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Track record

What happened ~6 months after each disclosed buy

+0.5%avg per buy, ~6 months on+6.7%S&P 500 avg, same spans
EQH-PC · 2023-03-06 · -16.3%EQH-PC · 2023-06-12 · -1.9%EQH-PC · 2023-08-14 · +8.5%EQH-PC · 2023-12-04 · +11.8% (S&P 0.0%)EQH-PC · 2024-03-04 · +5.6% (S&P +6.1%)EQH-PC · 2024-06-10 · +8.0% (S&P +12.5%)EQH-PC · 2024-08-13 · -1.5% (S&P +11.5%)EQH-PC · 2024-12-03 · -14.1% (S&P -2.3%)EQH-PC · 2025-03-12 · +0.6% (S&P +15.2%)EQH-PC · 2025-06-09 · -1.1% (S&P +14.0%)EQH-PC · 2025-08-12 · -3.5% (S&P +7.3%)BBWI · 2025-11-21 · +9.2% (S&P +12.1%)EQH-PC · 2025-12-01 · +1.5% (S&P +10.3%)
2023-03-062025-12-01
Each dot: one completed buy’s ~6-month outcome, equal weight per buy · dashed: S&P 500 over the same spans · hover a dot for detail
7 of 13
buys higher ~6mo later
+0.6%
median outcome
+11.5%
S&P 500 median, same spans

Disclosed positions

Estimated from their latest filings — positions may have changed since

$954.4K
combined est. value

Activity

Open-market buy & sell volume

BuySell
0$34K$69K2023 · bought $11K · sold $020232024 · bought $16K · sold $020242025 · bought $69K · sold $02025
Total +$96.0K bought

All filings on record

Every Form 4 transaction we track for this filer

EQH-PCGrant
2026-05-20 · Equitable Holdings, Inc.
$185.0K
2025-12-01 · Equitable Holdings, Inc.
$4.9K
+1.5%
BBWIBuy
2025-11-21 · Bath & Body Works, Inc.
$50.1K
+9.2%
2025-08-12 · Equitable Holdings, Inc.
$4.8K
-3.5%
2025-06-09 · Equitable Holdings, Inc.
$4.8K
-1.1%
BBWIGrant
2025-06-05 · Bath & Body Works, Inc.
5,641
2025-03-12 · Equitable Holdings, Inc.
$4.3K
+0.6%
2024-12-03 · Equitable Holdings, Inc.
$4.2K
-14.1%
2024-08-13 · Equitable Holdings, Inc.
$4.2K
-1.5%
2024-06-10 · Equitable Holdings, Inc.
$4.2K
+8.0%
2024-03-04 · Equitable Holdings, Inc.
$3.8K
+5.6%
2023-12-04 · Equitable Holdings, Inc.
$3.8K
+11.8%
2023-08-14 · Equitable Holdings, Inc.
$2.4K
+8.5%
2023-06-12 · Equitable Holdings, Inc.
$2.3K
-1.9%
2023-03-06 · Equitable Holdings, Inc.
$2.1K
-16.3%

Outcomes measure each disclosed buy against the closing price ~6 months (120 trading days) later, with the S&P 500 over the same span for context. Pre-scheduled 10b5-1 plan trades are excluded from the record. Positions are estimated from the latest reported post-transaction holdings, split-adjusted, at the latest close. Built from SEC Form 4 filings and market prices — past outcomes, not predictions or advice.