Universe · entity

Senvest Management, LLC

Institutional manager (13F) · CIK 1328785
13F holdings · as of 2026-03-31 · top 49 · reported portfolio $3.0B
#IssuerValueShares
1TOWER SEMICONDUCTOR LTD$399M2,272,079
2WIX COM LTD$338M3,754,680
3ILLUMINA INC$190M1,544,567
4BILL HOLDINGS INC$147M3,835,348
5ALIGN TECHNOLOGY INC$129M754,797
6MDA SPACE LTD$121M4,761,887
7RADWARE LTD$107M4,046,559
8RH$89M636,219
9UIPATH INC$86M7,784,822
10DICKS SPORTING GOODS INC$84M423,451
11VOYAGER TECHNOLOGIES INC$84M3,581,441
12CRITEO S A$82M4,597,322
13NCINO INC$80M5,308,468
14MARRIOTT VACATIONS WORLDWIDE$75M1,151,975
15CIENA CORP$67M172,926
16COMPASS INC$67M9,179,745
17PINTEREST INC$66M3,594,581
18AMERICAN ASSETS TR INC$66M3,577,054
19OKTA INC$65M830,515
20LENDINGCLUB ISSUANCE TR SER$65M4,546,812
21KORNIT DIGITAL LTD$61M4,141,355
22GENIUS SPORTS LIMITED$60M13,653,724
23GLOBALSTAR INC$58M868,946
24UNITED NAT FOODS INC$56M1,237,132
25REDDIT INC$48M359,392
26PENNYMAC FINL SVCS INC NEW$44M508,633
27CEVA INC$44M2,358,612
28MICROCHIP TECHNOLOGY INC.$33M516,200
29VARONIS SYS INC$31M1,448,943
30AAON INC$26M310,740
31VNET GROUP INC$23M2,779,637
32LOVESAC COMPANY$15M1,025,393
33ACV AUCTIONS INC$15M3,530,785
34NLIGHT INC$14M239,454
35CHEWY INC$11M410,000
36CAE INC$10M370,000
37MICRON TECHNOLOGY INC$8M24,000
38CERUS CORP$7M4,114,061
39EVOLV TECHNOLOGIES HLDNGS IN$6M996,951
40AMERICAN WELL CORP$6M1,136,558
41INTEL CORP$5M118,800
42TELESAT CORP$5M137,668
43WOLFSPEED INC$5M281,624
44MAGNITE INC$3M224,100
45WM TECHNOLOGY INC$2M3,196,829
46UNIQURE NV$1M72,300
47COGNYTE SOFTWARE LTD$1M134,708
48REIN THERAPEUTICS INC$300k230,895
49DOXIMITY INC$296k12,700
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.