RADCOM LTD RDCM

US Technology Computer Peripheral Equipment, NEC
$14.56
+1.3%
52w: $10.68 – $16.14

Latest 13F among current holders filed 32 days ago (Jun 3, 2026)

Price — last 12 months

research preview data
10.6813.4116.14
Jun 20, 2025 Jul 2, 2026
Institutional holders
45
-5 QoQ
13F value
$103.4M
-4.9% QoQ
Smart-money holders
7
signal tier ≥ 2
New smart buyers
0
Q1 2026

Institutional value by quarter

$70.6M
Q1 2024
$59.8M
Q2 2024
$65.5M
Q3 2024
$94.4M
Q4 2024
$88.8M
Q1 2025
$107.2M
Q2 2025
$113.4M
Q3 2025
$108.7M
Q4 2025
$103.4M
Q1 2026

Number of holders

24
Q1 2024
25
Q2 2024
29
Q3 2024
38
Q4 2024
40
Q1 2025
46
Q2 2025
45
Q3 2025
50
Q4 2025
45
Q1 2026

Who owns RDCM?

Q1 2026 filings
FundTypeSharesValue% of fundChange
Lynrock Lake LP ★3Fundamental concentrated3.2M$38.5M6.6%+29.7%
AWM Investment Company, Inc. ★2Fundamental diversified991.3K$12.1M1.3%Held
Value Base Ltd. ★2Fundamental diversified865.0K$10.5M8.3%Held
ACADIAN ASSET MANAGEMENT LLC Quant stat arb628.1K$7.6M0.0%+16.2%
Yelin Lapidot Holdings Management Ltd. ★2Fundamental diversified404.6K$4.9M1.0%-2.9%
Private Advisor Group, LLC Wealth advisor351.0K$4.3M0.0%+2.1%
Janney Montgomery Scott LLC Diversified mechanical327.5K$4.0M0.0%+1.7%
HERALD INVESTMENT MANAGEMENT Ltd ★2Fundamental diversified325.0K$3.9M0.5%Held
RENAISSANCE TECHNOLOGIES LLC Quant stat arb193.8K$2.4M0.0%-7.2%
ARK Investment Management LLC ★2Long only active172.7K$2.1M0.0%+14.4%
Russell Investments Group, Ltd. Diversified mechanical168.4K$2.0M0.0%-1.2%
MARSHALL WACE, LLP Quant stat arb133.3K$1.6M0.0%-31.8%
NANO CAP NEW MILLENNIUM GROWTH FUND L P Other102.0K$1.2M1.2%Held
BlackRock, Inc. Index provider91.0K$1.1M0.0%+18.5%
Squarepoint Ops LLC Quant stat arb78.9K$959K0.0%+25.3%
MILLENNIUM MANAGEMENT LLC Multistrat pod66.2K$805K0.0%-17.9%
Trexquant Investment LP Diversified mechanical59.2K$720K0.0%+5.9%
SEI INVESTMENTS CO Diversified mechanical32.1K$390K0.0%-48.9%
NewEdge Advisors, LLC Diversified mechanical30.3K$369K0.0%New
TWO SIGMA INVESTMENTS, LP Quant stat arb29.7K$361K0.0%-69.4%
Qube Research & Technologies Ltd Quant stat arb28.1K$342K0.0%New
Boston Partners Other24.7K$301K0.0%-3.5%
MORGAN STANLEY Bank broker21.5K$261K0.0%-8.4%
State of Tennessee, Department of Treasury Diversified mechanical20.9K$254K0.0%Held
LAZARD ASSET MANAGEMENT LLC Diversified mechanical19.4K$236K0.0%New
Walleye Capital LLC Multistrat pod18.9K$230K0.0%-66.6%
UBS Group AG Bank broker18.4K$224K0.0%-17.4%
PRUDENTIAL FINANCIAL INC Insurance18.0K$219K0.0%Held
VIRTUS ADVISERS, LLC Other15.4K$187K0.1%Held
Point72 Asset Management, L.P. Multistrat pod14.8K$180K0.0%+8.7%
Man Group plc Quant stat arb14.5K$176K0.0%New
GEODE CAPITAL MANAGEMENT, LLC Index provider13.7K$167K0.0%Held
BANK OF AMERICA CORP /DE/ Bank broker12.4K$150K0.0%-56.8%
NORTHERN TRUST CORP Index provider12.3K$149K0.0%-25.3%
CITADEL ADVISORS LLC Multistrat pod10.8K$131K0.0%-80.9%
Cox Capital Mgt LLC ★2Fundamental diversified10.0K$122K0.1%Held
NEW YORK STATE COMMON RETIREMENT FUND Diversified mechanical5.3K$64K0.0%Held
JPMORGAN CHASE & CO Bank broker3.6K$43K0.0%+0.8%
JONES FINANCIAL COMPANIES LLLP Wealth advisor2.5K$31K0.0%+363.6%
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Diversified mechanical2.5K$30K0.0%Held
OSAIC HOLDINGS, INC. Wealth advisor1.1K$13K0.0%New
Tower Research Capital LLC (TRC) Market maker267$3K0.0%New
WELLS FARGO & COMPANY/MN Bank broker100$1K0.0%-75.0%
ROYAL BANK OF CANADA Bank broker84$1K0.0%New
SBI Securities Co., Ltd. Diversified mechanical20$2430.0%Held

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