Fund Holdings — Value Base Ltd.

Total Portfolio Value
$126.87M
Total Bought
$13.93M
Total Sold
$1.32M
Net Transaction
+$12.61M
Filing Period:
Securities
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SharesValue ($K)
Q4 2025
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Q1 2026
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Change
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Q4 2025
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Q1 2026
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Weight (%)
▲▼
Change
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AUDIOCODES LTD(AUDC)2,018,9762,628,864+609,88817,62622,10917.43%+4,483
PERION NETWORK LTD(PERI)1,551,4231,551,423014,86315,49912.22%+636
ALPHA TAU MEDICAL LTD(DRTS)152,761152,7610521530.12%+101
TEADS HLDG CO(TEAD)5,752,1075,752,10704,0493,7882.99%-261
RADCOM LTD(RDCM)865,009865,009011,31410,5198.29%-796
ZIM INTEGRATED SHIPPING SERV
SHS
62,0000-62,0001,3160—-1,316
COGNYTE SOFTWARE LTD(CGNT)5,719,1876,238,883+519,69653,76050,53539.83%-3,225
VALENS SEMICONDUCTOR LTD(VLN)21,473,31121,480,159+6,84830,49224,27319.13%-6,220
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Value Base Ltd. — 13F Holdings — Q1 2026 | TickerTrail