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InMode Ltd. (INMD)

USD15.26 +0.34 (+2.25%)
IL NASDAQ Healthcare Medical - Devices
Address Tavor Building 2069206
Yokne'am, IL
CEO Moshe Mizrahy
IPO 2019-08-08
CIK 1742692 ISIN IL0011595993

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Description

InMode Ltd. is a medical technology company that engineers, produces, and commercializes aesthetic medical devices globally, including within the United States. The firm's product portfolio is extensive, covering both less-invasive and non-surgical solutions. A core focus lies in their minimally invasive offerings, which leverage exclusive radiofrequency-assisted lipolysis (RFAL) and deep subdermal fractional radiofrequency technologies. These advanced devices facilitate a range of procedures, such as liposuction with concurrent skin firming, body and facial sculpting, intensive skin resurfacing treatments, and various women's health-related aesthetic interventions. Beyond these, InMode also provides non-invasive medical aesthetic products designed to address numerous cosmetic concerns. These include lasting hair removal, facial skin revitalization, the reduction of wrinkles, cellulite improvement, enhancing overall dermal quality and texture, and treating minor vascular and pigmented skin imperfections. Furthermore, the company develops automated, hands-free medical aesthetic systems for applications like dermal tightening, adipose tissue reduction, and muscular toning. Established in 2008, InMode Ltd. operates from its headquarters in Yokneam, Israel. The company was previously known as Invasix Ltd. before officially changing its name in November 2017.

News Sentiment (7d)
73 Positive

Based on only 2 articles — low confidence

Market Cap & Enterprise Value
Merger & Acquisition History

No mergers or acquisitions recorded for this company.

Technical Outlook
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Signal Summary Loading…
Indicator 1D1W2W3W1M
Each column is computed on that timeframe's candles (1D = daily, 1W ≈ weekly, 1M ≈ monthly), not on the same last day. ▲ bullish · ▼ bearish · — neutral. The Net row counts signals per column; hover any cell (or the indicator name) to see the exact rule behind it.
Day Score & sub-scores
Statistical fingerprint & regime detail
Conditional historical analysis
Customize analysis (advanced)
Indicative levels generated algorithmically. Not financial advice.
Risk Profile
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Price Chart
Averages
Trend
Price
Levels
Draw
USD15.26 +0.34 (+2.25%)
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Volume Profile
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Liquidity & share structure
Average Volume
837.8K
Beta
1.93
Float Shares
55.07M
Free Float %
86.9%
Price Performance
1D5D1M3M6M YTD1Y3Y5Y10YMax
-1.36% +1.32% +1.77% -3.71% -5.75% -6.26% -8.20% -58.99% -60.99% +102.80% +102.80%
Rolling Volatility
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Drawdown
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Relative Strength
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Monthly Returns Heatmap
From To
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Annual Monthly Returns
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Daily Returns Distribution
vs.
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Revenue flow

Revenue by geography

Revenue by segment

From To

Revenue composition

From To

By product

By geography

Financial Statements

Income Statement

Balance Sheet

Cash Flow Statement

Key Metrics

Financial Ratios

Employees

Financial Growth (CAGR)

Market Data

Analyst Consensus (11 ratings, all time) Hold
Price Targets & DCF
Current price
15.26
Low 15.00 -1.7%
Consensus 17.00 +11.4%
Median 17.00 +11.4%
High 19.00 +24.5%
DCF (Unlevered) 33.94 +122.5%
DCF (Levered) 36.86 +141.6%

DCF figures are point estimates: small changes in growth or discount-rate assumptions move them materially. Read them as a reference, not a precise target.

Ratings Trend (MoM) 17% Bullish
Rating 2026-05 Change
Strong Buy 1 0
Buy 0 0
Hold 5 0
Sell 0 0
Strong Sell 0 0
Price Target Summary
Period # Analysts Avg Target
Last Month 1
19.00
+24.5%
Last Quarter 2
18.00
+18.0%
Last Year 3
17.00
+11.4%
All Time 13
29.77
+95.1%
Quality scores
Altman Z-Score
7.74
Safe zone
Piotroski F-Score
7 / 9
Strong
MOAT Score
7 / 10
Strong MOAT
Composite Rating
A+
Overall Score
4 / 5
High
DCF Score
5 / 5
High
ROE Score
4 / 5
High
ROA Score
5 / 5
High
D/E Score
3 / 5
Medium
P/E Score
3 / 5
Medium
P/Book Score
4 / 5
High
Operational MOAT
✗ Below peers
  • Revenue growth Medical - Devices: +11.2%
    -6.2% Q1'26: +5.3% (vs Q1'25)
  • EPS growth Medical - Devices: +28.5%
    -36.4% Q1'26: -30.8% (vs Q1'25)
  • FCF margin FCF growth · Medical - Devices: +30.9%
    +18.8% Q1'26: +18.5% (vs Q1'25)
  • EBIT margin Medical - Devices: +6.2%
    +29.8% Q1'26: +12.3% (vs Q1'25)
  • ROIC Medical - Devices: +3.3%
    +66.5% Q1'26: +25.1% (vs Q1'25)
  • Share dilution Medical - Devices: 0.0%
    -18.8% Q1'26: -7.9% (vs Q1'25)
  • Debt / EBITDA Net debt/EBITDA · Medical - Devices: -0.35×
    0.12× Q1'26: 0.12× (vs Q1'25)
Valuation Multiples From To
Price Forecast (3Y) From To
Model
Adjust
P/E
Theoretical Return — If Invested Today

* These projections are based on analyst consensus estimates and user-defined valuation multiples. This table is for informational purposes only and does not constitute a recommendation to buy or sell any security. Past performance is not indicative of future results.

DCF Interactive Model (UFCF)
Projection years:
Market assumptions
WACC components (optional)
Ke (Cost of Equity) = Rf + β (1.97) × ERP
WACC = 99% × Ke + 1% × Kd (4.0%) × (1−t)

Modifying these values recalculates WACC automatically.

Business assumptions
Intrinsic value (base): 33.78 Current price: 15.26
Enterprise Value: Equity Value: Terminal Value: TV as % of EV:

Base values reflect the latest available data for this company and market conditions.

Consensus Estimates
Metric Dec 2019
actual
Dec 2020
actual
Dec 2021
actual
Dec 2022
actual
Dec 2023
actual
Dec 2024
actual
Dec 2025
actual
Dec 2026
4 Rev. Ana.
4 EPS Ana.
Dec 2027
6 Rev. Ana.
5 EPS Ana.
Dec 2028
4 Rev. Ana.
4 EPS Ana.
Revenue
156.36M
est: 151.86M (+3.0%)
206.11M
est: 201.68M (+2.2%)
357.57M
est: 352.00M (+1.6%)
454.27M
est: 450.39M (+0.9%)
492.05M
est: 416.63M (+18.1%)
394.82M
est: 406.09M (-2.8%)
370.50M
est: 368.26M (+0.6%)
370.04M
366.28M – 372.69M
+0.5% YoY
378.34M
371.96M – 383.05M
+2.2% YoY
386.20M
384.77M – 387.63M
+2.1% YoY
EBITDA
59.92M
est: 59.17M (+1.3%)
73.26M
est: 99.83M (-26.6%)
167.99M
est: 137.14M (+22.5%)
198.53M
est: 120.20M (+65.2%)
196.28M
est: 157.68M (+24.5%)
113.26M
est: 153.69M (-26.3%)
111.03M
est: 139.37M (-20.3%)
140.05M
138.62M – 141.05M
+0.5% YoY
143.19M
140.77M – 144.97M
+2.2% YoY
146.16M
145.62M – 146.70M
+2.1% YoY
EBIT
59.62M
est: 58.92M (+1.2%)
72.84M
est: 93.38M (-22.0%)
167.48M
est: 136.58M (+22.6%)
197.85M
est: 114.35M (+73.0%)
195.66M
est: 157.02M (+24.6%)
112.53M
est: 153.05M (-26.5%)
110.33M
est: 138.79M (-20.5%)
139.46M
138.04M – 140.46M
+0.5% YoY
142.59M
140.18M – 144.36M
+2.2% YoY
145.55M
145.01M – 146.09M
+2.1% YoY
Net Income
61.15M
est: 61.24M (-0.2%)
75.03M
est: 97.38M (-23.0%)
164.97M
est: 159.80M (+3.2%)
161.52M
est: 113.83M (+41.9%)
197.92M
est: 116.02M (+70.6%)
181.28M
est: 121.72M (+48.9%)
93.83M
est: 102.70M (-8.6%)
87.20M
86.21M – 88.18M
-15.1% YoY
96.93M
89.63M – 104.22M
+11.2% YoY
96.75M
83.95M – 109.56M
-0.2% YoY
SGA
70.81M
est: 63.16M (+12.1%)
92.95M
est: 152.05M (-38.9%)
127.76M
est: 146.40M (-12.7%)
170.51M
est: 148.42M (+14.9%)
202.27M
est: 178.94M (+13.0%)
191.40M
est: 174.41M (+9.7%)
192.26M
est: 158.16M (+21.6%)
158.93M
157.31M – 160.07M
+0.5% YoY
162.49M
159.75M – 164.51M
+2.2% YoY
165.87M
165.25M – 166.48M
+2.1% YoY
EPS
1.05
est: 0.76 (+38.2%)
1.04
est: 0.89 (+17.3%)
2.03
est: 1.98 (+2.4%)
1.96
est: 2.31 (-15.3%)
2.37
est: 1.78 (+33.4%)
2.29
est: 1.86 (+22.9%)
1.45
est: 1.57 (-7.8%)
1.34
1.32 – 1.35
-15.1% YoY
1.48
1.37 – 1.59
+10.6% YoY
1.46
1.28 – 1.67
-1.4% YoY
Recent Grade Changes (3M)
Date Firm Previous New Grade Action
2026-05-07 Barclays Overweight Overweight Maintain
Historical Ratings (3M)
Date Rating Overall DCF ROE ROA D/E P/E P/B
2026-05-07 A+ 4/5 5/5 4/5 5/5 3/5 3/5 4/5
2026-05-06 A+ 4/5 5/5 4/5 5/5 3/5 3/5 4/5
2026-05-05 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-05-04 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-05-01 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-04-30 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-04-29 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-04-28 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-04-27 A+ 5/5 5/5 4/5 5/5 3/5 4/5 4/5
2026-04-24 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-23 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-22 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-21 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-20 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-17 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5
2026-04-16 A 4/5 5/5 4/5 5/5 2/5 3/5 4/5

Owner Earnings

Owner's Earnings (history) From To
Owner alignment
Owner's Earnings TTM
90.27M
OE per share TTM
1.41
Owner's Yield
10.23%
Maintenance CapEx ratio
0.73%
Maint CapEx / Avg PPE
2.1%

Ownership Overview

Ownership breakdown
At a glance
Institutional holders
43
Total invested
32.67M
Insider transactions (90d)
0
Beneficial owners (>5%)
11
Beneficial owners (>5%)
# Reporting person Amount owned % of class Sole voting Shared voting Sole dispositive Shared dispositive Type Citizenship Filing date SEC filing
1 Dr. Michael Kreindel 5.19M 16.20% 5.19M 5.19M IN Canada 2020-02-14
2 Moshe Mizrahy 5.09M 15.90% 5.09M 5.09M IN Israel 2020-02-14
3 Elton Limited 4.67M 14.60% 4.67M 4.67M PN 2020-02-14
4 Fort Limited 4.67M 14.60% 4.67M 4.67M PN 2020-02-14
5 Fort Management Services Limited 4.67M 14.60% 4.67M 4.67M PN 2020-02-14
6 IHCV2 General Partner Limited 4.67M 14.60% 4.67M 4.67M PN 2020-02-14
7 Jos Ensink 4.67M 14.60% 4.67M 4.67M PN 2020-02-14
8 Dr. Stephen Mulholland 4.44M 13.53% 4.44M 4.44M IN Canada 2020-05-22
9 SpaMedica International SRL 4.44M 13.53% 4.44M CO Canada 2020-05-22
10 The Stephen Mulholland Family Trust 4.44M 13.53% 4.44M OO Canada 2020-05-22
11 Israel Healthcare Ventures 2 L.P. 249.6K 1.00% 249.6K 249.6K PN 2021-02-12

Institutional Activity (13F)

Institutional ownership trend From To
13F snapshot — 2026 Q1
Investors holding
43
-162 vs prev Q
New positions
13
Closed positions
165
Increased
23
Reduced
10
Put/Call ratio
0.00
Calls held
Puts held
Top institutional holders
# Investor Shares / Δ Mkt value / Δ Own% / Δ Weight% / Δ Avg px / Perf. Hold / Status
1 STEEL PARTNERS HOLDINGS L.P. 704.7K +704.7K (+100.0%) 10.35B +10.4B (+100.0%) 1.09% +1.090 pp 8.28% +8.278 pp USD14.69 +0.0% 1 qtrs NEW
2 NANO CAP NEW MILLENNIUM GROWTH FUND L P 90.0K +90.0K (+100.0%) 1.32B +1.3B (+100.0%) 0.14% +0.142 pp 1.13% +1.128 pp USD14.69 +0.0% 1 qtrs NEW
3 DOMA PERPETUAL CAPITAL MANAGEMENT LLC 2.84M +— (+0.0%) 41.70M -596.1K (-1.4%) 4.39% -0.096 pp 11.72% -2.478 pp USD17.94 -18.1% 9 qtrs
4 ACADIAN ASSET MANAGEMENT LLC 2.60M +620.7K (+31.4%) 38.12M +8.7M (+29.6%) 4.10% +0.976 pp 0.06% +0.011 pp USD16.13 -8.9% 25 qtrs
5 RENAISSANCE TECHNOLOGIES LLC 2.44M -18.1K (-0.7%) 35.79M -781.3K (-2.1%) 3.77% -0.111 pp 0.06% +0.007 pp USD39.72 -63.0% 24 qtrs
6 BLACKROCK, INC. 2.10M -364.0K (-14.8%) 30.80M -5.9M (-16.0%) 3.24% -0.646 pp 0.00% 0.000 pp USD16.81 -12.6% 6 qtrs
7 MILLENNIUM MANAGEMENT LLC 1.78M +937.4K (+111.4%) 26.13M +13.6M (+108.4%) 2.75% +1.422 pp 0.01% +0.006 pp USD14.65 +0.3% 26 qtrs
8 GOLDMAN SACHS GROUP INC 1.42M +466.9K (+48.9%) 20.90M +6.7M (+46.8%) 2.20% +0.690 pp 0.00% +0.001 pp USD16.46 -10.8% 24 qtrs
9 SYSTEMATIC FINANCIAL MANAGEMENT LP 1.08M -55.0K (-4.8%) 15.90M -1.0M (-6.2%) 1.71% -0.089 pp 0.37% -0.037 pp USD21.59 -32.0% 12 qtrs
10 MORGAN STANLEY 959.0K +73.9K (+8.4%) 14.09M +900.4K (+6.8%) 1.48% +0.085 pp 0.00% +0.000 pp USD22.63 -35.1% 26 qtrs
11 MEITAV INVESTMENT HOUSE LTD 920.2K -56.7K (-5.8%) 13.52M -1.0M (-6.9%) 1.45% -0.092 pp 0.16% -0.036 pp USD33.91 -56.7% 19 qtrs
12 HAREL INSURANCE INVESTMENTS & FINANCIAL SERVICES LTD. 900.0K +— (+0.0%) 13.22M -189.0K (-1.4%) 1.42% -0.001 pp 0.11% -0.006 pp USD42.08 -65.1% 17 qtrs
13 JANUS HENDERSON GROUP PLC 887.6K +354.9K (+66.6%) 13.04M +5.1M (+64.3%) 1.37% +0.531 pp 0.01% +0.002 pp USD14.82 -0.9% 2 qtrs
14 HOTCHKIS & WILEY CAPITAL MANAGEMENT LLC 864.1K -35.0K (-3.9%) 12.69M -702.2K (-5.2%) 1.34% -0.084 pp 0.04% -0.004 pp USD18.77 -21.7% 8 qtrs
15 STATE STREET CORP 723.1K +23.7K (+3.4%) 10.62M +201.2K (+1.9%) 1.12% +0.013 pp 0.00% +0.000 pp USD37.19 -60.5% 23 qtrs
16 NORTH GROWTH MANAGEMENT LTD. 662.0K +8.0K (+1.2%) 9.73M -22.0K (-0.2%) 1.02% -0.010 pp 1.52% -0.176 pp USD26.10 -43.7% 16 qtrs
17 JPMORGAN CHASE & CO 649.2K +4.1K (+0.6%) 9.54M -76.0K (-0.8%) 1.03% +0.006 pp 0.00% +0.000 pp USD20.91 -29.7% 25 qtrs
18 SUSQUEHANNA INTERNATIONAL GROUP, LLP 613.2K -28.9K (-4.5%) 9.01M -559.4K (-5.8%) 0.95% -0.066 pp 0.00% 0.000 pp USD24.34 -39.6% 24 qtrs
19 TOPLINE CAPITAL MANAGEMENT, LLC 592.5K +327.7K (+123.8%) 8.70M +4.8M (+120.6%) 0.92% +0.498 pp 0.79% +0.109 pp USD14.78 -0.6% 3 qtrs
20 D. E. SHAW & CO., INC. 527.7K -199.6K (-27.5%) 7.75M -3.1M (-28.5%) 0.82% -0.334 pp 0.00% -0.002 pp USD14.79 -0.7% 3 qtrs
21 PEAK6 LLC 443.0K -77.6K (-14.9%) 6.51M -1.2M (-16.1%) 0.69% -0.138 pp 0.01% +0.001 pp USD14.48 +1.5% 5 qtrs
22 MEROS INVESTMENT MANAGEMENT, LP 404.5K +36.9K (+10.0%) 5.94M +464.4K (+8.5%) 0.63% +0.045 pp 2.36% +0.018 pp USD15.97 -8.0% 4 qtrs
23 VOLORIDGE INVESTMENT MANAGEMENT, LLC 389.2K -207.6K (-34.8%) 5.72M -3.2M (-35.7%) 0.60% -0.341 pp 0.02% -0.010 pp USD19.13 -23.2% 11 qtrs
24 FRED ALGER MANAGEMENT, LLC 370.5K -25.8K (-6.5%) 5.44M -462.2K (-7.8%) 0.57% -0.053 pp 0.02% -0.002 pp USD34.92 -57.9% 26 qtrs
25 UBS GROUP AG 308.2K +89.6K (+41.0%) 4.53M +1.3M (+39.0%) 0.48% +0.131 pp 0.00% +0.000 pp USD16.69 -12.0% 26 qtrs
26 YELIN LAPIDOT HOLDINGS MANAGEMENT LTD. 297.9K -1.0K (-0.3%) 4.38M -77.5K (-1.7%) 0.47% -0.002 pp 0.88% -0.058 pp USD28.43 -48.3% 10 qtrs
27 MARSHALL WACE, LLP 288.4K -302.2K (-51.2%) 4.24M -4.6M (-51.9%) 0.45% -0.487 pp 0.00% -0.005 pp USD15.30 -4.0% 9 qtrs
28 BANK OF AMERICA CORP /DE/ 287.1K -423.3K (-59.6%) 4.22M -6.4M (-60.2%) 0.44% -0.679 pp 0.00% 0.000 pp USD16.53 -11.1% 25 qtrs
29 DISCIPLINED GROWTH INVESTORS INC /MN 282.9K +27.2K (+10.7%) 4.16M +346.6K (+9.1%) 0.44% +0.034 pp 0.08% +0.011 pp USD20.16 -27.1% 8 qtrs
30 JANE STREET GROUP, LLC 279.1K -157.4K (-36.1%) 4.10M -2.4M (-37.0%) 0.43% -0.258 pp 0.00% 0.000 pp USD19.62 -25.1% 26 qtrs
31 QUANTEDGE CAPITAL PTE LTD 252.9K -23.9K (-8.6%) 3.72M -409.2K (-9.9%) 0.39% -0.046 pp 1.77% -0.487 pp USD17.21 -14.6% 6 qtrs
32 CITADEL ADVISORS LLC 230.0K +58.6K (+34.2%) 3.38M +824.8K (+32.3%) 0.36% +0.085 pp 0.00% +0.000 pp USD21.65 -32.1% 23 qtrs
33 POINT72 ASSET MANAGEMENT, L.P. 227.9K +227.9K (+100.0%) 3.35M +3.3M (+100.0%) 0.35% +0.353 pp 0.00% +0.004 pp USD14.69 +0.0% 1 qtrs NEW
34 ALTSHULER SHAHAM LTD 227.0K +— (+0.0%) 3.33M -47.7K (-1.4%) 0.35% -0.008 pp 0.05% -0.005 pp USD14.48 +1.5% 3 qtrs
35 O'SHAUGHNESSY ASSET MANAGEMENT, LLC 216.6K +69.6K (+47.4%) 3.18M +992.0K (+45.3%) 0.34% +0.110 pp 0.02% +0.005 pp USD14.52 +1.2% 3 qtrs
36 AMERIPRISE FINANCIAL INC 208.8K -7.5K (-3.5%) 3.07M -156.1K (-4.8%) 0.32% -0.019 pp 0.00% +0.000 pp USD24.84 -40.9% 24 qtrs
37 PROSPECT CAPITAL ADVISORS, LLC 208.2K +208.2K (+100.0%) 3.06M +3.1M (+100.0%) 0.32% +0.322 pp 1.58% +1.577 pp USD14.69 +0.0% 1 qtrs NEW
38 VIRTUS FAMILY OFFICE LLC 198.6K -7.8K (-3.8%) 2.92M -158.2K (-5.1%) 0.31% -0.013 pp 2.51% -0.364 pp USD14.44 +1.7% 3 qtrs
39 AMERICAN CENTURY COMPANIES INC 198.3K +170.1K (+601.4%) 2.91M +2.5M (+591.5%) 0.31% +0.262 pp 0.00% +0.001 pp USD14.80 -0.7% 22 qtrs
40 MARATHON ASSET MANAGEMENT LTD 187.3K +— (+0.0%) 2.75M -39.3K (-1.4%) 0.30% 0.000 pp 0.11% +0.003 pp USD30.70 -52.1% 18 qtrs
41 HRT FINANCIAL LP 172.2K -116.5K (-40.4%) 2.53M -1.8M (-41.2%) 0.27% -0.190 pp 0.01% -0.008 pp USD15.03 -2.3% 6 qtrs
42 MACKENZIE FINANCIAL CORP 167.6K +30.8K (+22.5%) 2.48M +443.6K (+21.8%) 0.26% +0.043 pp 0.00% +0.001 pp USD16.50 -11.0% 17 qtrs
43 NORTHERN TRUST CORP 167.3K +3.7K (+2.3%) 2.46M +20.4K (+0.8%) 0.26% +0.000 pp 0.00% +0.000 pp USD34.19 -57.0% 24 qtrs
44 LSV ASSET MANAGEMENT 157.4K -17.1K (-9.8%) 2.31M -288.0K (-11.1%) 0.24% -0.032 pp 0.01% -0.001 pp USD27.75 -47.1% 11 qtrs
45 EVERGREEN CAPITAL MANAGEMENT LLC 157.0K -12.2K (-7.2%) 2.31M -214.9K (-8.5%) 0.25% -0.020 pp 0.05% -0.008 pp USD17.74 -17.2% 4 qtrs
46 ROYAL BANK OF CANADA 155.1K -691.4K (-81.7%) 2.28M -10.3M (-81.9%) 0.24% -1.098 pp 0.00% -0.002 pp USD19.03 -22.8% 25 qtrs
47 MAN GROUP PLC 150.6K +56.8K (+60.6%) 2.21M +815.1K (+58.3%) 0.23% +0.085 pp 0.00% +0.001 pp USD14.82 -0.9% 2 qtrs
48 STATE OF TENNESSEE, TREASURY DEPARTMENT 138.5K +64.3K (+86.6%) 2.18M +1.1M (+96.7%) 0.21% +0.097 pp 0.01% +0.003 pp USD15.38 -4.5% 22 qtrs
49 ARGA INVESTMENT MANAGEMENT, LP 143.7K +— (+0.0%) 2.11M -30.2K (-1.4%) 0.23% 0.000 pp 0.06% +0.001 pp USD14.80 -0.7% 3 qtrs
50 ARK INVESTMENT MANAGEMENT LLC 135.7K -1.9K (-1.4%) 1.99M -56.9K (-2.8%) 0.21% -0.003 pp 0.01% +0.001 pp USD21.93 -33.0% 25 qtrs
51 HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND 131.4K -118.5K (-47.4%) 1.93M -1.8M (-48.2%) 0.20% -0.192 pp 0.00% -0.004 pp USD14.72 -0.2% 3 qtrs
52 SEI INVESTMENTS CO 128.4K +361.0 (+0.3%) 1.89M -21.7K (-1.1%) 0.20% -0.004 pp 0.00% 0.000 pp USD19.07 -23.0% 22 qtrs
53 LIND VALUE II APS 121.1K -55.8K (-31.6%) 1.78M -857.6K (-32.5%) 0.19% -0.088 pp 0.57% -0.420 pp USD14.44 +1.7% 3 qtrs
54 GEODE CAPITAL MANAGEMENT, LLC 115.8K -31.0K (-21.1%) 1.70M -485.4K (-22.2%) 0.18% -0.053 pp 0.00% +0.000 pp USD29.98 -51.0% 24 qtrs
55 SWISS NATIONAL BANK 112.7K +8.0K (+7.6%) 1.66M +95.5K (+6.1%) 0.18% +0.012 pp 0.00% +0.000 pp USD40.53 -63.8% 23 qtrs
56 OMERS ADMINISTRATION CORP 112.6K -110.0K (-49.4%) 1.65M -1.7M (-50.1%) 0.17% -0.178 pp 0.01% -0.012 pp USD15.96 -8.0% 7 qtrs
57 VANGUARD GROUP INC 106.6K +— (+0.0%) 1.57M -22.4K (-1.4%) 0.17% -0.004 pp 0.00% +0.000 pp USD32.59 -54.9% 23 qtrs
58 STATE OF NEW JERSEY COMMON PENSION FUND D 103.9K +7.8K (+8.1%) 1.53M +94.6K (+6.6%) 0.16% +0.012 pp 0.01% +0.000 pp USD14.82 -0.9% 3 qtrs
59 GROUP ONE TRADING, L.P. 103.1K +88.9K (+628.7%) 1.51M +1.3M (+618.4%) 0.16% +0.137 pp 0.00% +0.002 pp USD14.72 -0.2% 9 qtrs
60 QUBE RESEARCH & TECHNOLOGIES LTD 103.0K +81.9K (+388.1%) 1.51M +1.2M (+381.2%) 0.16% +0.126 pp 0.00% +0.001 pp USD14.64 +0.3% 23 qtrs
61 VILLANOVA INVESTMENT MANAGEMENT CO LLC 101.5K -175.0 (-0.2%) 1.49M -23.9K (-1.6%) 0.16% -0.004 pp 1.05% +0.001 pp USD15.46 -5.0% 7 qtrs
62 CWA ASSET MANAGEMENT GROUP, LLC 94.5K +2.5K (+2.7%) 1.39M +17.0K (+1.2%) 0.15% +0.004 pp 0.05% -0.001 pp USD15.34 -4.2% 5 qtrs
63 CATALYST FUNDS MANAGEMENT PTY LTD 93.0K +— (+0.0%) 1.37M -19.5K (-1.4%) 0.15% 0.000 pp 0.32% +0.108 pp USD14.81 -0.8% 3 qtrs
64 INSPIRE ADVISORS, LLC 90.7K +10.0K (+12.4%) 1.33M +130.5K (+10.9%) 0.14% +0.013 pp 0.12% +0.008 pp USD18.24 -19.5% 14 qtrs
65 NEW YORK STATE COMMON RETIREMENT FUND 85.1K +— (+0.0%) 1.25M -17.9K (-1.4%) 0.13% 0.000 pp 0.00% +0.000 pp USD17.34 -15.3% 21 qtrs
66 TAYLOR FRIGON CAPITAL MANAGEMENT LLC 86.3K -9.0K (-9.4%) 1.24M -146.8K (-10.6%) 0.14% -0.014 pp 0.63% -0.062 pp USD18.68 -21.4% 23 qtrs
67 MITSUBISHI UFJ KOKUSAI ASSET MANAGEMENT CO., LTD. 79.1K +— (+0.0%) 1.17M -7.9K (-0.7%) 0.12% 0.000 pp 0.00% 0.000 pp USD35.29 -58.4% 19 qtrs
68 DGS CAPITAL MANAGEMENT, LLC 79.6K +44.7K (+127.7%) 1.17M +648.6K (+124.5%) 0.12% +0.068 pp 0.20% +0.105 pp USD15.55 -5.5% 6 qtrs
69 ENGINEERS GATE MANAGER LP 77.3K +29.0K (+60.1%) 1.14M +415.8K (+57.8%) 0.12% +0.043 pp 0.01% +0.005 pp USD15.06 -2.5% 21 qtrs
70 COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS 73.0K +— (+0.0%) 1.07M -15.3K (-1.4%) 0.12% 0.000 pp 0.01% +0.000 pp USD14.90 -1.4% 4 qtrs
71 CAUSEWAY CAPITAL MANAGEMENT LLC 71.8K +71.8K (+100.0%) 1.06M +1.1M (+100.0%) 0.11% +0.111 pp 0.01% +0.015 pp USD14.69 +0.0% 1 qtrs NEW
72 ATLAS LEGACY ADVISORS, LLC 71.7K +— (+0.0%) 1.05M -14.9K (-1.4%) 0.11% 0.000 pp 0.18% -0.022 pp USD17.00 -13.6% 5 qtrs
73 AXXCESS WEALTH MANAGEMENT, LLC 71.1K +71.1K (+100.0%) 1.05M +1.0M (+100.0%) 0.11% +0.110 pp 0.01% +0.012 pp USD14.69 +0.0% 1 qtrs NEW
74 RAYMOND JAMES FINANCIAL INC 70.3K -4.6K (-6.1%) 1.03M -82.8K (-7.4%) 0.11% -0.010 pp 0.00% +0.000 pp USD16.69 -12.0% 5 qtrs
75 RBF CAPITAL, LLC 70.0K +— (+0.0%) 1.03M -14.7K (-1.4%) 0.11% -0.002 pp 0.05% -0.001 pp USD14.44 +1.7% 3 qtrs
76 EASTERLY INVESTMENT PARTNERS LLC 68.5K +6.0K (+9.6%) 1.01M +75.0K (+8.1%) 0.11% +0.009 pp 0.06% -0.001 pp USD14.46 +1.6% 3 qtrs
77 XTX TOPCO LTD 68.1K +68.1K (+100.0%) 1.00M +1.0M (+100.0%) 0.11% +0.105 pp 0.03% +0.026 pp USD14.69 +0.0% 1 qtrs NEW
78 JUMP FINANCIAL, LLC 66.9K +34.9K (+108.9%) 982.4K +505.4K (+106.0%) 0.10% +0.053 pp 0.01% +0.006 pp USD14.57 +0.8% 6 qtrs
79 UBS ASSET MANAGEMENT AMERICAS INC 65.8K +65.8K (+100.0%) 966.0K +966.0K (+100.0%) 0.10% +0.104 pp 0.00% +0.000 pp USD14.69 +0.0% 22 qtrs
80 SIMPLEX TRADING, LLC 65.7K -254.6K (-79.5%) 965.8K -3.8M (-79.8%) 0.10% -0.405 pp 0.00% -0.002 pp USD15.30 -4.0% 12 qtrs
81 KLP KAPITALFORVALTNING AS 63.9K +900.0 (+1.4%) 938.7K -9.0 (0.0%) 0.10% +0.001 pp 0.00% 0.000 pp USD16.11 -8.8% 5 qtrs
82 EVERSEPT PARTNERS, LP 61.9K +61.9K (+100.0%) 909.9K +909.9K (+100.0%) 0.10% +0.096 pp 0.05% +0.046 pp USD14.69 +0.0% 1 qtrs NEW
83 CHARLES SCHWAB INVESTMENT MANAGEMENT INC 61.2K +16.9K (+38.3%) 899.1K +239.7K (+36.3%) 0.09% +0.025 pp 0.00% +0.000 pp USD23.85 -38.4% 17 qtrs
84 PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO 60.6K +9.3K (+18.1%) 890.0K +126.0K (+16.5%) 0.09% +0.013 pp 0.00% +0.001 pp USD16.07 -8.6% 8 qtrs
85 CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM 60.2K +6.6K (+12.4%) 884.1K +86.1K (+10.8%) 0.09% +0.008 pp 0.00% +0.000 pp USD28.96 -49.3% 23 qtrs
86 VERITION FUND MANAGEMENT LLC 59.5K -4.1K (-6.5%) 873.5K -73.7K (-7.8%) 0.09% -0.009 pp 0.00% -0.001 pp USD18.34 -19.9% 17 qtrs
87 TWINBEECH CAPITAL LP 58.0K -16.2K (-21.8%) 852.0K -253.2K (-22.9%) 0.09% -0.028 pp 0.06% +0.017 pp USD17.50 -16.1% 5 qtrs
88 TOROSO INVESTMENTS, LLC 52.0K +— (+0.0%) 764.2K -10.9K (-1.4%) 0.08% -0.002 pp 0.00% +0.000 pp USD29.63 -50.4% 11 qtrs
89 CREDIT AGRICOLE S A 52.0K +52.0K (+100.0%) 763.9K +763.9K (+100.0%) 0.08% +0.081 pp 0.00% +0.002 pp USD14.69 +0.0% 1 qtrs NEW
90 LEGAL & GENERAL GROUP PLC 51.4K +— (+0.0%) 754.6K -10.8K (-1.4%) 0.08% 0.000 pp 0.00% +0.000 pp USD31.29 -53.1% 23 qtrs
91 UNIVERSAL- BETEILIGUNGS- UND SERVICEGESELLSCHAFT MBH 50.8K +— (+0.0%) 745.8K -10.7K (-1.4%) 0.08% +0.000 pp 0.00% +0.000 pp USD17.70 -17.0% 4 qtrs
92 TREXQUANT INVESTMENT LP 49.3K +49.3K (+100.0%) 724.3K +724.3K (+100.0%) 0.08% +0.076 pp 0.01% +0.007 pp USD14.69 +0.0% 6 qtrs
93 IMC-CHICAGO, LLC 48.2K -24.2K (-33.4%) 708.1K -370.4K (-34.3%) 0.07% -0.040 pp 0.00% 0.000 pp USD16.96 -13.4% 8 qtrs
94 BNP PARIBAS ARBITRAGE, SNC 48.2K -135.9K (-73.8%) 708.1K -2.0M (-74.2%) 0.07% -0.217 pp 0.00% -0.001 pp USD15.92 -7.7% 5 qtrs
95 QUANTBOT TECHNOLOGIES LP 44.2K -38.8K (-46.7%) 649.9K -586.8K (-47.4%) 0.07% -0.061 pp 0.02% -0.012 pp USD15.94 -7.8% 6 qtrs
Ownership breakdown by holder

ETF Ownership

Top ETFs holding this stock Held by 47 ETFs in our universe
# ETF Weight Est. AUM exposure TER
1 ARK Israel Innovative Technology ETF IZRL 1.63% 2.30M 0.49%
2 Amplify BlueStar Israel Technology ETF ITEQ 1.15% 1.35M 0.75%
3 Acquirers Small and Micro Deep Value ETF DEEP 0.91% 248.4K 0.80%
4 JPMorgan Active Small Cap Value ETF JPSV 0.70% 186.4K 0.55%
5 VanEck Israel ETF ISRA 0.54% 820.2K 0.59%
6 First Trust Active Factor Small Cap ETF AFSM 0.47% 524.0K 0.75%
7 iShares MSCI Israel ETF EIS 0.22% 1.90M 0.59%
8 Lazard US Systematic Small Cap Equity ETF SYZ 0.20% 103.7K 0.74%
9 State Street SPDR S&P International Small Cap ETF GWX 0.10% 856.4K 0.40%
10 Vident International Equity Strategy ETF VIDI 0.09% 371.3K 0.61%

Insider Activity

Insider Activity — Latest Quarter
Ratio by transactions
0.00
Bearish
Buys
0
Sells
0
Shares acquired
Shares disposed
Cash buys
Cash sales
Net activity
+0
Insider buys vs sells (history) From To
Recent insider transactions From To
Date Person Role Transaction A/D Security Shares Price Value Owned after D/I Filing
2026-03-18 Ron Hadar Director Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 57,270 D
2026-03-18 Mizrahy Moshe Director / Officer Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 4,299,226 D
2026-03-18 Malca Yair Officer Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 94,192 D
2026-03-18 Kreindel Michael Director / Officer Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 3,114,762 D
2026-03-18 Kenneth Nadav Director Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 1,500 D
2026-03-18 Dennison Michael Howard Officer Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 7,654 D
2026-03-18 Anghel Michael J Director Ordinary Shares, par value NIS 0.01 per ordinary share 0 0.00 9,000 D
2012-09-20 Sagard Capital Partners, L.P. 10% Owner J-Other A Common Stock 1,000 0.00 1,000
2012-09-20 HOWE MICHAEL C Director D-Return D Common Stock 5,556 14.05 78.1K 0
2012-06-10 Sagard Capital Partners, L.P. 10% Owner D Common Stock 0 0.00 445,100
2012-01-03 HOWE MICHAEL C Director A-Award A Common Stock 5,556 8.10 45.0K 5,556
2011-08-24 HOWE MICHAEL C Director 0 0.00 0
2010-10-22 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 1,339 8.22 11.0K 1,322,396
2010-10-21 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 2,000 8.25 16.5K 1,321,057
2010-10-20 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 3,528 8.20 28.9K 1,316,757
2010-10-04 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 3,360 8.04 27.0K 1,313,229
2010-10-01 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 15,000 8.34 125.1K 1,309,869
2010-09-30 BlueLine Capital Partners III, LP 10% Owner P-Purchase A COMMON STOCK 5,802 9.27 53.8K 1,294,869
2010-09-28 BlueLine Capital Partners III, LP 10% Owner P-Purchase A COMMON STOCK 1,500 9.09 13.6K 1,289,067
2010-09-27 BlueLine Capital Partners III, LP 10% Owner P-Purchase A COMMON STOCK 5,058 9.02 45.6K 1,285,567
2010-09-20 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 8,454 9.03 76.3K 1,282,509
2010-09-16 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A COMMON STOCK 2,000 9.09 18.2K 1,274,055
2010-09-15 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A COMMON STOCK 5,297 9.02 47.8K 1,272,055
2010-09-14 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A COMMON STOCK 1,800 9.07 16.3K 1,266,758
2010-09-13 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A Common Stock 5,374 9.12 49.0K 1,263,958
2010-09-10 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A Common Stock 6,700 9.15 61.3K 1,258,584
2010-09-03 BlueLine Capital Partners, L.P. 10% Owner P-Purchase A Common Stock 800 9.10 7.3K 1,251,884
2010-08-04 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 1,510 8.25 12.5K 1,251,084
2010-08-03 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 11,228 8.20 92.1K 1,249,574
2010-08-02 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 52,672 8.18 430.9K 1,238,346
2010-07-29 BlueLine Catalyst Fund IX, L.P. 10% Owner P-Purchase A COMMON STOCK 4,300 8.14 35.0K 1,185,674
2010-03-01 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 10,000 7.67 76.7K 3,221,084
2010-02-26 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 10,000 7.71 77.1K 3,211,084
2010-02-18 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 500,000 7.50 3.75M 3,201,084
2010-02-17 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 10,000 7.50 75.0K 2,701,084
2010-02-16 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 30,000 7.49 224.8K 2,691,084
2009-09-08 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,489 8.35 12.4K 1,175,374
2009-09-04 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 641 8.33 5.3K 1,173,885
2009-09-03 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,150 8.21 9.4K 1,173,244
2009-08-28 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 5,312 8.49 45.1K 1,172,094
2009-08-27 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 3,150 8.49 26.7K 1,166,782
2009-08-24 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 3,653 8.50 31.1K 1,163,632
2009-08-21 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 6,989 8.40 58.7K 1,159,979
2009-08-10 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,000 8.25 16.5K 1,152,990
2009-08-06 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 6,150 8.08 49.7K 1,150,990
2009-06-16 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 115,751 7.21 834.6K 1,260,591
2009-06-15 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,005 7.38 14.8K 1,144,840
2009-06-11 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 4,512 7.10 32.0K 1,142,835
2009-06-05 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 800 7.15 5.7K 1,138,323
2009-06-04 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 4,803 7.16 34.4K 1,137,523
2009-06-02 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,479 7.17 10.6K 1,132,720
2009-06-01 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 4,619 7.24 33.4K 1,131,241
2009-05-29 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,300 7.19 9.3K 1,126,622
2009-05-22 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,750 7.21 19.8K 1,125,322
2009-05-21 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 3,289 6.96 22.9K 1,122,572
2009-05-20 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,700 7.08 19.1K 1,119,283
2009-05-19 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,900 7.01 20.3K 1,116,583
2009-05-18 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 720 7.01 5.0K 1,113,683
2009-05-15 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,370 7.03 9.6K 1,112,963
2009-05-14 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 700 7.00 4.9K 1,111,593
2009-05-13 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 700 7.01 4.9K 1,110,893
2009-05-12 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 500 7.03 3.5K 1,110,193
2009-05-11 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,800 7.00 12.6K 1,109,693
2009-05-04 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,300 7.04 9.2K 1,107,893
2009-05-01 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,400 7.08 17.0K 1,106,593
2009-04-30 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 9,500 7.01 66.6K 1,104,193
2009-04-21 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 7,000 6.23 43.6K 1,094,693
2009-04-20 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 2,893 6.22 18.0K 1,087,693
2009-04-17 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 11,532 6.23 71.8K 1,084,800
2009-04-16 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 374 5.86 2.2K 1,073,268
2009-04-15 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 13,915 6.23 86.7K 1,072,894
2009-04-14 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 3,318 6.11 20.3K 1,058,979
2009-04-08 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 4,273 6.00 25.6K 1,055,661
2009-04-07 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 600 6.05 3.6K 1,051,388
2009-04-06 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 400 5.98 2.4K 1,047,888
2009-04-03 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,000 6.03 6.0K 1,047,488
2009-04-02 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 8,740 6.00 52.4K 1,046,488
2009-03-27 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,209 6.15 7.4K 1,037,748
2009-03-25 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 200 5.55 1.1K 1,012,046
2009-03-24 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,800 5.85 10.5K 1,011,846
2009-03-23 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 1,000 5.82 5.8K 1,034,539
2009-03-20 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 23,493 5.48 128.7K 1,033,539
2009-03-19 Blue TSV I, Ltd. 10% Owner P-Purchase A Common Stock 16,156 5.50 88.9K 1,010,046
2009-03-18 Blue TSV I, Ltd. 10% Owner D Common Stock 0 0.00 993,890
2008-08-13 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 2,800 6.93 19.4K 2,641,286
2008-08-11 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 4,149 6.75 28.0K 2,638,486
2008-08-08 KELLOGG PETER R 10% Owner P-Purchase A common stock 51,471 6.50 334.6K 2,634,337
2008-08-04 KELLOGG PETER R 10% Owner P-Purchase A common stock 27,129 6.58 178.5K 2,582,866
2008-08-01 KELLOGG PETER R 10% Owner P-Purchase A common stock 21,400 6.52 139.6K 2,555,737
2008-07-31 KELLOGG PETER R 10% Owner P-Purchase A common stock 20,000 6.38 127.6K 2,534,337
2008-07-30 KELLOGG PETER R 10% Owner P-Purchase A common stock 28,100 6.16 173.1K 2,514,337
2008-07-24 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 51,900 6.21 322.3K 2,486,237
2008-05-28 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 582,952 8.68 5.06M 2,434,135
2008-05-21 KELLOGG PETER R 10% Owner P-Purchase A common stock 200,000 8.95 1.79M 1,851,183
2008-04-07 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 557,433 8.65 4.82M 1,651,183
2005-01-10 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 14,500 12.24 177.5K 228,450
2004-12-30 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 3,500 12.03 42.1K 246,450
2004-12-29 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 6,000 12.24 73.4K 24,475
2004-12-28 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 3,000 11.04 33.1K 25,100
2004-12-27 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 19,500 11.77 229.5K 332,950
2004-12-22 KELLOGG PETER R 10% Owner P-Purchase A COMMON STOCK 0 0.00 100
2004-12-22 GRUBER & MCBAINE CAPITAL MANAGEMENT LLC 10% Owner S-Sale D Common Stock 15,500 9.01 139.7K 352,450
2004-12-21 KELLOGG PETER R 10% Owner P-Purchase A common stock 0 0.00 100
2004-12-20 KELLOGG PETER R 10% Owner P-Purchase A common stock 5,900 7.11 41.9K 508,988
2004-05-03 KELLOGG PETER R 10% Owner P-Purchase A common 5,138 7.65 39.3K 503,088
2004-04-30 KELLOGG PETER R 10% Owner P-Purchase A common 5,000 7.70 38.5K 497,950
2004-04-29 KELLOGG PETER R 10% Owner P-Purchase A common 6,600 7.74 51.1K 492,950
2004-04-28 KELLOGG PETER R 10% Owner P-Purchase A common 2,800 7.70 21.6K 486,350
2004-04-21 KELLOGG PETER R 10% Owner P-Purchase A common 4,700 7.70 36.2K 483,550
2003-12-31 KELLOGG PETER R 10% Owner 0 0.00 0
2003-06-20 KELLOGG PETER R 10% Owner I common stock 0 0.00 378,900

Executive team

Top executives
EBIT / Employee
184.2K
Shares Outstanding
63.36M

Executive compensation

Executive compensation (annual)

Executive compensation not available.

CEO compensation breakdown

No CEO compensation history available.

Proxy statements

Proxy statements (DEF 14A)

No proxy statements available for this company yet.

Recent SEC filings

Recent SEC filings
Filing date Form type Filing
2026-05-06 6-K
2026-04-09 SC 13D/A
2026-04-09 SC 13D
2026-03-18 3
2026-03-18 3
2026-03-18 3
2026-03-18 3
2026-03-18 3
2026-03-18 3
2026-03-18 3

Executive team

NameTitleCompensationGender
Michael Dennison President of North America 2M male
Brandon Nye Vice President of Sales of West US 2M male
Yair Malca Chief Financial Officer 763.0K male
Matt Rodgers Vice President of Sales of Canada 678.0K male
Michael Kreindel Co-Founder, Chief Technology Officer & Director 267.0K
Nava Tal-Launer Chief Information Officer 229.0K female
Moshe Mizrahy Co-Founder, Chief Executive Officer & Director 216.0K male
ESG Rating
B
MEDICAL - DEVICES
2026
E (Environmental)
69.6 / 62.5
Company / Sector avg.
S (Social)
60.4 / 68.9
Company / Sector avg.
G (Governance)
50.8 / 64.8
Company / Sector avg.
ESG Total
60.3 / 65.4
Company / Sector avg.
ESG Score History MEDICAL - DEVICES
Benchmark vs Sector
Senate Trading Activity

No Senate trading activity found for this company.

House Trading Activity
Transaction Date Disclosed Representative District Owner Type Amount Link
2020-02-24 2020-03-02 Tom Rice SC07 Sale (Full) $1,001 - $15,000
2019-11-15 2019-11-19 Tom Rice sC07 Purchase $1,001 - $15,000
Market share among peers
Peer comparison — filtered group (TTM)
Your opinion

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Dividend history

Earnings history

Earnings reports

Stock splits