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Strauss Group — Capital/Financing Update 2026
Jan 20, 2026
7061_rns_2026-01-21_a3580345-3c54-47b3-9429-a0c2cc2f9511.pdf
Capital/Financing Update
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STRAUSS GROUP LTD.
Number in Registrar: 520003781
To:
- Israel Securities Authority (www.isa.gov.il)
- Tel Aviv Stock Exchange Ltd (www.tase.co.il)
Form Number: T020 (Public)
MAGNA transmission date: 20/01/2026
Reference: 2026-01-008352
Notification by the Offeror on the Results of the Prospectus Offering
According to Section 30 of the Securities Law, 5728-1968 and the Securities Regulations (Notices about Results of the Prospectus Offer), 5730-1969
- Results of the Institutional Tender Commitments made through the prospectus (without the securities therein being offered).
- Results of the prospectus offer.
- Cancellation of the public offer.
Note: In reporting the results of a prospectus offer, one must also include any early commitments made prior to the publication of the prospectus.
The prospectus is a shelf prospectus of a reporting corporation.
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- Below are the results of the prospectus offer with publication reference number (T012) 2025-01-033462.
- Approval for its publication was given on: 13/05/2025
- The period for submitting orders ended on: _________
- Was the offer made via a shelf report or supplementary notice? No
- Reference number for shelf offer report (T022) / supplementary notice (T024): _________
Attached are the results of:
Institional tender commitments made through the prospectus: [Immediate Report - Institutional Tender Results PDFUA] (\str.corp.strauss.co.il\dfs\Park-Yanai Appl\Space\תוצאות דיווח\2026\וגיוס תשקיפים\חברה מזכירות\גרופ שטראוס\משפטית (pdf.isa_PDFUA_מוסדי\דווח\דיווח_מיידי__תוצאות_מכרז_מוסדי
Prospectus number: 50182
Note: To be entered for internal use by the authority.
2.a. Total securities offered in the prospectus:
| Type of Security | TASENo. | SecurityName | TotalQuantity | Price * | InterestRate | DiscountRate | Weighted DiscountRate |
|---|---|---|---|---|---|---|---|
| DebentureCertificates | 7460421 | Strauss BONDS6' | 671,502,000 | 0.884 NewShekel |
*Price per 1 security
2.b. Completion of information for ETFs offered in the prospectus:
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| Cancelled* | TASE No. | Series Serial | Name | Type of Security on TASE | Trustee Name | Listing Date |
|---|---|---|---|---|---|---|
| [ ] |
Note: The maximum number of records that can be filled in the table is 35. If more records are required, split the reporting. Explanation: If the series is cancelled, mark the "Cancelled" field. Up to 3 letters/numbers can be recorded for series serial in the "Series Serial" field. Additional markings such as apostrophes are not allowed.
3. Total issued securities by type, and by type of applicant whose offer was accepted:
Securities for which cash consideration was received:
| Type of Issue | Type, No. and Nameof Security in TASE | AuctionNo. | ApplicantType | Total QuantityIssued | Price* | FutureExercisePrice* | Total CalculatedProceeds | Par Value Total |
|---|---|---|---|---|---|---|---|---|
| Other (Tender forClassified Investors) | Debenture Certificates7460421, BONDS 6' | 0000000 | Institutional | 671,502,000 | 0.884 NewShekel | 593,607,768 NewShekel | 671,502,000New Shekel |
*Price per 1 security
For listing for trading (including IPO listing) / release from lock-up / tender offer / merger / dividend distribution in kind:
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| Type ofIssue | Type, No. andName ofSecurity | TotalQuantity | Average Closing Price* /value on the trading daybefore the swap | FutureExercisePrice | TotalCalculatedProceeds | Par ValueTotal | Date ofTransaction** | SecuritiesOffered |
|---|---|---|---|---|---|---|---|---|
Notes:
Average closing price of same type of security for the first 3 trading days after listing. ** For listing/trade release/dividend in kind, the date is the day of listing. For tender offers, the date is the actual exchange date. *** In tender exchange offers, report the replaced securities (received). If the replaced securities are not traded, report the offered securities.
Attention: The total calculated proceeds shall be as per Securities Regulations (Application Fee for Approval to Publish a Prospectus), 1995. For your convenience, a link to the calculation table: Click here
In the case of a tender offer:
| Cash consideration received in: | |
|---|---|
| Cash consideration paid in: |
Cash consideration received by the offeror for the securities offered ** Cash consideration paid by the offeror as part of the tender offer
4. Details regarding underwriters and distributors in the offering:
Participants in the offering:
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- Underwriters
- Distributors
- None of these
| # | Name | Role |
|---|---|---|
| 1 | Leader Issuances (1993) Ltd | [ ] Lead Underwriter [ ] Underwriter [x] Distributor |
| 2 | Barak Leumi Underwriters Ltd | [ ] Lead Underwriter [ ] Underwriter [x] Distributor |
| 3 | Active Underwriting Ltd | [ ] Lead Underwriter [ ] Underwriter [x] Distributor |
Details of authorized signatories for the corporation:
| # | Name | Position |
|---|---|---|
| 1 | Shay Babad | General Manager |
| 2 | Tuvy Fishbein | CFO |
Explanation: According to Regulation 5 of the Periodic and Immediate Reports Regulations (1970), a report filed under these regulations must be signed by persons authorized to sign on behalf of the corporation. The staff's position on this matter can be found on the authority's website: Click here
Previous names of the reporting entity:
Strauss-Elite Ltd.
Elite Industries Ltd.
Securities of the corporation are listed for trading on the Tel Aviv Stock Exchange
Updated form structure date: 09/12/2025
Short name: Strauss Group
Address: Haseevim 49, Petah Tikva 49517
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Phone: 03-6752499 Fax: 03-6752279
Email: [email protected]
Company website: www.strauss-group.com
Electronic Signatory Name: Tiki Alush Role: Lawyer/Legal Advisor Employing Company Name:
Address: Haseevim 49, Petah Tikva 4959504
Phone: 054-3132375
Fax:
Email: [email protected]