Lynrock Lake LP 13F Holdings

Holdings from the most recent 13F from Lynrock Lake LP

Filed: 2020-11-16 (Q3 2020) | Holdings: 27 | Value: $1.3B | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
N/A - VEECO INSTRS INC DEL
Add 2% ($3.7M)
16.28%
$218.8M
N/A - GOPRO INC
Add 1% ($2.4M)
12.30%
$165.3M
N/A - CALAMP CORP
Add 54% ($56.0M)
11.89%
$159.8M
N/A - QUOTIENT TECHNOLOGY INC
Add 12% ($16.4M)
11.30%
$151.9M
N/A - BOINGO WIRELESS INC
Add 54% ($47.4M)
10.04%
$134.9M
MOBL - MOBILEIRON INC
Add 1% ($1.1M)
6.84%
$91.9M
TDC - TERADATA CORP DEL
Add 21% ($16.0M)
6.83%
$91.8M
+1.67%
+113.82%
+121.42%
ALLT - ALLOT LTD
4.70%
$63.2M
-22.98%
+47.94%
+10.32%
RMBS - RAMBUS INC DEL
Add 352% ($46.4M)
4.44%
$59.6M
+247.82%
+38.28%
+62.22%
N/A - VOCERA COMMUNICATIONS INC
Add 2% ($1.1M)
3.98%
$53.6M
MNDT - FIREEYE INC
Add 108% ($21.8M)
3.12%
$41.9M
+40.37%
+20.70%
CALX - CALIX INC
Reduce 30% $(13.7M)
2.38%
$32.0M
+84.92%
+36.91%
+188.13%
N/A - PLURALSIGHT INC
Reduce 85% $(91.5M)
1.19%
$16.0M
CVLT - COMMVAULT SYSTEMS INC
Add 2985% ($14.9M)
1.15%
$15.4M
+317.72%
+58.73%
+50.01%
N/A - VISHAY INTERTECHNOLOGY INC
Reduce 70% $(24.8M)
0.78%
$10.5M
DSPG - DSP GROUP INC
0.61%
$8.2M
+3.38%
+37.53%
QUOT - QUOTIENT TECHNOLOGY INC
Add 105% ($3.4M)
0.50%
$6.7M
+63.45%
+2.58%
VSH - VISHAY INTERTECHNOLOGY INC
Add 14% ($671.6K)
0.41%
$5.4M
-15.39%
+25.54%
+17.88%
HYRE - HYRECAR INC
Add 6% ($291.6K)
0.40%
$5.3M
ATEN - A10 NETWORKS INC
Reduce 83% $(14.6M)
0.22%
$3.0M
+140.10%
+20.81%
+113.39%
LTRX - LANTRONIX INC
0.18%
$2.4M
-49.78%
+12.05%
+100.67%
KLR - KALEYRA INC
Reduce 54% $(2.6M)
0.16%
$2.2M
+121.42%
+79.02%
ADEA - XPERI HOLDING CORP
New Purchase
0.12%
$1.6M
+182.95%
+15.18%
+6.00%
N/A - BENEFITFOCUS INC
New Purchase
0.09%
$1.2M
AIRG - AIRGAIN INC
Add 28% ($206.6K)
0.07%
$947.0K
-68.70%
+100.91%
-16.22%
BB - BLACKBERRY LTD
New Purchase
0.02%
$260.0K
-20.88%
+116.86%
+109.96%
SPRT - SUPPORT COM INC
Reduce 24% $(72.3K)
0.02%
$228.0K
+19.39%
N/A - FIREEYE INC
Reduce 100%
0.00%
$0.00