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MILLENNIUM MANAGEMENT LLC

Position in NSIT — Insight Enterprises Inc

CIK 1273087 NEW YORK, NY

Position in NSIT

as of Mar 31, 2026 · filed May 15, 2026
Position Value
$2,070,340
-$7,543,120 QoQ
Shares Held
30,896
-73.8% QoQ
Ownership
0.102%
of shares outstanding
% of Portfolio
0.00%
of 13F equity value
Holder Rank
not a current holder
Holding Since
Mar 2020
25 quarters on record
Voting authority Sole 100.ToString("F0")% Shared 0.ToString("F0")% None 0.ToString("F0")%

Common Shares in NSIT Over Time

Shares Held

Position Value (USD)

Derivatives in NSIT

reported options exposure · as of Dec 31, 2024
CallValue
$0
CallShares
0
PutValue
$623,610
PutShares
4,100

Notional value of option positions as reported on Form 13F. Calls and puts are disclosed separately and do not net against the common-share stake above.

Position in Electronics & Computer Distribution

Technology · as of Mar 31, 2026

MILLENNIUM MANAGEMENT LLC holds $16,999,768 across 6 Electronics & Computer Distribution names. NSIT ranks #4 (12.2% of the industry book) .

# Ticker Company Shares Value (USD) Open
4 NSIT
Insight Enterprises Inc
This page
30,896 $2,070,340

All Filings in NSIT

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29 filing rows on record
Report Date Value (USD) Shares
2026-03-31 $2,070,340 30,896
2025-12-31 $9,613,460 118,000
2025-09-30 $1,231,065 10,855
2025-06-30 $23,171,916 167,803
2025-03-31 $6,806,846 45,382
2024-12-31 $10,478,625 68,893
2024-12-31 $623,610 4,100
2024-09-30 $879,221 4,082
2024-09-30 $1,572,347 7,300
2024-06-30 $7,274,257 36,672
2024-06-30 $2,638,188 13,300
2024-03-31 $5,950,554 32,075
2023-12-31 $1,027,702 5,800
2023-12-31 $43,573,147 245,912
2023-09-30 $7,136,920 49,051
2023-06-30 $15,456,723 105,622
2023-03-31 $4,903,813 34,302
2022-12-31 $2,632,588 26,255
2022-09-30 $14,900,222 180,806
2022-06-30 $44,251,976 512,888
2022-03-31 $5,601,460 52,194
2021-12-31 $19,907,123 186,746
2021-09-30 $4,308,796 47,833
2021-06-30 $294,029 2,940
2021-03-31 $1,032,539 10,821
2020-12-31 $9,869,101 129,703
2020-09-30 $1,007,067 17,799
2020-06-30 $2,601,892 52,884
2020-03-31 $8,454,816 200,684