Valens Semiconductor Ltd

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Valens Semiconductor Ltd
TickerVLN
CIK #0001863006
CUSIPM9607U115
SectorManufacturing - Semiconductors & Related Devices
Address8 Hanagar St Pob 7152, Hod Hasharon, 4501309, 00000
Source [EDGAR]
CIK Filing 2011 - 2026
[0001863006] 6-K
[0001863006] SC 13D
[0001863006] SC 13G
Form 13D/13G Filer Form 13D/13G Subject Filed % Owned
Value Base Ltd Valens Semiconductor Ltd [2024-07-23] 18.51
Value Base Ltd Valens Semiconductor Ltd [2023-09-28] 5.05
Linse Capital VAL LLC Valens Semiconductor Ltd [2022-02-11] 11.41
Kishon Eyal Valens Semiconductor Ltd [2022-02-09] 14.97
Zilka Yahal Valens Semiconductor Ltd [2022-02-08] 19.5
PTK Holdings LLC Valens Semiconductor Ltd [2022-01-31] 6.7
GIC Private Ltd Valens Semiconductor Ltd [2021-10-12] 5.09
Form 13F Holdings
Firm Period DFND Voting Shares
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Meitav Investment House Ltd [2025-06-30] DFND 2,826,912 1,074,243
Herald Investment Management Ltd [2025-06-30] SOLE 950,000 950,000
Renaissance Technologies LLC [2025-06-30] SOLE 902,230 902,230
ARK Investment Management LLC [2025-06-30] SOLE 700,342 700,342
Millennium Management LLC [2025-06-30] SOLE 524,581 524,581
Marshall Wace LLP [2025-06-30] OTR 0 520,062
Citadel Advisors LLC [2025-06-30] DFND 511,568 511,568
Acadian Asset Management LLC [2025-06-30] DFND 426,838 426,838
Two Sigma Investments LP [2025-06-30] SOLE 337,360 337,360
Phoenix Financial Ltd. [2025-06-30] SOLE 336,785 336,785
Sphera Management Technology Funds Ltd [2025-06-30] SOLE 335,339 335,339
Oppenheimer & Co Inc [2025-06-30] SOLE 250,072 250,072
Morgan Stanley [2025-06-30] DFND 208,663 208,950
Walleye Capital LLC [2025-06-30] SOLE 198,269 198,269
Migdal Insurance & Financial Holdings Ltd. [2025-06-30] DFND 179,616 179,616
Two Sigma Advisers LP [2025-06-30] SOLE 84,300 90,700
JPMorgan Chase & Co [2025-06-30] DFND 86,081 86,081
Creative Planning [2025-06-30] SOLE 0 80,949
Northern Trust Corp [2025-06-30] DFND 55,332 55,332
Susquehanna International Group LLP [2025-06-30] OTR 36,215 48,715
GSA Capital Partners LLP [2025-06-30] SOLE 44,274 44,274
Bank of America Corp /DE/ [2025-06-30] DFND 0 44,110
First Manhattan Co LLC [2025-06-30] SOLE 0 43,458
UBS Group AG [2025-06-30] DFND 43,132 43,132
Verition Fund Management LLC [2025-06-30] SOLE 42,269 42,269
IvyRock Asset Management (HK) Ltd [2025-06-30] SOLE 40,000 40,000
Graham Capital Management LP [2025-06-30] SOLE 36,725 36,725
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