RADCOM LTD - Common Stock (RDCM)

Historical Holders from Q1 2014 to Q3 2025

Type / Class
Equity / Common Stock
Symbol
RDCM on Nasdaq
Shares outstanding
15,488,453
Price per share
$14.49
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
7,827,970
Total reported value
$113,312,044
% of total 13F portfolios
0%
Share change
-31,363
Value change
-$223,794
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
45
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of RADCOM LTD - Common Stock (RDCM) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
Zisapel Michael 7.6% -7.5% $13,829,248 -$1,055,995 1,209,908 -7.1% KLIL ZISAPEL 06 Feb 2025
AWM Investment Company, Inc. 6.4% $11,330,113 991,261 AWM Investment Company, Inc. 31 Dec 2024
As of 30 Sep 2025, RADCOM LTD - Common Stock (RDCM) has 45 institutional shareholders filing 13F forms. They hold 7,827,970 shares. of 15,488,453 outstanding shares (51%) .

Top 25 institutional shareholders own 49% of the company.

Filer Ownership Nb Shares Share Change % Portfolio % Holdings Value
Lynrock Lake LP 15% 2,266,681 +0% 2.7% $32,844,208
AWM Investment Company, Inc. 6.4% 991,261 0% 1.3% $14,363,372
Value Base Ltd. 5.6% 865,009 0% 8.9% $12,533,980
Yelin Lapidot Holdings Management Ltd. 3.2% 492,375 -2.9% 1.5% $7,134,514
ACADIAN ASSET MANAGEMENT LLC 2.7% 422,632 +30% 0.01% $6,085,000
Janney Montgomery Scott LLC 2.1% 318,349 +4.7% 0.01% $4,613,000
Inflection Point Investments LLP 2% 314,991 -28% 9.7% $4,564,220
Herald Investment Management Ltd 1.9% 300,000 +9.1% 0.57% $4,272,000
Private Advisor Group, LLC 1.8% 280,058 0.02% $4,058,046
ESSEX INVESTMENT MANAGEMENT CO LLC 1.5% 233,361 +3.4% 0.52% $3,381,401
RENAISSANCE TECHNOLOGIES LLC 1.2% 185,222 +5.4% 0% $2,683,867
ARK Investment Management LLC 0.93% 144,570 -2.3% 0.01% $2,094,819
Worth Venture Partners, LLC 0.82% 126,903 -21% 5.4% $1,838,824
MARSHALL WACE, LLP 0.8% 123,681 +12% 0% $1,792,137
Russell Investments Group, Ltd. 0.66% 101,990 +1.5% 0% $1,476,646
TWO SIGMA INVESTMENTS, LP 0.51% 79,203 +92% 0% $1,147,651
Legato Capital Management LLC 0.44% 67,390 0% 0.11% $976,481
MILLENNIUM MANAGEMENT LLC 0.43% 66,121 -35% 0% $958,093
BlackRock, Inc. 0.34% 53,005 +30% 0% $768,043
Trexquant Investment LP 0.3% 46,625 +33% 0.01% $675,596
Acuitas Investments, LLC 0.29% 45,483 -79% 0.42% $659,049
VIRTUS ADVISERS, LLC 0.16% 24,856 0.24% $360,163
MORGAN STANLEY 0.15% 22,538 +13% 0% $326,575
GOLDMAN SACHS GROUP INC 0.13% 19,886 +37% 0% $288,148
Boston Partners 0.12% 18,943 -13% 0% $274,480

Institutional Holders of RADCOM LTD - Common Stock (RDCM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q3 7,827,970 $113,312,044 -$223,794 1,449% 45
2025 Q2 7,859,333 $106,747,872 +$1,531,750 1,359% 44
2025 Q1 7,749,243 $88,549,943 +$1,081,938 1,143% 38
2024 Q4 7,648,749 $94,449,982 +$6,035,862 1,236% 37
2024 Q3 6,324,549 $65,456,927 -$809,832 1,034% 28
2024 Q2 6,402,710 $59,830,869 +$633,397 935% 24
2024 Q1 6,330,318 $70,607,974 +$1,595,449 1,116% 22
2023 Q4 6,292,320 $50,680,625 +$598,970 806% 18
2023 Q3 5,612,150 $48,742,220 +$721,269 869% 16
2023 Q2 4,240,917 $40,087,236 -$618,428 946% 17
2023 Q1 4,299,609 $43,272,268 +$4,137,035 1,008% 19
2022 Q4 3,888,564 $42,464,487 +$5,842,573 1,094% 18
2022 Q3 3,353,097 $38,139,000 +$824,881 1,138.83% 17
2022 Q2 3,279,999 $37,587,000 +$694,753 1,149.97% 19
2022 Q1 3,178,523 $41,212,000 -$2,543,779 1,297.86% 19
2021 Q4 3,372,893 $43,959,000 +$155,914 1,305% 20
2021 Q3 3,360,886 $38,282,000 +$1,741,067 1,139.22% 20
2021 Q2 3,208,244 $35,903,000 +$648,413 1,119.85% 19
2021 Q1 3,150,648 $31,113,940 -$2,186,949 988% 19
2020 Q4 3,319,122 $36,247,000 +$984,247 1,094.77% 20
2020 Q3 3,250,745 $30,396,000 -$556,909 945.43% 21
2020 Q2 3,314,242 $26,837,000 +$1,163,689 813.76% 16
2020 Q1 3,176,586 $19,248,706 -$369,645 607.92% 14
2019 Q4 3,233,417 $27,389,023 +$2,303,899 851.91% 17
2019 Q3 2,955,642 $26,963,728 -$1,670,831 915.8% 17
2019 Q2 3,140,986 $25,791,000 -$1,458,753 822.88% 19
2019 Q1 3,325,408 $24,662,000 -$3,487,138 741.97% 20
2018 Q4 3,796,097 $28,221,000 +$2,267,191 742.07% 22
2018 Q3 3,442,645 $38,722,000 -$4,969,666 1,124.69% 28
2018 Q2 3,420,389 $67,550,000 +$4,411,861 1,974.81% 31
2018 Q1 3,207,949 $58,863,000 -$1,469,655 1,835.07% 27
2017 Q4 3,259,674 $64,704,000 +$25,560,839 1,985% 30
2017 Q3 1,876,900 $39,510,050 +$2,410,065 2,105.03% 24
2017 Q2 1,766,071 $34,168,625 -$2,693,831 1,935.52% 22
2017 Q1 1,905,100 $40,953,250 -$1,459,448 2,149.99% 22
2016 Q4 1,991,054 $35,450,000 -$5,452,675 1,780.16% 22
2016 Q3 2,246,421 $45,862,000 +$4,310,015 2,041.95% 24
2016 Q2 2,099,700 $24,459,000 +$8,312,096 1,164.98% 18
2016 Q1 1,360,202 $18,610,000 -$762,915 1,367.15% 14
2015 Q4 1,418,869 $21,184,000 +$191,617 1,493.17% 12
2015 Q3 1,405,395 $15,600,000 +$765,570 1,110.12% 9
2015 Q2 1,337,038 $14,079,000 +$611,584 1,053.05% 10
2015 Q1 1,281,293 $13,030,000 -$395,727 1,016.93% 10
2014 Q4 1,305,629 $15,835,000 +$10,533,889 1,212.19% 12
2014 Q3 439,806 $2,595,000 +$64,345 591.86% 6
2014 Q2 428,899 $2,252,000 -$236,068 529.1% 5
2014 Q1 456,241 $3,051,463 +$564,829 668.78% 6