Companies · Other

Insight MB Holdings, LLC

NEW YORK · Other · https://www.insightholding.com/

Diligence memoA one-page analyst read on Insight MB Holdings, LLC — recommendation, valuation, rhythm, risks.
$680.1M
Total raised · real
1
Rounds
Latest step-up
Top 1%
Sector rank · raised
Growth/Late
Latest stage · inferred · Fri Dec 02 2016 00:00:00 GMT+0000 (Coordinated Universal Time)

Insight MB Holdings, LLC looks fair against its niche peers and is dormant on financing cadence.

Synthesized from the figures below est. — every claim rests on a number shown on this page.

Analyst read est. — computed against this company's niche peers in the same era. Inputs shown; not a quoted figure.

Fair
  • Modeled value is 1.26× the median modeled value of Growth/Late Other companies in 2016–2018 (26 peers) — value vs value, same stage and era.
  • Within the normal band (126% of peer median) for its niche.
Dormant
  • Last raise 9.6 yr ago; this sector typically re-raises about every 11 months.
  • Only one round on record and long silent — often defunct, acquired, or gone quiet.

Procedural diagnosis est. — rule-based common-sense checks over the filing pattern, issuer name, activity cadence, and surfaced operating evidence.

Issuer-vehicle patternmedium confidence

Insight MB Holdings, LLC behaves more like a recurring private-offering issuer than a conventional venture-backed operating company.

Issuer structure
Company-like
No recurring-offering pattern strong enough to override normal financing interpretation.
Lifecycle
9.6 yr record
Peak capital year was 2016 with $680.1M across 1 filings.
Market position
ahead of 100% of Other peers
Capital scale is ahead of 100% of Other peers; modeled value is above 100% of peers by modeled value. Large capital with mid-pack modeled value can signal an issuer/program profile rather than operating-company growth.
Valuation reliability
Lower applicability
Stage/dilution valuation models are weakest when the issuer is broad-sector, recurring, or vehicle-like.
Operating evidence
Some evidence
No clear CEO/founder/principal role is surfaced, so operating-company confidence is lower.
Data quality
Consistent
Canonical totals and visible filing detail are broadly aligned.
What triggered this
  • Legal name looks like an issuer vehicle rather than a product company.
  • Sector is still broad/Other, so operating comparables are weak.
  • No clearly named CEO/founder/principal role in the public records surfaced here.
  • Capital program peaked in 2016: $680.1M across 1 filings.
  • Largest single filing was $680.1M on 2016-12-02.
How to read the page
  • Read this less like a startup funding journey and more like a capital-raising program.
  • Stage-based valuation and peer labels have lower applicability for this pattern.
  • The more important signal is lifecycle: repeated filings ended years ago, so current activity needs outside confirmation.
Leadership

No named principal in this company's public records yet — see all operators below.

Explore how these operators interlock with other companies in the operator network.

Where it sits in Other

Insight MB Holdings, LLC is one of 25015 Other companies tracked from NEW YORK. By capital raised it ranks among the largest (ahead of 100% of sector peers), and among the largest by modeled valuation est..

Ranking is computed against this company's own sector cohort — reported capital is fact; valuation tiers are modeled.

AI analyst read est. — model-extracted from this company's public description, not a verified fact. 30%

operates a technology-led product inferred from public copy

Grounded in: “You are a venture analyst

Insight Holdings

At Insight Holdings, we are an investment company, driven by an understanding of market trends. We have experience across diverse sectors, including Consumer Products, Private Equity, Energy Infrastructure, and Real Estate We look deep into the market, identifying and leveraging opportunities that promise not just returns, but also sustainable growth. Our focus is sharp and strategic. In the realm of consumer products, we specialize in housewares, cleaning essentials, and kitchen items, catering to the everyday needs of modern households. Our approach in the energy sector is forward-thinking, investing in infrastructure that paves the way for a cleaner, more efficient future. In real estate, our focus lies in residential investments specifically for both multifamily and single-family home opportunities, building communities and value with every project. Experience success with wisdom. Whether you are looking to grow your portfolio or seeking a partner for your next big venture, Insight Holdings is here to guide you towards success. Connect with us today and take the first step towards a brighter, more prosperous future.

Find Insight MB Holdings, LLC online

As reported in public records reported — not modeled.

US
Jurisdiction
Rule 506(b)
Reg D exemption
42
Investors (latest)
2016
Year incorporated
2016-12-02
First sale
Amount raised vs valuation, by round

Solid bars are reported offering amounts reported; hatched bars are the modeled post-money valuation est. — both on one shared scale so you can read raise-vs-worth at each round directly. Use the toggles to overlay data labels and the niche-peer / market average value lines.

Amount raised · realModeled valuation · estCumulative funded · real
$0$5.0B$10.0B$15.0B$20.0BGrowth/Late · 2016-12-02 Raised $680M (real) Modeled valuation $12.1B (est)$680M$12.1BGrowth/Late2016

The line shows cumulative reported funding over the period; + labels show new capital added between points when there is room. Toggle on-bar figures, plus the niche-peer and market averages, to read this company against its cohort. Benchmarks are modeled medians.

Financing ladder & sequence gaps
Growth/Late$680.1M · 2016

Stages are modeled from round size (public records carry no series label). No record for: Pre-Seed, Seed, Series A, Series B, Series C, Series D+ — the company may have raised it under a different exemption, merged it into an adjacent record, or skipped it. Sequence completeness: 14%.

Modeled valuation trajectory
$12.1B
Base estimate est.
$5.3B
Conservative case
$21.8B
Upside case
$6.8B
Modeled post-money

Round size and date are reported; the stage label is inferred from round size (latest is Growth/Latea round over $400M). Valuation is modeled from stage benchmarks. Directional, not a quoted figure.

Not enough modeled valuation points to chart a trajectory.

Model inputs · modeled:benchmark-stage-stepup-v1
10%
Dilution assumption
Implied ownership sold in the financing.
90%
Survival probability
78% low · 97% high
1.12×/yr
Annual markup
1.22×/yr upside case
6.0 yr
Elapsed time used
9.6 yr actual, capped for stale marks
general
Sector profile
Adjusts growth and survival by industry.
Financing rhythm
Avg between rounds
Capital velocity
9.6 yr
On record since
2016
First round
1
Rounds on file
How it compares to the market

Benchmarked against 25015 companies in Other. Each bar is a median (the middle company, not an average — outliers don't skew it). Two yardsticks: real money raised (reported on Form D) and modeled value (our estimate est.). These are whole-sector medians across all stages, except the per-stage row.

Total raised — vs sector median (real $, all stages) 332× above median
This company$680.1M
Sector median$2.0M
Latest round — vs other Growth/Late rounds in sector (real $, this stage) 1.3× above median
This company$680.1M
Sector median$513.1M
Modeled value — vs sector median (estimate, all stages) 684× above median
This company$12.1B
Sector median$17.7M

Raised more than 100% of sector peers (real $). Modeled value above 100% of peers (estimate).

Niche peers — same stage & era

A tighter cohort than the sector chart above — only companies at the same stage (Growth/Late) that last raised in the same ~3-year era, ranked by modeled value est. (not money raised). This is the exact set the analyst read compares against, so a like-for-like cohort is what makes "over/under-valued" meaningful. This company ranks #7 of 26.

This companyCohort peer
$1.0B$10.0B$100.0B$100.0M$1.0B$10.0BCapital raised (log)Papay Topco, Inc. · Growth/Late Raised $1.5B · modeled $26.6B (est)Advanced Disposal Services, Inc. · Growth/Late Raised $1.2B · modeled $20.6B (est)MB Parent Holdco, L.P. · Growth/Late Raised $917.1M · modeled $16.2B (est)Cersei Topco, Llc · Growth/Late Raised $853.5M · modeled $15.2B (est)FARMER & THE COWMAN Ltd LIABILITY Co · Growth/Late Raised $780.0M · modeled $13.9B (est)Owl Finance plc · Growth/Late Raised $726.0M · modeled $12.9B (est)Triangle Private Investments, LLC · Growth/Late Raised $667.0M · modeled $11.8B (est)Millennial Press LLC · Growth/Late Raised $650.0M · modeled $11.5B (est)Meredith Corp · Growth/Late Raised $650.0M · modeled $11.5B (est)Wrangler Topco, Llc · Growth/Late Raised $569.2M · modeled $10.1B (est)Aceso Topco, Llc · Growth/Late Raised $555.5M · modeled $9.9B (est)Insight MB Holdings, LLC (this company) Raised $680.1M · modeled $12.1B (est)Insight MB Holdings, LLC
CompanyStageRaised · realValue · estvs peer med.
Papay Topco, Inc.Growth/Late$1.5B$26.6B2.78×
Advanced Disposal Services, Inc.Growth/Late$1.2B$20.6B2.16×
MB Parent Holdco, L.P.Growth/Late$917.1M$16.2B1.69×
Cersei Topco, LlcGrowth/Late$853.5M$15.2B1.59×
FARMER & THE COWMAN Ltd LIABILITY CoGrowth/Late$780.0M$13.9B1.45×
Owl Finance plcGrowth/Late$726.0M$12.9B1.35×
Insight MB Holdings, LLC this companyGrowth/Late$680.1M$12.1B1.26×
Triangle Private Investments, LLCGrowth/Late$667.0M$11.8B1.24×
Millennial Press LLCGrowth/Late$650.0M$11.5B1.21×
Meredith CorpGrowth/Late$650.0M$11.5B1.21×
Wrangler Topco, LlcGrowth/Late$569.2M$10.1B1.06×
Aceso Topco, LlcGrowth/Late$555.5M$9.9B1.03×
Full financing history

Stage is inferred from round size est., not reported on the filing — a round's dollar size maps to a bucket: Pre-Seed <$1.0M · Seed $1.0M–$4.0M · Series A $4.0M–$15M · Series B $15M–$40M · Series C $40M–$100M · Series D+ $100M–$400M · Growth/Late >$400M.

StageAmount · realAnnouncedPost-money · estValue · estConf.
Growth/Late$680.1M2016-12-02$6.8B$12.1B90%
What happened at each round

Step-up, pace versus the sector's normal cadence, and revenue/exemption moves — read straight from the reported round facts reported.

  1. Growth/Late$680.1M2016-12-02
    • First recorded raise — entered as Growth/Late.
    • 42 investors on this round.
Intelligence
Modeled next raise
$1.1B
Modeled next size est.range $707.3M$1.7B
Last step-up
Capital velocity

Predictive signals are modeled est. from this company's own cadence and step-up, plus sector benchmarks — directional, not advice. Peer set and a CSV export live in your analyst workspace.

Key people & operators

Officers, directors and promoters named in this company's public recordsreported — the people who run it (not its investors). "Also runs" counts come from name-matching across all records, so verify before acting.

PersonRoleAlso runsTied since
Deven Parekh20 other2016-12
Anika Agarwal12 other2016-12
Blair Flicker11 other2016-12
Joel Hwang2 other2016-12
Registry & provenance

Insight MB Holdings, LLC is an official record sourced from the U.S. Securities and Exchange Commission (SEC). U.S. data is aggregated from SEC Form D filings.

United States
Country of record
US
Jurisdiction
1692370
SEC CIK
2016
Incorporated
Similar companies

Nearest neighbours across the whole database — matched on sector, stage and capital scale, and on shared operators (officers or directors named at both companies in public filings). A discovery shortlist, not a valuation cohort — verify before acting, the same way modeled figures are directional.

CompanySectorStageRaised · realValue · estWhy similar
MB Parent Holdco, L.P.OtherGrowth/Late$917.1M$16.2Bnetwork4 shared operators · same sector · same stage
InhabitIQ Parent, LLCOtherSeries C$88.4M$1.3Bnetwork3 shared operators · same sector
Campaign Monitor Holdings (UK) LtdOtherSeries D+$800.9M$6.9Bnetwork2 shared operators · same sector
PDS Parent, Inc.OtherSeries D+$136.5M$2.4Bnetwork2 shared operators · same sector
Epsilon Group New Holdings LtdOtherSeries B$55.6M$388.8Mnetwork2 shared operators · same sector
Alert Holding Company, Inc.OtherSeries B$48.4M$270.9Mnetwork2 shared operators · same sector
ELK Holdco, LLCOtherSeries C$48.1M$580.6Mnetwork2 shared operators · same sector
HF Direct Investments Pool, LLCOtherGrowth/Late$680.0M$8.9Bsame sector · same stage
Semantically similar

Matched by meaning, not labels — a local language model reads each company's name, sector and description and ranks the closest in that learned space. This catches look-alikes that cross sector boundaries; the structured list above explains its matches, this one trusts the text. Directional, like every modeled signal here.

CompanySectorStageValue · estMatch
Insight Medical Holdings, LLCHealthtechSeed$104.0M74%
Strategic Insight Holdings Inc.OtherSeries A$161.9M74%
MB Holdings, LLCOtherSeries B$132.4M74%
Insight Managing Group, LLCOtherPre-Seed$6.0M74%
Insight Global, LlcOtherSeries A$83.3M73%
Insights International Holdings LLCOther TechnologySeed$39.2M73%
ACON Apparel Investors, L.P.
Home - ACON Investments
RetailingSeries D+$1.0B72%
Insight PCI Holdings, LLCOtherSeed$27.9M72%
Frequently asked
How much funding has Insight MB Holdings, LLC raised?
Insight MB Holdings, LLC has raised approximately $680.1M in disclosed capital across 1 recorded financing round, aggregated from public filings.
What is Insight MB Holdings, LLC's estimated valuation?
Provath's modeled valuation for Insight MB Holdings, LLC is approximately $12.1B (modeled range $5.3B–$21.8B). This is an algorithmic estimate derived from round sizes and same-niche peers — not a quoted or reported figure.
What funding stage is Insight MB Holdings, LLC at?
Insight MB Holdings, LLC's latest modeled financing stage is Growth/Late. Its most recent recorded round closed around Fri Dec 02.
What does Insight MB Holdings, LLC do and where is it based?
Insight MB Holdings, LLC operates in the Other sector, based in NEW YORK. Insight Holdings
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