Major Shareholding Notification • Jan 5, 2026
Major Shareholding Notification
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| Name of the Security Holder |
Company No. |
Security Number |
Quantity |
|---|---|---|---|
| The Registration Company of the Tel Aviv Stock Exchange Ltd. |
515736817 | 1097260 | 25,166,102 |
| Sahar Holdings (1967) Ltd. |
520032418 | 1097260 | 10 |
| Dates | |
|---|---|
| NIS | |
| Issue/Redemption Date |
|
| NIS | |
| NIS) | |
| NIS) | |
| (19,020,250 NIS) |
|
| NIS | |
| NIS) | |
| NIS) | |
| NIS) | |
| NIS | |
| NIS) | |
| NIS) | |
| NIS) | |
| Bond Series |
Security Number |
Address | Name of Holder and | Current Quantity (Par Value) | Maturity Dates | |||
|---|---|---|---|---|---|---|---|---|
| Series 9' |
||||||||
| Certicate | Number | Issuance and Transfer Holder/Redemption |
Date to Date |
Quantity at |
Issuance/Redemption | |||
| 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 | ||||||
| 21.12.2025 | (168,375,835) | NIS | ||||||
| Bond Series | Security Number | Name of Holder and Address Current Quantity (Par Value) |
Maturity Dates | |||||
| Series 11' |
||||||||
| Certicate | number | Issuance date and transfer |
to | holder/redemption date |
Quantity | at issuance/redemption |
||
|---|---|---|---|---|---|---|---|---|
| 1 | 29.7.2018 | 263,000,000 | NIS | |||||
| 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 | (33,412,365 | NIS) | ||||||
| Bond series |
Security number |
Holder name and address |
Current quantity (par value) |
Redemption dates |
||||
| Series 12' |
||||||||
| Certicate number |
Issuance date and transfer to holder/redemption date |
Quantity at issuance/redemption |
||||||
| 1 | 20.12.2018 | 270,000,000 NIS |
||||||
| 2 | 4.4.2019 | 225,171,000 NIS |
||||||
| 25.2.2020 | (19,806,840 NIS) |
|||||||
| 25.2.2021 | (19,806,840 NIS) |
|||||||
| 25.2.2022 | (19,806,840 NIS) |
|||||||
| 25.2.2023 | (19,806,840 NIS) |
|||||||
| 3 | 27.8.2023 | 250,486,000 NIS |
||||||
| 25.2.2024 | (31,734,745 NIS) |
|||||||
| 25.2.2025 | (31,734,745 NIS) |
|||||||
| Bond series |
Security number |
Holder name and address |
Current quantity Redemption (par value) |
dates | ||||
| Series 13' |
1159516 | The Registration Company the Tel Aviv Stock Exchange Ltd. |
of | 579,958,000 NIS |
The bonds redemption as follows: |
(Series 13') are due for in 8 (eight) unequal payments |
| Bond Series | Security Number | Name of Holder and Address | Current Quantity (Par Value) | Repayment Dates | |||||
|---|---|---|---|---|---|---|---|---|---|
| 2 | 22.10.2024 | 186,358,000 NIS |
|||||||
| Bond Series |
Security Number | Name of Holder and Address |
Current Quantity (Par Repayment Dates Value) |
||||||
| Bond Series |
Security No. |
Name | of Holder and Address |
Current Value) |
Quantity (Par |
Repayment Dates |
|||
| Certicate Number |
date | Issuance and transfer to holder date/redemption 30.7.2019 25.3.2020 |
Quantity at the time issuance/redemption |
of | |||||
| 1 | 480,000,000 NIS |
||||||||
| (1,200,000 NIS) |
|||||||||
| 25.3.2021 | (1,200,000 NIS) (1,200,000 NIS) (1,200,000 NIS) |
||||||||
| 25.3.2022 | |||||||||
| 25.3.2023 | |||||||||
| Bond Series | Security Number | Name of Holder and Address |
Current Quantity (Par Value) |
Repayment Dates |
|||||
| Bond Series |
Security No. |
Name of Holder and Address |
Current Quantity Value) |
(Par | Repayment Dates |
||||
| Series 15' |
|||||||||
| Certicate Number |
Issuance and to holder |
transfer | Quantity at the time issuance/redemption |
1162221 of |
The TASE Nominee Company Ltd., Reg. |
||||
| 1 | date/redemption | date | 13.1.2020 | NIS | 600,000,000 | No. 515736817, 2 Ahuzat Bayit Street, Tel Aviv |
688,571,520 NIS |
||
| 2 | 9.7.2020 | NIS | 219,728,000 | ||||||
| 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) |
| Bond Series |
Security Name and Number Address of Holder |
Current Amount (Par Value) | Repayment Dates | ||
|---|---|---|---|---|---|
| Series 16 1168442 |
The Tel-Aviv Stock Exchange Registration Company Ltd. Company No. 515736817, 2 Ahuzat Bayit St., Tel Aviv |
156,800,000 NIS |
|||
| Certicate Number |
Issue and Transfer Date to Holder / Maturity Date |
Amount at Issue/Maturity |
|||
| 1 | 7.9.2020 | 196,000,000 NIS |
|||
| 28.8.2021 | (7,840,000 NIS) |
||||
| 28.8.2022 | (7,840,000 NIS) |
||||
| 28.8.2023 | (7,840,000 NIS) |
||||
| 28.8.2024 | (7,840,000 NIS) |
||||
| 28.8.2025 | (7,840,000 NIS) |
| Bond Series |
Security Number |
Name and Address of Current Amount (Par Value) Holder |
Repayment Dates | ||
|---|---|---|---|---|---|
| Series 17 |
|||||
| Certicate Number |
Issue and Transfer Date to Holder / Maturity Date |
Amount at Issue/Maturity |
|||
| 1 | 7.9.2020 | 220,000,000 NIS |
|||
| 28.8.2021 | (8,800,000 NIS) |
||||
| 28.8.2022 | (8,800,000 NIS) |
||||
| 28.8.2023 | (8,800,000 NIS) |
||||
| 28.8.2024 | (8,800,000 NIS) |
||||
| 28.8.2025 | (8,800,000 NIS) |
| Bond Series |
Security Number |
Name and Address of the Holder |
Current | Amount (Par Value) |
Maturity Dates |
|
|---|---|---|---|---|---|---|
| Series 18 |
1174226 | The Ltd. Tel Aviv |
Stock Exchange Clearing House Company Company No. 515736817, 2 Ahuzat Bayit St., |
1,125,000,001 NIS |
||
| Certicate Number |
Issuance | and Transfer Date to Holder/Redemption Date |
Amount at Issuance/Redemption |
|||
| 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 Security Name and Address |
of | Current Amount (Par Value) |
Maturity Dates |
| Bond Series |
Security Number |
Name and Address of Current Amount (Par Value) the Holder |
Maturity Dates |
|
|---|---|---|---|---|
| Series 19 |
||||
| Certicate Number |
Issuance and Transfer Date to Holder/Redemption Date |
Amount at Issuance/Redemption |
||
| 1 | 17.10.2021 | 205,000,000 NIS |
||
| 30.10.2022 | (8,200,000 NIS) |
|||
| 30.10.2023 | (8,200,000 NIS) |
|||
| 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 |
|
|---|---|---|---|---|---|
| Series 20' |
|||||
| Certicate | Number | Issuance Date and Transfer to Holder/Redemption Date |
Quantity at Issuance/Redemption |
||
| 1 | 2.5.2022 | 594,835,000 NIS |
|||
| 30.4.2023 | (35,690,100 NIS) |
||||
| 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 |
|
| Series 21' |
|||||
| Certicate Number |
Issuance Date and Transfer to Holder/Redemption Date |
Quantity at Issuance/Redemption |
|||
| 1 | 27.12.2023 | 536,000,000 NIS |
| Bond Series |
Security | Number Holder |
Name and Address |
Current Amount (Par Value) |
Repayment Dates |
||||
|---|---|---|---|---|---|---|---|---|---|
| Series 22' |
|||||||||
| Bond Series Security Number Holder |
Name and Address |
Current Amount (Par Value) |
Repayment Dates |
||||||
| Series 23' |
|||||||||
| Bond Series |
Security Number |
Holder Address |
Name and |
Current Amount (Par |
Value) | Repayment Dates |
|||
| Series 24' 1227032 |
The Tel Aviv Stock Exchange Ltd. Registration Company, C.R. 515736817, 2 Ahuzat Bayit St., Tel Aviv |
1,081,374,000 ILS |
| Security Holder Details |
Security | Issue Date |
Security Number |
Amount | Final Exercise Date |
|---|---|---|---|---|---|
| The Tel Aviv Stock Exchange Ltd. Registration Company, C.R. 515736817, 2 Ahuzat Bayit St., Tel Aviv |
Warrants (Series 7) |
2.12.2024 | 1214345 | 717,686 | 1.6.2026 |
| Details of Security Holder |
Security | Issuance Date |
Security Number |
Amount at Issuance Nominal Value |
Maturity Date |
|---|---|---|---|---|---|
| The Tel Aviv Stock Exchange Clearing House Ltd. Reg. No. 515736817, 2 Ahuzat Bayit St., Tel Aviv |
Commercial Paper Series 3 (Non Tradable) |
7.12.2023 | 1201490 | 150,000,000 | 6.12.2025 |
| The Tel Aviv Stock Exchange Clearing House Ltd. Reg. No. 515736817, 2 Ahuzat Bayit St., Tel Aviv |
Commercial Paper Series 5 (Tradable) |
8.6.2025 | 1223114 | 250,000,000 | 6.6.2026 |
| Details of Security Holder |
Security | Security Number |
Quantity | Grant Date |
|---|---|---|---|---|
| Alter Trusts Ltd. Reg. No. 513901330, 19 HaBarzel St., Tel Aviv |
Big Up 09-22 Employee Options |
1190149 | 227,704 | 27.3.2022 |
| Alter Trusts Ltd. Reg. No. 513901330, 19 HaBarzel St., Tel Aviv |
Big Up Other Director Options |
1194794 | 12,666 | 30.3.2023 |
| Alter Trusts Ltd. Reg. No. 513901330, 19 HaBarzel St., Tel Aviv |
Big Up Other Director Options |
1194794 | 9,250 | 5.3.2025 |
| Alter Trusts Ltd. Reg. No. 513901330, 19 HaBarzel St., Tel Aviv |
Big Up Employee Options |
1201722 | 299,967 | 14.12.2023 |
| Holder Details | Security | Security Number |
Quantity | Grant Date |
|---|---|---|---|---|
| Altshuler Trusts Ltd., Company No. 513901330, 19 HaBarzel St., Tel Aviv |
BIG APP Employees |
1201722 | 160,000 | 1.1.2024 |
| Altshuler Trusts Ltd., Company No. 513901330, 19 HaBarzel St., Tel Aviv |
BIG APP Employees |
1201722 | 152,335 | 3.1.2024 |
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