Major Shareholding Notification • Jan 8, 2026
Major Shareholding Notification
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Registration Number: 520033234
To:
Israel Securities Authority: www.isa.gov.il Tel-Aviv Stock Exchange Ltd: www.tase.co.il
Form T086 (Public)
Transmitted via MAGNA: 08/01/2026
Reference: 2026-01-004125
This form is not intended for share buybacks. For share buybacks, report on Form T85. This change should not also be reported on Form T-76.
(1)
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 Type: The Company |
|---|
| Subsidiary Name: |
| Subsidiary English Name: |
| Percentage Held by the Company: |
| Type of holder's ID: Number at Israeli Companies Registrar |
| Holder's ID Number: 520033234 |
| Citizenship/Place of Incorporation: Incorporated in Israel |
| Country of Citizenship/Place of Incorporation: |
| Security Number on the Stock Exchange: 1260603 |
| Name of Security that Changed: G CITY BONDS 12 |
| Date of Change: 08/01/2026 |
| Nature of Change: Increase - Purchase on the Stock Exchange |
| Other Change (if any): |
| Prospectus Number: |
| Explanation: For internal ISA use - in case of ATM program use, enter the prospectus number under which the ATM program came into |
| effect. |
| Transaction Price in New Shekel: 1.16 |
| Face Value Per Security (in New Shekel): 1 |
| Total Calculated Proceeds (in New Shekel): 1,044,000 |
| Reference number of the shelf offering report: , Which was reported on: |
| Holder's balance in the security at last report: 0 |
| (relates to quantity not to be removed from circulation) |
| Change in number of securities: 900,000 |
| Explanation: If a decrease is reported, indicate with a negative sign (-). |
| Will the securities purchased be removed from circulation?: Yes |
| Did the record date for redemption fall between purchase date and clearing instruction date?: No |
| Date on which clearing instruction was given to TASE Clearing House: 15/01/2026 |
| Holder's balance in the security after change: 0 |
| Holder Type: The Company |
|---|
| Subsidiary Name: |
| Subsidiary English Name: |
| Percentage Held by the Company: |
| Type of holder's ID: Number at Israeli Companies Registrar |
| Holder's ID Number: 520033234 |
| Citizenship/Place of Incorporation: Incorporated in Israel |
| Country of Citizenship/Place of Incorporation: |
| Security Number on the Stock Exchange: 1260652 |
| Name of Security that Changed: G CITY BONDS 13 |
| Date of Change: 08/01/2026 |
| Nature of Change: Increase - Purchase on the Stock Exchange |
| Other Change (if any): |
| Prospectus Number: |
| Explanation: For internal ISA use - in case of ATM program use, enter the prospectus number under which the ATM program came into effect. |
| Transaction Price in New Shekel: 1.14 |
| Face Value Per Security (in New Shekel): 1 |
| Total Calculated Proceeds (in New Shekel): 1,140,000 |
| Reference number of the shelf offering report: , Which was reported on: |
| Holder's balance in the security at last report: 0 |
| (relates to quantity not to be removed from circulation) |
| Change in number of securities: 1,000,000 |
| Explanation: If a decrease is reported, indicate with a negative sign (-). |
| Will the securities purchased be removed from circulation?: Yes Did the record date for redemption fall between purchase date and clearing instruction date?: No Date on which clearing instruction was given to TASE Clearing House: 15/01/2026 Holder's balance in the security after change: 0 |
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 Type: The Company |
|---|
| Subsidiary Name: |
| Subsidiary English Name: |
| Percentage Held by the Company: |
| Type of holder's ID: Number at Israeli Companies Registrar |
| Holder's ID Number: 520033234 |
| Citizenship/Place of Incorporation: Incorporated in Israel |
| Country of Citizenship/Place of Incorporation: |
| Security Number on the Stock Exchange: 1260736 |
| Name of Security that Changed: G CITY BONDS 14 |
| Date of Change: 08/01/2026 |
| Nature of Change: Increase - Purchase on the Stock Exchange |
| Other Change (if any): |
| Prospectus Number: |
| Explanation: For internal ISA use - in case of ATM program use, enter the prospectus number under which the ATM program came into |
| effect. |
| Transaction Price in New Shekel: 0.95 |
| Face Value Per Security (in New Shekel): 1 |
| Total Calculated Proceeds (in New Shekel): 5,700,000 |
| Reference number of the shelf offering report: , Which was reported on: |
| Holder's balance in the security at last report: 0 |
| (relates to quantity not to be removed from circulation) |
| Change in number of securities: 6,000,000 |
| Explanation: If a decrease is reported, indicate with a negative sign (-). |
| Will the securities purchased be removed from circulation?: Yes |
| Did the record date for redemption fall between purchase date and clearing instruction date?: No |
| Date on which clearing instruction was given to TASE Clearing House: 15/01/2026 |
| Holder's balance in the security after change: 0 |
The balance of debentures and warrants held by the company and its subsidiaries is as follows:
| Name of Security |
Security Number |
Quantity in Circulation Before Change |
Quantity in Circulation After Change |
Held by the Company (quantity not removed from circulation) |
Held by Subsidiaries |
Holding Percentage (Company + Subsidiaries) |
|---|---|---|---|---|---|---|
| 000000 | 0 | 0 | 0 | 0 | 0 |
Were the securities purchased as part of a company-approved purchase plan?: Yes
Date of approval for the purchase plan: 20/03/2025
| Name | 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 filed under these regulations must be signed by authorized signatories for the corporation. The staff's position can be found on the ISA website: Click here
The company's securities are listed for trading on the Tel Aviv Stock Exchange
Date of form structure update: 06/08/2024
Short Name: G CITY
Address: Aharon Becker 8, Tel Aviv, 6964316 | Phone: 03-6948000 | Fax: 03-6961910
Email: [email protected] | Company Website: www.gazitglobe.com
Previous names of the reporting entity: Gazit-Globe Ltd, Gazit-Globe (1982) Ltd, Glob-REIT Investments Ltd
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.
Electronic Reporting Name: Klein Ben David Tal
Position: Attorney / Legal Advisor
Employing Company:
Address: Aharon Becker 8, Tel Aviv, 6964316 | Phone: 03-6948000 | Fax: 03-6961910 | Email: [email protected]
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