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HERALD INVESTMENT MANAGEMENT Ltd

Q4 2023 · 13F-HR

HERALD INVESTMENT MANAGEMENT Ltdholdings as filed

Filed 2024-02-14 · accession 0001512022-24-000001

$523.5M
Reported value
98
Positions
2023-12-31
Period end
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Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
86800U104SMCIUSDSuper Micro Computer Inc$62.6M12.0%220,300CommonSOLE
G3323L100FNFabrinet$36.7M7.01%193,000CommonSOLE
82706C108SIMOSilicon Motion Technology Corp$23.6M4.50%384,906CommonSOLE
922280102VRNSVaronis Systems Inc$22.1M4.22%488,500CommonSOLE
249906108DSGXDescartes Systems Group Inc/The$21.4M4.09%255,000CommonSOLE
705573103PEGAPegasystems Inc$15.9M3.05%326,500CommonSOLE
74758T303QLYSQualys Inc$14.5M2.77%74,000CommonSOLE
19239V302CCOICogent Communications Holdings Inc$14.0M2.67%184,000CommonSOLE
M81873107RDWRRADWARE Ltd$13.3M2.55%800,000CommonSOLE
15101Q108CLSEURCelestica Inc$13.2M2.52%450,000CommonSOLE
78463M107SPSCSPS Commerce Inc$13.1M2.50%67,500CommonSOLE
501242101KLICKulicke & Soffa Industries Inc$11.8M2.26%216,100CommonSOLE
04206A101ARLOArlo Technologies Inc$10.4M1.98%1,090,992CommonSOLE
M2682V108CYBRCyberArk Software Ltd$9.7M1.85%44,300CommonSOLE
594918104MSFTMicrosoft Corp$9.6M1.83%25,442CommonSOLE
413160102HLITHarmonic Inc$8.5M1.62%650,000CommonSOLE
157210105CEVACeva Inc$7.4M1.41%325,000CommonSOLE
52661A108DRSLeonardo DRS Inc$7.0M1.34%350,000CommonSOLE
007903107AMDAdvanced Micro Devices Inc$6.9M1.32%46,905CommonSOLE
M6191J100FROGJFrog Ltd$6.6M1.26%190,000CommonSOLE
02079K305GOOGLAlphabet Inc$6.6M1.25%46,900CommonSOLE
925815102VICRVicor Corp$6.3M1.20%140,000CommonSOLE
023135106AMZNAmazon.com Inc$6.2M1.18%40,700CommonSOLE
M87915274TSEMTower Semiconductor Ltd$6.0M1.15%198,000CommonSOLE
74837P405QUIKQuickLogic Corp$5.6M1.07%407,279CommonSOLE
516548203LTRXLantronix Inc$5.0M0.95%850,000CommonSOLE
346375108FORMFormFactor Inc$4.9M0.94%118,300CommonSOLE
037833100AAPLApple Inc$4.8M0.92%25,000CommonSOLE
62878D100NABLN-Able Inc$4.8M0.92%363,000CommonSOLE
42222N103HSTMHealthStream Inc$4.7M0.90%175,000CommonSOLE
29283F103ESMTUSDEngageSmart Inc$4.6M0.87%200,000CommonSOLE
040413106ANETEURArista Networks Inc$4.3M0.83%18,400CommonSOLE
338307101FIVNFive9 Inc$4.2M0.80%53,200CommonSOLE
762544104RBBNRibbon Communications Inc$4.1M0.78%1,415,869CommonSOLE
05366Y201AVNWAviat Networks Inc$4.1M0.78%125,000CommonSOLE
029683109AMSWAUSDAmerican Software Inc/GA$3.9M0.74%345,000CommonSOLE
985817105YELPYelp Inc$3.8M0.72%80,000CommonSOLE
31846B108FAFirst Advantage Corp$3.7M0.71%225,000CommonSOLE
01644J108ALKTAlkami Technology Inc$3.6M0.69%150,000CommonSOLE
053604104AVPTAvePoint Inc$3.5M0.67%425,000CommonSOLE
22207T101BASECouchbase Inc$3.4M0.65%150,000CommonSOLE
92538J106VERXVertex Inc$3.2M0.62%120,000CommonSOLE
739276103POWIPower Integrations Inc$3.1M0.60%38,000CommonSOLE
595112103MUMicron Technology Inc$3.1M0.59%36,000CommonSOLE
89854H102TTECTTEC Holdings Inc$3.0M0.58%140,000CommonSOLE
00486H105ADTNADTRAN Holdings Inc$2.9M0.56%400,000CommonSOLE
05368X102AVDXAvidXchange Holdings Inc$2.9M0.54%230,000CommonSOLE
92552V100VSATViaSat Inc$2.8M0.53%100,000CommonSOLE
683416101OOMAOoma Inc$2.8M0.53%260,000CommonSOLE
76674Q107RMNIRimini Street Inc$2.8M0.53%850,000CommonSOLE
886029206THRYThryv Holdings Inc$2.7M0.52%134,651CommonSOLE
05988J103BANDBandwidth Inc$2.6M0.50%180,000CommonSOLE
46122W204INUVGBPInuvo Inc$2.6M0.49%6,092,857CommonSOLE
30041T104MRAMEverspin Technologies Inc$2.5M0.47%275,000CommonSOLE
268150109DTDynatrace Inc$2.5M0.47%45,000CommonSOLE
M9607U115VLNValens Semiconductor Ltd$2.4M0.47%998,963CommonSOLE
88076W103TDCTeradata Corp$2.4M0.46%55,000CommonSOLE
47074L105JAMFJamf Holding Corp$2.3M0.43%125,000CommonSOLE
M84116108SILCSilicom Ltd$2.3M0.43%125,000CommonSOLE
353469109FCFranklin Covey Co$2.2M0.42%50,000CommonSOLE
68287N100OSPNOnespan Inc$2.1M0.41%200,000CommonSOLE
16965P202IMOSChipMOS TECHNOLOGIES INC$2.1M0.40%78,394CommonSOLE
880770102TERTeradyne Inc$1.9M0.37%17,900CommonSOLE
946760105CLMBClimb Global Solutions Inc$1.9M0.37%35,000CommonSOLE
98980L101ZNGAZoom Video Communications Inc$1.9M0.36%25,910CommonSOLE
042735100ARWArrow Electronics Inc$1.9M0.35%15,200CommonSOLE
G21307106CINTCI&T Inc$1.8M0.35%355,000CommonSOLE
00971T101AKAMAkamai Technologies Inc$1.8M0.34%15,200CommonSOLE
81374A10507SSecureWorks Corp$1.8M0.34%250,000CommonSOLE
45817G201IDNIntellicheck Inc$1.7M0.33%900,000CommonSOLE
M81865111RDCMRADCOM Ltd$1.7M0.32%210,000CommonSOLE
538146101LPSNUSDLivePerson Inc$1.6M0.31%425,650CommonSOLE
46520M204ACCSIssuer Direct Corp$1.6M0.30%90,000CommonSOLE
36872P103GNSSGenasys Inc$1.5M0.29%750,000CommonSOLE
358054104FRSHFreshworks Inc$1.4M0.27%61,000CommonSOLE
162825103Check Point Software Technologies Ltd$1.4M0.27%9,200CommonSOLE
04302A104AIPArteris Inc$1.4M0.27%237,182CommonSOLE
25400W102APPSDigital Turbine Inc$1.4M0.26%200,000CommonSOLE
127387108CDNSCadence Design Systems Inc$1.4M0.26%5,000CommonSOLE
65487K100LASRnLight Inc$1.3M0.26%100,000CommonSOLE
68247W109OSSOne Stop Systems Inc$1.3M0.25%626,234CommonSOLE
10921T101BCOVUSDBrightcove Inc$1.1M0.21%425,000CommonSOLE
00973N102AKTSQAkoustis Technologies Inc$1.1M0.21%1,303,636CommonSOLE
64110D104NTAPNetApp Inc$1.1M0.21%12,200CommonSOLE
874039100TSMTaiwan Semiconductor Manufacturing Co Ltd$987,8840.19%9,500CommonSOLE
M25133105CGNTCognyte Software Ltd$964,5000.18%150,000CommonSOLE
290846203EMKREUREMCORE Corp$960,0000.18%2,000,000CommonSOLE
458140100INTCIntel Corp$954,6380.18%19,000CommonSOLE
05453N100AWREAware Inc/MA$713,8000.14%430,000CommonSOLE
882508104TXNTexas Instruments Inc$698,8040.13%4,100CommonSOLE
01609W102BABAAlibaba Group Holding Ltd$449,5050.09%5,800CommonSOLE
83417M104SEDGSolarEdge Technologies Inc$411,7920.08%4,400CommonSOLE
86323X106Streamline Health Solutions Inc$411,0910.08%978,787CommonSOLE
462726100I8RiRobot Corp$379,2150.07%9,800CommonSOLE
747906501QTM1EURQuantum Corp$345,3000.07%1,000,000CommonSOLE
87876P201TGENTecogen Inc/Waltham MA$260,0730.05%321,078CommonSOLE
306137209FALCFalconStor Software Inc$234,5000.04%175,000CommonSOLE
128126109CAMPEURCalAmp Corp$75,0000.01%300,000CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.