RDCM Radcom Ltd. - Ordinary Shares

NASDAQ · Technology
$10.21
Price · Aug 19, 2026

About Radcom Ltd. - Ordinary Shares Company overview from Wikipedia

RADCOM Ltd. is a provider of quality monitoring and service assurance software for telecommunications carriers, founded in 1991. RADCOM's U.S. headquarters is in Paramus, New Jersey and its international headquarters is in Tel Aviv, Israel. RADCOM is a member of the RAD Group of companies. The company is traded on the Nasdaq exchange.

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RADCOM Ltd. is a provider of quality monitoring and service assurance software for telecommunications carriers, founded in 1991. RADCOM's U.S. headquarters is in Paramus, New Jersey and its international headquarters is in Tel Aviv, Israel. RADCOM is a member of the RAD Group of companies. The company is traded on the Nasdaq exchange.

Products

RADCOM provides service assurance and customer experience management for telecom operators and communications service providers.

RADCOM provides software for telecommunications carriers to carry out customer experience monitoring and to manage their networks and services.

RADCOM offers software for network function virtualization (NFV).

In August 2020, RADCOM announced support for 5G networks.

History

RADCOM started as an internal project within the RAD Group in 1985 and incorporated in 1991. The company received initial funding from Star Venture, Evergreen and Pitango Venture Capital funds.

In September 1997, the company had an initial public offering on Nasdaq. Net proceeds to the company were approximately $20.2 million.

Source: Wikipedia, CC BY-SA 4.0 · View on Wikipedia ↗

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RDCM Stock Snapshot Price, market cap, P/E, EPS, ROE, debt/equity, 52-week range

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$10.21
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52W Range
$9 – $17

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RDCM Analyst Consensus Bullish and bearish analyst opinions, 12-month price target, upside

BUY 8 analysts
  • Strong Buy 3 37.5%
  • Buy 4 50.0%
  • Hold 1 12.5%
  • Sell 0 0.0%
  • Strong Sell 0 0.0%

12-Month Price Target

1 analysts · 2026-08-18
Median target $14.00 +37.1%
Mean target $14.00 +37.1%

Earnings History EPS actual vs estimate, surprise %, beat rate, next earnings date

Avg Surprise
-0.03%
Period EPS Actual EPS Est Surprise
June 30, 2026 $-0.09 $0.24 -0.33%
March 31, 2026 $0.28 $0.28 0.00%
Dec. 31, 2025 $0.31 $0.27 0.04%
Sept. 30, 2025 $0.29 $0.24 0.05%
June 30, 2025 $0.25 $0.23 0.02%
March 31, 2025 $0.25 $0.20 0.05%

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Institutional owners (13F) 57 filers · $109.6M total · As of June 30, 2026

Institutions that report holding this stock in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institutional activity — Q2 2026 vs prior quarter
New positions Exited positions Increased Decreased Net shares change
12 (+4 vs prior Q) 3 (-7 vs prior Q) 18 (+7 vs prior Q) 15 (+2 vs prior Q) +347K

Compared to Q1 2026. SEC Form 13F filings are due within 45 days of quarter-end plus a short buffer for late filers — quarters still inside that window are skipped in favor of the most recent fully-reported pair.

Institution Value Shares % of tracked 13F Type
Lynrock Lake LP $36,783,403 2,608,752 33.55% Shares
AWM Investment Company, Inc. $13,420,324 951,796 12.24% Shares
Value Base Ltd. $12,196,627 865,009 11.12% Shares
QVT Financial LP $6,278,237 445,265 5.73% Shares
Yelin Lapidot Holdings Management Ltd. $5,704,790 404,595 5.20% Shares
Private Advisor Group, LLC $4,941,645 350,471 4.51% Shares
HERALD INVESTMENT MANAGEMENT Ltd $4,566,250 325,000 4.16% Shares
Inflection Point Investments LLP $4,564,220 314,991 4.16% Shares
RENAISSANCE TECHNOLOGIES LLC $3,895,802 276,298 3.55% Shares
ARK Investment Management LLC $2,456,417 174,214 2.24% Shares
NANO CAP NEW MILLENNIUM GROWTH FUND L P $1,410,000 100,000 1.29% Shares
BlackRock, Inc. $1,293,196 91,716 1.18% Shares
Qube Research & Technologies Ltd $1,088,619 77,207 0.99% Shares
Russell Investments Group, Ltd. $969,290 68,744 0.88% Shares
MILLENNIUM MANAGEMENT LLC $928,767 65,870 0.85% Shares
Point72 Asset Management, L.P. $723,936 51,343 0.66% Shares
MARSHALL WACE, LLP $705,409 50,029 0.64% Shares
CITADEL ADVISORS LLC $649,968 46,097 0.59% Shares
Trexquant Investment LP $554,525 39,328 0.51% Shares
Robertson Stephens Wealth Management, LLC $511,604 36,284 0.47% Shares
SEI INVESTMENTS CO $505,104 35,823 0.46% Shares
XTX Topco Ltd $464,609 32,951 0.42% Shares
Squarepoint Ops LLC $450,185 31,928 0.41% Shares
ARS Investment Partners, LLC $429,740 30,478 0.39% Shares
NewEdge Advisors, LLC $370,816 26,299 0.34% Shares
LAZARD ASSET MANAGEMENT LLC $316,757 22,465 0.29% Shares
Boston Partners $309,480 21,949 0.28% Shares
GOLDMAN SACHS GROUP INC $274,372 19,459 0.25% Shares
Brevan Howard Capital Management LP $272,722 19,342 0.25% Shares
PRUDENTIAL FINANCIAL INC $253,800 18,000 0.23% Shares
Man Group plc $246,750 17,500 0.23% Shares
VIRTUS ADVISERS, LLC $245,989 17,446 0.22% Shares
UBS Group AG $216,957 15,387 0.20% Shares
TWO SIGMA INVESTMENTS, LP $205,691 14,588 0.19% Shares
GEODE CAPITAL MANAGEMENT, LLC $193,508 13,724 0.18% Shares
Cubist Systematic Strategies, LLC $191,427 13,211 0.17% Shares
TWO SIGMA ADVISERS, LP $190,968 14,600 0.17% Shares
BANK OF AMERICA CORP /DE/ $185,471 13,154 0.17% Shares
Eurizon Capital SGR S.p.A. $152,571 10,990 0.14% Shares
Cox Capital Mgt LLC $141,000 10,000 0.13% Shares
Crewe Advisors LLC $98,700 7,000 0.09% Shares
NEW YORK STATE COMMON RETIREMENT FUND $74,096 5,255 0.07% Shares
State of Tennessee, Department of Treasury $70,627 5,009 0.06% Shares
RAYMOND JAMES FINANCIAL INC $35,250 2,500 0.03% Shares
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO $34,982 2,481 0.03% Shares
MORGAN STANLEY $14,100 1,000 0.01% Shares
Tower Research Capital LLC (TRC) $11,661 827 0.01% Shares
ACADIAN ASSET MANAGEMENT LLC $9,431 671,790 0.01% Shares
Steward Partners Investment Advisory, LLC $8,178 580 0.01% Shares
JONES FINANCIAL COMPANIES LLLP $7,387 550 0.01% Shares
Janney Montgomery Scott LLC $5,025 356,404 0.00% Shares
OSAIC HOLDINGS, INC. $3,877 275 0.00% Shares
WELLS FARGO & COMPANY/MN $1,410 100 0.00% Shares
Caitong International Asset Management Co., Ltd $381 27 0.00% Shares
SBI Securities Co., Ltd. $296 21 0.00% Shares
HRT FINANCIAL LP $217 15,405 0.00% Shares
ROYAL BANK OF CANADA $0 18 0.00% Shares

Company insiders 6 insiders · 1 officers · 5 directors

Insider Role Last activity Shares owned Buys 12m Sells 12m Net 12m
Ram Amit Chief Technology Officer May 20, 2026 S 81,813 0 1 $-41,850
Guy Levit Director May 24, 2026 A 15,677 0 0 $0
Tomer Jacob Director May 24, 2026 A 15,677 0 0 $0
Liat Aaronson Director May 24, 2026 A 15,677 0 0 $0
Sami Totah Director May 24, 2026 A 30,175 0 0 $0
Rami Schwartz Director March 19, 2026 A 14,261 0 0 $0

Insiders from SEC Form 3/4/5 filings; net = open-market P/S only

Activists & 5%+ owners 10 positions

Investors who filed SEC Schedule 13D — beneficial ownership above 5% with an intent to influence the issuer (activist stakes, board campaigns, M&A). Each row shows the most recent known state of that filer's position.

Filer Filed Stake Status Purpose Filing
Lynrock Lake LP, LYNROCK LAKE PARTNERS LLC, Paul Cynthia ×4 filings July 27, 2026 14.60% Amendment SEC
Zisapel Michael, KLIL ZISAPEL ×4 filings March 26, 2026 14.00% Amendment Passive investment SEC
Value Base Ltd., Value Base Hedge Fund Ltd., acting as the general partner of Harmony Base, Limited Partnership, Ido Nouberger, Victor Shamrich ×2 filings March 26, 2026 5.27% Amendment SEC
Michael Zisapel, Klil Zisapel ×2 filings Aug. 5, 2024 Initial filing SEC
Zohar Zisapel ×7 filings May 31, 2016 Initial filing SEC
Undisclosed reporting person May 25, 2004 Initial filing Passive investment SEC
Undisclosed reporting person April 28, 2003 Initial filing Passive investment SEC
Undisclosed reporting person, Undisclosed reporting person Dec. 31, 2002 Initial filing Passive investment SEC
Undisclosed reporting person, Undisclosed reporting person Oct. 7, 2002 Initial filing SEC
March 19, 2002 Initial filing SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

ETF ownership Held by 1 ETF

Weight reflects direct equity holdings (N-PORT) only; leveraged or derivative-based funds may hold additional swap exposure not shown.

Fund Weight Units As of Source
SMLF · iShares Trust 0.02% 93,480 SH Aug. 8, 2026 Daily