Major Shareholding Notification • Jan 8, 2026
Major Shareholding Notification
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Company Number: 520033234
To: Israel Securities Authority To: Tel Aviv Stock Exchange Ltd.
Form Number: T086 (Public) Sent on MAGNA: 08/01/2026 Proof: 2026-01-003451
Regulation 33 of the Securities Regulations (Periodic and Immediate Reports), 1970
This form is not intended for own share buybacks. Reports regarding own share buybacks must be submitted on Form T85.
Do not also report this change on Form T-76.
| 1 |
|---|
| Type of Holder: The Company |
|---|
| Subsidiary Name: |
| Subsidiary Name in English: |
| Percentage Held by Company: |
| Type of Identification Number: Company Registrar Number in Israel |
Holder's Identification Number: 520033234
Citizenship/Place of Incorporation or Registration: Incorporated in Israel
This is an unofficial AI generated translation of the official Hebrew version and has no binding force. The only binding version is the official Hebrew version. For more information, please review the legal disclaimer.
| Country of Citizenship/Place of Incorporation or Registration: | ||
|---|---|---|
| Security Number on TASE: 1260603 | ||
| Name of Security in Which Change Occurred: G CITY BONDS 12 | ||
| Date of Change: 07/01/2026 | ||
| Nature of Change: Increase | ||
| Purchase on the Exchange | ||
| Other Details: | ||
| Prospectus Number: | ||
| Explanation: For internal use by the Authority - in case of use of ATM plan, enter the prospectus number under which the ATM plan was implemented. |
||
| Transaction Price in new shekel: 1.17 | ||
| Par Value Per Security in new shekel: 1 | ||
| Total Calculated Proceeds in new shekel: 1,022,278.14 | ||
| Reference Number for Shelf Offering Report:, which was reported on: | ||
| Holder's Security Balance in Previous Report: 0 (refers to amount not removed from circulation) | ||
| Change in Quantity of Securities: 873,742 | ||
| Explanation: If reporting a reduction in quantity, indicate a negative value, i.e., with a "-" sign. | ||
| Were securities purchased to be removed from circulation: Yes | ||
| Did the record date for redemption of the security occur between the purchase date and the date of the withdrawal order from the exchange clearinghouse? No |
||
| Date of withdrawal order from TASE Clearinghouse: 15/01/2026 | ||
| Holder's Security Balance after Change: 0 |
| 2 |
|---|
| Type of Holder: The Company |
| Subsidiary Name: |
| Subsidiary Name in English: |
| Percentage Held by Company: |
| Type of Identification Number: Company Registrar Number in Israel |
| Holder's Identification Number: 520033234 |
| Citizenship/Place of Incorporation or Registration: Incorporated in Israel |
| Country of Citizenship/Place of Incorporation or Registration: |
| Security Number on TASE: 1260652 |
| Name of Security in Which Change Occurred: G CITY BONDS 13 |
| Date of Change: 07/01/2026 |
| Nature of Change: Increase |
| Purchase on the Exchange |
| Other Details: |
| Prospectus Number: |
| Explanation: For internal use by the Authority - in case of use of ATM plan, enter the prospectus number under which the ATM plan was implemented. |
| Transaction Price in new shekel: 1.13 |
| Par Value Per Security in new shekel: 1 |
| Total Calculated Proceeds in new shekel: 339,000 |
| Reference Number for Shelf Offering Report:, which was reported on: |
This is an unofficial AI generated translation of the official Hebrew version and has no binding force. The only binding version is the official Hebrew version. For more information, please review the legal disclaimer.
Holder's Security Balance in Previous Report: 0 (refers to amount not removed from circulation)
Change in Quantity of Securities: 300,000
Explanation: If reporting a reduction in quantity, indicate a negative value, i.e., with a "-" sign.
Were securities purchased to be removed from circulation: Yes
Did the record date for redemption of the security occur between the purchase date and the date of the withdrawal order from the exchange clearinghouse? No
Date of withdrawal order from TASE Clearinghouse: 15/01/2026
Holder's Security Balance after Change: 0
Date of Change: 07/01/2026
Nature of Change: Increase
| 3 |
|---|
| Type of Holder: The Company |
| Subsidiary Name: |
| Subsidiary Name in English: |
| Percentage Held by Company: |
| Type of Identification Number: Company Registrar Number in Israel |
| Holder's Identification Number: 520033234 |
| Citizenship/Place of Incorporation or Registration: Incorporated in Israel |
| Country of Citizenship/Place of Incorporation or Registration: |
| Security Number on TASE: 1260736 |
| Name of Security in Which Change Occurred: G CITY BONDS 14 |
| version. For more information, please review the legal disclaimer. |
|---|
| Purchase on the Exchange |
| Other Details: |
| Prospectus Number: |
| Explanation: For internal use by the Authority - in case of use of ATM plan, enter the prospectus number under which the ATM plan was implemented. |
| Transaction Price in new shekel: 0.95 |
| Par Value Per Security in new shekel: 1 |
| Total Calculated Proceeds in new shekel: 768,664.95 |
| Reference Number for Shelf Offering Report:, which was reported on: |
| Holder's Security Balance in Previous Report: 0 (refers to amount not removed from circulation) |
| Change in Quantity of Securities: 809,121 |
| Explanation: If reporting a reduction in quantity, indicate a negative value, i.e., with a "-" sign. |
| Were securities purchased to be removed from circulation: Yes |
This is an unofficial AI generated translation of the official Hebrew version and has no binding force. The only binding version is the official Hebrew
Did the record date for redemption of the security occur between the purchase date and the date of the withdrawal
Date of withdrawal order from TASE Clearinghouse: 15/01/2026
Holder's Security Balance after Change: 0
order from the exchange clearinghouse? No
The balance of debt certificates and warrants held by the company and its subsidiaries is as follows:
| Name of Security |
Security Number |
Quantity Outstanding Prior to Change |
Quantity Outstanding After Change |
Holding by Company (amount not removed from circulation) |
Holding by Subsidiaries |
Total Holding Rate (Company + Subsidiaries) |
|---|---|---|---|---|---|---|
| 000000 | 0 | 0 | 0 | 0 | 0 |
Have the securities been purchased as part of a company-approved purchase program: Yes
Date report of purchase program was submitted: 20/03/2025
| Name of Signatory | Position | |
|---|---|---|
| 1 | Revital Kahlon | Other |
| Deputy CEO, Legal Advisor and Corporate Secretary |
Explanation: According to Regulation 5 of the Periodic and Immediate Reports Regulations (1970), a report submitted under these regulations must be signed by authorized signatories on behalf of the corporation. The Staff position on this may be found on the Authority's website: Click here
Short Name: G CITY
Address: 8 Aharon Becker St., Tel Aviv 6964316
Phone: 03-6948000, Fax: 03-6961910
Email: [email protected]
Company Website: www.gazitglobe.com
This is an unofficial AI generated translation of the official Hebrew version and has no binding force. The only binding version is the official Hebrew version. For more information, please review the legal disclaimer.
Former Names of Reporting Entity: Gazit-Globe Ltd., Gazit-Globe (1982) Ltd., Glob-Ret Investments Ltd.
Electronic Reporting Name: Kahlon Revital
Position: Deputy CEO, Legal Counsel and Corporate Secretary
Workplace Address: 8 Aharon Becker St., Tel Aviv 6964316
Phone: 052-3930764
Email: [email protected]
Form structure update date: 06/08/2024
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