Insight Wealth Strategies, LLC Top Holdings and 13F Report (2024) → Protect Yourself While There’s Still Time … (From Weiss Ratings) (Ad) About Insight Wealth Strategies, LLCInvestment ActivityInsight Wealth Strategies, LLC has $681.19 million in total holdings as of March 31, 2024.Insight Wealth Strategies, LLC owns shares of 159 different stocks, but just 58 companies or ETFs make up 80% of its holdings.Approximately 20.78% of the portfolio was purchased this quarter.About 16.87% of the portfolio was sold this quarter.This quarter, Insight Wealth Strategies, LLC has purchased 153 new stocks and bought additional shares in 71 stocks.Insight Wealth Strategies, LLC sold shares of 54 stocks and completely divested from 26 stocks this quarter.Largest Holdings iShares Preferred and Income Securities ETF $30,941,391Chevron $29,446,222iShares iBoxx $ Investment Grade Corporate Bond ETF $27,859,077iShares MSCI USA Momentum Factor ETF $25,008,360iShares MSCI USA Min Vol Factor ETF $24,697,389 Largest New Holdings this Quarter Franklin International Low Volatility High Dividend Index ETF $12,664,607 HoldingHealth Care Select Sector SPDR Fund $8,287,317 HoldingIndustrial Select Sector SPDR Fund $6,321,612 HoldingiShares MSCI Japan ETF $6,222,362 HoldingSysco $6,061,548 Holding Largest Purchases this Quarter Vanguard Long-Term Corporate Bond ETF 166,491 shares (about $13.02M)Franklin International Low Volatility High Dividend Index ETF 425,272 shares (about $12.66M)Health Care Select Sector SPDR Fund 56,098 shares (about $8.29M)Industrial Select Sector SPDR Fund 50,187 shares (about $6.32M)iShares MSCI Japan ETF 87,209 shares (about $6.22M) Largest Sales this Quarter iShares MSCI EAFE Min Vol Factor ETF 300,018 shares (about $21.26M)SPDR S&P Insurance ETF 163,737 shares (about $8.53M)Communication Services Select Sector SPDR Fund 79,736 shares (about $6.51M)iShares 7-10 Year Treasury Bond ETF 26,712 shares (about $2.53M)iShares MSCI USA Momentum Factor ETF 13,304 shares (about $2.49M) Sector Allocation Over TimeMap of 500 Largest Holdings ofInsight Wealth Strategies, LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorPFFiShares Preferred and Income Securities ETF$30,941,391$368,131 ▲1.2%960,0184.5%ETFCVXChevron$29,446,222$355,545 ▲1.2%186,6764.3%Oils/EnergyLQDiShares iBoxx $ Investment Grade Corporate Bond ETF$27,859,077$5,123,044 ▲22.5%255,7764.1%FinanceMTUMiShares MSCI USA Momentum Factor ETF$25,008,360$2,492,499 ▼-9.1%133,4853.7%ETFUSMViShares MSCI USA Min Vol Factor ETF$24,697,389$127,794 ▲0.5%295,4943.6%ETFGSIEGoldman Sachs ActiveBeta International Equity ETF$24,340,573$88,125 ▲0.4%709,8453.6%ETFQUALiShares MSCI USA Quality Factor ETF$24,125,709$2,536,408 ▲11.7%146,7953.5%ETFVIGIVanguard International Dividend Appreciation ETF$23,739,064$46,717 ▼-0.2%291,1703.5%ETFFLTRVanEck Floating Rate ETF$19,950,215$2,482,989 ▼-11.1%782,0552.9%ETFTLTiShares 20+ Year Treasury Bond ETF$19,575,344$783,264 ▲4.2%206,8842.9%ETFIEFiShares 7-10 Year Treasury Bond ETF$16,991,652$2,528,557 ▼-13.0%179,5022.5%ETFVCLTVanguard Long-Term Corporate Bond ETF$16,306,773$13,024,562 ▲396.8%208,4472.4%ManufacturingHYGiShares iBoxx $ High Yield Corporate Bond ETF$15,185,870$338,903 ▲2.3%195,3672.2%ETFJAAAJanus Henderson AAA CLO ETF$13,334,488$3,679,162 ▲38.1%262,8002.0%ETFTIPiShares TIPS Bond ETF$13,133,060$253,274 ▲2.0%122,2701.9%ETFLVHIFranklin International Low Volatility High Dividend Index ETF$12,664,607$12,664,607 ▲New Holding425,2721.9%ETFIJRiShares Core S&P Small-Cap ETF$11,097,340$31,056 ▼-0.3%100,4101.6%ETFAVUVAvantis U.S. Small Cap Value ETF$10,854,108$97,364 ▼-0.9%115,8271.6%ETFAAPLApple$10,320,462$3,125,033 ▲43.4%60,1851.5%Computer and TechnologyKIESPDR S&P Insurance ETF$8,770,975$8,525,778 ▼-49.3%168,4461.3%ETFXOPSPDR S&P Oil & Gas Exploration & Production ETF$8,635,956$1,213,877 ▲16.4%55,7411.3%ETFXLVHealth Care Select Sector SPDR Fund$8,287,317$8,287,317 ▲New Holding56,0981.2%ETFSHYiShares 1-3 Year Treasury Bond ETF$8,125,819$1,885,355 ▲30.2%99,3621.2%ManufacturingLRCXLam Research$7,682,582$922,065 ▼-10.7%7,9071.1%Computer and TechnologyXLCCommunication Services Select Sector SPDR Fund$6,661,943$6,511,279 ▼-49.4%81,5811.0%ETFXLIIndustrial Select Sector SPDR Fund$6,321,612$6,321,612 ▲New Holding50,1870.9%ETFEWJiShares MSCI Japan ETF$6,222,362$6,222,362 ▲New Holding87,2090.9%ETFSYYSysco$6,061,548$6,061,548 ▲New Holding74,6680.9%Consumer StaplesXSVMInvesco S&P SmallCap Value with Momentum ETF$5,565,307$40,029 ▼-0.7%97,7400.8%MiscellaneousFYLDCambria Foreign Shareholder Yield ETF$5,306,117$59,665 ▼-1.1%196,4500.8%ETFMSFTMicrosoft$4,897,968$714,795 ▼-12.7%11,6420.7%Computer and TechnologyAMZNAmazon.com$4,896,776$276,523 ▼-5.3%27,1470.7%Retail/WholesaleAXPAmerican Express$4,336,705$1,821,703 ▲72.4%19,0470.6%FinanceLWLamb Weston$4,039,298$4,039,298 ▲New Holding37,9170.6%Consumer StaplesHYDVanEck High Yield Muni ETF$4,013,432$184,897 ▲4.8%76,7970.6%ETFHDHome Depot$3,986,060$1,673,294 ▲72.4%10,3910.6%Retail/WholesaleSHWSherwin-Williams$3,961,701$3,961,701 ▲New Holding11,4060.6%ConstructionMSIMotorola Solutions$3,948,798$3,948,798 ▲New Holding11,1240.6%Computer and TechnologyCDWCDW$3,939,779$3,939,779 ▲New Holding15,4030.6%Computer and TechnologyAVGOBroadcom$3,915,557$2,651 ▲0.1%2,9540.6%Computer and TechnologyNVDANVIDIA$3,793,094$1,081,547 ▼-22.2%4,1980.6%Computer and TechnologyMCOMoody's$3,771,123$3,771,123 ▲New Holding9,5950.6%FinanceGWWW.W. Grainger$3,689,747$3,689,747 ▲New Holding3,6270.5%Industrial ProductsGOOGLAlphabet$3,564,191$319,819 ▲9.9%23,6150.5%Communication ServicesKLACKLA$3,455,127$3,455,127 ▲New Holding4,9460.5%Computer and TechnologyMUBiShares National Muni Bond ETF$3,425,037$167,211 ▲5.1%31,8310.5%ETFMBBiShares MBS ETF$3,409,481$181,421 ▲5.6%36,8910.5%ETFEMBiShares J.P. Morgan USD Emerging Markets Bond ETF$3,409,378$66,805 ▲2.0%38,0210.5%ETFFLOTiShares Floating Rate Bond ETF$3,401,648$174,318 ▲5.4%66,6210.5%ETFJNKSPDR Bloomberg High Yield Bond ETF$3,293,656$3,293,656 ▲New Holding34,5970.5%FinanceHYDBiShares High Yield Bond Factor ETF$3,236,043$3,236,043 ▲New Holding69,2650.5%ETFVTEBVanguard Tax-Exempt Bond ETF$3,119,981$165,562 ▲5.6%61,6600.5%ETFUNHUnitedHealth Group$3,056,680$373,984 ▲13.9%6,1790.4%MedicalTGTTarget$3,030,875$159,846 ▼-5.0%17,1030.4%Retail/WholesaleFIFiserv$2,864,614$234,456 ▼-7.6%17,9240.4%Business ServicesTJXTJX Companies$2,713,346$2,162,442 ▲392.5%26,7540.4%Retail/WholesaleBROBrown & Brown$2,413,605$8,492 ▲0.4%27,5710.4%FinanceJPMJPMorgan Chase & Co.$2,410,033$402,206 ▼-14.3%12,0320.4%FinanceATIATI$2,400,027$102 ▼0.0%46,9030.4%Basic MaterialsVRRMVerra Mobility$2,337,037$109,393 ▼-4.5%93,5940.3%Industrial ProductsACGLArch Capital Group$2,316,731$129,046 ▼-5.3%25,0620.3%FinanceWMWaste Management$2,311,915$297,782 ▼-11.4%10,8460.3%Business ServicesMLIMueller Industries$2,308,450$456,782 ▼-16.5%42,8050.3%Industrial ProductsHCAHCA Healthcare$2,298,799$329,543 ▼-12.5%6,8920.3%MedicalNTAPNetApp$2,293,788$304,936 ▼-11.7%21,8520.3%Computer and TechnologySPYSPDR S&P 500 ETF Trust$2,243,126$244,819 ▲12.3%4,2880.3%FinanceUNMUnum Group$2,241,110$2,241,110 ▲New Holding41,7650.3%FinanceFISFidelity National Information Services$2,237,613$98,065 ▲4.6%30,1650.3%Business ServicesJBLJabil$2,222,900$2,222,900 ▲New Holding16,5950.3%Computer and TechnologyAJGArthur J. Gallagher & Co.$2,196,699$250,551 ▼-10.2%8,7850.3%FinanceHPEHewlett Packard Enterprise$2,192,607$58,207 ▲2.7%123,6670.3%Computer and TechnologyDIODDiodes$2,185,867$530,446 ▲32.0%31,0050.3%Computer and TechnologyPLTRPalantir Technologies$2,183,120$129,178 ▼-5.6%94,8770.3%Business ServicesDEDeere & Company$2,181,469$83,792 ▲4.0%5,3110.3%Industrial ProductsSMSM Energy$2,176,405$58,175 ▼-2.6%43,6590.3%Oils/EnergyDVDoubleVerify$2,175,806$28,480 ▲1.3%61,8830.3%Computer and TechnologyQQQInvesco QQQ$2,175,471$671,288 ▲44.6%4,9000.3%FinanceMCKMcKesson$2,172,632$69,791 ▲3.3%4,0470.3%MedicalPCARPACCAR$2,139,704$2,139,704 ▲New Holding17,2710.3%Auto/Tires/TrucksCATCaterpillar$2,133,722$2,133,722 ▲New Holding5,8230.3%Industrial ProductsFERGFerguson$2,107,413$2,107,413 ▲New Holding9,6480.3%Industrial ProductsUNPUnion Pacific$2,105,594$19,428 ▼-0.9%8,5620.3%TransportationICEIntercontinental Exchange$2,098,070$57,035 ▼-2.6%15,2660.3%FinanceCORCencora$2,088,971$417,454 ▼-16.7%8,5970.3%MedicalCNCCentene$2,079,453$44,654 ▲2.2%26,4970.3%MedicalIBKRInteractive Brokers Group$2,074,072$253,799 ▼-10.9%18,5670.3%FinanceORIOld Republic International$2,070,898$35,820 ▼-1.7%67,4120.3%FinanceONOnsemi$2,054,693$98,851 ▲5.1%27,9360.3%Computer and TechnologyCHRDChord Energy$2,048,158$41,173 ▲2.1%11,4910.3%Oils/EnergyWRKWestRock$2,037,263$79,467 ▼-3.8%41,1980.3%Basic MaterialsCAHCardinal Health$2,021,451$213,615 ▼-9.6%18,0650.3%MedicalMOHMolina Healthcare$2,008,137$2,008,137 ▲New Holding4,8880.3%MedicalAMTAmerican Tower$1,960,635$146,806 ▲8.1%9,9230.3%FinanceHSYHershey$1,959,575$1,959,575 ▲New Holding10,0750.3%Consumer StaplesPFGCPerformance Food Group$1,939,222$115,020 ▼-5.6%25,9810.3%Retail/WholesaleACNAccenture$1,914,768$1,914,768 ▲New Holding5,5240.3%Business ServicesTXNTexas Instruments$1,882,605$36,582 ▲2.0%10,8070.3%Computer and TechnologyXOMExxon Mobil$1,748,347$141,230 ▲8.8%15,0410.3%Oils/EnergyLINDE PLC$1,737,499$240,984 ▼-12.2%3,7420.3%SHSPAYOPayoneer Global$1,733,397$1,106,156 ▲176.4%356,6660.3%Business ServicesShowing largest 100 holdings. 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