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G City Transaction in Own Shares 2026

Jan 29, 2026

6798_rns_2026-01-29_c6287566-1e35-4999-9749-5b8b04432688.pdf

Transaction in Own Shares

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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.

G CITY LTD

Registration Number: 520033234

To: Israel Securities Authority To: Tel Aviv Stock Exchange Ltd. Form Number: T086 ( Public ) Filed via MAGNA on: 29/01/2026 ISA Reference: 2026-01-010677

Immediate Report on Change in Self-Holding of Bond Certificates and Warrants of the Corporation

Regulation 33 of the Securities Regulations (Periodic and Immediate Reports), 1970

This form is not intended for self-purchase of shares. For self-purchase of shares report using Form T85.

Do not report this change also in Form T-76.

1. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1260603

  • Name of Security Affected: G CITY BONDS 12

  • Change Date: 28/01/2026

  • Nature of Change: Increase (Stock Exchange purchase)

  • Other Change: ___

  • Prospectus Number: ___

  • Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 1.16

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 522,000

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 450,000

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

2. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1260652

  • Name of Security Affected: G CITY BONDS 13

  • Change Date: 28/01/2026

  • Nature of Change: Increase (Stock Exchange purchase)

  • Other Change: ___

  • Prospectus Number: ___

  • Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 1.13

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 1,085,298.33

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 960,441

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

3. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1260736

  • Name of Security Affected: G CITY BONDS 14

  • Change Date: 28/01/2026

  • Nature of Change: Increase (Stock Exchange purchase)

  • Other Change: ___

  • Prospectus Number: ___

  • Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 0.95

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 1,782,283.60

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 1,876,088

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

4. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1203850

  • Name of Security Affected: G CITY BONDS 18

  • Change Date: 28/01/2026

  • Nature of Change: Increase (Stock Exchange purchase)

  • Other Change: ___

  • Prospectus Number: ___

  • Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 1.09

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 10,900,000

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 10,000,000

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

5. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1260785

  • Name of Security Affected: G CITY BONDS 16

  • Change Date: 28/01/2026

  • Nature of Change: Increase (OTC purchase)

  • Other Change: ___

  • Prospectus Number: ___

– Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 1.07

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 1,070,000

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 1,000,000

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

6. Holder Type: The Company

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.

Name of Subsidiary: ___

Name of Subsidiary (English): ___

  • Percentage Held by the Company: ___

  • Type of ID Number: Company Registrar Number in Israel

  • Holder's ID Number: 520033234

  • Nationality/Country of Incorporation or Registration: Incorporated in Israel

  • Country of Nationality/Country of Incorporation or Registration: ___

  • Security Number on Exchange: 1203850

  • Name of Security Affected: G CITY BONDS 18

  • Change Date: 28/01/2026

  • Nature of Change: Increase (OTC purchase)

  • Other Change: ___

  • Prospectus Number: ___

  • Explanation: For Israeli Securities Authority internal use in case of ATM program include the prospectus number pursuant to which the ATM program applies.

Transaction Price (NIS): 1.09

  • Par Value per Security (NIS): 1

  • Total Proceeds (NIS): 2,180,000

  • Reference Number of Shelf Offer Report: _ (reported on: _)

  • Holder's Balance in the Security at Last Report: 0 (refers to an amount not removed from circulation)

  • Change in Quantity of Securities: 2,000,000

  • Explanation: If reporting a decrease in quantity please indicate negative value, i.e., with a "-" sign.

  • Have the acquired securities been removed from circulation? Yes

  • Has the record date for redemption of the subject security fallen between the purchase date and the date on which TASE clearing instruction has been given? No

Date on which TASE clearing withdrawal instruction was given: 12/02/2026

  • Holder's Balance in the Security after Change: 0

The balance of bond certificates and warrants held by the Company and its subsidiaries is as follows:

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.

Security
Name
Security
Number
Outstanding
Quantity Prior to
Change
Outstanding
Quantity After
Change
Held by Company (not
removed from
circulation)
Held by
Subsidiaries
Holding Rate
(Company +
Subsidiaries)
___ 000000 0 0 0 0 0

Were the securities purchased as part of a program approved by the company?

Yes

Date of reporting on the purchase program: 20/03/2025

Details of the authorized signatories on behalf of the corporation:

# Name of Signatory Position
1 Revital Kahlon Other: Deputy CEO, Legal Advisor, and Corporate Secretary

Explanation: According to Regulation 5 of the Periodic and Immediate Reports Regulations (1970), a report filed according to these regulations must be signed by those authorized to sign on behalf of the corporation. The staff position can be found on the authority's website: Click here

Securities of the company are listed for trading on the Tel-Aviv Stock Exchange

Short name: G CITY

Address: 8 Aharon Becker St., Tel Aviv, 6964316

Phone: 03-6948000 Fax: 03-6961910 Email: [email protected] Company Website: www.gazitglobe.com

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.

Previous names of the reporting entity: Gazit-Globe Ltd., Gazit-Globe (1982) Ltd., Globe-REIT Investments Ltd.

Electronic Reported Name: Klein Ben David Tal

Position: Attorney/Legal Advisor Company Address: 8 Aharon Becker St., Tel Aviv, 6964316 Phone: 03-6948000 Fax: 03-6961910 Email: [email protected]

Form structure last updated: 06/08/2024

(No images are present in the original document.)