AI assistant
Next Vision Stabilized Systems Ltd. — Share Issue/Capital Change 2026
Mar 19, 2026
6945_rns_2026-03-19_424c6d91-db04-43a8-a188-3bb420dfdc53.pdf
Share Issue/Capital Change
Open in viewerOpens in your device viewer
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.
Next Vision Stabilized Systems Ltd
NEXT VISION STABILIZED SYSTEMS LTD
Number in the Register: 514259019
To: Israel Securities Authority
To: Tel Aviv Stock Exchange Ltd
T087 (Public)
Filed via MAGNA: 19/03/2026
www.isa.gov.il
www.tase.co.il
Reference: 2026-01-024462
Capital structure, grant of rights to purchase shares and the corporation's securities registers and the changes therein
Regulation 31E of the Securities Regulations (Periodic and Immediate Reports), 5730 - 1970
Regulation 31(a) of the Securities Regulations (Periodic and Immediate Reports), 5730 - 1970
Regulation 31(b1) of the Securities Regulations (Periodic and Immediate Reports), 5730 - 1970
Regulation 32 of the Securities Regulations (Periodic and Immediate Reports), 5730 - 1970
Nature of the change: Exercise of options
Explanation: briefly describe the nature of the change
Reference numbers of previous reports on the matter: _, _, ____.
- The corporation's securities position after the change:
| Name and type of security | Security No. on the Stock Exchange | Amount in registered capital | Issued and paid-up capital | Amount registered in the name of the Registration Company | |
|---|---|---|---|---|---|
| Amount in last report | Current amount | ||||
| Ordinary share | 1176593 | 200,000,000,000 | 91,319,442 | 92,043,940 | 92,043,940 |
| Unlisted options (Series 2') | 1180926 | 0 | 2,151,285 | 2,087,285 | 0 |
| Unlisted options (Series 3') | 1185966 | 0 | 750,000 | 500,000 | 0 |
| Unlisted options (Series 4') | 1195320 | 0 | 292,000 | 286,000 | 0 |
| Unlisted options (Series 5') | 1195544 | 0 | 831,165 | 535,667 | 0 |
| Unlisted options (Series 6') | 1204387 | 0 | 453,000 | 344,000 | 0 |
Explanation: list all the company's securities, including securities not listed for trading.
- The corporation announces that:
☐ On the date ____
☐ From date 12/03/2026 to date 18/03/2026
☐ There was a change in the quantity and in the register of holders of the corporation's securities (including rights to purchase shares) as a result of:
Description of the nature of the change Exercise of employee options
Explanation: describe all the details of the transaction or action that caused the change in the corporation's securities.
Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options ____
Date of the change: 12/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 2')
Security No. on the Stock Exchange: 1180926
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.
Holder's balance in the security in the last report: 2,111,285
Holder's balance in this security after the change: 2,099,285
Total quantity of securities in which there was a decrease/increase: 12,000
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares: __
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
The said allocation of securities is further to _ published on _ and its reference number is __
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 12/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 6')
Security No. on the Stock Exchange: 1204387
Holder's balance in the security in the last report: 453,000
Holder's balance in this security after the change: 395,500
Total quantity of securities in which there was a decrease/increase: 57,500
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares: __
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
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.
| The said allocation of securities is further to _published on _and its reference number is _. ☐ The security has been fully paid-up and the consideration has been received in full. ☐ The security has been fully paid-up, but the consideration has not been received in full. ☐ Issued under an ATM program ☐ Other. ____ |
|---|
| Name of the registered holder in respect of whom the change occurred: The TASE Registration Company Ltd 3 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 515736817 Nature of the change: Exercise of options _ Date of the change: 12/03/2026Executed via the Stock Exchange clearing system: Yes Type and name of security in which a change occurred: Next Vision - share Security No. on the Stock Exchange: 1176593 Holder's balance in the security in the last report: 91,319,442 Holder's balance in this security after the change: 91,388,942 Total quantity of securities in which there was a decrease/increase: 69,500 Is this a grant of rights to purchase shares No Total consideration for securities that were allocated: _ The share's Stock Exchange number resulting from the exercise of securities: _ Number of shares that will derive from full exercise/conversion of the securities: _ Total exercise premium that will be received from full exercise/conversion of the securities into shares: _ The period during which the securities may be exercised: _ From _to _ The allocated securities will be listed for trading: _ The said allocation of securities is further to _published on _and its reference number is _. ☐ The security has been fully paid-up and the consideration has been received in full. ☐ The security has been fully paid-up, but the consideration has not been received in full. ☐ Issued under an ATM program ☐ Other. _ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd 4 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 Nature of the change: Exercise of options _ Date of the change: 15/03/2026Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 6') Security No. on the Stock Exchange: 1204387 Holder's balance in the security in the last report: 395,500 |
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.
Holder's balance in this security after the change: 394,000
Total quantity of securities in which there was a decrease/increase: 1,500
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
The said allocation of securities is further to _ published on _ and its reference number is __
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
Name of the registered holder in respect of whom the change occurred: The TASE Registration Company Ltd
Type of identification number: Number in the Israeli Companies Register Identification number: 515736817
Nature of the change: Exercise of options
Date of the change: 15/03/2026 Executed via the Stock Exchange clearing system: Yes
Type and name of security in which a change occurred: Next Vision - share
Security No. on the Stock Exchange: 1176593
Holder's balance in the security in the last report: 91,388,942
Holder's balance in this security after the change: 91,390,442
Total quantity of securities in which there was a decrease/increase: 1,500
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
The said allocation of securities is further to _ published on _ and its reference number is __
☐ The security has been fully paid-up and the consideration has been received in full.
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.
| □ The security has been fully paid-up, but the consideration has not been received in full. □ Issued under an ATM program □ Other. —— |
|---|
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd 6 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 Nature of the change: Exercise of options Date of the change: 16/03/2026Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 6') Security No. on the Stock Exchange: 1204387 Holder's balance in the security in the last report: 394,000 Holder's balance in this security after the change: 364,000 Total quantity of securities in which there was a decrease/increase: 30,000 Is this a grant of rights to purchase shares No Total consideration for securities that were allocated: The share's Stock Exchange number resulting from the exercise of securities: Number of shares that will derive from full exercise/conversion of the securities: Total exercise premium that will be received from full exercise/conversion of the securities into shares: The period during which the securities may be exercised: From to From to The allocated securities will be listed for trading: The said allocation of securities is further to published on and its reference number is The security has been fully paid-up and the consideration has been received in full. The security has been fully paid-up, but the consideration has not been received in full. Issued under an ATM program Other. —— |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd 7 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 Nature of the change: Exercise of options Date of the change: 16/03/2026Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 2') Security No. on the Stock Exchange: 1180926 Holder's balance in the security in the last report: 2,099,285 Holder's balance in this security after the change: 2,092,285 Total quantity of securities in which there was a decrease/increase: 7,000 |
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.
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
The said allocation of securities is further to _ published on _ and its reference number is __
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 16/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 4')
Security No. on the Stock Exchange: 1195320
Holder's balance in the security in the last report: 292,000
Holder's balance in this security after the change: 286,000
Total quantity of securities in which there was a decrease/increase: 6,000
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: __
The share's Stock Exchange number resulting from the exercise of securities: __
Number of shares that will derive from full exercise/conversion of the securities: __
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: __
From _ to _
The allocated securities will be listed for trading: __
The said allocation of securities is further to _ published on _ and its reference number is __
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
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 the registered holder in respect of whom the change occurred: The TASE Registration Company Ltd
9
Type of identification number: Number in the Israeli Companies Register Identification number: 515736817
Nature of the change: Exercise of options
Date of the change: 16/03/2026 Executed via the Stock Exchange clearing system: Yes
Type and name of security in which a change occurred: Next Vision - share
Security No. on the Stock Exchange: 1176593
Holder's balance in the security in the last report: 91,390,442
Holder's balance in this security after the change: 91,433,442
Total quantity of securities in which there was a decrease/increase: 43,000
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: _____
The share's Stock Exchange number resulting from the exercise of securities: _____
Number of shares that will derive from full exercise/conversion of the securities: _____
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: _____
From _ to ___
The allocated securities will be listed for trading: _____
The said allocation of securities is further to _ published on _ and its reference number is __
The security has been fully paid-up and the consideration has been received in full.
The security has been fully paid-up, but the consideration has not been received in full.
□ Issued under an ATM program
Other.
Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
10
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 17/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 2')
Security No. on the Stock Exchange: 1180926
Holder's balance in the security in the last report: 2,092,285
Holder's balance in this security after the change: 2,087,285
Total quantity of securities in which there was a decrease/increase: 5,000
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: _____
The share's Stock Exchange number resulting from the exercise of securities: _____
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 of shares that will derive from full exercise/conversion of the securities: ___ |
|---|
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: ___ |
| The period during which the securities may be exercised: ___ |
| From _ to _ |
| The allocated securities will be listed for trading: ___ |
| The said allocation of securities is further to _published on _ and its reference number is ___ |
| ☐ The security has been fully paid-up and the consideration has been received in full. |
| ☐ The security has been fully paid-up, but the consideration has not been received in full. |
| ☐ Issued under an ATM program |
| ☐ Other. ___ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd |
| Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 |
| Nature of the change: Exercise of options ___ |
| Date of the change: 17/03/2026Executed via the Stock Exchange clearing system: No |
| Type and name of security in which a change occurred: Unlisted options (Series 5') |
| Security No. on the Stock Exchange: 1195544 |
| Holder's balance in the security in the last report: 831,165 |
| Holder's balance in this security after the change: 731,165 |
| Total quantity of securities in which there was a decrease/increase: 100,000 |
| Is this a grant of rights to purchase shares No |
| Total consideration for securities that were allocated: ___ |
| The share's Stock Exchange number resulting from the exercise of securities: ___ |
| Number of shares that will derive from full exercise/conversion of the securities: ___ |
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: ___ |
| The period during which the securities may be exercised: ___ |
| From _ to _ |
| The allocated securities will be listed for trading: ___ |
| The said allocation of securities is further to _published on _ and its reference number is ___ |
| ☐ The security has been fully paid-up and the consideration has been received in full. |
| ☐ The security has been fully paid-up, but the consideration has not been received in full. |
| ☐ Issued under an ATM program |
| ☐ Other. ___ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd |
| Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 |
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.
| Nature of the change: Exercise of options __ |
|---|
| Date of the change: 17/03/2026Executed via the Stock Exchange clearing system: No |
| Type and name of security in which a change occurred: Unlisted options (Series 6') |
| Security No. on the Stock Exchange: 1204387 |
| Holder's balance in the security in the last report: 364,000 |
| Holder's balance in this security after the change: 355,000 |
| Total quantity of securities in which there was a decrease/increase: 9,000 |
| Is this a grant of rights to purchase shares No |
| Total consideration for securities that were allocated: __ |
| The share's Stock Exchange number resulting from the exercise of securities: __ |
| Number of shares that will derive from full exercise/conversion of the securities: __ |
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: __ |
| The period during which the securities may be exercised: __ |
| From _to _ |
| The allocated securities will be listed for trading: __ |
| The said allocation of securities is further to _published on __and its reference number is _ |
| ☐ The security has been fully paid-up and the consideration has been received in full. |
| ☐ The security has been fully paid-up, but the consideration has not been received in full. |
| ☐ Issued under an ATM program |
| ☐ Other. |
| __ |
| Name of the registered holder in respect of whom the change occurred: The TASE Registration Company Ltd |
| Type of identification number: Number in the Israeli Companies RegisterIdentification number: 515736817 |
| Nature of the change: Exercise of options __ |
| Date of the change: 17/03/2026Executed via the Stock Exchange clearing system: Yes |
| Type and name of security in which a change occurred: Next Vision - share |
| Security No. on the Stock Exchange: 1176593 |
| Holder's balance in the security in the last report: 91,433,442 |
| Holder's balance in this security after the change: 91,547,442 |
| Total quantity of securities in which there was a decrease/increase: 114,000 |
| Is this a grant of rights to purchase shares No |
| Total consideration for securities that were allocated: __ |
| The share's Stock Exchange number resulting from the exercise of securities: __ |
| Number of shares that will derive from full exercise/conversion of the securities: __ |
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: __ |
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.
| The period during which the securities may be exercised: _ From _ to _ The allocated securities will be listed for trading: _ The said allocation of securities is further to _published on ___and its reference number is _ ☐ The security has been fully paid-up and the consideration has been received in full. ☐ The security has been fully paid-up, but the consideration has not been received in full. ☐ Issued under an ATM program ☐ Other. _____ |
|---|
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd 14 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 Nature of the change: Exercise of options _ Date of the change: 18/03/2026Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 5') Security No. on the Stock Exchange: 1195544 Holder's balance in the security in the last report: 731,165 Holder's balance in this security after the change: 631,165 Total quantity of securities in which there was a decrease/increase: 100,000 Is this a grant of rights to purchase shares No Total consideration for securities that were allocated: _ The share's Stock Exchange number resulting from the exercise of securities: _ Number of shares that will derive from full exercise/conversion of the securities: _ Total exercise premium that will be received from full exercise/conversion of the securities into shares: __ The period during which the securities may be exercised: __ From _ to _ The allocated securities will be listed for trading: _ The said allocation of securities is further to _published on ___and its reference number is _ ☐ The security has been fully paid-up and the consideration has been received in full. ☐ The security has been fully paid-up, but the consideration has not been received in full. ☐ Issued under an ATM program ☐ Other. _____ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd 15 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 Nature of the change: Exercise of options ___ Date of the change: 18/03/2026Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 6') |
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 No. on the Stock Exchange: 1204387 |
|---|
| Holder's balance in the security in the last report: 355,000 |
| Holder's balance in this security after the change: 353,500 |
| Total quantity of securities in which there was a decrease/increase: 1,500 |
| Is this a grant of rights to purchase shares No |
| Total consideration for securities that were allocated: ___ |
| The share's Stock Exchange number resulting from the exercise of securities: ___ |
| Number of shares that will derive from full exercise/conversion of the securities: ___ |
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: ___ |
| The period during which the securities may be exercised: ___ |
| From _ to _ |
| The allocated securities will be listed for trading: ___ |
| The said allocation of securities is further to _published on _ and its reference number is ___ |
| ☐ The security has been fully paid-up and the consideration has been received in full. |
| ☐ The security has been fully paid-up, but the consideration has not been received in full. |
| ☐ Issued under an ATM program |
| ☐ Other. |
| ____ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd |
| --- |
| Type of identification number: Number in the Israeli Companies RegisterIdentification number: 513901330 |
| Nature of the change: Exercise of options ___ |
| Date of the change: 18/03/2026Executed via the Stock Exchange clearing system: No |
| Type and name of security in which a change occurred: Unlisted options (Series 5') |
| Security No. on the Stock Exchange: 1195544 |
| Holder's balance in the security in the last report: 631,165 |
| Holder's balance in this security after the change: 535,667 |
| Total quantity of securities in which there was a decrease/increase: 95,498 |
| Is this a grant of rights to purchase shares No |
| Total consideration for securities that were allocated: ___ |
| The share's Stock Exchange number resulting from the exercise of securities: ___ |
| Number of shares that will derive from full exercise/conversion of the securities: ___ |
| Total exercise premium that will be received from full exercise/conversion of the securities into shares: ___ |
| The period during which the securities may be exercised: ___ |
| From _ to _ |
| The allocated securities will be listed for trading: ___ |
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.
| The said allocation of securities is further to _published on _and its reference number is _.
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
_ |
| --- |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
17
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 18/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 2') Security No. on the Stock Exchange: 1180926
Holder's balance in the security in the last report: 2,087,285 Holder's balance in this security after the change: 2,047,285 Total quantity of securities in which there was a decrease/increase: 40,000 Is this a grant of rights to purchase shares No Total consideration for securities that were allocated: The share's Stock Exchange number resulting from the exercise of securities: Number of shares that will derive from full exercise/conversion of the securities: Total exercise premium that will be received from full exercise/conversion of the securities into shares: The period during which the securities may be exercised: From __to _ The allocated securities will be listed for trading: The said allocation of securities is further to _published on _and its reference number is _.
☐ The security has been fully paid-up and the consideration has been received in full. ☐ The security has been fully paid-up, but the consideration has not been received in full. ☐ Issued under an ATM program ☐ Other.
__ |
| Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
18
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 18/03/2026 Executed via the Stock Exchange clearing system: No Type and name of security in which a change occurred: Unlisted options (Series 3') Security No. on the Stock Exchange: 1185966 Holder's balance in the security in the last report: 750,000 |
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.
Holder's balance in this security after the change: 500,000
Total quantity of securities in which there was a decrease/increase: 250,000
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: ____
The share's Stock Exchange number resulting from the exercise of securities: ____
Number of shares that will derive from full exercise/conversion of the securities: ____
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: ____
From _ to _
The allocated securities will be listed for trading: ____
The said allocation of securities is further to _ published on _ and its reference number is _
☐ The security has been fully paid-up and the consideration has been received in full.
☐ The security has been fully paid-up, but the consideration has not been received in full.
☐ Issued under an ATM program
☐ Other.
Name of the registered holder in respect of whom the change occurred: Altshuler Shaham Trusts Ltd
Type of identification number: Number in the Israeli Companies Register Identification number: 513901330
Nature of the change: Exercise of options
Date of the change: 18/03/2026 Executed via the Stock Exchange clearing system: No
Type and name of security in which a change occurred: Unlisted options (Series 6')
Security No. on the Stock Exchange: 1204387
Holder's balance in the security in the last report: 353,500
Holder's balance in this security after the change: 344,000
Total quantity of securities in which there was a decrease/increase: 9,500
Is this a grant of rights to purchase shares No
Total consideration for securities that were allocated: ____
The share's Stock Exchange number resulting from the exercise of securities: ____
Number of shares that will derive from full exercise/conversion of the securities: ____
Total exercise premium that will be received from full exercise/conversion of the securities into shares:
The period during which the securities may be exercised: ____
From _ to _
The allocated securities will be listed for trading: ____
The said allocation of securities is further to _ published on _ and its reference number is _
☐ The security has been fully paid-up and the consideration has been received in full.
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.
| □ The security has been fully paid-up, but the consideration has not been received in full. □ Issued under an ATM program □ Other. —— |
|---|
| Name of the registered holder in respect of whom the change occurred: The TASE Registration Company Ltd 20 Type of identification number: Number in the Israeli Companies RegisterIdentification number: 515736817 Nature of the change: Exercise of options Date of the change: 18/03/2026Executed via the Stock Exchange clearing system: Yes Type and name of security in which a change occurred: Next Vision - share Security No. on the Stock Exchange: 1176593 Holder's balance in the security in the last report: 91,547,442 Holder's balance in this security after the change: 92,043,940 Total quantity of securities in which there was a decrease/increase: 496,498 Is this a grant of rights to purchase shares No Total consideration for securities that were allocated: The share's Stock Exchange number resulting from the exercise of securities: Number of shares that will derive from full exercise/conversion of the securities: Total exercise premium that will be received from full exercise/conversion of the securities into shares: The period during which the securities may be exercised: From _ to _ The allocated securities will be listed for trading: The said allocation of securities is further to _ published on _ and its reference number is _ □ The security has been fully paid-up and the consideration has been received in full. □ The security has been fully paid-up, but the consideration has not been received in full. □ Issued under an ATM program □ Other. —— |
Explanations:
- If the change affects more than one security, the impact of the change should be detailed in a separate line for each security.
- Date of change - all changes of the same type, in the same security, made on one day, shall be summarized in one line. For this purpose - changes made via the Stock Exchange clearing system must be distinguished from changes made directly in the company's books.
- The change - for a decrease, the sign "-" must be added.
- In all quantity fields, the quantity of securities must be entered and not NIS par value.
There has been a change only in the corporation's register of securities holders (without a change in the quantity of the corporation's securities) as a result of:
Description of the nature of the change
Explanation: describe all the details of the transaction or action that caused the change in the register
1 Name of the registered holder in respect of whom the change occurred:
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: _
Date of the change: _ Executed via the Stock Exchange clearing system: _
Type and name of security in which a change occurred:
Security No. on the Stock Exchange: __
Amount of the change: __
Holder's balance in this security after the change: __
- The main points of the register of shareholders as of the report date are as follows:
| No. | Name of registered shareholder | Type of identification number | Identification number | Security number on the Stock Exchange | Type of shares and their par value | Number of shares | Does he hold the shares as trustee |
|---|---|---|---|---|---|---|---|
| 1 | The TASE Registration Company Ltd | Number in the Israeli Companies Register | 515736817 | 1176593 | Next Vision - NIS 0.00005 | 92,043,940 | No |
-
Attached is a file of the register of shareholders in accordance with the provisions of Section 130 of the Companies Law, 5759 - 1999 מימוש אופציות עובדים -1932026 מימוש בעלי-מניות .isa.pdf
-
Attached is an updated file of the corporation's securities registers, including the register of option holders and the register of BONDS holders מימוש אופציות עובדים - 1932026 מימוש ניידות ערד .isa.pdf
Details of the signatories authorized to sign on behalf of the corporation:
| Name of signatory | Position |
|---|---|
| Chen Golan | Chairman of the Board |
Explanation: According to Regulation 5 of the Securities Regulations (Periodic and Immediate Reports) (5730 – 1970), a report submitted pursuant to these Regulations shall be signed by those authorized to sign on behalf of the corporation. The staff's position on the subject can be found on the Authority's website: Click here.
Reference numbers of previous documents on the subject (reference does not constitute inclusion by way of reference):
The corporation's securities are listed for trading on the Tel Aviv Stock Exchange
Date of last form structure update: 06/08/2024
Short name: Next Vision
Address: Dafna9, Ra'anana4366223 Telephone: 077-5342041, Fax: 077-5442040
E-mail: [email protected]
Previous names of the reporting entity:
Name of electronic reporter: Levy Alex Position: Controller and CFOName of employing company:
Address: HaTidhar17, Ra'anana4366519 Telephone: 077-5342041 Fax: 077-5342040 E-mail: [email protected]