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Big Shopping Centers Ltd.

Registration Form Nov 9, 2025

6688_rns_2025-11-09_2cbc01c6-fc1e-4499-ad34-24e7df0e45c3.pdf

Registration Form

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The Company's Securities Ledger

Name of Security Holder Company
Number
Security
Number
Quantity
Stock
Exchange
Registration
Company
Ltd.
(Tel
Aviv
Stock
Exchange
Ltd.)
515736817 1097260 25,061,677
Sahar
Holdings
(1967)
Ltd.
520032418 1097260 10

Register of Shareholders

Register of Bondholders

BOND
SERIES
SECURITY
NUMBER
NAME AND ADDRESS OF
HOLDER
CURRENT QUANTITY (PAR
VALUE)
REDEMPTION
DATES
1 11.6.2017 353,432,000
NIS
2 8.2.2018 297,915,000
NIS
3 11.6.2018 60,000,000
NIS
20.12.2018 (28,453,880
NIS)
19.12.2019 (28,453,880
NIS)
20.12.2020 (28,453,880
NIS)
20.12.2021 (28,453,880
NIS)
20.12.2022 (28,453,880
NIS)
20.12.2023 (64,021,230
NIS)
20.12.2024 (168,304,700
NIS)
BOND SECURITY NAME AND ADDRESS OF CURRENT QUANTITY (PAR REDEMPTION
SERIES NUMBER HOLDER VALUE) DATES
1 29.7.2018 263,000,000
NIS
Certicate Number Issue and Transfer Date to the Holder / Maturity Date Quantity at the Issue/Maturity Date
2 4.4.2019 210,000,000
NIS
20.10.2019 (23,650,000
NIS)
20.10.2020 (23,650,000
NIS)
20.10.2021 (23,650,000
NIS)
20.10.2022 (23,650,000
NIS)
3 27.8.2023 155,426,000
NIS
22.10.2023 (33,364,125
NIS)

Redemption Dates

Current Quantity (Par Value)

Holder Name and Address

Security Number

Bond Series

Bond
Series
Security
Number
Holder Name and Address Current Quantity
(Par Value)
Redemption Dates
Series
13
1159516 The
Tel
Aviv
Stock
Exchange
Ltd.
Registration
Company,
Company
No.
515736817
579,958,000
NIS
The
bonds
(Series
13)
are
due
for
redemption
in
8
(eight)
unequal
payments,
as
follows:
The
rst
4
(four)
payments
will
be
paid
on
March
25
of
each
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 30.7.2019 480,000,000
NIS
25.3.2020 (21,600,000
NIS)
25.3.2021 (21,600,000
NIS)
25.3.2022 (21,600,000
NIS)
25.3.2023 (21,600,000
NIS)
2 22.10.2024 186,358,000
NIS
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 3.12.2019 375,000,000
NIS
30.11.2020 (15,000,000
NIS)
30.11.2021 (15,000,000
NIS)
30.11.2022 (15,000,000
NIS)
30.11.2023 (15,000,000
NIS)
30.11.2024 (15,000,000
NIS)
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 13.1.2020 600,000,000
NIS
2 9.7.2020 219,728,000
NIS
31.1.2021 (32,789,120
NIS)
31.1.2022 (32,789,120
NIS)
31.1.2023 (32,789,120
NIS)
31.1.2024 (32,789,120
NIS)
Holder Name and Address Current Quantity (Par Value)
undened undened undened undened
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 22.3.2021 575,767,000
NIS
2 9.9.2021 368,756,000
NIS
3 6.1.2022 305,477,000
NIS
30.3.2023 (62,500,000
NIS)
30.3.2025 (62,499,999
NIS)
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 17.10.2021 205,000,000
NIS
1 30.10.2022 (8,200,000
NIS)
1 30.10.2023 (8,200,000
NIS)
1 30.10.2024 (8,200,000
NIS)
2 23.03.2025 138,000,000
NIS
Bond Series Security Number Holder Name and Address Current Quantity (Par Value) Redemption Dates
1 2.5.2022 594,835,000
NIS
30.4.2023 (35,690,100
NIS)
Certicate Number Issuance and Transfer Date to the Holder / Maturity Date Quantity at the Time of Issuance / Maturity
30.4.2024 (35,690,100
NIS)
2 2.12.2024 500,000,000
NIS
30.4.2025 (46,520,673
NIS)
Bond
Series
Security
Number
Holder Name and
Address
Current Quantity
(Par Value)
Redemption
Dates
Bond
Series
Security
Number
Holder Name and
Address
Current Quantity
(Par Value)
Redemption
Dates

Warrants

Holder of the Security Details Security Issue
Date
Security
Number
Quantity Last Exercise
Date
The
TASE
Nominee
Company
for
Securities
Ltd.
C.N.
515736817,
2
Ahuzat
Bayit
St.,
Tel
Aviv
Warrants
(Series
7)
2.12.2024 1214345 755,749 1.6.2026

Commercial Papers Registry

Holder of the Security Details Security Issue
Date
Security
Number
Quantity at
Issuance (par
value)
Maturity
Date
The
TASE
Nominee
Company
for
Securities
Ltd.
C.N.
515736817,
2
Ahuzat
Bayit
St.,
Tel
Aviv
Commercial
Papers
Series
3
(not
traded)
7.12.2023 1201490 150,000,000 6.12.2025
The
TASE
Nominee
Company
for
Securities
Ltd.
C.N.
515736817,
2
Ahuzat
Bayit
St.,
Tel
Aviv
Commercial
Papers
Series
5
(traded)
8.6.2025 1223114 250,000,000 6.6.2026
Bond
Series
Security
Number
Holder Name and
Address
Current Quantity
(Par Value)
Redemption
Dates

Register of Option Holders (Unlisted)

Details of Security Holder Security Security
Number
Quantity Grant Date
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
09-22
Employee
Options
1190149 237,404 27.3.2022
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
Other
Director
Options
1194794 13,933 30.3.2023
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
Other
Director
Options
1194794 9,250 5.3.2025
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
Employees
1201722 353,416 14.12.2023
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
Employees
1201722 160,000 1.1.2024
Altshuler
Trusts
Ltd
C.N.
513901330,
19
HaBarzel
St.,
Tel
Aviv
BIG
AP
Employees
1201722 199,000 3.1.2024

Options Warrants

Register of Commercial Securities

Bond
Series
Security
Number
Holder Name and
Address
Current Quantity
(Par Value)
Redemption
Dates

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