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Prashkovsky Investments and Construction Ltd. — Capital/Financing Update 2026
Feb 17, 2026
6996_rns_2026-02-17_0624ece0-bcdc-4149-8a6e-cf3a11689001.pdf
Capital/Financing Update
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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
| Prashkovsky Investments and Construction Ltd PRASHKOVSKY INVESTMENTS AND CONSTRUCTION LTD Number in the register: 513817817 |
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| To: Israel Securities Authority To: Tel Aviv Stock Exchange Ltd. T020 ( Public ) Filed via MAGNA: 17/02/2026 www.isa.gov.il |
www.tase.co.il | Reference: | 2026-01-015392 | ||||
| Offeror's notice of the results of the offer in the prospectus Pursuant to Section 30 of the Securities Law, 5728-1968 and the Securities Regulations (Notices of the Results of the Offer in the Prospectus), 5730-1969 |
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| Results of the early commitments tender made in the prospectus (without offering the securities in the prospectus). Results of an offer in a prospectus. Cancellation of the public offer. Note: A report on the results of an offer in a prospectus must also include the early commitments made prior to the publication of the prospectus. |
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| The prospectus is a Shelf prospectusof a reporting corporation | |||||||
| 1. Presented here are the results of the offer in the prospectus whose publication reference number (T012) is 2024-01-076672 Authorization to publish it was granted on 21/07/2024and the period for submitting orders pursuant thereto ended on (in the case of an ATM program, the date on which the program ended) Was the offer made by means of a shelf offering report or a supplemental notice Yes Reference number of the shelf offering report (T022) / supplemental notice (T024) 2026-01-015017 Attached are the results of the offer in the prospectus : Immediate_report_results_of_public_tender_isa.pdf Prospectus number: 48081 Note: To be entered for the internal use of the Authority. |
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| 2.a. Total securities offered in the prospectus: | |||||||
| Type of security | TASE security number |
Security name |
Total quantity of securities |
Price* | Interest rate |
Discount rate |
Weighted discount rate |
| Debenture certicates |
1236538 | BONDS (Series 17) |
400,000,000 | 1New Israeli Shekel |
2.67 |
b. Completion of details for ETFs that were offered in the prospectus:
| Canceled* | TASE security number |
Series serial number |
Name | Type of security on TASE |
Trustee name |
Date of listing for trading |
|---|---|---|---|---|---|---|
| Security name: Full TASE name: Short TASE name: |
Note: The maximum number of records that can be lled in the table is 35. If it is necessary to report a larger number of records, the report must be split.
Explanation: If the series was canceled, the "Canceled" eld must be checked.
Explanation: In the "Series serial number" eld, up to 3 letters or digits describing the serial number of the series may be entered, without additional signs such as quotation marks.
- Total securities by type, and by type of subscribers whose offers were accepted:
Securities for which cash consideration is received:
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| Type of issuance | Type, number and name of security on TASE |
Tender number |
Type of subscriber |
Total quantity of securities issued |
Price* | Future exercise price* |
Total amount of aggregate consideration calculated |
Par value of aggregate securities |
|---|---|---|---|---|---|---|---|---|
| Public offer | Debenture certicates |
1 | ||||||
| (cash consideration) |
1236538 |
1223403 Public | 400,000,000 | New Israeli Shekel |
400,000,000 New Israeli Shekel |
400,000,000 New Israeli Shekel |
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| BONDS (Series 17) |
*Price per 1 security
In the case of listing for trading (including listing for trading in connection with an IPO) / release from lock-up / exchange tender offer / merger / distribution of a stock dividend in kind:
| Type of issuance |
Type, number and name of security on TASE |
Total quantity of securities |
Average closing price* / value of the security on the trading day prior to the date of the exchange |
Future exercise price |
Total amount of aggregate consideration calculated |
Par value of aggregate securities |
Date of execution of the action** |
The securities that were offered: |
|---|---|---|---|---|---|---|---|---|
Not yet determined |
Not yet determined |
Notes:
2
Name
_________ Reg. No.
_________
Ipax Offerings Ltd.
- *Average closing price of the security of the same type, over the rst three trading days after listing for trading.
- **In the case of listing for trading / release from lock-up / distribution of a stock dividend in kind the date is the date of listing of the securities for trading on TASE; in the case of an exchange tender offer – the date is the actual date of the exchange.
- ***In an exchange tender offer, the securities that are exchanged (that were received) must be reported. If the exchanged securities are not traded, the securities that were offered must be reported.
For your attention: The total amount of aggregate consideration calculated will be in accordance with the Securities Regulations (Application Fee for a Permit to Publish a Prospectus), 5755-1995. For your convenience, a link to the calculation
| table: Click here | ||||
|---|---|---|---|---|
| If this is an exchange tender offer: | ||||
| Consideration received in cash* in : | ||||
| Consideration paid in cash** in : | ||||
| *The cash consideration received by the offeror for the securities offered | ||||
| **The cash consideration paid by the offeror within the framework of the tender offer | ||||
| 4. Details of underwriters and distributors in the issuance: | ||||
| The issuance involved: Underwriters |
Distributors | None of the above | ||
| Name | Role | |||
| Eximus Capital Markets Ltd. | ||||
| Pricing underwriter | ||||
| Name 1 |
Underwriter | |||
Reg. No. |
Distributor | |||
Pricing underwriter
Underwriter
Distributor
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| Name | Role | |
|---|---|---|
| Active Underwriting Ltd. | ||
| 3 | Name | Pricing underwriter Underwriter |
Reg. No. |
Distributor | |
Unicorn Capital Ltd. |
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| 4 | Name |
Pricing underwriter Underwriter |
| Reg. No. |
Distributor | |
| Y.A.Ts. Investments and Assets Ltd. | ||
| 5 | Name | Pricing underwriter Underwriter |
Reg. No. |
Distributor | |
Details of the signatories authorized to sign on behalf of the corporation:
| Name of signatory Position | |
|---|---|
| 1 Moti Nachmias | Other Deputy CEO and Chief Financial Ofcer |
Explanation: Pursuant to Regulation 5 of the Securities Regulations (Periodic and Immediate Reports) (5730–1970), a report submitted under these regulations shall be signed by the persons authorized to sign on behalf of the corporation. The Staff's position on the matter can be found on the ISA website: Click here .
Reference numbers of previous documents on the subject (reference does not constitute incorporation by reference):
The corporation's securities are listed for trading on the Tel Aviv Stock Exchange Form structure update date: 09/12/2025
Short name: Prashkovsky
Address: Moti Kind10 , Rehovot7638519 Telephone: 03-9561889 , Fax: 03-9561831
E-mail: [email protected]
Previous names of reporting entity:
Name of electronic ler: Cohen EstherPosition: Group ControllerEmployer company name:
Address: Moti Kind10 , Rehovot7638519Telephone: 03-9561889Fax: 03-9508546E-mail: [email protected]