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Mega Or Holdings Ltd.

Share Issue/Capital Change Sep 30, 2025

6910_rns_2025-09-30_7c3d7fdb-f569-4830-95d1-58b96d23f2a9.pdf

Share Issue/Capital Change

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MEGA OR HOLDINGS LTD

Registry Number: 513257873

To: Israel Securities Authority To: Tel Aviv Stock Exchange Ltd. Form Number: T087 (Public) Sent via MAGNA: 30/09/2025 Israel Securities Authority: www.isa.gov.il Tel Aviv Stock Exchange: www.tase.co.il Reference: 2025-01-073045

Capital Structure, Grant of Rights to Purchase Shares, and Registers of the Corporation's Securities and Changes Therein

Regulation 31E of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 31(a) of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 31(b1) of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 32 of the Securities Regulations (Periodic and Immediate Reports), 1970

Nature of the Change:

Partial redemption of bonds (Series 10, bonds (Series 11) and exercise of employee options

Explanation: Briefly describe the nature of the change.

Reference numbers of previous reports on the subject: _________, _________, _________.

  1. The Corporation's Securities Position After the Change:
Name
and
Type
of
Security
Security
Number
on
TASE
Quantity
in
Registered
Capital
Issued
and
Paid-Up
Capital
Quantity
Registered
in
the
Name
of
the
Registration
Company
Ordinary
Share
1104488 100,000,000 Last
Report:
36,655,663
Current:
36,657,752
36,657,752
Bonds
(Series
6)
1138668 ___ Last
Report:
123,332,200
Current:
123,332,200
123,332,200
Bonds
(Series
7)
1141696 ___ Last
Report:
503,530,904
Current:
503,530,904
503,530,904
Bonds
(Series
8)
1147602 ___ Last
Report:
605,160,000
Current:
605,160,000
605,160,000
Bonds
(Series
9)
1165141 ___ Last
Report:
1,249,676,062
Current:
1,249,676,062
1,249,676,062
Bonds
(Series
10)
1178367 ___ Last
Report:
107,366,914
Current:
104,113,372
104,113,372
Bonds
(Series
11)
1178375 ___ Last
Report:
601,838,956
Current:
583,601,413
583,601,413
Name
and
Type
of
Security
Security
Number
on
TASE
Quantity
in
Registered
Capital
Issued
and
Paid-Up
Capital
Quantity
Registered
in
the
Name
of
the
Registration
Company
Bonds
(Series
12)
1211283 ___ Last
Report:
457,102,000
Current:
457,102,000
457,102,000
Unlisted
Warrants
1/2021
1171727 ___ Last
Report:
34,042
Current:
32,292
0
Unlisted
Warrants
07/22
1189091 ___ Last
Report:
345,000
Current:
342,250
0
Unlisted
Warrants
01/23
1193911 ___ Last
Report:
27,997
Current:
27,997
0
Unlisted
Warrants
08/23
1198670 ___ Last
Report:
295,033
Current:
295,033
0
Restricted
Shares
(RSU)
for
Employees
1227115 ___ Last
Report:
11,674
Current:
11,674
0
Restricted
Shares
(RSU)
for
Service
Providers
1227123 ___ Last
Report:
3,834
Current:
3,834
0
Name
and
Type
of
Security
Security
Number
on
TASE
Quantity
in
Registered
Capital
Issued
and
Paid-Up
Capital
Quantity
Registered
in
the
Name
of
the
Registration
Company
Commercial
Papers
(Series
4)
1207588 ___ Last
Report:
230,000,000
Current:
230,000,000
230,000,000
Commercial
Papers
(Series
6)
1223262 ___ Last
Report:
405,950,000
Current:
405,950,000
405,950,000

Explanation: All company securities must be detailed, including securities not listed for trading.

2. The Corporation Announces That:

From date: 07/09/2025 To date: 30/09/2025

A change occurred in the quantity and register of the corporation's securities (including rights to purchase shares) as a result of:

Description of the nature of the change: Partial redemption of bonds (Series 10, bonds (Series 11) and exercise of employee options

Explanation: Describe all details of the transaction or action that caused the change in the corporation's securities.

Details of the Registered Holder for Whom the Change Occurred:

    1. Name: TASE-CH (Tel Aviv Stock Exchange Clearing House) ID Type: Company Registrar Number in Israel ID Number: 515736817
    2. Nature of Change: Exercise of options
    3. Date of Change: 30/09/2025
    4. Executed via TASE Clearing House: Yes
    5. Type and Name of Security: Ordinary Share
    6. Security Number: 1104488
    7. Holder's Balance in Last Report: 36,655,663
    8. Holder's Balance After Change: 36,657,752
    9. Total Change in Quantity: 2,089
    10. Is this a grant of rights to purchase shares: No
    11. Total consideration for allocated securities: _________
    12. Security number of the share resulting from exercise: _________
    13. Number of shares resulting from full exercise/conversion: _________
    14. Total additional consideration from full exercise/conversion: _________
    15. Period during which the security can be exercised: _________
    16. From date: _________ To date: _________
    17. Allocated securities will be listed for trading: _________
    18. Allocation is a continuation of: _________ published on _________, reference number _________
    19. The security was fully paid and consideration was fully received.
    20. The security was fully paid, but consideration was not fully received.
    21. Issued for ATM program
    22. Other: _________
    1. Name: Altshuler Trusts Ltd.
    2. ID Type: Company Registrar Number in Israel
    3. ID Number: 513901330
      • Nature of Change: Exercise of options
      • Date of Change: 30/09/2025
      • Executed via TASE Clearing House: Yes
      • Type and Name of Security: MEGA OR HOLDINGS LTD Warrant 01/21
      • Security Number: 1171727
      • Holder's Balance in Last Report: 34,042
      • Holder's Balance After Change: 32,292
  • Total Change in Quantity: 1,750

  • Is this a grant of rights to purchase shares: No
  • Total consideration for allocated securities: _________
  • Security number of the share resulting from exercise: _________
  • Number of shares resulting from full exercise/conversion: _________
  • Total additional consideration from full exercise/conversion: _________
  • Period during which the security can be exercised: _________
  • From date: _________ To date: _________
  • Allocated securities will be listed for trading: _________
  • Allocation is a continuation of: _________ published on _________, reference number _________
  • The security was fully paid and consideration was fully received.
  • The security was fully paid, but consideration was not fully received.
  • Issued for ATM program
  • Other: _________
    1. Name: Altshuler Trusts Ltd.

ID Type: Company Registrar Number in Israel

ID Number: 513901330

  • Nature of Change: Exercise of options
  • Date of Change: 30/09/2025
  • Executed via TASE Clearing House: Yes
  • Type and Name of Security: MEGA OR HOLDINGS LTD Warrant 07/22
  • Security Number: 1189091
  • Holder's Balance in Last Report: 345,000
  • Holder's Balance After Change: 342,250
  • Total Change in Quantity: 2,750
  • Is this a grant of rights to purchase shares: No
  • Total consideration for allocated securities: _________
  • Security number of the share resulting from exercise: _________
  • Number of shares resulting from full exercise/conversion: _________
  • Total additional consideration from full exercise/conversion: _________
  • Period during which the security can be exercised: _________
  • From date: _________ To date: _________
  • Allocated securities will be listed for trading: _________
  • Allocation is a continuation of: _________ published on _________, reference number _________

  • The security was fully paid and consideration was fully received.

  • The security was fully paid, but consideration was not fully received.
  • Issued for ATM program
  • Other: _________
    1. Name: TASE-CH (Tel Aviv Stock Exchange Clearing House) ID Type: Company Registrar Number in Israel ID Number: 515736817
    2. Nature of Change: Redemption
    3. Date of Change: 30/09/2025
    4. Executed via TASE Clearing House: Yes
    5. Type and Name of Security: Bonds (Series 10)
    6. Security Number: 1178367
    7. Holder's Balance in Last Report: 107,366,914
    8. Holder's Balance After Change: 104,113,372
    9. Total Change in Quantity: 3,253,542
    10. Is this a grant of rights to purchase shares: No
    11. Total consideration for allocated securities: _________
    12. Security number of the share resulting from exercise: _________
    13. Number of shares resulting from full exercise/conversion: _________
    14. Total additional consideration from full exercise/conversion: _________
    15. Period during which the security can be exercised: _________
    16. From date: _________ To date: _________
    17. Allocated securities will be listed for trading: _________
    18. Allocation is a continuation of: _________ published on _________, reference number _________
    19. The security was fully paid and consideration was fully received.
    20. The security was fully paid, but consideration was not fully received.
    21. Issued for ATM program
    22. Other: _________
    1. Name: TASE-CH (Tel Aviv Stock Exchange Clearing House) ID Type: Company Registrar Number in Israel ID Number: 515736817
    2. Nature of Change: Redemption
    3. Date of Change: 30/09/2025
    4. Executed via TASE Clearing House: Yes
  • Type and Name of Security: Bonds (Series 11)

  • Security Number: 1178375
  • Holder's Balance in Last Report: 601,838,956
  • Holder's Balance After Change: 583,601,413
  • Total Change in Quantity: 18,237,543
  • Is this a grant of rights to purchase shares: No
  • Total consideration for allocated securities: _________
  • Security number of the share resulting from exercise: _________
  • Number of shares resulting from full exercise/conversion: _________
  • Total additional consideration from full exercise/conversion: _________
  • Period during which the security can be exercised: _________
  • From date: _________ To date: _________
  • Allocated securities will be listed for trading: _________
  • Allocation is a continuation of: _________ published on _________, reference number _________
  • The security was fully paid and consideration was fully received.
  • The security was fully paid, but consideration was not fully received.
  • Issued for ATM program
  • Other: _________

Explanations:

    1. If the change affects more than one security, the effect of the change should be detailed in a separate row for each security.
    1. Date of change all changes of the same type, in the same security, made on one day, will be summarized in one row. For this purpose – changes made through the TASE Clearing House should be separated from those made directly in the company's books.
    1. For a decrease, add the sign "-".
    1. All quantity fields should indicate the number of securities, not NIS par value.

3. Main Shareholder Register as of the Reporting Date:

No. Name of
Registered
Shareholder
ID Type ID
Number
Security
Number
on TASE
Type of
Shares
and Par
Value
Number
of Shares
Holds
Shares
as
Trustee
1 TASE-CH (Tel
Aviv Stock
Exchange
Clearing
House) Ltd.
Company
Registrar
Number
in Israel
515736817 1104488 Ordinary
share of
0.01 NIS
par
value
36,657,752 No

4. Attached is a file of the shareholder register in accordance with Section 130 of the Companies Law, 1999

Shareholder_Register_30_September_2025_isa.pdf alt: Shareholder register file for 30 September 2025

5. Attached is an updated file of the corporation's securities registers, including the register of warrant holders and the register of bondholders

Securities_Register_30_September_2025_isa.pdf alt: Securities register file for 30 September 2025

Authorized Signatories for the Corporation:

No. Name Position
1 Chaim
Onplus
CFO
2 Shani
Turgeman
Levi
Other:
Legal
Advisor
and
Company
Secretary

Explanation: According to Regulation 5 of the Periodic and Immediate Reports Regulations (1970), a report submitted under these regulations must be signed by those authorized to sign on behalf of the corporation. Staff position on the matter can be found on the Authority's website: Click here

The actions detailed in sections 1-3 above were carried out between 7.9.25-10.9.25

Reference numbers of previous documents on the subject (the mention does not constitute inclusion by reference):

Securities of the corporation are listed for trading on the Tel Aviv Stock Exchange

Short Name: MEGA OR HOLDINGS LTD

Address: MEGA OR House, --, Moshav Shilat, 73188 Phone: 08-9744880 Fax: 08-9744898

Email: [email protected]

Previous names of the reporting entity:

Electronic reporter name: Levi Shani Chaya Position: Attorney, Company Secretary

Address: Shilat Industrial Area, 117, Shilat, 7318800 Phone: 08-9744880 Fax: 08-9744898 Email: [email protected]

Form structure update date: 06/08/2024

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