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No completed buy history yet — outcomes appear once a disclosed buy is ~6 months old.

Disclosed positions

Estimated from their latest filings — positions may have changed since

Activity

Open-market buy & sell volume

BuySell
0$110.5M$221.0M2025 · bought $221.0M · sold $020252026 · bought $155.0M · sold $02026
Total +$375.98M bought
Most bought

All filings on record

Every Form 4 transaction we track for this filer

N/ABuy
2026-06-30 · USVC Venture Capital Access Fund
$23.99M
N/ABuy
2026-05-29 · USVC Venture Capital Access Fund
$15.99M
N/ABuy
2026-02-27 · USVC Venture Capital Access Fund
$16.00M
N/ABuy
2026-02-27 · USVC Venture Capital Access Fund
$19.00M
N/ABuy
2026-02-17 · USVC Venture Capital Access Fund
$16.00M
N/ABuy
2026-01-30 · USVC Venture Capital Access Fund
$32.00M
N/ABuy
2026-01-15 · USVC Venture Capital Access Fund
$32.00M
N/ABuy
2025-12-31 · USVC Venture Capital Access Fund
$8.00M
N/ABuy
2025-12-31 · USVC Venture Capital Access Fund
$29.00M
N/ABuy
2025-11-28 · USVC Venture Capital Access Fund
$58.00M
N/ABuy
2025-11-28 · USVC Venture Capital Access Fund
$12.00M
N/ABuy
2025-11-17 · USVC Venture Capital Access Fund
$2.00M
N/ABuy
2025-10-31 · USVC Venture Capital Access Fund
$11.00M
N/ABuy
2025-10-31 · USVC Venture Capital Access Fund
$9.00M
N/ABuy
2025-10-15 · USVC Venture Capital Access Fund
$9.00M
N/ABuy
2025-09-30 · USVC Venture Capital Access Fund
$12.00M
N/ABuy
2025-08-29 · USVC Venture Capital Access Fund
$9.00M
N/ABuy
2025-08-29 · USVC Venture Capital Access Fund
$4.00M
N/ABuy
2025-07-31 · USVC Venture Capital Access Fund
$12.00M
N/ABuy
2025-06-30 · USVC Venture Capital Access Fund
$7.00M
N/ABuy
2025-06-30 · USVC Venture Capital Access Fund
$4.00M
N/ABuy
2025-06-16 · USVC Venture Capital Access Fund
$18.00M
N/ABuy
2025-05-30 · USVC Venture Capital Access Fund
$8.00M
N/ABuy
2025-05-30 · USVC Venture Capital Access Fund
$9.00M

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.