Insight Advisors, Llc/ Pa Portfolio Stock Holdings

Insight Advisors, Llc/ Pa disclosed 243 stock positions valued at approximately $525.5 million in its latest SEC 13F filing. The largest holdings include EA SERIES TRUST, STATE STR SPDR S&P 500 ETF T, and NVIDIA CORPORATION. The filing reflects positions held as of March 31, 2026 and was filed on May 12, 2026.

Report Period
March 31, 2026
No. of Stocks
243
Portfolio Value
$525.5M
Holdings by Sector
Insight Advisors, Llc/ Pa Portfolio Holdings in Q1 2026

229 holdings in the latest reporting period.

Page 1 of 3
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
EA SERIES TRUSTBOXXOther7.47%337,673+19,898+6.26%$39,267,915
STATE STR SPDR S&P 500 ETF TSPYOther4.18%33,739-359-1.05%$21,941,477
NVIDIA CORPORATIONNVDATechnology4.10%123,437-4,991-3.89%$21,527,609
APPLE INCAAPLTechnology3.68%76,241-5,525-6.76%$19,349,470
BROADCOM INCAVGOTechnology2.02%34,238-496-1.43%$10,597,036
AMAZON COM INCAMZNConsumer Cyclical1.73%43,563-3,019-6.48%$9,072,866
ALPHABET INCGOOGLCommunication Services1.42%25,959+448+1.76%$7,464,766
INVESCO QQQ TRQQQOther1.26%11,509-1,004-8.02%$6,642,240
VANGUARD INDEX FDSVOOOther1.26%11,106+274+2.53%$6,636,231
VANGUARD INDEX FDSVUGOther1.17%14,072-263-1.83%$6,146,537
MICROSOFT CORPMSFTTechnology1.14%16,201-1,551-8.74%$5,996,777
ALPHABET INCGOOGCommunication Services0.82%15,046-960-6.00%$4,316,292
SPDR GOLD TRGLDOther0.82%10,015+136+1.38%$4,309,355
ISHARES TRIVVOther0.81%6,549-650-9.03%$4,277,987
FIRST TR EXCHANGE-TRADED FDIGLDOther0.81%167,358+4,803+2.95%$4,272,652
ADVANCED MICRO DEVICES INCAMDTechnology0.75%19,337+94+0.49%$3,933,725
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services0.73%7,977-165-2.03%$3,822,579
VANGUARD INDEX FDSVTVOther0.70%18,793-277-1.45%$3,687,254
VANGUARD WORLD FDVGTOther0.68%5,116+14+0.27%$3,569,888
SPDR SERIES TRUSTSPLGOther0.65%44,722+3,012+7.22%$3,423,097
COSTCO WHOLESALE CORPORATIONCOSTConsumer Defensive0.64%3,366+117+3.60%$3,354,977
INTEL CORPINTCTechnology0.48%56,979+24+0.04%$2,514,484
JOHNSON & JOHNSONJNJHealthcare0.46%9,948-99-0.99%$2,431,949
MERCK & CO INCMRKHealthcare0.46%20,086-238-1.17%$2,416,100
NETFLIX INC.NFLXCommunication Services0.45%24,639+485+2.01%$2,369,042
SELECTIVE INS GROUP INCSIGIFinancial Services0.43%29,805--$2,246,999
VANGUARD INDEX FDSVBKOther0.42%7,351-19-0.26%$2,221,703
VANGUARD INDEX FDSVOTOther0.40%8,080-300-3.58%$2,079,288
META PLATFORMS INCMETACommunication Services0.37%3,431+479+16.23%$1,963,112
WELLS FARGO & COWFCFinancial Services0.37%24,377+118+0.49%$1,940,650
FIRST TR EXCHANGE-TRADED FDFTSMOther0.36%31,814-5,836-15.50%$1,901,890
TESLA INCTSLAConsumer Cyclical0.35%4,965-682-12.08%$1,845,741
WALMART INCWMTConsumer Defensive0.34%14,568+57+0.39%$1,810,428
VANGUARD INDEX FDSVOEOther0.34%9,785-91-0.92%$1,803,179
SPDR SERIES TRUSTSPIBOther0.33%51,715+435+0.85%$1,734,522
J P MORGAN EXCHANGE TRADED FJMSTOther0.31%32,443-115,161-78.02%$1,653,944
SPROTT ASSET MANAGEMENT LPPHYSOther0.31%45,514-3,370-6.89%$1,613,016
FIRST TR EXCHANGE-TRADED FDFSIGOther0.31%85,001-347-0.41%$1,609,912
PALANTIR TECHNOLOGIES INCPLTRTechnology0.31%10,993+541+5.18%$1,608,056
ISHARES TRIVWOther0.30%13,744-77-0.56%$1,554,623
PALO ALTO NETWORKS INCPANWTechnology0.30%9,673-253-2.55%$1,550,775
GLOBAL X FDSPAVEOther0.29%30,081+412+1.39%$1,528,360
ISHARES TRAGZOther0.29%13,718+276+2.05%$1,505,002
PRICE T ROWE GROUP INCTROWFinancial Services0.28%16,352+16,352+100.00%$1,473,993
JPMORGAN CHASE & COJPMFinancial Services0.28%4,935-11-0.22%$1,451,900
ELI LILLY & COLLYHealthcare0.27%1,525+1+0.07%$1,402,939
YELP INCYELPCommunication Services0.27%56,300+56,300+100.00%$1,392,862
EXXON MOBIL CORPXOMEnergy0.26%8,058-1,384-14.66%$1,367,166
SPDR SERIES TRUSTSPTMOther0.25%16,711+143+0.86%$1,321,187
BLACKSTONE INCBXFinancial Services0.25%11,465-3,376-22.75%$1,318,298
ISHARES TRDGROOther0.25%18,364-6,556-26.31%$1,288,801
INVESCO EXCHANGE TRADED FD TRSPOther0.24%6,693+101+1.53%$1,284,643
VANGUARD INDEX FDSVBROther0.24%5,756-62-1.07%$1,250,543
ISHARES TRFALNOther0.23%46,210+975+2.16%$1,234,731
SPDR SERIES TRUSTSPYDOther0.23%27,113-1,178-4.16%$1,234,207
VANGUARD WORLD FDMGKOther0.23%3,324+24+0.73%$1,221,288
PROCTER & GAMBLE COPGConsumer Defensive0.23%8,261+129+1.59%$1,193,134
SPDR SERIES TRUSTIBNDOther0.23%38,210+1,207+3.26%$1,187,567
SPDR SERIES TRUSTSMLVOther0.23%8,645-14-0.16%$1,185,034
VANGUARD INTL EQUITY INDEX FVEUOther0.22%15,303+2,048+15.45%$1,149,231
ISHARES TRIWFOther0.21%2,642+1+0.04%$1,126,698
ETF SER SOLUTIONSQTUMOther0.21%10,341+250+2.48%$1,109,533
ISHARES TRIWMOther0.21%4,455+389+9.57%$1,104,971
RTX CORPORATIONRTXIndustrials0.21%5,724-79-1.36%$1,104,143
SPDR SERIES TRUSTSPTIOther0.21%38,051+860+2.31%$1,090,541
FIRST TR EXCHANGE-TRADED FDRDVIOther0.21%42,579+435+1.03%$1,087,896
VANGUARD SPECIALIZED FUNDSVIGOther0.21%5,041-2,638-34.35%$1,084,188
HOME DEPOT INCHDConsumer Cyclical0.20%3,267-4-0.12%$1,074,710
BANK AMERICA CORPBACFinancial Services0.20%21,873+48+0.22%$1,066,301
J P MORGAN EXCHANGE TRADED FBBINOther0.20%14,497+27+0.19%$1,060,020
WISDOMTREE TRAGGYOther0.19%23,508-181,329-88.52%$1,021,422
VANECK ETF TRUSTSMHOther0.18%2,459+81+3.41%$942,745
ISHARES SILVER TRSLVOther0.18%13,716-3,220-19.01%$934,608
AMERICAN EXPRESS COAXPFinancial Services0.18%3,083-2,507-44.85%$932,705
CONSTELLATION ENERGY CORPCEGUtilities0.18%3,304+2+0.06%$922,753
ISHARES TRIJROther0.18%7,409-504-6.37%$920,869
CATERPILLAR INCCATIndustrials0.17%1,291-19-1.45%$914,433
SCHWAB STRATEGIC TRSCHDOther0.17%29,467-180,046-85.94%$904,059
ISHARES TRAOAOther0.16%9,589+5+0.05%$848,514
MICRON TECHNOLOGY INCMUTechnology0.16%2,489+4+0.16%$840,887
FIRST TR EXCHANGE TRADED FDFVOther0.16%13,868-5-0.04%$838,151
PUBLIC SVC ENTERPRISE GROUPPEGUtilities0.16%10,193-6,820-40.09%$825,154
FIDELITY MERRIMACK STR TRFBNDOther0.16%17,988+291+1.64%$820,613
VANGUARD INDEX FDSVTIOther0.16%2,548+338+15.29%$817,488
WISDOMTREE TRSHAGOther0.15%17,097+435+2.61%$813,475
PACCAR INCPCARIndustrials0.15%6,864-92-1.32%$792,743
INVESCO ACTVELY MNGD ETC FDPDBCOther0.14%43,444-1,431-3.19%$752,449
SELECT SECTOR SPDR TRXLEOther0.14%12,272-192-1.54%$751,752
SPDR SERIES TRUSTSPLBOther0.14%33,597+2,110+6.70%$746,526
ISHARES TRIJHOther0.14%10,807-53,043-83.07%$729,728
LOCKHEED MARTIN CORPLMTIndustrials0.14%1,199+3+0.25%$724,636
DEERE & CODEIndustrials0.14%1,274-19-1.47%$717,646
MCDONALDS CORPMCDConsumer Cyclical0.14%2,285-202-8.12%$710,312
INVESCO EXCH TRADED FD TR IIPFIGOther0.14%29,542+619+2.14%$709,894
CITIGROUP INCCFinancial Services0.13%6,175-121-1.92%$700,296
VANGUARD WHITEHALL FDSVYMOther0.13%4,671-1,650-26.10%$691,776
SELECT SECTOR SPDR TRXLYOther0.13%6,257+186+3.06%$681,978
SELECT SECTOR SPDR TRXLKOther0.13%5,131+264+5.42%$681,881
SITEONE LANDSCAPE SUPPLY INCSITEIndustrials0.13%5,045-52-1.02%$671,540
WISDOMTREE TRDGRWOther0.13%7,603-166,882-95.64%$667,848
Insight Advisors, Llc/ Pa Portfolio Stock Holdings | InsiderSet