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Azelis Group NV Major Shareholding Notification 2025

Jan 23, 2025

3909_mrq_2025-01-23_a8d20cc4-1c55-4fb9-9c7e-ff3cd543af46.pdf

Major Shareholding Notification

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Azelis news release REGULATED INFORMATION

January 23, 2025

Transparency notifications from BlackRock, Inc.

Antwerp (Belgium), January 23, 2025 – 8:00 pm CET – In accordance with Article 14 of the Belgian Transparency law of May 2, 2007, Azelis Group NV announces that it has received four transparency notifications from Blackrock, Inc.:

  • one transparency declaration dated December 30, 2024 received on 23 January, 2025;
  • one transparency declaration dated January 13, 2025 received on 22 January, 2025;
  • one transparency declaration dated January 21, 2025 received on 21 January, 2025;
  • one transparency declaration dated January 22, 2025 received on 23 January, 2025.

1. Summary of the notifications

BlackRock, Inc. reported in the notification dated December 30, 2024, that on December 27, 2024, following an acquisition of voting securities, its shareholding increased and crossed the threshold of 3.00% in Azelis Group NV.

On December 27, 2024, BlackRock, Inc. (taking into account the holding of its affiliates) owned 7,365,142 shares with voting rights, representing 3.02% of the total number of shares issued by the company (243,921,719), versus 7,290,744 shares representing 2.99% in its previous notification dated December 25, 2024, as well as 1,079,391 equivalent financial instruments, representing 0.44% of the voting rights issued by the company, versus 1,172,309 equivalent financial instruments representing 0.48% in its previous notification dated December 25, 2024.

BlackRock, Inc. reported in the notification dated January 13, 2025, that on January 10, 2025, following a disposal of voting securities, its shareholding decreased and crossed downwards the threshold of 3.00% in Azelis Group NV.

On January 10, 2025, BlackRock, Inc. (taking into account the holding of its affiliates) owned 7,123,772 shares with voting rights, representing 2.92% of the total number of shares issued by the company (243,921,719), as well as 1,101,908 equivalent financial instruments, representing 0.45% of the voting rights issued by the company.

BlackRock, Inc. reported in the notification dated January 21, 2025, that on January 20, 2025, following an acquisition of voting securities, its shareholding increased and crossed the threshold of 3.00% in Azelis Group NV.

On January 20, 2025, BlackRock, Inc. (taking into account the holding of its affiliates) owned 7,454,709 shares with voting rights, representing 3.06% of the total number of shares issued by the company

(243,921,719), as well as 717,811 equivalent financial instruments, representing 0.29% of the voting rights issued by the company.

BlackRock, Inc. reported in the notification dated January 22, 2025, that on January 21, 2025, following a disposal of voting securities, its shareholding decreased and crossed downwards the threshold of 3.00% in Azelis Group NV.

On January 21, 2025, BlackRock, Inc. (taking into account the holding of its affiliates) owned 7,304,972 shares with voting rights, representing 2.99% of the total number of shares issued by the company (243,921,719), as well as 863,733 equivalent financial instruments, representing 0.35% of the voting rights issued by the company.

2. Content of the notifications

Reason for the notifications

Acquisition or disposal of voting securities or voting rights

Notification by

A parent undertaking or a controlling person

Persons subject to the notification requirement

Name Address (for legal entities)
BlackRock, Inc. 50 Hudson Yards, New York, NY, 10001, U.S.A.
BlackRock Advisors (UK) Limited 12 Throgmorton Avenue, London, EC2N 2DL, U.K.
BlackRock Advisors, LLC 50 Hudson Yards, New York, NY, 10001, U.S.A.
BlackRock Asset Management Canada Limited 161 Bay Street, Suite 2500, Toronto, Ontario, M5J 2S1, Canada
BlackRock Asset Management Deutschland AG Lenbachplatz 1 1st Floor, Munich, 80333-MN3, Germany
BlackRock Financial Management, Inc. 50 Hudson Yards, New York, NY, 10001, U.S.A.
BlackRock Fund Advisors 400 Howard Street, San Francisco, CA, 94105, U.S.A.
BlackRock Institutional Trust Company, National Association 400 Howard Street, San Francisco, CA, 94105, U.S.A.
BlackRock Investment Management (Australia) Limited Level 37 Chifley Tower, 2 Chifley Square, Sydney NSW 2000, Australia
BlackRock Investment Management (UK) Limited 12 Throgmorton Avenue, London, EC2N 2DL, U.K.

Dates on which the threshold is crossed

December 27, 2024 January 10, 2025 January 20, 2025 January 21, 2025

Threshold that is crossed (in %)

3%

Denominator

243,921,719

Notified Details

December 27, 2024

A) Voting rights Previous notification After the transaction
# of voting rights # of voting rights % of voting rights
Holders of voting rights Linked to
securities
Not linked
to the
securities
Linked to
securities
Not
linked to
the
securities
BlackRock, Inc. 0 0 0,00%
BlackRock Advisors
(UK) Limited
197.062 202.183 0,08%
BlackRock Advisors,
LLC
80.658 80.658 0,03%
BlackRock Asset
Management Canada
Limited
60.567 60.567 0,02%
BlackRock Asset
Management
Deutschland AG
403.826 403.826 0,17%
BlackRock Financial
Management, Inc.
200 200 0,00%

BlackRock Fund
1.823.558
Advisors
1.822.598 0,75%
BlackRock Institutional
Trust Company,
National Association
1.347.578 1.347.560 0,55%
BlackRock Investment
Management (Australia)
Limited
328 328 0,00%
BlackRock Investment
Management (UK)
Limited
3.376.967 3.447.222 1,41%
Subtotal 7.290.744 7.365.142 3,02%
TOTAL 7.365.142 0 3,02% 0,00%
B) Equivalent
financial
instruments
After the transaction
Holders of
equivalent
financial
instruments
Type of financial
instrument
Expiration
date
Exercise
period or
date
# of voting
rights that
may be
acquired if
the
instrument
is
exercised
% of
voting
rights
Settlement
BlackRock
Advisors (UK)
Limited
Securities Lent 430.829 0,18% physical
BlackRock
Financial
Management, Inc.
Securities Lent 44.052 0,02% physical
BlackRock Fund
Advisors
Securities Lent 27.297 0,01% physical
BlackRock
Investment
Management (UK)
Limited
Securities Lent 577.213 0,24% physical
TOTAL 1.079.391 0,44%
TOTAL (A & B) # of voting
rights
% of voting
rights
-- --------------- ----------------------- -----------------------

January 10, 2025

A) Voting rights Previous
notification
After the transaction
# of voting rights # of voting rights % of voting rights
Holders of voting
rights
Linked to securities Not linked to
securities
Linked to securities Not linked to the
securities
BlackRock, Inc. 0 0 0.00%
BlackRock Advisors
(UK) Limited
202,183 167,675 0.07%
BlackRock Advisors,
LLC
80,658 80,658 0.03%
BlackRock Asset
Management Canada
Limited
60,567 60,567 0.02%
BlackRock Asset
Management
Deutschland AG
403,826 406,493 0.17%
BlackRock Financial
Management, Inc.
200 200 0.00%
BlackRock Fund
Advisors
1,822,598 1,821,870 0.75%
BlackRock
Institutional Trust
Company, National
Association
1,347,560 1,361,501 0.56%
BlackRock Investment
Management
(Australia) Limited
328 328 0.00%
BlackRock Investment
Management (UK)
Limited
3,447,222 3,224,480 1.32%
Subtotal 7,365,142 7,123,772 2.92%
TOTAL 7,123,772 0 2.92% 0.00%
B) Equivalent financial
instruments
After the transaction
---------------------------------------- -----------------------

Holders of equivalent
financial instruments
Type of
financial
instrument
Expiration date Exercise period or
date
# of voting
rights that
may be
acquired if
the
instrument is
exercised
% of
voting
rights
Settlement
BlackRock Advisors (UK)
Limited
Securities Lent 463,804 0.19% physical
BlackRock Financial
Management, Inc.
Securities Lent 44,052 0.02% physical
BlackRock Fund Advisors Securities Lent 27,297 0.01% physical
BlackRock Institutional Trust
Company, National Association
Securities Lent 6,800 0.00% physical
BlackRock Investment
Management (UK) Limited
Securities Lent 559,955 0.23% physical
TOTAL 1,101,908 0.45%
TOTAL (A & B) # of voting rights % of voting rights
CALCULATE 8,225,680 3.37%

January 20, 2025

A) Voting rights Previous notification After the transaction
# of voting rights # of voting rights % of voting rights
Holders of voting rights Linked to
securities
Not linked to the
securities
Linked to
securities
Not linked to
the securities
BlackRock, Inc. 0 0 0.00%
BlackRock Advisors (UK)
Limited
167,675 207,720 0.09%
BlackRock Advisors, LLC 80,658 80,658 0.03%
BlackRock Asset Management
Canada Limited
60,567 60,567 0.02%
BlackRock Asset Management
Deutschland AG
406,493 406,493 0.17%
BlackRock Financial
Management, Inc.
200 200 0.00%

BlackRock Fund Advisors 1,821,870 1,848,161 0.76%
BlackRock Institutional Trust
Company, National Association
1,361,501 1,345,901 0.55%
BlackRock Investment
Management (Australia)
Limited
328 328 0.00%
BlackRock Investment
Management (UK) Limited
3,224,480 3,504,681 1.44%
Subtotal 7,123,772 7,454,709 3.06%
TOTAL 7,454,709 0 3.06% 0.00%
B) Equivalent financial
instruments
After the transaction
Holders of equivalent
financial instruments
Type of financial
instrument
Expiration
date
Exercise
period or
date
# of voting
rights that may
be acquired if
the instrument
is exercised
% of voting
rights
Settlement
BlackRock Advisors (UK)
Limited
Securities Lent 423,759 0.17% physical
BlackRock Financial
Management, Inc.
Securities Lent 44,052 0.02% physical
BlackRock Institutional
Trust Company, National
Association
Securities Lent 6,800 0.00% physical
BlackRock Investment
Management (UK)
Limited
Securities Lent 243,200 0.10% physical
TOTAL 717,811 0.29%
TOTAL (A & B) # of voting
rights
% of voting
rights
CALCULATE 8,172,520 3.35%

January 21, 2025

A) Voting rights Previous notification After the transaction
# of voting rights # of voting rights % of voting rights

Holders of voting
rights
Linked to
securities
Not linked
to the
securities
Linked to
securities
Not linked
to the
S
securities
BlackRock, Inc. 0 0 0,00% 1
BlackRock Advisors
(UK) Limited
207.720 71.994 0,03% 1
BlackRock Advisors,
LLC
80.658 80.658 0,03% 1
BlackRock Asset
Management
Canada Limited
60.567 60.567 0,02% 1
BlackRock Asset
Management
Deutschland AG
406.493 408.321 0,17% 1
BlackRock Financial
Management, Inc.
200 200 0,00% 1
BlackRock Fund
Advisors
1.848.161 1.848.161 0,76% 1
BlackRock
Institutional Trust
Company, National
Association
1.345.901 1.352.619 0,55% 1
BlackRock
Investment
Management
(Australia) Limited
328 328 0,00% 1
BlackRock
Investment
Management (UK)
Limited
3.504.681 3.482.125 1,43% 1
Subtotal 7.454.709 7.304.973 2,99% S
TOTAL 7.304.973 0 2,99% 0,00%

B) Equivalent
financial
instruments
After the transaction
Holders of
equivalent
financial
instruments
Type of financial
instrument
Expiration
date
Exercise
period or
date
# of voting
rights that
may be
acquired if
the
instrument
is
exercised
% of
voting
rights
Settlement
BlackRock Advisors
(UK) Limited
Securities Lent 559.485 0,23% physical
BlackRock Financial
Management, Inc.
Securities Lent 44.052 0,02% physical
BlackRock
Investment
Management (UK)
Limited
Securities Lent 260.196 0,11% physical
TOTAL 863.733 0,35%
TOTAL (A & B) # of
voting
rights
% of
voting
rights
CALCULATE 8.168.706 3,35%

Chain of controlled undertakings through which the holding is effectively held, if applicable

Please see the full chain of control in "Chain of Control" tab.

Additional information

Notification dated December 27, 2024: The disclosure obligation arose due to voting rights attached to shares for BlackRock, Inc. going above 3%.

Notification dated January 13, 2025: The disclosure obligation arose due to voting rights attached to shares for BlackRock, Inc. going below 3%.

Notification dated January 21, 2025: The disclosure obligation arose due to voting rights attached to shares for BlackRock, Inc. going above 3%.

Notification dated January 22, 2025: The disclosure obligation arose due to voting rights attached to shares for BlackRock, Inc. going below 3%.

3. Further information

The full transparency notifications as well as this press release can be consulted on the Azelis Group NV's website.

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Contact information:

Azelis [email protected]

About Azelis

Azelis is a leading global innovation service provider in the specialty chemical and food ingredients industry, present in 63 countries across the globe with over 4,200 employees. Our knowledgeable teams of industry, market, and technical experts are each dedicated to a specific market within Life Sciences and Industrial Chemicals. We offer a lateral value chain of complementary products to more than 63,000 customers, supported by +2,800 principal relationships, creating a turnover of €4.2 billion (2023). Azelis Group NV is listed on Euronext Brussels under ticker AZE and is included in the BEL20 and BEL®ESG indices.

Across our extensive network of more than 70 application laboratories, our award-winning staff help develop formulations and provide technical guidance throughout the customers' product development process. We combine a global market reach with a local footprint to offer a reliable, integrated, and unique digital service to local customers and attractive business opportunities to principals. Top industry-rated by Sustainalytics, Azelis is a leader in sustainability. We believe in building and nurturing solid, honest, and transparent relationships with our people and partners.

Impact through ideas. Innovation through formulation. 

www.azelis.com