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EdgarHawk

Carstater Kent

CHIEF FINANCIAL OFFICER

Officer
2 filings analyzed · 1 company · Latest 2025-08-01

Companies

Company Buys Sells Direction
John Marshall Bancorp, Inc. JMSB 17 0 Net buying

Activity

August 2025
high
Buy
5,000 shares
$92,156
Significance 7/10

CFO Kent purchases 5,000 shares of JMSB at blended average $18.43; post-transaction holdings 53.1K shares (+10.4%). Prior buys at this ticker consistently positive.

Carstater Kent, Chief Financial Officer of John Marshall Bancorp, executed 10 separate purchase transactions totaling 5,000 shares for $92,155.94 on 2025-07-31 at a blended average price of $18.43. The current price of $18.42 sits at -29.1% from the 52-week high of $25.98. Notably, Kent's prior 5 purchases at JMSB (all on 2025-04-25) exhibited consistent positive timing: all five delivered 90-day returns ranging from +19.3% to +20.9%, with a 100% win rate at the 90-day mark. His cross-ticker track record across 7 prior open-market buys shows an average 90-day return of +20.3% with a 100% win rate. The company's fundamentals show a P/E of 14.85 and market cap of $263,006,949.12. This filing demonstrates a sustained pattern of discretionary buying by the CFO with a measurable prior success rate at this specific ticker.

April 2025
medium
Buy
5,000 shares
$78,864
Significance 6/10

CFO Carstater Kent buys 5,000 shares at $15.77 avg (5 transactions on 2025-04-25); part of cluster with 2 other insiders buying in past 14 days.

Carstater Kent, CFO of John Marshall Bancorp, executed 7 separate purchases totaling 5,000 shares for $78,864.40 on 2025-04-25, raising post-transaction holdings to 48,131 shares. The blended average purchase price of $15.77 sits below the current price of $16.16 but well above the stock's 52-week low of $14.19; the stock is currently -37.8% from its 52-week high of $25.98 and has declined -5.6% over 30 days and -14.0% over 90 days. A cluster pattern is evident: 2 other insiders also made purchases within the past 14 days, suggesting coordinated or parallel insider accumulation. The company trades at a P/E of 8.00 with a market cap of $230,691,142.72 and net income of $4,235,000.00, providing fundamental context for the timing of the purchase activity.

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