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Ashtrom Group Ltd.

Major Shareholding Notification Jan 8, 2026

6656_rns_2026-01-08_24027d2f-bc1a-40b7-af1d-78f99f090a57.pdf

Major Shareholding Notification

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Below is the balance as of 12/31/2025

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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