6-K

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 6-K

Report of Foreign Private Issuer
Pursuant to Rule 13a-16 or 15d-16
under the Securities Exchange Act of 1934

For the Month of December 2009

CAMTEK LTD.
(Translation of Registrant’s Name into English)

Ramat Gavriel Industrial Zone
P.O. Box 544
Migdal Haemek 23150
ISRAEL

(Address of Principal Corporate Offices)

Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F.

Form 20-F x Form 40-F o

Indicate by check mark whether the registrant by furnishing the information contained in this Form is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities and Exchange Act of 1934.

Yes o No x



SIGNATURE

        Pursuant to the requirements of the Securities Exchange Act of 1934, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

CAMTEK LTD.
(Registrant)


By: /s/ Mira Rosenzweig
——————————————
Mira Rosenzweig,
Chief Financial Officer

Dated: December 1, 2009



The Company’s parent Company, Priortech Ltd. (“Priortech”), which is a publicly traded company on the Tel-Aviv Stock Exchange, is required to implement, as of January 1, 2007, Accounting Standard No. 30 of the Israel Accounting Standard Board (the “Standard”).

Details regarding the Standard and its implementation, as reflected on Priortech’s consolidated statements for the years 2007, 2008, March 31, and June 30, 2009, were given in the Company’s previous reports concerning the Standard.

The net amount of capitalized development expenses reflected on Priotech’s consolidated statements for the nine month period ended September 30, 2009 is US$2,238 thousands.

Another item of disclosure on Priortech’s reports reflects the fact that on September 30, 2009, Camtek was engaged in hedging transactions in US Dollars on the NIS exchange rate. The opened hedging transactions as of September 30, 2009, are displayed in the following table:



Amount
Amt.

Deal Type
Value/ Expiry
Date

Trade Date
Market
Rate

Market
Value
(USD)

 
  (150,000 ) Bought Put Eu.Opt      10/28/2009    01/26/2009    3.7573    2,713  
   
  300,000   Sold Call Eu.Opt     10/28/2009    12/24/2008    3.7573    (2 )
   
  (300,000 ) Bought Put Eu.Opt     10/28/2009    12/24/2008    3.7573    3,152  
   
  150,000   Sold Call Eu.Opt     10/28/2009    01/26/2009    3.7573    0  
   
  150,000   Sold Call Eu.Opt     11/26/2009    01/26/2009    3.7565    (1 )
   
  (150,000 ) Bought Put Eu.Opt     11/26/2009    01/26/2009    3.7565    3,415  
   
  300,000   Sold Call Eu.Opt     11/26/2009    12/24/2008    3.7565    (54 )
   
  (300,000 ) Bought Put Eu.Opt     11/26/2009    12/24/2008    3.7565    4,613  
   
  300,000   Sold Call Eu.Opt     12/29/2009    12/24/2008    3.7560    (232 )
   
  150,000   Sold Call Eu.Opt     12/29/2009    01/26/2009    3.7560    (15 )
   
  (150,000 ) Bought Put Eu.Opt     12/29/2009    01/26/2009    3.7560    4,031  
   
  (300,000 ) Bought Put Eu.Opt     12/29/2009    12/24/2008    3.7560    5,871  
   
  150,000   Sold Call Eu.Opt     01/27/2010    08/05/2009    3.7560    (212 )
   
  (150,000 ) Bought Put Eu.Opt     01/27/2010    08/05/2009    3.7560    3,345  
   
  100,000   Sold Call Eu.Opt     01/27/2010    08/04/2009    3.7560    (423 )
   
  (100,000 ) Bought Put Eu.Opt     01/27/2010    08/04/2009    3.7560    2,230  
   
  150,000   Sold Call Eu.Opt     02/24/2010    08/05/2009    3.7562    (253 )
   
  (150,000 ) Bought Put Eu.Opt     02/24/2010    08/05/2009    3.7562    3,690  
   
  100,000   Sold Call Eu.Opt     02/24/2010    08/04/2009    3.7562    (566 )
   
  (100,000 ) Bought Put Eu.Opt     02/24/2010    08/04/2009    3.7562    2,460  
   
  150,000   Sold Call Eu.Opt     03/26/2010    08/05/2009    3.7567    (526 )
   
  (150,000 ) Bought Put Eu.Opt     03/26/2010    08/05/2009    3.7567    4,022  
   
  100,000   Sold Call Eu.Opt     03/29/2010    08/04/2009    3.7567    (735 )
   
  (100,000 ) Bought Put Eu.Opt     03/29/2010    08/04/2009    3.7567    2,703  
   
  100,000   Sold Call Eu.Opt     04/28/2010    08/05/2009    3.7570    (796 )
   
  (100,000 ) Bought Put Eu.Opt     04/28/2010    08/05/2009    3.7570    2,917  
   
  100,000   Sold Call Eu.Opt     04/28/2010    08/04/2009    3.7570    (894 )
   
  (100,000 ) Bought Put Eu.Opt     04/28/2010    08/04/2009    3.7570    2,917  
   
  100,000   Sold Call Eu.Opt     05/26/2010    08/05/2009    3.7574    (935 )
   
  (100,000 ) Bought Put Eu.Opt     05/26/2010    08/05/2009    3.7574    3,102  
   
  100,000   Sold Call Eu.Opt     05/26/2010    08/04/2009    3.7574    (1,040 )
   
  (100,000 ) Bought Put Eu.Opt     05/26/2010    08/04/2009    3.7574    3,102  
   
  100,000   Sold Call Eu.Opt     06/28/2010    08/05/2009    3.7579    (1,096 )
   
  (100,000 ) Bought Put Eu.Opt     06/28/2010    08/05/2009    3.7579    3,304  
   
  100,000   Sold Call Eu.Opt     06/28/2010    08/04/2009    3.7579    (1,151 )
   
  (100,000 ) Bought Put Eu.Opt     06/28/2010    08/04/2009    3.7579    3,304