Report of foreign issuer [Rules 13a-16 and 15d-16]

FAIR VALUE MEASUREMENTS

v3.26.1
FAIR VALUE MEASUREMENTS
3 Months Ended
Mar. 31, 2026
Fair Value Disclosures [Abstract]  
FAIR VALUE MEASUREMENTS
NOTE 5:- FAIR VALUE MEASUREMENTS

 

The below tables set forth the Company’s assets and liabilities that were measured at fair value as of March 31, 2026 and December 31, 2025 by level within the fair value hierarchy.

 

    March 31, 2026  
    Level 1     Level 2     Level 3     Total  
Assets:                        
Marketable securities   $ -     $ 9,540     $ -     $ 9,540  
                                 
Foreign currency derivatives   $ -     $ 4     $ -     $ 4  
                                 
Total financial assets   $ -     $ 9,544     $ -     $ 9,544  
                                 
Liabilities:                                
Warrants   $ -     $ -     $ 1     $ 1  
                                 
Foreign currency derivatives   $ -     $ 128     $ -     $ 128  
                                 
Total financial liabilities   $ -     $ 128     $ 1     $ 129  

 

    December 31, 2025  
    Level 1   Level 2   Level 3   Total
Assets:                
Marketable securities   $ -     $ 9,466     $ -     $ 9,466  
                                 
Total financial assets   $ -     $ 9,466     $ -     $ 9,466  
                                 
Liabilities:                                
Warrants   $ -     $ -     $ 7     $ 7  
                                 
Total financial liabilities   $ -     $ -     $ 7     $ 7