CAMTEK LTD

Ticker: CAMT CUSIP: M20791105 Class: Common Stock

Note: Option positions (PUT/CALL) are excluded.

New Positions (31)

Increased Positions (50)

Analog Century Management LP
Value ($000) $73,774 (+16.2%) Shares 693,720 (+14.8%)
Harel Insurance Investments & Financial Services Ltd.
Value ($000) $177 (+58.9%) Shares 1,665,236 (+56.9%)
Telemark Asset Management, LLC
Value ($000) $7,444 (+136.2%) Shares 70,000 (+133.3%)
SPHERA FUNDS MANAGEMENT LTD.
Value ($000) $4,200 (+37.7%) Shares 39,498 (+36.0%)
Migdal Insurance & Financial Holdings Ltd.
Value ($000) $140 (+13.3%) Shares 1,318,396 (+12.0%)
Mivtachim The Workers Social Insurance Fund Ltd. (Under Special Management)
Value ($000) $4,470 (+37.3%) Shares 42,031 (+35.6%)
OBERWEIS ASSET MANAGEMENT INC/
Value ($000) $23,277 (+3.7%) Shares 218,880 (+2.5%)
DRIEHAUS CAPITAL MANAGEMENT LLC
Value ($000) $29,916 (+23.6%) Shares 281,310 (+22.1%)
Raiffeisen Bank International AG
Value ($000) $13,032 (+32.1%) Shares 120,000 (+26.3%)
Palisades Investment Partners, LLC
Value ($000) $737 (+11.3%) Shares 6,927 (+10.0%)
CASTLEARK MANAGEMENT LLC
Value ($000) $2,614 (+35.7%) Shares 24,580 (+34.0%)
ExodusPoint Capital Management, LP
Value ($000) $2,274 (+281.7%) Shares 21,387 (+277.1%)
ROYCE & ASSOCIATES LP
Value ($000) $19,864 (+6.8%) Shares 186,790 (+5.5%)
State of Wyoming
Value ($000) $626 (+39.9%) Shares 5,889 (+38.2%)
Nuveen, LLC
Value ($000) $19,758 (+744.9%) Shares 183,859 (+723.2%)
BOOTHBAY FUND MANAGEMENT, LLC
Value ($000) $1,260 (+128.9%) Shares 11,852 (+126.1%)
FMR LLC
Value ($000) $133,393 (+37.9%) Shares 1,254,248 (+36.2%)
GOLDMAN SACHS GROUP INC
Value ($000) $25,455 (+168.4%) Shares 239,362 (+165.1%)
CITIGROUP INC
Value ($000) $7,424 (+1865.1%) Shares 69,806 (+1841.2%)
BANK OF AMERICA CORP /DE/
Value ($000) $23,545 (+202.7%) Shares 221,398 (+199.0%)

Decreased Positions (67)

FIRST WILSHIRE SECURITIES MANAGEMENT INC
Value ($000) $11,098 (-48.8%) Shares 104,360 (-49.4%)
BROWN CAPITAL MANAGEMENT LLC
Value ($000) $114,327 (-5.7%) Shares 1,075,053 (-6.8%)
Y.D. More Investments Ltd
Value ($000) $69,606 (-9.2%) Shares 648,574 (-11.5%)
WASATCH ADVISORS LP
Value ($000) $336,901 (-20.2%) Shares 3,167,997 (-21.2%)
Penn Capital Management Company, LLC
Value ($000) $13,271 (-29.5%) Shares 124,487 (-30.3%)
USS Investment Management Ltd
Value ($000) $250,504 (-20.7%) Shares 23,309 (-22.8%)
Taylor Frigon Capital Management LLC
Value ($000) $2,846 (-15.1%) Shares 26,759 (-16.1%)
Sphera Management Technology Funds Ltd
Value ($000) $2,659 (-27.7%) Shares 25,000 (-28.6%)
MEITAV INVESTMENT HOUSE LTD
Value ($000) $33,480 (-38.8%) Shares 313,962 (-39.8%)
Virtus ETF Advisers LLC
Value ($000) $825 (-27.5%) Shares 7,757 (-28.4%)
Phoenix Holdings Ltd.
Value ($000) $6,231 (-69.3%) Shares 58,594 (-68.1%)
Clal Insurance Enterprises Holdings Ltd
Value ($000) $203 (-0.8%) Shares 1,900,493 (-2.8%)
G2 Investment Partners Management LLC
Value ($000) $2,484 (-5.2%) Shares 23,362 (-6.3%)
NEEDHAM INVESTMENT MANAGEMENT LLC
Value ($000) $8,029 (-3.1%) Shares 75,500 (-4.3%)
TWO SIGMA ADVISERS, LP
Value ($000) $13,070 (-44.0%) Shares 122,900 (-44.7%)
MANUFACTURERS LIFE INSURANCE COMPANY, THE
Value ($000) $28,807 (-32.1%) Shares 270,880 (-32.9%)
MILLENNIUM MANAGEMENT LLC
Value ($000) $38,234 (-24.0%) Shares 359,530 (-24.9%)
LAZARD ASSET MANAGEMENT LLC
Value ($000) $231 (-95.3%) Shares 2,173 (-95.4%)
Invesco Ltd.
Value ($000) $229 (-99.1%) Shares 2,149 (-99.1%)
abrdn plc
Value ($000) $16,234 (-19.0%) Shares 152,657 (-20.0%)

Exited Positions (17)