MANZO ROBERT

Director · SEC CIK 1106358
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Buy track record

How this insider's open-market purchases have performed
100%
of buys now in profit
12 up · 0 down
Avg return since buy+68.8%
Median return+66.7%
Best trade+142.4%
Worst trade+25.3%
Buys scored12
Average return by holding period — separates good entry timing from riding one long winner
After 1 month −4.7% 50% won · 12 trades
After 3 months +15.5% 100% won · 12 trades
After 6 months +24.6% 83% won · 12 trades
After 12 months +48.4% 100% won · 12 trades
DateCompany90d trendBuy priceValueΔOwn1M3M6M12MTo date
Aug 6, 2021 VTOL $27 $133.8K +23% +32.2% +41.1% +16.3% +2.5% +63.1%
Feb 24, 2020 VC $72 $66.6K +23% −29.0% +5.8% +8.8% +85.5% +70.3%
Feb 24, 2020 VC $72 $5.2K +1.5% −29.0% +5.8% +8.8% +85.5% +70.3%
Feb 24, 2020 VC $72 $50.2K +12% −29.0% +5.8% +8.8% +85.5% +70.3%
Feb 24, 2020 VC $72 $21.5K +4.5% −29.0% +5.8% +8.8% +85.5% +70.3%
Jun 5, 2019 VC $49 $48.6K +25% +11.6% +54.8% +89.5% +65.1% +142.4%
Jun 5, 2019 VC $49 $49K +20% +11.6% +54.8% +89.5% +65.1% +142.4%
Oct 30, 2018 VC $75 $75K +33% −2.3% +1.7% −12.6% +25.2% +58.7%
Oct 29, 2018 VC $77 $77.4K +50% −0.1% +2.0% −11.3% +26.8% +62.4%
Mar 24, 2017 VC $96 $143.5K NEW +2.3% +3.0% +29.8% +18.0% +25.3%
Mar 24, 2017 VC $96 $9.6K +6.7% +2.3% +3.0% +29.8% +18.0% +25.3%
Mar 24, 2017 VC $96 $38.3K +25% +2.3% +3.0% +29.8% +18.0% +25.3%
How this is calculated. We score only open-market purchases (SEC code P) — the buys that carry real signal. Each trade's return is measured from the adjusted closing price on the purchase date to the latest close, accounting for stock splits and dividends. The 1M/3M/6M/12M columns show the same trade's return after each fixed holding period; a dash means that horizon hasn't elapsed yet or isn't priceable. Sales are excluded because insiders sell for many routine reasons. With only 12 scored trades, treat this as a small sample, not a verdict.
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Open-market buys
$718.6K
12 trades
Open-market sells
$1.9M
10 trades
Net flow
−$1.18M
Net selling
Total filings
37
transactions shown

Full transaction history

All Form 4 activity across every company, newest first
View on SEC EDGAR ↗
VC
Buy MANZO ROBERT · Director · Open-market purchase · filed Mar 28, 2017 ΔOwn NEW

Manzo Robert, VC's Director, spent $143.5K of their own money on 1,500 shares at $96, opening a brand-new position.

+$143.5K
1,500 sh @ $96
VC
Buy MANZO ROBERT · Director · Open-market purchase · filed Mar 28, 2017 ΔOwn +6.7%

Manzo Robert, VC's Director, spent $9.6K of their own money on 100 shares at $96, growing their stake 7%.

+$9.6K
100 sh @ $96
VC
Buy MANZO ROBERT · Director · Open-market purchase · filed Mar 28, 2017 ΔOwn +25%

Manzo Robert, VC's Director, spent $38.3K of their own money on 400 shares at $96, growing their stake 25%.

+$38.3K
400 sh @ $96
VC
Option exercise MANZO ROBERT · Director · Option exercise · filed Jun 11, 2015 ΔOwn +407%
+$0
8,143 sh
VC
Disposition to issuer MANZO ROBERT · Director · Disposition to issuer · filed Jun 11, 2015 ΔOwn −80%
−$887.3K
8,143 sh @ $109
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VC
Sell MANZO ROBERT · Director · Open-market sale · filed Jun 10, 2014 ΔOwn −50%

Manzo Robert sold $234.9K of VC, trimming their stake 50%.

−$234.9K
2,500 sh @ $94
VC
Sell MANZO ROBERT · Director · Open-market sale · filed Jun 10, 2014 ΔOwn −20%

Manzo Robert sold $47K of VC, trimming their stake 20%.

−$47K
500 sh @ $94

Frequently asked questions

How is MANZO ROBERT's win rate calculated?

We take every open-market purchase (SEC code P) we can match to a stock price, then compare the split- and dividend-adjusted price on the purchase date to the most recent close. The win rate is the share of those buys currently trading above the purchase price. Sales and share grants are not scored.

Why are some buys not included in the score?

A purchase is excluded if we can't price it — for example if the ticker is missing from the filing, the company has been delisted, or the security isn't a common stock we can match to market data. Excluded counts are shown next to the scored total.

What do the 1M / 3M / 6M / 12M columns mean?

They show each purchase's return after a fixed holding period — one, three, six, and twelve months from the buy date — using split- and dividend-adjusted prices. This separates good entry timing from simply holding a long-running winner. A dash means that horizon hasn't elapsed yet for that trade, or the stock couldn't be priced at that date.

Does a high win rate mean I should copy this insider?

No. Past performance does not predict future results, sample sizes are often small, and an insider's edge in their own company doesn't transfer to yours. This is context, not a recommendation. InsiderSource is not investment advice.

Where does this data come from?

Trades come from MANZO ROBERT's SEC Form 4 filings on EDGAR. Prices come from public market data and are split/dividend-adjusted. Always verify against the original filings before acting.