← Back to VLN filing summaryOriginal filing text · Part I
Item 11 — Quantitative and Qualitative Disclosures About Market Risk
Valens Semiconductor Ltd. · 20-F · FY 2025 · Period ended Dec 31, 2025
View complete filing on SEC EDGAR ↗This is the extracted source text from the SEC filing. Formatting may differ from the original document.
We are exposed to market risk in the
ordinary course of our business. Market risk represents the risk of loss that may impact our financial position due to adverse changes
in financial market prices and rates. Our market risk exposure is primarily a result of fluctuations in foreign currency exchange rates
and interest rates and inflation. We do not hold or issue financial instruments for trading purposes. For information about the effects
of currency and interest rate fluctuations and how we manage currency and interest risk, see “Part I, Item 5. Operating and Financial
Review and Prospects-B. Liquidity and Capital Resources.”