ELBIT SYS LTD

Ticker: ESLT CUSIP: M3760D101 Class: Common Stock

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

New Positions (57)

Increased Positions (93)

Clal Insurance Enterprises Holdings Ltd
Value ($000) $894 (+52.7%) Shares 1,550,618 (+34.4%)
Y.D. More Investments Ltd
Value ($000) $356,345 (+17.1%) Shares 618,325 (+3.0%)
Eos Management, L.P.
Value ($000) $5,010 (+93.7%) Shares 8,673 (+71.0%)
HWG Holdings LP
Value ($000) $12,287 (+24.6%) Shares 21,268 (+9.9%)
FOGEL CAPITAL MANAGEMENT, INC.
Value ($000) $7,399 (+16.8%) Shares 12,807 (+3.1%)
Harel Insurance Investments & Financial Services Ltd.
Value ($000) $51 (+818.3%) Shares 88,075 (+709.3%)
Counterpoint Mutual Funds LLC
Value ($000) $3,384 (+563.7%) Shares 5,857 (+485.7%)
Quadrature Capital Ltd
Value ($000) $22,023 (+160.3%) Shares 38,121 (+129.6%)
Capital Wealth Planning, LLC
Value ($000) $9,802 (+190.1%) Shares 16,559 (+149.9%)
Caitong International Asset Management Co., Ltd
Value ($000) $135 (+1004.9%) Shares 234 (+875.0%)
ARK Investment Management LLC
Value ($000) $32,955 (+20.7%) Shares 57,045 (+6.5%)
West Family Investments, Inc.
Value ($000) $749 (+29.4%) Shares 1,297 (+14.2%)
MIRAE ASSET GLOBAL ETFS HOLDINGS Ltd.
Value ($000) $149,715 (+16.4%) Shares 259,890 (+2.6%)
D. E. Shaw & Co., Inc.
Value ($000) $14,404 (+1020.8%) Shares 24,933 (+889.0%)
BANK OF AMERICA CORP /DE/
Value ($000) $137,902 (+62.5%) Shares 238,705 (+43.4%)
Advisory Services Network, LLC
Value ($000) $1,137 (+268.1%) Shares 1,968 (+224.8%)
FRANKLIN RESOURCES INC
Value ($000) $46,527 (+70.6%) Shares 80,539 (+50.6%)
UBS Group AG
Value ($000) $73,291 (+53.5%) Shares 126,864 (+35.5%)
Lester Murray Antman dba SimplyRich
Value ($000) $1 (+35.7%) Shares 1,351 (+19.8%)
JANE STREET GROUP, LLC
Value ($000) $30,893 (+124.5%) Shares 53,475 (+98.2%)

Decreased Positions (95)

Altshuler Shaham Ltd
Value ($000) $294,520 (-5.7%) Shares 511,720 (-16.9%)
Heard Capital LLC
Value ($000) $103,162 (-6.2%) Shares 178,571 (-17.3%)
Henry James International Management Inc.
Value ($000) $5,725 (-16.9%) Shares 9,910 (-26.6%)
LAZARD ASSET MANAGEMENT LLC
Value ($000) $74,572 (-56.8%) Shares 129,441 (-62.0%)
SPHERA FUNDS MANAGEMENT LTD.
Value ($000) $3,085 (-10.2%) Shares 5,340 (-20.8%)
PDT Partners, LLC
Value ($000) $7,836 (-15.2%) Shares 13,564 (-25.2%)
Quantbot Technologies LP
Value ($000) $1,169 (-79.2%) Shares 2,023 (-81.7%)
Pinpoint Asset Management (Singapore) Pte. Ltd.
Value ($000) $3,712 (+4.5%) Shares 6,425 (-7.8%)
EAM Investors, LLC
Value ($000) $4,016 (-4.9%) Shares 6,971 (-16.2%)
NAVELLIER & ASSOCIATES INC
Value ($000) $8,407 (+8.3%) Shares 14,553 (-4.4%)
BANK OF MONTREAL /CAN/
Value ($000) $730,388 (+1.1%) Shares 12,678 (-10.9%)
Magnetar Financial LLC
Value ($000) $306 (-96.2%) Shares 530 (-96.7%)
Chicago Capital, LLC
Value ($000) $2,603 (-42.4%) Shares 4,506 (-49.2%)
SYSTEMATIC FINANCIAL MANAGEMENT LP
Value ($000) $17,397 (+4.0%) Shares 30,113 (-8.3%)
Trexquant Investment LP
Value ($000) $2,532 (-62.0%) Shares 4,383 (-66.5%)
GILDER GAGNON HOWE & CO LLC
Value ($000) $61,887 (+10.4%) Shares 107,124 (-2.5%)
Engineers Gate Manager LP
Value ($000) $1,135 (-72.7%) Shares 1,965 (-75.9%)
TWO SIGMA INVESTMENTS, LP
Value ($000) $7,389 (-53.5%) Shares 12,791 (-59.0%)
RENAISSANCE TECHNOLOGIES LLC
Value ($000) $27,253 (-17.2%) Shares 47,174 (-27.0%)
Qube Research & Technologies Ltd
Value ($000) $12,232 (-38.9%) Shares 21,173 (-46.1%)

Exited Positions (52)