Innoviz Technologies (INVZW) Stock Analysis
NASDAQConsumer CyclicalAuto - Parts
What Innoviz Technologies does
Innoviz Technologies Ltd., an Israeli company founded in 2016 and headquartered in Rosh HaAyin, is a developer and manufacturer of cutting-edge solid-state LiDAR sensors. The firm also creates perception software designed to enable the large-scale production of self-driving cars. Among its offerings is InnovizPro, a solid-state LiDAR system known for its robust performance and cost-effectiveness across both automotive and other industrial sectors. Additionally, Innoviz produces InnovizOne, an automotive-grade LiDAR sensor specifically engineered to deliver precise 3D sensing essential for autonomous driving levels 3 through 5. Beyond its hardware, the company also develops products focused on object recognition and tracking, sensor data integration (fusion), and critical mapping and localization functionalities. Innoviz has established key strategic partnerships and secured investments from a wide range of prominent entities. These include industry leaders such as Magna International, Samsung, and Aptiv, alongside venture capital firms like Magma Venture Partners, Vertex Ventures, SoftBank Ventures Asia, 360 Capital Partners, and Glory Ventures. Further investors include Naver, China Merchants Capital (via the SINO-BLR Industrial Investment Fund, L.P.), Shenzhen Capital Group, New Alliance Capital, Harel Insurance Investments and Financial Services, and Phoenix Insurance Company, among others.
Key metrics
ETFs linked to INVZW
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PortView Portfolio Insights
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Analyze INVZW in PortView →Frequently asked questions
- What is the ticker symbol for Innoviz Technologies?
- Innoviz Technologies trades under the ticker INVZW on NASDAQ.
- Which exchange is INVZW listed on?
- INVZW is listed on NASDAQ.
- What sector does Innoviz Technologies operate in?
- Innoviz Technologies is classified in the Consumer Cyclical sector (Auto - Parts industry).
- How can PortView help analyze INVZW in a portfolio?
- PortView shows INVZW's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.
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