Fund Holdings — Value Base Ltd.

Total Portfolio Value
$141.22M
Total Bought
$21.12M
Total Sold
$8.03M
Net Transaction
+$13.09M
Filing Period:
Securities
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SharesValue ($K)
Q2 2025
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Q3 2025
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Change
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Q2 2025
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Q3 2025
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Weight (%)
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Change
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RADCOM LTD(RDCM)865,009865,009011,75512,5348.88%+779
ALPHA TAU MEDICAL LTD(DRTS)152,761152,761037530.04%+16
AUDIOCODES LTD(AUDC)2,018,9762,018,976019,82619,22113.61%-606
TEADS HLDG CO(TEAD)5,352,1075,752,107+400,00013,2739,4916.72%-3,782
COGNYTE SOFTWARE LTD(CGNT)5,719,1875,719,187052,84548,04134.02%-4,804
PERION NETWORK LTD(PERI)2,258,7361,551,423-707,31322,92614,89410.55%-8,033
VALENS SEMICONDUCTOR LTD(VLN)20,653,40020,660,829+7,42954,31836,98326.19%-17,336
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Value Base Ltd. — 13F Holdings — Q3 2025 | TickerTrail