6.4%Stake
A Schedule 13G is filed by holders above 5% who say they will not try to influence the company. Index funds and large asset managers file most of them.
Traded Apr 28, 2026 · Filed Apr 29, 2026
A board member of Huntington Bancshares spent $64K of their very own money to buy Huntington Bancshares shares. Their pile of Huntington Bancshares shares grew by 47%.
Written from the filing's own figures. OQRO describes what was reported and never tells you what to buy or sell
open market purchase
Code P — open-market or private purchase
~$63,760
Shares × reported transaction price
$25K–$100K
+46.8%
Purchase shares ÷ estimated pre-transaction holdings, from the filing
First purchase in 0 months
Confirmed open-market purchases by the same insider in the available history
No
Compared with 9 earlier confirmed purchases
No other insider purchases within 30 days
Distinct insiders at the same issuer with confirmed open-market purchases
5 days after results of Apr 23, 2026, 86 days before results of Jul 23, 2026
Results dates are the company's own 8-K (Item 2.02). Many companies only let insiders trade in a window after results
Closed at $16.55 on Apr 28, 2026, 14% above its 52-week low and 14% below its high, after an 8% rise over the previous 30 trading days
52-week range $14.53 (Apr 30, 2025) to $19.27 (Feb 6, 2026), 43% of the way up, from 251 adjusted closes. 30 trading days earlier: $15.28 on Mar 16, 2026. Describes the past only, not a forecast
None found in footnotes
Only flagged when a footnote says so; never inferred
| After | Stock | S&P 500 | Difference |
|---|---|---|---|
| 7 days | -3.4% | +1.8% | -5.2% |
| 30 days | -5.5% | +5.5% | -11.1% |
| 90 days | +0.5% | +1.5% | -1.0% |
Past results only. Not a forecast.
A Schedule 13G is filed by holders above 5% who say they will not try to influence the company. Index funds and large asset managers file most of them.
Routine share withholding; mechanical by default.
Compensation award — excluded from discretionary-purchase analysis.
James D Iii Rollins, Director's past purchases, 90 days after disclosure: 4 buys, median -3.8% vs S&P 500, beat it 0 of 4 times. Past results, not a forecast.