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Opc Energy Ltd.

Share Issue/Capital Change Nov 30, 2025

6962_rns_2025-11-30_20067aa2-4301-4f29-923f-d83b03ba5bd8.pdf

Share Issue/Capital Change

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OPC Energy Ltd. (the Company) The Company's Securities Register as of November 30, 2025 Ordinary Shares

7,183 (Allocation from 1.6.2021)
44,899 (Allocation from 1.7.2021)
8,860 (Allocation from 2.9.2021)
38,332.47 (Allocation from 1.9.2021)
8,900.87 (Allocation from 22.9.2021)
26,256.66 (Allocation from 23.9.2021)
684,979.08 (Allocation from 26.9.2021)
12,372,570.33 (Allocation from 5.10.2021)
65,760 (Allocation from 6.10.2021)
10,122 (Allocation from 2.10.2021)
1,464 (Allocation from 14.10.2021)
12,181 (Allocation from 21.10.2021)
2,661 (Allocation from 26.10.2021)
9,557 (Allocation from 4.11.2021)
23,916 (Allocation from 28.11.2021)
28,826 (Allocation from 23.12.2021)
17,161 (Allocation from 29.12.2021)
7,280 (Allocation from 7.6.2022)
7,770 (Allocation from 21.6.2022)
9,443,800 (Allocation from 4.7.2022)
45,504 (Allocation from 1.7.2022)
45,748 (Allocation from 14.7.2022)
18,106 (Allocation from 19.7.2022)
17,431 (Allocation from 1.9.2022)
2,148 (Allocation from 6.9.2022) 79,852 (Allocation from 22.9.2022)

12,500,000 (Allocation from 28.9.2022)

)allocation from 26.1.2022( 2,589
72 (allocation from 6.1.2022)
6,737 (allocation from 1.1.2023)
7,975 (allocation from 7.2.2023)
7,280 (allocation from 9.7.2023)
6,737 (allocation from 1.1.2023)
7,280 (allocation from 6.6.2024)
3,388 (allocation from 7.6.2024)
8,181 (allocation from 1.7.2024)
31,250,000 (allocation from 1.7.2024)
6,737 (allocation from 1.1.2025)
9,022 (allocation from 28.4.2025)
3,478 (allocation from 30.4.2025)
21,303,200 (allocation from 1.6.2025)
125,642 (allocation from 1.5.6.2025)
9,083 (allocation from 22.6.2025)
1,026 (allocation from 23.6.2025)
3,512 (allocation from 24.6.2025)
1,865 (allocation from 20.6.2025)
1,506 (allocation from 29.6.2025)
1,266 (allocation from 30.6.2025)
3,894 (allocation from 1.7.2025)
3,322 (allocation from 2.7.2025)
5,558 (allocation from 3.7.2025)
21,735 (allocation from 6.7.2025)
1,057,949 (allocation from 14.8.2025) 1,8,750,000 (allocation from 7.8.2025) 1,3,962
5,529,322 )Allocation from 24.1.2025(
2,220 (Allocation from 27.1.2025)
26,555 (Allocation from 25.1.2025)
2,220 (Allocation from 27.1.2025)

Bonds (Series 2) ¹

Mizrahi Tefahot Company 510422249 7 Jabotinsky, Ramat Gan For Registrations Ltd. Total 141,691,441 441,691,141

Bonds (Series 3) ²

510422249 7 Jabotinsky, Ramat Gan 663,598,260

510422249 7 Jabotinsky, Ramat Gan 663,598,260

Mizrahi Tefahot Company 510422249 7 Jabotinsky, Ramat 510422249 7 Jabotinsky, Ramat 663,598,260
Gan For Registrations Ltd. Total Gan 663,598,260 663,598,260

Bonds (Series 4) ³

510422249 7 Jabotinsky, Ramat Gan 658,296,000

510422249 7 Jabotinsky, Ramat Gan 658,296,000

Mizrahi Tefahot Company 510422249 7 Jabotinsky, Ramat 510422249 7 Jabotinsky, Ramat 658,296,000
Gan For Registrations Ltd. Total Gan 658,296,000 658,296,000

Ocei Op Employee

Owner ID number Address Quantity of securities

Altshuler Shaham Trusts 513901330 19 HaBarzel, Tel Aviv Ltd. Total
1,984,597 1,984,597
------------------------------------------------------------------------------------------- --

Restricted Stock Units (Unlisted) for Shares (RSUs) - Employees 2022 Owner ID number Address Quantity of securities

Altshuler Shaham Trusts 513901330 19 HaBarzel, Tel Aviv Ltd. Total 19 HaBarzel, Tel Aviv 6,737 6,737 6,737
-------------------------------------------------------------------- ----------------------------- -------------

¹ Redeemable in 16 uneven semi-annual payments, on March 31 and September 30 of the years 2021 to 2028 (inclusive).

² Redeemable in 12 uneven semi-annual payments, on February 28 and August 31 of the years 2024 to 2030 (inclusive). (Except in the year 2028).

³ Redeemable in 18 uneven semi-annual payments, on March 25 and September 25 of the years 2026 to 2034 (inclusive).

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