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Big Shopping Centers Ltd.

Share Issue/Capital Change Oct 9, 2025

6688_rns_2025-10-09_bf377e8d-c898-4a49-97ed-8e8462ff87f7.pdf

Share Issue/Capital Change

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BIG SHOPPING CENTERS LTD

BIG SHOPPING CENTERS LTD

Registration Number: 513623314

To: Israel Securities Authority To: TEL AVIV STOCK EXCHANGE LTD Form Number: T087 (Public)

Broadcasted on MAGNA: 09/10/2025 Israel Securities Authority: www.isa.gov.il TEL AVIV

STOCK EXCHANGE LTD: www.tase.co.il Reference: 2025-01-074453

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

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:

Employee options exercised

_________, _________, _________.

Explanation: Please 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
BIG
SHOPPING
CENTERS
LTD
Shares
1097260 420,000,000 Last
Report:
24,881,469
Current:
24,883,763
Bonds
(Series
8)
1138924 0 451,154,755 451,154,755
Bonds
(Series
9)
1141050 0 336,751,670 336,751,670
Bonds
(Series
11)
1151117 0 500,461,875 500,461,875
Bonds
(Series
12)
1156231 0 602,960,150 602,960,150
BIG
AP
01-19
1156686 0 12,584 10,084
Bonds
(Series
13)
1159516 0 579,958,000 579,958,000
Bonds
(Series
14)
1161512 0 300,000,000 300,000,000
Bonds
(Series
15)
1162221 0 688,571,520 688,571,520
Bonds
(Series
16)
1168442 0 156,800,000 156,800,000
Bonds
(Series
17)
1168459 0 176,000,000 176,000,000
Bonds
(Series
18)
1174226 0 1,125,000,001 1,125,000,001
Bonds
(Series
19)
1181007 0 318,400,000 318,400,000
Bonds
(Series
20)
1186188 0 976,934,127 976,934,127
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
BIG
AP
09-22
1190149 0 383,128 381,978
BIG
AP
Others
1194794 0 24,450 24,450
BIG
AP
Employees
1201722 0 712,416 712,416
Commercial
Papers
Series
3
1201490 0 150,000,000 150,000,000
Bonds
(Series
21)
1202217 0 536,000,000 536,000,000
Warrants
(Series
7)
1214345 0 850,000 850,000
Commercial
Papers
Series
5
1223114 0 250,000,000 250,000,000
Bonds
(Series
22)
1224948 0 235,000,000 235,000,000
Bonds
(Series
23)
1224955 0 343,000,000 343,000,000
Bonds
(Series
24)
1227032 0 1,081,374,000 1,081,374,000

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

2. The Corporation Announces That:

On the date: 08/10/2025

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

Description of the nature of the change: Employee options exercised

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

Details of the Change:

1.
Name
affected
of
registered
holder
by
the
change:
Altshuler
Trusts
Ltd.
identification
Type
of
number:
Number
in
the
Israeli
Companies
Register
Identification
number:
513901330
Nature
of
the
change:
Options
exercised
Date
of
change:
08/10/2025
Executed
via
TASE
clearing
house:
Yes
affected:
Type
and
name
of
security
BIG
AP
01-19
Security
number
on
TASE:
1156686
Holder's
balance
in
the
last
report:
12,584
Holder's
balance
after
the
change:
10,084
Total
quantity
of
securities
increased/decreased:
2,500
Is
this
a
grant
of
rights
to
purchase
shares:
No
Total
consideration
for
allocated
securities:
TASE
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:

To:
Allocated
securities
will
be
registered
for
trading:
Allocation
of
said
securities
is
in
continuation
of:

published
on:
,
reference
number:
The
security
was
fully
paid
and
the
consideration
was
fully
received.
2.
Name
affected
of
registered
holder
by
the
change:
Altshuler
Trusts
Ltd.
identification
Type
of
number:
Number
in
the
Israeli
Companies
Register
Identification
number:
513901330
Nature
of
the
change:
Options
exercised
Date
of
change:
08/10/2025

Security number on TASE: 1190149 Holder's balance in the last report: 383,128

Executed via TASE clearing house: Yes

  • Holder's balance after the change: 381,978
  • Total quantity of securities increased/decreased: 1,150

Type and name of security affected: BIG AP 09-22

Is this a grant of rights to purchase shares: No

disclaimer. 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
Total
consideration
for
allocated
securities:
TASE
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:

To:
Allocated
securities
will
be
registered
for
trading:
Allocation
of
said
securities
is
in
continuation
of:

published
on:
,
reference
number:
The
security
was
fully
paid
and
the
consideration
was
fully
received.
3.
Name
STOCK
affected
of
registered
holder
by
the
change:
Registration
Company
of
the
TEL
AVIV
EXCHANGE
LTD
identification
Type
of
number:
Number
in
the
Israeli
Companies
Register
Identification
number:
515736817
Nature
of
the
change:
Options
exercised
Date
of
change:
08/10/2025
Executed
via
TASE
clearing
house:
Yes
affected:
Type
and
name
of
security
BIG
SHOPPING
CENTERS
LTD
Shares
Security
number
on
TASE:
1097260
Holder's
balance
in
the
last
report:
24,881,459
Holder's
balance
after
the
change:
24,883,753
Total
quantity
of
securities
increased/decreased:
2,294
Is
this
a
grant
of
rights
to
purchase
shares:
No
Total
consideration
for
allocated
securities:
TASE
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:

To:
Allocated
securities
will
be
registered
for
trading:

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

reference number: _________

Allocation of said securities is in continuation of: _________ published on: _________,

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, performed on the same day, will be summarized in one row. For this purpose – changes performed via the TASE clearing house should be separated from those performed directly in the company's books.
    1. The change for a decrease, add the sign "-".

Description of the nature of the change: _________

  1. In all quantity fields, the quantity of securities should be entered, not NIS par value.

Change Only in the Register of Holders (No Change in Quantity):

A
change
occurred
only
in
the
register
of
holders
of
the
corporation's
securities
(without
a
change
in
the
quantity
of
the
corporation's
securities)
as
a
result
of:
Explanation:
Please
describe
all
details
of
the
transaction
or
action
that
caused
the
change
in

Details of the Change:

the register.

1.
Name
affected
of
registered
holder
by
the
change:
identification
Type
of
number:
Identification
number:
Date
of
change:
Executed
via
TASE
clearing
house:
affected:
Type
and
name
of
security
Security
number
on
TASE:
Quantity
of
change:
Holder's
balance
after
the
change:

3. Main Shareholder Register as of the Reporting Date:

No. Name
of
Registered
Shareholder
Type
of
ID
Number
ID
Number
Security
Number
on
TASE
Type
of
Shares
and
Par
Value
Number
of
Shares
Holds
Shares
as
Trustee
1

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

Shareholder Register 8 October 2025 (PDF)

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

Securities Register 8 October 2025 (PDF)

Details of the authorized signatories on behalf of the corporation:

No. Name
of
Signatory
Position
1 Efrat
Hayut
Mark
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.

Previous reference numbers of 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 LTD

Form structure update date: 06/08/2024

Short name: BIG SHOPPING CENTERS LTD

Address: Allied Cities Tower, 26th Floor, 0, Ramat Hasharon, 4713402 Phone: 073-2600420,

073-2600442 Fax: 073-2600426

Email: [email protected] Company website: www.bigcenters.co.il

Previous names of the reporting entity: BIG SHOPPING CENTERS LTD (2004) LTD

Electronic reporter name: Hayut Mark Efrat Position: Legal Advisor and Company Secretary Employer company name:

Address: Allied Cities Tower, 26th Floor, 0, Ramat Hasharon, 4713402 Phone: 073-2600407

Fax: 073-2600507 Email: [email protected]

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