13F

Stock

Radcom Ltd

RDCM · held by 44 managers

Reported value

$91.4M

Holders

44

+6 new · −12 exited

Holders’ est. mark

−$6.1M

Price effect on 38 books still in the name

Largest holder

$38.5M

Lynrock Lake LP

Notable conviction

Share of each notable manager’s 13F book.

Holder count by quarter

Who holds it

Notable only
InvestorSharesValueEst. markChange
Lynrock Lake LP3.17M$38.5M−$2.25MAdded$6.57M
AWM Investment Company, Inc.991.3K$12.1M−$912KCut−$912K
Value Base Ltd.865K$10.5M−$795.8KCut−$795.8K
Yelin Lapidot Holdings Management Ltd.404.6K$4.92M−$372.2KCut−$531.7K
Private Advisor Group, LLC351K$4.27M−$316.2KCut−$226.5K
HERALD INVESTMENT MANAGEMENT Ltd325K$3.95M−$269.8KCut−$269.8K
Renaissance Technologies193.8K$2.36M−$178.3KCut−$373.7K
ARK Investment Management LLC172.7K$2.1M−$138.9KAdded$125.9K
Russell Investments Group, Ltd.168.4K$2.05M−$157.2KCut−$184K
MARSHALL WACE, LLP133.3K$1.62M−$122.6KCut−$937K
NANO CAP NEW MILLENNIUM GROWTH FUND L P102K$1.24M−$93.8KCut−$93.8K
BlackRock, Inc.91K$1.11M−$70.7KAdded$101.7K
Squarepoint Ops LLC78.9K$958.8K−$57.9KAdded$135.7K
MILLENNIUM MANAGEMENT LLC66.2K$805.2K−$60.9KCut−$250.3K
Trexquant Investment LP59.2K$720.1K−$51.4KCut−$11.1K
SEI INVESTMENTS CO32.1K$389.9K−$29.5KCut−$431K
TWO SIGMA INVESTMENTS, LP29.7K$360.8K−$27.3KCut−$908.3K
Qube Research & Technologies Ltd28.1K$341.7KNew
Boston Partners24.7K$300.6K−$22.7KCut−$34.5K
MORGAN STANLEY21.5K$261K−$19.7KCut−$45.3K
State of Tennessee, Department of Treasury20.9K$254.3K−$7.94KCut−$7.95K
LAZARD ASSET MANAGEMENT LLC19.4K$235.6KNew
Walleye Capital LLC18.9K$229.7K−$17.4KCut−$510.9K
UBS Group AG18.4K$223.6K−$16.9KCut−$67.7K
PRUDENTIAL FINANCIAL INC18K$218.9K−$16.6KCut−$16.6K
VIRTUS ADVISERS, LLC15.4K$186.7K−$14.1KCut−$14.1K
Point72 Asset Management, L.P.14.8K$180.1K−$12.5KAdded$1.81K
Man Group plc14.5K$176.3KNew
GEODE CAPITAL MANAGEMENT, LLC13.7K$166.9K−$12.6KCut−$12.6K
BANK OF AMERICA CORP /DE/12.4K$150.3K−$11.4KCut−$223.9K
NORTHERN TRUST CORP12.3K$149.3K−$11.3KCut−$65.6K
Citadel10.8K$131.1K−$9.92KCut−$607.3K
Cox Capital Mgt LLC10K$121.6K−$8.4KCut−$8.4K
NEW YORK STATE COMMON RETIREMENT FUND5.25K$63.9K−$4.83KCut−$4.83K
JPMORGAN CHASE & CO3.6K$42.9K−$4.18KCut−$3.84K
JONES FINANCIAL COMPANIES LLLP2.55K$31.1K−$484Added$23.9K
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO2.48K$30.2K−$2.28KCut−$2.28K
OSAIC HOLDINGS, INC.1.08K$13.1KNew
ACADIAN ASSET MANAGEMENT LLC628.1K$7.59K−$493Added$568
Janney Montgomery Scott LLC327.5K$3.98K−$296Cut−$231
Tower Research Capital LLC (TRC)267$3.25KNew
WELLS FARGO & COMPANY/MN100$1.22K−$92Cut−$4.02K
ROYAL BANK OF CANADA84$1KNew
SBI Securities Co., Ltd.20$243−$19Cut−$19

Who left

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.