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EdgarHawk

White Daniel James

Director

Director
2 filings analyzed · 1 company · Latest 2025-11-12

Companies

Company Buys Sells Direction
ARROW FINANCIAL CORP AROW 3 0 Net buying

Activity

November 2025
2025-11-12 ARROW FINANCIAL CORP AROW
low
Buy
1,644 shares
$49,550
Significance 3/10

Director White Daniel James bought 1,644 shares of AROW at $30.14 on 2025-11-10 ($49.6K), increasing holdings 31.3% to 6,890 shares.

White Daniel James, a director of Arrow Financial Corp, purchased 1,644 shares at $30.14, the lowest price point within the 52-week range of $23.72–$34.20, and the stock has since recovered to $30.60. His prior buy at this ticker on 2025-01-31 declined 10.4% over 90 days, and his cross-ticker track record shows 0 of 1 prior buys well-timed at the 90-day mark with an average 90-day return of -10.4%. The company trades at a P/E of 14.64 with net income of $12,825,000.00, suggesting a reasonably valued mid-cap financial institution. The timing of this purchase near the lows, combined with negative historical returns on prior open-market acquisitions by this director, presents a mixed signal: the entry price is attractive relative to recent ranges, but the insider's track record offers limited evidence of value-timing accuracy at this ticker.

February 2025
2025-02-03 ARROW FINANCIAL CORP AROW
high
Buy
3,668 shares
$99,880
Significance 6/10

Director White buys 3,668 shares of AROW at $27.23; holdings jump 547.5% to 4,338 shares

Daniel James White, a Director of Arrow Financial Corp, purchased 3,668 shares at $27.23 per share on 2025-01-31, increasing his holdings from 670 to 4,338 shares—a net increase of 547.5% relative to pre-transaction holdings. The purchase occurred at a price $0.81 above the current market price of $26.04 and follows a 11.4% decline over the past 90 days and a 6.0% decline over the past 30 days. The transaction represents a substantial commitment by the director and a meaningful shift in his ownership stake in the company, which carries an estimated market capitalization of $435.9M with a P/E of 13.22. This material accumulation warrants investor attention to underlying factors motivating the expanded position during a period of recent price weakness.

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