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Bank Hapoalim Bm (902528) SEC Filing 13F-HR Institutional Manager Holdings Report for the period ending Friday, June 30, 2023

Bank Hapoalim Bm

CIK: 902528

Newest Stocks

URA +$6K
KBE +$5K
INTC +$3K

Biggest Buys

PAVE +197%
IHF +102%
CIBR +85%

Largest Sells

RPV -$13K
VPU -$11K
SUSA -$11K

 Portfolio Holdings

Portfolio Value: $702K
Previous Value: $724K
Value Change: 3.09%
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Institutional Manager Holdings

Under no circumstances does this report represent an endorsement to buy / sell these stocks.

CUSIP
Ticker
Issuer
Class
Sector
Industry
Value (USD)
Weight
Change %
Shares ( Amount )
Tags
Filters
922042742
VT
VANGUARD INTL EQUITY
INDEX F TT WRLD ST ETF

$36K
5.14%
0.30%
372,143 ( +1120 )
INCREASE
464287200
IVV
ISHARES TR
CORE S&P500 ETF

$34K
4.91%
0.00%
77,340 ( +0 )
NO CHANGE
921943858
VEA
VANGUARD TAX-MANAGED INTL FD
FTSE DEV MKT ETF

$33K
4.74%
0.00%
720,322 ( +0 )
NO CHANGE
81369Y209
XLV
SELECT SECTOR SPDR TR
SBI HEALTHCARE

$24K
3.39%
2.78%
179,046 ( -5122 )
DECREASE
464288257
ACWI
ISHARES TR
MSCI ACWI ETF

$21K
3.05%
0.00%
223,000 ( +0 )
NO CHANGE
808524201
SCHX
SCHWAB STRATEGIC TR
US LRG CAP ETF

$20K
2.84%
0.00%
380,000 ( +0 )
NO CHANGE
83417M104
SEDG
SOLAREDGE TECHNOLOGIES INC
COM
Manufacturing
Semiconductors And Related Devices
$19K
2.75%
29.98%
71,826 ( +16566 )
INCREASE
594918104
MSFT
MICROSOFT CORP
COM
Services and Technology
Prepackaged Software
$18K
2.64%
4.35%
54,318 ( -2468 )
DECREASE
92204A504
VHT
VANGUARD WORLD FDS
HEALTH CAR ETF

$18K
2.52%
4.47%
72,307 ( -3383 )
DECREASE
78462F103
SPY
SPDR S&P 500 ETF TR
TR UNIT

$17K
2.47%
4.25%
39,059 ( +1594 )
INCREASE
46090E103
QQQ
INVESCO QQQ TR
UNIT SER 1

$15K
2.10%
40.08%
39,968 ( -26730 )
DECREASE
33733E104
FTCS
FIRST TR EXCHANGE-TRADED FD
CAP STRENGTH ETF

$14K
2.06%
9.32%
192,555 ( -19780 )
DECREASE
81369Y308
XLP
SELECT SECTOR SPDR TR
SBI CONS STPLS

$14K
2.05%
0.00%
194,000 ( +0 )
NO CHANGE
33734X846
CIBR
FIRST TR EXCHANGE TRADED
FD NASDAQ CYB ETF

$14K
2.03%
85.26%
314,509 ( +144741 )
INCREASE
33734H106
FVD
FIRST TR VALUE LINE DIVID IN
SHS

$14K
1.98%
0.00%
346,000 ( +0 )
NO CHANGE
37954Y673
PAVE
GLOBAL X FDS
US INFR DEV ETF

$14K
1.93%
197.16%
432,334 ( +286846 )
INCREASE
33733B100
FIW
FIRST TR EXCHANGE TRADED FD
WTR ETF

$13K
1.91%
17.16%
151,000 ( +22113 )
INCREASE
81369Y803
XLK
SELECT SECTOR SPDR TR
TECHNOLOGY

$13K
1.82%
1.69%
73,663 ( +1224 )
INCREASE
46625H100
JPM
JPMORGAN CHASE & CO
COM
Finance, Insurance and Real Estate
National Commercial Banks
$13K
1.80%
9.06%
86,661 ( -8631 )
DECREASE
482480100
KLAC
KLA CORP
COM NEW
Manufacturing
Optical Instruments And Lenses
$12K
1.77%
21.44%
25,625 ( -6994 )
DECREASE
78464A698
KRE
SPDR SER TR
S&P REGL BKG

$12K
1.74%
0.00%
300,000 ( +0 )
NO CHANGE
037833100
AAPL
APPLE INC
COM
Manufacturing
Electronic Computers
$11K
1.63%
1.63%
58,960 ( -977 )
DECREASE
464288810
IHI
ISHARES TR
U.S. MED DVC ETF

$11K
1.60%
26.97%
199,292 ( +42330 )
INCREASE
464287523
SOXX
ISHARES TR
ISHARES SEMICDTR

$11K
1.50%
5.10%
20,802 ( +1009 )
INCREASE
747525103
QCOM
QUALCOMM INC
COM
Manufacturing
Radio And Tv Broadcasting And Communications Equipment
$10K
1.42%
1.37%
83,642 ( +1127 )
INCREASE
02079K107
GOOG
ALPHABET INC
CAP STK CL C

$9K
1.31%
6.84%
75,745 ( -5561 )
DECREASE
464287515
IGV
ISHARES TR
EXPANDED TECH

$9K
1.25%
9.73%
25,444 ( -2744 )
DECREASE
92204A207
VDC
VANGUARD WORLD FDS
CONSUM STP ETF

$9K
1.25%
4.26%
45,000 ( -2000 )
DECREASE
81369Y605
XLF
SELECT SECTOR SPDR TR
FINANCIAL

$8K
1.13%
1.48%
234,699 ( +3414 )
INCREASE
78464A375
SPIB
SPDR SER TR
PORTFOLIO INTRMD

$8K
1.09%
23.58%
239,109 ( +45631 )
INCREASE PRINCIPLE
922908363
VOO
VANGUARD INDEX FDS
S&P 500 ETF SHS

$7K
1.07%
1.23%
18,364 ( -228 )
DECREASE
78463X889
SPDW
SPDR INDEX SHS FDS
PORTFOLIO DEVLPD

$7K
1.02%
0.00%
219,000 ( +0 )
NO CHANGE
808524409
SCHV
SCHWAB STRATEGIC TR
US LCAP VA ETF

$7K
1.01%
50.00%
106,000 ( -106000 )
DECREASE
98980L101
ZM
ZOOM VIDEO COMMUNICATIONS
IN CL A
Services and Technology
Computer Programming Data Processing
$7K
1.01%
0.82%
104,396 ( +850 )
INCREASE
79466L302
CRM
SALESFORCE INC
COM
Services and Technology
Prepackaged Software
$6K
0.89%
5.74%
29,582 ( -1802 )
DECREASE
81369Y852
XLC
SELECT SECTOR SPDR TR
COMMUNICATION

$6K
0.88%
2.32%
94,733 ( +2151 )
INCREASE
37954Y871
URA
GLOBAL X FDS
GLOBAL X URANIUM

$6K
0.84%
100.00%
272,000 ( +272000 )
NEW
464288828
IHF
ISHARES TR
US HLTHCR PR ETF

$5K
0.78%
102.28%
21,415 ( +10828 )
INCREASE
46435G516
ESGD
ISHARES TR
ESG AW MSCI EAFE

$5K
0.77%
0.00%
74,000 ( +0 )
NO CHANGE
M22465104
CHKP
CHECK POINT SOFTWARE TECH
LT ORD
Services and Technology
Prepackaged Software
$5K
0.74%
15.08%
41,544 ( -7380 )
DECREASE
81369Y407
XLY
SELECT SECTOR SPDR TR
SBI CONS DISCR

$5K
0.69%
83.57%
28,703 ( +13067 )
INCREASE
501242101
KLIC
KULICKE & SOFFA INDS INC
COM
Manufacturing
Semiconductors And Related Devices
$5K
0.68%
12.66%
80,637 ( -11692 )
DECREASE
78464A797
KBE
SPDR SER TR
S&P BK ETF

$5K
0.67%
100.00%
130,000 ( +130000 )
NEW
81762P102
NOW
SERVICENOW INC
COM
Services and Technology
Prepackaged Software
$4K
0.61%
13.53%
7,626 ( -1193 )
DECREASE
922475108
VEEV
VEEVA SYS INC
CL A COM
Services and Technology
Prepackaged Software
$4K
0.61%
1.01%
21,548 ( -220 )
DECREASE
00287Y109
ABBV
ABBVIE INC
COM
Manufacturing
Pharmaceutical Preparations
$4K
0.58%
10.67%
30,340 ( -3625 )
DECREASE
92206C870
VCIT
VANGUARD SCOTTSDALE FDS
INT-TERM CORP

$4K
0.55%
4.14%
48,862 ( +1943 )
INCREASE PRINCIPLE
81369Y704
XLI
SELECT SECTOR SPDR TR
SBI INT-INDS

$4K
0.53%
3.82%
34,656 ( -1377 )
DECREASE
532457108
LLY
LILLY ELI & CO
COM
Manufacturing
Pharmaceutical Preparations
$4K
0.52%
13.75%
7,809 ( -1245 )
DECREASE
92826C839
V
VISA INC
COM CL A
Services and Technology
Business Services
$3K
0.48%
36.37%
14,276 ( -8160 )
DECREASE
78467X109
DIA
SPDR DOW JONES INDL AVERAGE
UT SER 1

$3K
0.47%
18.61%
9,639 ( -2204 )
DECREASE
464288752
ITB
ISHARES TR
US HOME CONS ETF

$3K
0.45%
23.54%
36,841 ( -11340 )
DECREASE
084670702
BRKB
BERKSHIRE HATHAWAY
INC DEL CL B NEW

$3K
0.43%
3.45%
8,890 ( -318 )
DECREASE
464288182
AAXJ
ISHARES TR
MSCI AC ASIA ETF

$3K
0.43%
26.53%
45,530 ( -16440 )
DECREASE
29414B104
EPAM
EPAM SYS INC
COM
Services and Technology
Computer Programming Services
$3K
0.43%
8.74%
13,432 ( +1080 )
INCREASE
00724F101
ADBE
ADOBE SYSTEMS INCORPORATED
COM
Services and Technology
Prepackaged Software
$3K
0.43%
74.09%
6,154 ( +2619 )
INCREASE
98980G102
ZS
ZSCALER INC
COM
Services and Technology
Computer Programming Services
$3K
0.40%
8.99%
19,416 ( -1918 )
DECREASE
023135106
AMZN
AMAZON COM INC
COM
Retail Trade
Retail Catalog And Mail Order Houses
$3K
0.39%
10.65%
21,053 ( -2510 )
DECREASE
78464A631
XAR
SPDR SER TR
AEROSPACE DEF

$3K
0.38%
5.03%
22,207 ( +1063 )
INCREASE
58933Y105
MRK
MERCK & CO INC
COM
Manufacturing
Pharmaceutical Preparations
$3K
0.38%
0.64%
23,355 ( -150 )
DECREASE
458140100
INTC
INTEL CORP
COM
Manufacturing
Semiconductors And Related Devices
$3K
0.38%
100.00%
79,655 ( +79655 )
NEW
464288661
IEI
ISHARES TR
3 7 YR TREAS BD

$3K
0.37%
0.88%
22,276 ( -198 )
DECREASE PRINCIPLE
91324P102
UNH
UNITEDHEALTH GROUP INC
COM
Finance, Insurance and Real Estate
Hospital And Medical Service Plans
$2K
0.34%
5.66%
4,951 ( -297 )
DECREASE
464287655
IWM
ISHARES TR
RUSSELL 2000 ETF

$2K
0.34%
100.00%
12,634 ( +12634 )
NEW
717081103
PFE
PFIZER INC
COM
Manufacturing
Pharmaceutical Preparations
$2K
0.34%
29.82%
64,126 ( -27244 )
DECREASE
90353T100
UBER
UBER TECHNOLOGIES INC
COM
Services and Technology
Prepackaged Software
$2K
0.33%
0.00%
53,767 ( +0 )
NO CHANGE
464288646
IGSB
ISHARES TR
ISHS 1-5YR INVS

$2K
0.32%
2.53%
44,277 ( +1093 )
INCREASE PRINCIPLE
67066G104
NVDA
NVIDIA CORPORATION
COM
Manufacturing
Semiconductors And Related Devices
$2K
0.31%
33.88%
5,219 ( -2674 )
DECREASE
697435105
PANW
PALO ALTO NETWORKS INC
COM
Manufacturing
Computer Peripheral Equipment
$2K
0.31%
10.76%
8,395 ( -1012 )
DECREASE
N07059210
ASML
ASML HOLDING N V
N Y REGISTRY SHS
Manufacturing
Special Industry Machinery
$2K
0.30%
2.60%
2,921 ( +74 )
INCREASE
056752108
BIDU
BAIDU INC
SPON ADR REP A
Services and Technology
Computer Programming Data Processing
$2K
0.28%
0.68%
14,502 ( -100 )
DECREASE
83088M102
SWKS
SKYWORKS SOLUTIONS INC
COM
Manufacturing
Semiconductors And Related Devices
$2K
0.26%
26.99%
16,675 ( -6164 )
DECREASE
819047101
SHAK
SHAKE SHACK INC
CL A
Retail Trade
Retail Eating And Drinking Places
$2K
0.25%
2.14%
22,900 ( -500 )
DECREASE
90364P105
PATH
UIPATH INC
CL A
Services and Technology
Prepackaged Software
$2K
0.24%
100.00%
103,244 ( +103244 )
NEW
88076W103
TDC
TERADATA CORP DEL
COM
Manufacturing
Electronic Computers
$2K
0.24%
0.78%
31,771 ( -250 )
DECREASE
92206C409
VCSH
VANGUARD SCOTTSDALE FDS
SHRT TRM CORP BD

$2K
0.23%
2.75%
21,686 ( +581 )
INCREASE PRINCIPLE
04271T100
ARRY
ARRAY TECHNOLOGIES INC
COM SHS
Manufacturing
Miscellaneous Manufacturing Industries
$2K
0.23%
11.84%
72,205 ( -9695 )
DECREASE
26922A842
JETS
ETF SER SOLUTIONS
US GLB JETS

$2K
0.23%
26.88%
74,634 ( -27435 )
DECREASE
007903107
AMD
ADVANCED MICRO DEVICES
INC COM
Manufacturing
Semiconductors And Related Devices
$2K
0.22%
31.79%
13,678 ( -6375 )
DECREASE
254687106
DIS
DISNEY WALT CO
COM
Services and Technology
Miscellaneous Amusement And Recreation
$2K
0.22%
6.93%
17,081 ( -1272 )
DECREASE
33734X192
SKYY
FIRST TR EXCHANGE TRADED FD
CLOUD COMPUTING

$1K
0.21%
2.59%
19,101 ( +483 )
INCREASE
02376R102
AAL
AMERICAN AIRLS GROUP INC
COM
Transportation, Telecom and Public Utilities
Air Transportation Scheduled
$1K
0.20%
42.28%
77,978 ( -57120 )
DECREASE
46137V233
XLG
INVESCO EXCH TRADED FD
S&P 500 TOP 50

$1K
0.19%
0.00%
46,800 ( +0 )
NO CHANGE
172967424
C
CITIGROUP INC
COM NEW
Finance, Insurance and Real Estate
National Commercial Banks
$1K
0.19%
16.06%
29,050 ( -5560 )
DECREASE
09260D107
BX
BLACKSTONE INC
COM
Finance, Insurance and Real Estate
Investment Advice
$1K
0.19%
21.15%
14,335 ( -3845 )
DECREASE
33737A108
GRID
FIRST TR EXCHANGE TRADED FD
NASDQ CLN EDGE

$1K
0.19%
12.29%
12,385 ( -1735 )
DECREASE
670100205
NVO
NOVO-NORDISK A S
ADR
Manufacturing
Pharmaceutical Preparations
$1K
0.18%
8.84%
7,730 ( -750 )
DECREASE
086516101
BBY
BEST BUY INC
COM
Retail Trade
Retail Radio Tv And Consumer Electronics Stores
$1K
0.17%
0.20%
14,970 ( -30 )
DECREASE
70438V106
PCTY
PAYLOCITY HLDG CORP
COM
Services and Technology
Prepackaged Software
$1K
0.17%
1.05%
6,618 ( -70 )
DECREASE
464288786
IAK
ISHARES TR
U.S. INSRNCE ETF

$1K
0.17%
18.07%
13,650 ( -3010 )
DECREASE
87612E106
TGT
TARGET CORP
COM
Retail Trade
Retail Variety Stores
$1K
0.17%
22.98%
9,080 ( -2709 )
DECREASE
78464A581
XHE
SPDR SER TR
HLTH CR EQUIP

$1K
0.17%
7.80%
12,125 ( -1026 )
DECREASE
002824100
ABT
ABBOTT LABS
COM
Manufacturing
Pharmaceutical Preparations
$1K
0.17%
0.00%
10,682 ( +0 )
NO CHANGE
57636Q104
MA
MASTERCARD INCORPORATED
CL A
Services and Technology
Business Services
$1K
0.16%
2.53%
2,892 ( -75 )
DECREASE
75513E101
RTX
RAYTHEON TECHNOLOGIES CORP
COM
Manufacturing
Aircraft Engines And Engine Parts
$1K
0.16%
32.32%
11,218 ( -5357 )
DECREASE
37954Y442
CLOU
GLOBAL X FDS
CLOUD COMPUTNG

$1K
0.15%
0.01%
53,619 ( -5 )
DECREASE
009066101
ABNB
AIRBNB INC
COM CL A
Services and Technology
To Dwellings And Other Buildings
$1K
0.15%
25.91%
8,220 ( -2875 )
DECREASE
928563402
VMW
VMWARE INC
CL A COM
Services and Technology
Prepackaged Software
$1K
0.15%
15.21%
7,264 ( -1303 )
DECREASE
02079K305
GOOGL
ALPHABET INC
CAP STK CL A
Services and Technology
Computer Programming Data Processing
$1K
0.15%
2.85%
8,700 ( -255 )
DECREASE
31428X106
FDX
FEDEX CORP
COM
Transportation, Telecom and Public Utilities
Air Courier Services
$1K
0.15%
13.77%
4,132 ( -660 )
DECREASE
92189F692
PPH
VANECK ETF TRUST
PHARMACEUTCL ETF

$982
0.14%
5.88%
12,473 ( -779 )
DECREASE
70432V102
PAYC
PAYCOM SOFTWARE INC
COM
Services and Technology
Prepackaged Software
$961
0.14%
1.32%
2,990 ( -40 )
DECREASE
M87915274
TSEM
TOWER SEMICONDUCTOR LTD
SHS NEW
Manufacturing
Semiconductors And Related Devices
$938
0.13%
18.44%
25,005 ( -5655 )
DECREASE
848637104
SPLK
SPLUNK INC
COM
Services and Technology
Prepackaged Software
$937
0.13%
0.00%
8,829 ( +0 )
NO CHANGE
09857L108
BKNG
BOOKING HOLDINGS INC
COM
Services and Technology
Business Services
$883
0.13%
0.91%
327 ( -3 )
DECREASE
46138E628
KBWB
INVESCO EXCH TRADED FD TR II
KBW BK ETF

$863
0.12%
16.78%
21,030 ( -4240 )
DECREASE
009066AB7
AIRBNB INC
NOTE 3/1

$843
0.12%
9.59%
961,500 ( -102000 )
DECREASE PRINCIPLE
00507V109
ATVI
ACTIVISION BLIZZARD INC
COM
Services and Technology
Prepackaged Software
$818
0.12%
17.02%
9,705 ( -1990 )
DECREASE
655664100
JWN
NORDSTROM INC
COM
Retail Trade
Retail Family Clothing Stores
$796
0.11%
0.00%
38,890 ( +0 )
NO CHANGE
100557107
SAM
BOSTON BEER INC
CL A
Manufacturing
Malt Beverages
$787
0.11%
1.16%
2,551 ( -30 )
DECREASE
33733E302
FDN
FIRST TR EXCHANGE-TRADED FD
DJ INTERNT IDX

$752
0.11%
0.86%
4,613 ( -40 )
DECREASE
478160104
JNJ
JOHNSON & JOHNSON
COM
Manufacturing
Pharmaceutical Preparations
$751
0.11%
17.01%
4,538 ( -930 )
DECREASE
464287770
IYG
ISHARES TR
U.S. FIN SVC ETF

$725
0.10%
9.00%
4,591 ( -454 )
DECREASE
337345102
QTEC
FIRST TR NASDAQ 100 TECH IND
SHS

$721
0.10%
0.61%
4,901 ( -30 )
DECREASE
464287457
SHY
ISHARES TR
1 3 YR TREAS BD

$718
0.10%
3.01%
8,852 ( -275 )
DECREASE PRINCIPLE
931142103
WMT
WALMART INC
COM
Retail Trade
Retail Variety Stores
$685
0.10%
15.92%
4,358 ( -825 )
DECREASE
539830109
LMT
LOCKHEED MARTIN CORP
COM
Manufacturing
Guided Missiles And Space Vehicles And Parts
$676
0.10%
12.56%
1,469 ( -211 )
DECREASE
580135101
MCD
MCDONALDS CORP
COM
Retail Trade
Retail Eating Places
$664
0.09%
25.08%
2,225 ( -745 )
DECREASE
052769106
ADSK
AUTODESK INC
COM
Services and Technology
Prepackaged Software
$623
0.09%
3.18%
3,045 ( -100 )
DECREASE
28176E108
EW
EDWARDS LIFESCIENCES CORP
COM
Manufacturing
Orthopedic Prosthetic And Surgical Appliances And Supplies
$585
0.08%
0.00%
6,200 ( +0 )
NO CHANGE
060505104
BAC
BANK AMERICA CORP
COM
Finance, Insurance and Real Estate
National Commercial Banks
$579
0.08%
3.30%
20,191 ( -690 )
DECREASE
70450Y103
PYPL
PAYPAL HLDGS INC
COM
Services and Technology
Business Services
$573
0.08%
21.37%
8,589 ( -2335 )
DECREASE
M20791105
CAMT
CAMTEK LTD
ORD
Manufacturing
Optical Instruments And Lenses
$558
0.08%
16.44%
15,655 ( -3080 )
DECREASE
126650100
CVS
CVS HEALTH CORP
COM
Retail Trade
Retail Drug Stores And Proprietary Stores
$531
0.08%
29.64%
7,677 ( -3234 )
DECREASE
30303M102
META
META PLATFORMS INC
CL A
Services and Technology
Computer Programming Data Processing
$514
0.07%
14.67%
1,790 ( +229 )
INCREASE
62914V106
NIO
NIO INC
SPON ADS
Manufacturing
Motor Vehicles And Passenger Car Bodies
$509
0.07%
0.76%
52,515 ( -400 )
DECREASE
21036P108
STZ
CONSTELLATION BRANDS INC
CL A
Manufacturing
Beverages
$496
0.07%
57.80%
2,015 ( -2760 )
DECREASE
025816109
AXP
AMERICAN EXPRESS CO
COM
Finance, Insurance and Real Estate
Finance Services
$492
0.07%
1.36%
2,823 ( +38 )
INCREASE
17275R102
CSCO
CISCO SYS INC
COM
Manufacturing
Computer Communications Equipment
$476
0.07%
8.37%
9,196 ( -840 )
DECREASE
01609W102
BABA
ALIBABA GROUP HLDG LTD
SPONSORED ADS
Services and Technology
Business Services
$440
0.06%
2.86%
5,281 ( +147 )
INCREASE
007800105
AJRD
AEROJET ROCKETDYNE HLDGS
INC COM
Manufacturing
Guided Missiles And Space Vehicles And Parts
$427
0.06%
23.58%
7,780 ( -2400 )
DECREASE
64110L106
NFLX
NETFLIX INC
COM
Services and Technology
Video Tape Rental
$426
0.06%
100.00%
968 ( +968 )
NEW
654106103
NKE
NIKE INC
CL B
Manufacturing
Rubber And Plastics Footwear
$417
0.06%
5.57%
3,780 ( -223 )
DECREASE
464288224
ICLN
ISHARES TR
GL CLEAN ENE ETF

$406
0.06%
10.24%
22,039 ( -2513 )
DECREASE
949746101
WFC
WELLS FARGO CO NEW
COM
Finance, Insurance and Real Estate
National Commercial Banks
$396
0.06%
0.54%
9,289 ( -50 )
DECREASE
26922A289
FIVG
ETF SER SOLUTIONS
DEFIANCE NEXT

$376
0.05%
29.51%
11,180 ( -4680 )
DECREASE
780259305
SHEL
SHELL PLC
SPON ADS
Mining
Crude Petroleum And Natural Gas
$368
0.05%
42.58%
6,093 ( -4519 )
DECREASE
92204A603
VIS
VANGUARD WORLD FDS
INDUSTRIAL ETF

$331
0.05%
33.39%
1,612 ( -808 )
DECREASE
500767827
KARS
KRANESHARES TR
ELEC VEH FUTUR

$330
0.05%
41.90%
10,575 ( -7625 )
DECREASE
88160R101
TSLA
TESLA INC
COM
Manufacturing
Motor Vehicles And Passenger Car Bodies
$325
0.05%
0.32%
1,242 ( -4 )
DECREASE
81369Y506
XLE
SELECT SECTOR SPDR TR
ENERGY

$310
0.04%
12.14%
3,813 ( -527 )
DECREASE
364760108
GPS
GAP INC
COM
Retail Trade
Retail Family Clothing Stores
$291
0.04%
0.00%
32,550 ( +0 )
NO CHANGE
46120E602
ISRG
INTUITIVE SURGICAL
INC COM NEW
Manufacturing
Orthopedic Prosthetic And Surgical Appliances And Supplies
$290
0.04%
0.00%
847 ( +0 )
NO CHANGE
92204A702
VGT
VANGUARD WORLD FDS
INF TECH ETF

$288
0.04%
1.06%
652 ( -7 )
DECREASE
464287242
LQD
ISHARES TR
IBOXX INV CP ETF

$283
0.04%
0.00%
2,620 ( +0 )
NO CHANGE PRINCIPLE
M7516K103
NVMI
NOVA LTD
COM
Manufacturing
Optical Instruments And Lenses
$263
0.04%
41.61%
2,245 ( -1600 )
DECREASE
46434V100
SLQD
ISHARES TR
0-5YR INVT GR CP

$262
0.04%
0.00%
5,440 ( +0 )
NO CHANGE PRINCIPLE
47215P106
JD
JD.COM INC
SPON ADR CL A
Retail Trade
Retail Stores
$253
0.04%
25.84%
7,423 ( -2586 )
DECREASE
M7571L103
OTMO
OTONOMO TECHNOLOGIES LTD
ORDINARY SHARES
Finance, Insurance and Real Estate
Blank Checks
$174
0.02%
100.00%
434,751 ( +434751 )
NEW
68619K204
ORGS
ORGENESIS INC
COM NEW
Manufacturing
Pharmaceutical Preparations
$45
0.01%
0.00%
32,052 ( +0 )
NO CHANGE
539439109
LYG
LLOYDS BANKING GROUP PLC
SPONSORED ADR
Finance, Insurance and Real Estate
Commercial Banks
$29
0.00%
0.00%
13,000 ( +0 )
NO CHANGE
46137V258
RPV
INVESCO EXCHANGE TRADED FD T
S&P500 PUR VAL

$0
0.00%
100.00%
0 ( -167620 )
SOLD
92204A876
VPU
VANGUARD WORLD FDS
UTILITIES ETF

$0
0.00%
100.00%
0 ( -76000 )
SOLD
464288802
SUSA
ISHARES TR
MSCI USA ESG SLC

$0
0.00%
100.00%
0 ( -124000 )
SOLD
33733E500
QCLN
FIRST TR EXCHANGE-TRADED FD
NAS CLNEDG GREEN

$0
0.00%
100.00%
0 ( -122410 )
SOLD
81369Y886
XLU
SELECT SECTOR SPDR TR
SBI INT-UTILS

$0
0.00%
100.00%
0 ( -83000 )
SOLD
767204100
RIO
RIO TINTO PLC
SPONSORED ADR
Mining
Metal Mining
$0
0.00%
100.00%
0 ( -11115 )
SOLD
38141G104
GS
GOLDMAN SACHS GROUP INC
COM
Finance, Insurance and Real Estate
Security Brokers Dealers And Flotation Companies
$0
0.00%
100.00%
0 ( -1765 )
SOLD
09247X101
BLK
BLACKROCK INC
COM
Finance, Insurance and Real Estate
Security Brokers Dealers And Flotation Companies
$0
0.00%
100.00%
0 ( -648 )
SOLD
M98068105
WIX
WIX COM LTD
SHS
Services and Technology
Computer Programming Data Processing
$0
0.00%
100.00%
0 ( -2799 )
SOLD
02209S103
MO
ALTRIA GROUP INC
COM
Manufacturing
Cigarettes
$0
0.00%
100.00%
0 ( -5855 )
SOLD
921908844
VIG
VANGUARD SPECIALIZED FUNDS
DIV APP ETF

$0
0.00%
100.00%
0 ( -1465 )
SOLD
46429B663
HDV
ISHARES TR
CORE HIGH DV ETF

$0
0.00%
100.00%
0 ( -2111 )
SOLD
464287762
IYH
ISHARES TR
US HLTHCARE ETF

$0
0.00%
100.00%
0 ( -789 )
SOLD
30744WAD9
FARFETCH LTD
NOTE 3.750% 5/0

$0
0.00%
100.00%
0 ( -15000 )
SOLD PRINCIPLE

View differences made from one to another to evaluate Bank Hapoalim Bm's financial trajectory

Compare SEC Filings Year-over-Year (YoY) and Quarter-over-Quarter (QoQ)
Sample 10-K Year-over-Year (YoY) Comparison

Compare this 13F-HR Manager Holdings to its predecessor by reading our highlights to see what text and tables were  removed  ,   added    and   changed   by Bank Hapoalim Bm.

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Assess how Bank Hapoalim Bm's management team is paid from their Annual Proxy

Definitive Proxy Statement (Form DEF 14A)
Screenshot example of actual Proxy Statement

Bank Hapoalim Bm's Definitive Proxy Statement (Form DEF 14A) filed after their 2023 10-K Annual Report includes:

  • Voting Procedures
  • Board Members
  • Executive Team
  • Salaries, Bonuses, Perks
  • Peers / Competitors

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SEC Filing Tools
CIK: 902528
Form Type: 13F-HR Manager Holdings
Accession Number: 0001178913-23-002563
Submitted to the SEC: Wed Jul 26 2023 6:01:59 AM EST
Accepted by the SEC: Wed Jul 26 2023
Period: Friday, June 30, 2023
Industry: American Depositary Receipts

External Resources:
SEC.gov

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