Share Issue/Capital Change • Dec 2, 2025
Share Issue/Capital Change
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| Registry number: 514892801 |
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|---|---|---|---|---|
| To: Israel Securities Authority | ||||
| To: Tel Aviv Stock Exchange Ltd. | ||||
| Form number: T087 (Public) | ||||
| Sent via MAGNA: 02/12/2025 | ||||
| Reference: 2025-01-095488 | ||||
| Status of capital, granting of rights to purchase shares, and registers of the company's securities and any changes therein |
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| Regulation 31E to the Securities Regulations (Immediate Periodic Reports), 1970 | ||||
| Regulation 31(a) to the Securities Regulations (Immediate Periodic Reports), 1970 | ||||
| Regulation 31(b1) to the Securities Regulations (Immediate Periodic Reports), 1970 | ||||
| Regulation 32 to the Securities Regulations (Periodic and Immediate Reports), 1970 | ||||
| Nature of the change: | ||||
| Exercise of non-tradable warrants and redemption of securities | ||||
| Explanation: briefly describe the nature of the change | ||||
| Reference numbers of previous reports on the subject:,, | ||||
| Name and Type of Security |
Stock Exchange Number |
Quantity in Registered Capital |
Issued and Paid-Up Capital (Most Recent Report / Current Quantity) |
Amount Listed under the Name of the Registering Company |
|---|---|---|---|---|
| Ordinary Share | 1133875 | 900,000,000 | 357,736,144 / 357,736,984 | 357,736,984 |
| BONDS (Series 2') |
1141951 | 0 | 358,601,917 / 358,601,917 | 358,601,917 |
| BONDS (Series 3') |
1178417 | 0 | 1,036,660,853 / 956,917,711 | 956,917,711 |
| BONDS (Series 4') |
1226331 | 0 | 400,000,000 / 400,000,000 | 400,000,000 |
| Non-Tradable Warrants 12/14 |
1133883 | 0 | 410,444 / 410,444 | 0 |
| Non-Tradable Warrants 01/21 |
1171891 | 0 | 16,486,329 / 16,481,846 | 0 |
Explanation: all securities of the company, including unlisted securities, should be detailed.
Exercise of employee options according to the Option Plan 01/21 and partial redemption of BONDS Series 3'
Explanation: all details of the transaction or action that caused the change in securities must be described.
ID Number Type: Company Registrar in Israel
ID Number: 515736817
Nature of Change: Redemption
Change Date: 02/12/2025
Executed via Stock Exchange Clearinghouse: Yes
Type and Name of Security changed: BONDS (Series 3')
Security Number: 1178417
Holder's balance in this security in the last report: 1,036,660,853
Holder's balance in this security after change: 956,917,711
Total amount of security increased/decreased: 79,743,142
Is this the granting of rights to purchase shares: No
Total consideration for securities issued: ___
Stock exchange number for shares that will result from exercise: ___
Number of shares resulting from exercise/full conversion: ___
Total additional proceeds from full exercise/conversion to shares: ___
Period in which this security may be exercised: ___
From: ___ Until: ___
Securities to be issued will be registered for trading: ___
This allocation of securities is in continuation of: ___ published on: ___, reference number: ___
Other: Partial redemption according to the repayment schedule up to the report date
ID Number Type: Company Registrar in Israel
ID number: 515736817
| Nature of Change: Exercise of options |
|---|
| Change Date: 02/12/2025 |
| Executed via Stock Exchange Clearinghouse: Yes |
| Type and Name of Security changed: Ordinary shares |
| Security Number: 1133875 |
| Holder's balance in this security in the last report: 357,736,144 |
| Holder's balance in this security after change: 357,736,984 |
| Total amount of security increased/decreased: 840 |
| Is this the granting of rights to purchase shares: No |
| Total consideration for securities issued: |
| Stock exchange number for shares resulting from exercise: |
| Number of shares resulting from exercise/full conversion: |
| Total additional proceeds from full exercise/conversion to shares: |
| Period in which this security may be exercised: |
| From: Until: |
| Securities to be issued will be registered for trading: |
This allocation is in continuation of: ___ published on: ___, reference number: ___
Security fully redeemed, and consideration was fully received
ID Number Type: Company Registrar in Israel
ID number: 513540070
| 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. |
|---|
| Nature of Change: Exercise of options |
| Change Date: 02/12/2025 |
| Executed via Stock Exchange Clearinghouse: Yes |
| Type and Name of Security changed: Non-Tradable Warrants 01/21 |
| Security Number: 1171891 |
| Holder's balance in this security in the last report: 16,486,329 |
| Holder's balance in this security after change: 16,481,846 |
| Total amount of security increased/decreased: 4,483 |
| Is this the granting of rights to purchase shares: No |
| Total consideration for securities issued: |
| Stock exchange number for shares resulting from exercise: |
| Number of shares resulting from exercise/full conversion: |
| Remarks: | |
|---|---|
From: ___ Until: ___
Total additional proceeds from full exercise/conversion to shares: ___
Security fully redeemed, and consideration was fully received
This allocation is in continuation of: ___ published on: ___, reference number: ___
Period in which this security may be exercised: ___
Securities to be issued will be registered for trading: ___
Register of shareholders according to section 130 of the Companies Law, 1999: [מחזיקים_מרשם_isa.pdf]
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.
Updated files of the company's securities registers, including the option holders' register and bondholders' register: [מחזיקים_מרשם_- _Copy_isa.pdf]
| Name | Position(s) | |
|---|---|---|
| Adv. Amir Shaked | Chief Legal Advisor and Corporate Secretary |
Explanation: According to Regulation 5 of the Regulations for Periodic and Immediate Reports (1970), a report according to these regulations must be signed by those authorized to sign on behalf of the corporation. The staff's position on the subject can be found on the authority's website: Click here.
Address: Bareket 12, Petach Tikva 49170
Phone: 03-9169500 / 03-9169555
Fax: 03-9169600
Email: [email protected]
Company website: www.shapir.co.il
Securities of the corporation are registered for trading on the Tel Aviv Stock Exchange
Date of form structure update: 06/08/2024
Note: The following files are referenced but not displayed here, as they are PDFs:
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.
Images: No images in the original file.
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