
   (GWAV)1 Year Chart         GWAV Greenwave Technology Solutions Ord Shs 1 2.39 1 100,000 $66,000 2 2 477,002
   (ENX)1 Year Chart         ENX Eaton Vance Insured New York Municipal Bond Fund 2 1.5 1 6,454 $64,124 9 1 73,009
   (CTGO)1 Year Chart         CTGO Contango Ore Inc 1 0.01 1 5,000 $61,100 0 0 0
   (GRF)1 Year Chart         GRF Eagle Caplital Growth Fund 1 2.81 1 6,000 $58,425 3 2 7,615
   (IVFH)1 Year Chart         IVFH Innovative Food Holdings Inc 1 2.1 1 31,250 $50,000 0 0 0
   (GRX)1 Year Chart         GRX Gabelli Healthcare & Wellnessrx Trust 2 2.25 1 3,137 $32,989 15 2 71,243
   (FSK)1 Year Chart         FSK Fs Kkr Capital Inc 1 2.1 1 1,000 $21,230 1 1 5,000
   (RPID)1 Year Chart         RPID Rapid Micro Biosystems, Inc. 2 2.39 1 20,000 $20,364 2 1 20,000
   (MNMD)1 Year Chart         MNMD Mind Medicine 1 0.01 1 2,500 $17,925 0 0 0
   (BDCO)1 Year Chart         BDCO Blue Dolphin Energy Co 1 3.15 1 6,000 $17,805 6 1 39,500
   (BDCO)1 Year Chart         BDCO Blue Dolphin Energy Co 1 3.15 1 3,500 $10,250 6 1 39,500
   (STSS)1 Year Chart         STSS Sharps Technology Inc. 2 2.77 1 5,000 $10,072 0 0 0
   (SPRU)1 Year Chart         SPRU Spruce Power Holding 2 2.35 2 3,769 $9,965 6 5 47,267
   (GRNT)1 Year Chart         GRNT Granite Ridge Resources, Inc. 1 2.74 1 1,500 $9,315 11 6 67,995
   (VRME)1 Year Chart         VRME VerifyMe, Inc 1 2.73 1 5,000 $3,100 3 1 13,000


  Transaction Code Key: Ownership Code Key
  B - Buy AB - Automatic Buy D - Direct Ownership
  S - Sell AS - Automatic Sell I - Indirect Ownership
  OE - Options Exercised A - Acquired
  IO - Initital Ownership D - Disposed