Major Shareholding Notification • Jan 8, 2026
Major Shareholding Notification
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| ce as or r | , 0 1, _0 | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Type of identification number | Identification number |
Country of Citizenship / Incorporation or Registration |
Name, type, and series of the security |
Stock exchange security number |
Updated quantity of securities |
Balance in previous central report (quantity of securities) | Change in quantity of securities (-/+) | Maximum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Minimum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Is the holder allowed to report the change in holdings cumulatively |
Remarks |
| Identity card number | 1351675 | Israel | Government Bond '3' |
140102 1 | 46,666 | 46,666 | 0 | No | Among the interested parties in Margan. Held jointly with Mr. Alexander Lifshitz. |
||
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '1' |
132323 1 | 0 | 166,346 | 166,346- | 0.5% | 0% | Yes | |
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '3' |
140102 1 | 36,323,285 | 36,323,285 | 0 | 5.14% | 5.14% | Yes | The holdings listed under Pension+Provident include holdings of the Partnership Government Bond 106' Netzrani in Israel, of which all the rights holders are companies from the Institutional Reporting Group of the Menora Mivtachim group (amount of 36,323,284.63 par value). The partnership itself is not a provident fund management company. According to the partnership agreement between the rights holders, the holding rates of the right owners in the partnership change frequently, according to the mechanism set in the partnership agreement. As of 12.31.2025, the following are the holding rates in Government Bond 106' Netzrani basket: 25.8% Amitim Participating in Profits 74.2% Pension+Provident |
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '4' |
182989 1 | 52,504,884 | 57,137,668 | 4,632,784- | 4.37% | 4.01% | Yes | The holdings listed under Pension+Provident include holdings of the Partnership Government Bond 106' Netzrani in Israel, of which all the rights holders are companies from the Institutional Reporting Group of the Menora Mivtachim group (amount of 52,504,884.20 par value). The partnership itself is not a provident fund management company. According to the partnership agreement between the rights holders, the holding rates of the right owners in the partnership change frequently, according to the mechanism set in the partnership |
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.
| Type of identification number | Identification number |
Country of Citizenship / Incorporation or Registration |
Name, type, and series of the security |
Stock exchange security number |
Updated quantity of securities | Balance in previous central report (quantity of securities) | Change in quantity of securities (-/+) | Maximum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Minimum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Is the holder allowed to report the change in holdings cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| agreement. As of 12.31.2025, the following are the holding rates in Government Bond 106' Netzrani basket: 25.8% Amitim Participating in Profits 74.2% Pension+Provident |
| Type of identification number | Identification number |
Country of Citizenship / Incorporation or Registration |
Name, type, and series of the security |
Stock exchange security number |
Updated quantity of securities | Balance in previous central report (quantity of securities) | Change in quantity of securities (-/+) | Maximum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Minimum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Is the holder allowed to report the change in holdings cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Identity card number |
1351675 | Israel | Government Bond '3' |
140102 1 | 46,666 | 46,666 | 0 | No | Among the interested parties in Margan. Held jointly with Mr. Alexander Lifshitz. |
||
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '1' |
132323 1 | 0 | 166,346 | 166,346- | 0.5% | 0% | Yes | |
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '3' |
140102 1 | 36,323,285 | 36,323,285 | 0 | 5.14% | 5.14% | Yes | The holdings listed under Pension+Provident include holdings of the Partnership Government Bond 106' Netzrani in Israel, of which all the rights holders are companies from the Institutional Reporting Group of the Menora Mivtachim group (amount of 36,323,284.63 par value). The partnership itself is not a provident fund management company. According to the partnership agreement between the rights holders, the holding rates of the right owners in the partnership change frequently, according to the mechanism set in the partnership agreement. As of 12.31.2025, the following are the holding rates in Government Bond 106' Netzrani basket: 25.8% Amitim Participating in Profits 74.2% Pension+Provident |
This is an unofficial Al 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.
| Type of identification number | Identification number |
Country of Citizenship / Incorporation or Registration |
Name, type, and series of the security |
Stock exchange security number |
Updated quantity of securities |
Balance in previous central report (quantity of securities) | Change in quantity of securities (-/+) |
Maximum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Minimum holding percentage in the security during the reporting period (relevant only for institutional reporting groups) | Is the holder allowed to report the change in holdings cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number in the Companies Register in Israel |
520007469 | Israel | Government Bond '4' |
182989 1 | 52,504,884 | 57,137,668 | 4,632,784- | 4.37% | 4.01% | Yes | The holdings listed under Pension+Provident include holdings of the Partnership Government Bond 106' Netzrani in Israel, of which all the rights holders are companies from the Institutional Reporting Group of the Menora Mivtachim group (amount of 52,504,884.20 par value). The partnership itself is not a provident fund management company. According to the partnership agreement between the rights holders, the holding rates of the right owners in the partnership change frequently, according to the mechanism set in the partnership agreement. As of 12.31.2025, the following are the holding rates in Government Bond 106' Netzrani basket: 25.8% Amitim Participating in Profits 74.2% Pension+Provident |
| Type of identication number |
Identication number |
Country of citizenship/ incorporation or registration |
Name, type and series of the security |
Stock exchange security number |
Updated amount of securities |
Balance in previous central report (amount of securities) |
Change in the amount of securities (+/-) |
Maximum holding rate in the security during the report period (relevant only to the institutional reporting group) |
Minimum holding rate in the security during the report period (relevant only to the institutional reporting group) |
Is the holder permitted to report the change in holding cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 1' | 132323 1 0 | 91,198 | 91,198-, 1,098 |
0.27% | 0% | Yes | ||
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 3' | 140102 1 33,594 | 33,594 | 0 | 0% | 0% | Yes | ||
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 4' | 182989 1 24,554,852 26,721,457 2,166,605- | 2.04% | 1.88% | Yes | ||||
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 1' | 132323 1 0 | 1,283,665 | 1,283,665- | 3.82% | 0% | Yes | The holdings in bonds (series 1) of the company appearing under provident funds and company for the management of provident funds do not include direct holdings of a management company and include holdings of interested parties-partnerships - investment basket - All Bond 106' Israeli corporate index linked (quantity of 0 par value). The General Group Members Partnership – All Bond 106' Israeli corporate index linked: is a registered general partnership whose right holders are all companies in the Clal Group. The partnership itself is not a management company and/or prot-sharing life insurance accounts. According to the agreements between the parties in the partnership, the holding rate of the right holders in the partnership changes frequently, according to the mechanism specied in |
| This is an unofficial AI generated translation | of the official Hebrew | version and has no binding force | e. The only binding version | is the official Hebrew |
|---|---|---|---|---|
| version. For more information, please review |
| the partnership agreement. | |||||
|---|---|---|---|---|---|
| The holding rates of the right | |||||
| holders in the partnership in | |||||
| the Group Members | |||||
| Partnership – Clal All Bond | |||||
| 106' Israeli corporate index | |||||
| linked as of 31.12.2025 are | |||||
| detailed as follows: Pension | |||||
| and Provident 50.2%; Mivtach | |||||
| – Profit-sharing 44.9%; Atudot | |||||
| – Pension Fund for | |||||
| Employees and Self-employed | |||||
| 4.9%. | |||||
| Type of identification number | Identification number |
Country of citizenship/incorporation or registration | Name, type and series of the security |
Stock exchange security number |
Updated amount of securities |
Balance in previous central report (amount of securities) | Change in the amount of securities (+/-) | Maximum holding rate in the security during the report period (relevant only to the institutional reporting group) | Minimum holding rate in the security during the report period (relevant only to the institutional reporting group) | Is the holder permitted to report the change in holding cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 1' | 132323 1 | 0 | 91,198 | 91,198-, 1,098 |
0.27% | 0% | Yes | |
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 3' | 140102 1 | 33,594 | 33,594 | 0 | 0% | 0% | Yes | |
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 4' | 182989 1 | 24,554,852 | 26,721,457 | 2,166,605- | 2.04% | 1.88% | Yes | |
| Registrar of Companies number in Israel |
520036120 | Israel | Bond 1' | 132323 1 | 0 | 1,283,665 | 1,283,665- | 3.82% | 0% | Yes | The holdings in bonds (series 1) of the company appearing under provident funds and company for the management of provident funds do not include direct holdings of a management company and include holdings of interested parties-partnerships - investment basket - All Bond 106' Israeli corporate index linked (quantity of 0 par value). The General Group Members Partnership – All Bond 106' Israeli corporate index linked: is a registered general partnership whose right holders are all |
| companies in the Clal Group. | |||
|---|---|---|---|
| The partnership itself is not a | |||
| management company and/or | |||
| prot-sharing life insurance | |||
| accounts. According to the | |||
| agreements between the | |||
| parties in the partnership, the | |||
| holding rate of the right | |||
| holders in the partnership | |||
| changes frequently, according | |||
| to the mechanism specied in | |||
| the partnership agreement. | |||
| The holding rates of the right | |||
| holders in the partnership in | |||
| the Group Members | |||
| Partnership – Clal All Bond | |||
| 106' Israeli corporate index | |||
| linked as of 31.12.2025 are | |||
| detailed as follows: Pension | |||
| and Provident 50.2%; Mivtach | |||
| – Prot-sharing 44.9%; Atudot | |||
| – Pension Fund for | |||
| Employees and Self-employed | |||
| 4.9%. |
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
| Type of identication number |
Identication number |
Country of citizenship / incorporation or registration |
Name, type, and series of the security |
Security number on the stock exchange |
Updated number of securities |
Balance in previous central report (number of securities) |
Change in the number of securities (+/-) |
Maximum holding percentage in the security during the report period (relevant only for institutional reporting group) |
Minimum holding percentage in the security during the report period (relevant only for institutional reporting group) |
Is the holder permitted to report the change in holding cumulatively |
Notes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number in the Companies Register in Israel |
520017450 | Israel | Bond 1' | 132323 1 0 | 164,653 | 164,653- | 0.49% | 0% | Yes | According to information provided to the company, Phoenix Financials Ltd. is a public company with no controlling core. |
|
| Number in the Companies Register in Israel |
520017450 | Israel | Bond 3' | 140102 1 23,238,343 23,225,124 13,219 | 3.29% | 2.88% | Yes | According to information provided to the company, Phoenix Financials Ltd. is a public company with no controlling core. The holdings in the bonds (Series 3) of the company appearing under the provident funds include holdings by the 106th Tradable Corporate Bond Partnership (Partnership 1) totaling 17,251,551.27 par value of bonds (Series 3) of the company, holdings by the Bond Index Partnership (Partnership 2) totaling 749,499.27 par value of bonds (Series 3) of the company, and holdings by provident funds totaling 5,237,292.46 par value of bonds (Series 3) of the company. The ownership percentages for rights holders in Partnership 1 are: Phoenix Pension and Provident 57.73%, Meitav Participating 42.27%. The ownership percentages for rights holders in Partnership 2 are: Phoenix Pension and Provident 5.58%, Meitav Participating 94.42%. |
|||
| Number in the Companies |
520017450 | Israel | Bond 4' | 182989 1 35,657,759 38,666,533 3,008,774- | 2.84% | 2.60% | Yes | According to information provided to the company, Phoenix Financials Ltd. is a public company with no |
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.
| Register in | controlling core. The holdings | |||||
|---|---|---|---|---|---|---|
| Israel | in the bonds (Series 4) of the | |||||
| company appearing under the | ||||||
| provident funds include | ||||||
| holdings by the 106th | ||||||
| Tradable Corporate Bond | ||||||
| Partnership (Partnership 1) | ||||||
| totaling 14,443,922.04 par | ||||||
| value of bonds (Series 4) of | ||||||
| the company, holdings by the | ||||||
| Bond Index Partnership | ||||||
| (Partnership 2) totaling | ||||||
| 2,206,150.40 par value of | ||||||
| bonds (Series 4) of the | ||||||
| company, and holdings by | ||||||
| provident funds totaling | ||||||
| 19,007,686.22 par value of | ||||||
| bonds (Series 4) of the | ||||||
| company. The ownership | ||||||
| percentages for rights | ||||||
| holders in Partnership 1 are: | ||||||
| Phoenix Pension and | ||||||
| Provident 57.73%, Meitav | ||||||
| Participating 42.27%. The | ||||||
| ownership percentages for | ||||||
| rights holders in Partnership | ||||||
| 2 are: Phoenix Pension and | ||||||
| Provident 5.58%, Meitav | ||||||
| Participating 94.42%. | ||||||
| Type of identication number |
Identication number |
Country of citizenship / incorporation or registration |
Name, type and series of the security |
Stock exchange security number |
Updated quantity of securities |
Balance in previous central report (quantity of securities) |
Change in quantity of the securities (+/-) |
Maximum holding percentage in the security during the report period (relevant only to the institutional reporting group) |
Minimum holding percentage in the security during the report period (relevant only to the institutional reporting group) |
Is the holder allowed to report the change in holdings on a cumulative basis |
Notes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number in Israeli Companies Registrar |
520017450 | Israel | Bond 5' | 199579 1 44,046,545 50,959,586 | 6,913,041- | 14.56% | 5.33% | Yes | According to information given to the company, Phoenix Financials Ltd is a public company without a controlling core. Holdings of Partnership '106 Nitzrani Tradable Bonds' (Partnership 1) in the amount of 43,312,175.50 par value of the company's bonds (Series 5), and holdings of 'Bond Index Partnership' (Partnership 2) in the amount of 734,369.20 par value of the company's bonds (Series 5). The ownership percentages in Partnership 1 are: Phoenix Pension and Provident 57.73%, Meitav Participating 42.27%. The ownership percentages in Partnership 2 are: Phoenix Pension and Provident 5.58%, Meitav-Participating 94.42%. |
||
| Number in Israeli Companies Registrar |
520017450 | Israel | Bond 4' | 182989 1 100,643 | 109,524 | 8,881- | 0.01% | 0.01% | Yes | According to information given to the company, Phoenix Financials Ltd is a public company without a controlling core. |
|
| Number in Israeli Companies Registrar |
520041989 | Israel | Bond 3' | 140102 1 34,035,732 38,314,491 | 4,278,759- | 7.01% | 4.75% | Yes | According to the holder's notice, as of 31.12.2025, the outstanding balance of the holder's loan is 3,887,962 par value, the company's bonds Series 3. |
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.
| Number in Israeli Companies Registrar |
520041989 | Israel | Bond 4' | 182989 1 95,400,973 105,883,389 | 6,041,241- | 8.02% | 7.17% | Yes | According to the holder's notice, as of 31.12.2025, the outstanding balance is 617,799 par value of the company's bonds Series 4. |
||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number in Israeli Companies Registrar |
520041989 | Israel | Bond 5' | 199579 1 51,690,730 51,456,765 | 233,965 | 14.75% | 5.92% | Yes | According to the holder's notice, as of 31.12.2025, the outstanding balance is 10,762,794 par value of the company's bonds Series 5. |
||
| Number in Israeli Companies Registrar |
520041989 | Israel | Bond 3' | 140102 1 636,039 | 174 | 635,865 | 0.22% | 0% | Yes |
| Type of identification number | Identification number |
Country of citizenship / incorporation or registration | Name, type, and series of security '330 |
Security number on the stock exchange |
Updated quantity of securities | Balance in previous centralized report (quantity of securities) | Change in quantity of securities (-/+) |
Maximum holding rate in the security during the report period (relevant only for an institutional reporting group) | Minimum holding rate in the security during the report period (relevant only for an institutional reporting group) | Is the holder allowed to report the change in holding cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number in Israeli Companies Registrar |
520041989 | Israel | Gov't bond 4 |
182989 1 | 81,132 | 30,513 | 50,619 | 0.03% | 0% | Yes | |
| Number in Israeli Companies Registrar |
520041989 | Israel | Gov't bond 5 |
199579 1 | 90,941 | -562 | 91,503 | 0.03% | 0% | Yes | |
| Number in Israeli Companies Registrar |
520033986 | Israel | Gov't bond 1 |
132323 1 | 0 | 17,804 | -17,804 | 0.05% | 0% | Yes | |
| Number in Israeli Companies Registrar |
520033986 | Israel | Gov't bond 3 |
140102 1 | 109 | 29,308 | -29,199 | 0.05% | 0% | Yes | |
| Number in Israeli Companies Registrar |
520033986 | Israel | Gov't bond 3 |
1401021 | 566,225 | 566,225 | 0 | 0.08% | 0.08% | Yes | Holdings shown under provident funds are direct holdings of the provident funds (566,244.64 par value) |
| Number in Israeli Companies Registrar |
520033986 | Israel | Gov't bond 4 |
182989 1 | 2,337,580 | 2,621,216 | -283,636 | 0.19% | 0.18% | Yes | Holdings shown under provident funds are direct holdings of the provident funds (2,337,579.87 par value) |
| Type of identication number |
Identication number |
Country of citizenship / incorporation or registration |
Name, type and series of the security |
Security number on the stock exchange |
Updated quantity of securities |
Balance in previous centralized report (quantity of securities) |
Change in the quantity of securities (+/-) |
Maximum holding percentage in the security during the report period (relevant only to the institutional reporting group) |
Minimal holding percentage in the security during the report period (relevant only to the institutional reporting group) |
Is the holder entitled to report the change in holding on an aggregate basis |
Notes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 5 |
199579 1 70,091,271 65,517,127 | 4,574,144 | 8.91% | 6.80% | Yes | Holdings appearing under provident funds are direct holdings of the provident funds (14,025,000 par value) and holdings via Harel Amitim Government Bond 106 CPI linked partnership are (56,066,270.65 par value). The holding rates in the Harel Amitim Government Bond 106 CPI-linked partnership are: Mivtach 44.88% and Gamel 55.12%. The partnership is a partnership registered in the partnership registry, and all of the rights holders are companies from the Harel institutional reporting group. The partnership itself is not a company for managing provident funds. According to the partnership agreements between the rights holders in the partnership, the holding percentages of the rights holders change regularly, according to the mechanism set in the partnership agreements. |
||
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 1 |
132323 1 0 | 1,999,437 | 1,999,437- | 5.95% | 0% | Yes | ||
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 3 |
140102 1 27,694,040 31,977,932 | 4,283,892- | 6.26% | 3.92% | Yes |
This is an unofficial Al 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.
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 4 |
182989 1 | 64,551,648 | 57,035,601 | 7,516,047 | 5.37% | 3.99% | Yes | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 5 |
199579 1 | 21,875,472 | 16,028,743 | 5,846,729 | 2.71% | 1.84% | Yes |
| Type of identification number | Identification number |
Country of citizenship / incorporation or registration | Name, type and series of the security |
Security number on the stock exchange |
Updated quantity of securities |
Balance in previous centralized report (quantity of securities) | Change in the quantity of securities (+/-) |
Maximum holding percentage in the security during the report period (relevant only to the institutional reporting group) | Minimal holding percentage in the security during the report period (relevant only to the institutional reporting group) | Is the holder entitled to report the change in holding on an aggregate basis | Notes |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 5 |
199579 1 | 70,091,271 | 65,517,127 | 4,574,144 | 8.91% | 6.80% | Yes | Holdings appearing under provident funds are direct holdings of the provident funds (14,025,000 par value) and holdings via Harel Amitim Government Bond 106 CPI-linked partnership are (56,066,270.65 par value). The holding rates in the Harel Amitim Government Bond 106 CPI-linked partnership are: Mivtach 44.88% and Gamel 55.12%. The partnership is a partnership registered in the partnership registery, and all of the rights holders are companies from the Harel institutional reporting group. The partnership itself is not a company for managing provident funds. According to the partnership, the holding percentages of the rights holders change regularly, according to the mechanism set in the partnership agreements. |
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 1 |
132323 1 | 0 | 1,999,437 | 1,999,437- | 5.95% | 0% | Yes |
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.
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 3 |
140102 1 27,694,040 31,977,932 | 4,283,892- | 6.26% | 3.92% | Yes | |
|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 4 |
182989 1 64,551,648 57,035,601 | 7,516,047 | 5.37% | 3.99% | Yes | |
| Number at the Israeli Companies Registrar |
520033986 | Israel | Government Bond 5 |
199579 1 21,875,472 16,028,743 | 5,846,729 | 2.71% | 1.84% | Yes |
| Type of identication number |
Identication number |
Country of citizenship / incorporation or registration |
Name, type, and series 330' of the security |
Stock exchange security number |
Updated quantity of securities |
Balance in previous central report (quantity of securities) |
Change in quantity of securities (+/-) |
Maximum holding rate in the security during the reporting period (relevant only for institutional reporting group) |
Minimum holding rate in the security during the reporting period (relevant only for institutional reporting group) |
Is the holder permitted to report the change in holdings cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Commercial Papers (Series 2) |
197714 1 | 40,000,000 | 40,000,000 | 0 | 20% | 0% | Yes |
| Type of identication number |
Identication number |
Country of citizenship / incorporation or registration |
Name, type, and series 330' of the security |
Stock exchange security number |
Updated quantity of securities |
Balance in previous central report (quantity of securities) |
Change in quantity of securities (+/-) |
Maximum holding rate in the security during the reporting period (relevant only for institutional reporting group) |
Minimum holding rate in the security during the reporting period (relevant only for institutional reporting group) |
Is the holder permitted to report the change in holdings cumulatively |
Remarks |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Number at the Israeli Companies Registrar |
520033986 | Israel | Commercial Papers (Series 2) |
197714 1 | 40,000,000 | 40,000,000 | 0 | 20% | 0% | Yes |
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