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Villar International Ltd. — Capital/Financing Update 2026
Feb 15, 2026
7107_rns_2026-02-15_ac11a6f8-e9b6-4a1d-a6cd-96e7295a87e3.pdf
Capital/Financing Update
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| Villar International Ltd |
|---|
| VILLAR INTERNATIONAL LTD |
Registration number: 520038910
To: Israel Securities Authority To: Tel-Aviv Stock Exchange Ltd. T087 ( Public ) Transmitted by MAGNA: 15/02/2026 www.isa.gov.il www.tase.co.il Reference: 2026-01-014879
Supplementary report to a report submitted on 15/02/2026whose reference number is: 2026-01-014860
Principal details that were added / completed: The issuance proceeds were received
Share capital status, grant of rights to purchase shares and the corporation's securities registers and changes therein Regulation 31E of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 31(a) of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 31(b1) of the Securities Regulations (Periodic and Immediate Reports), 1970 Regulation 32 of the Securities Regulations (Periodic and Immediate Reports), 1970
| Nature of the change: Public offering of BONDS Series 11 and Series 12 | ||
|---|---|---|
| -- | ------------------------------------------------------------------------ | -- |
Explanation: briey describe the nature of the change
| Reference numbers of previous reports on the matter:,, | ||
|---|---|---|
| -- | -------------------------------------------------------- | -- |
1. The corporation's securities status after the change:
| Issued and paid-up capital | Quantity registered in the | |||||
|---|---|---|---|---|---|---|
| Name and type of security |
Securities no. on the stock exchange |
Amount in registered capital |
Amount in last report |
Current amount |
name of the Registration Company |
|
| Villar ordinary share |
416016 | 180,000,000 | 17,791,154 17,791,154 | 17,791,110 | ||
| Villar BONDS Series 9 |
4160164 | 28,778,750 28,778,750 | 28,778,750 | |||
| Villar BONDS Series 10 |
1193952 | 459,998,000 459,998,000 | 459,998,000 | |||
| Villar BONDS Series 11 |
1223155 | 152,696,000 488,830,000 | 488,830,000 | |||
| Villar BONDS Series 12 |
1236470 | 0 341,844,000 | 341,844,000 | |||
| Employee warrants Plan 2023 |
1197854 | 155,053 155,053 | 0 | |||
| commercial papers Series 1 |
1204858 | 100,000,000 100,000,000 | 100,000,000 |
Explanation: detail all the company's securities, including securities not listed for trading.
| 2. The corporation reports that: | |||||
|---|---|---|---|---|---|
| -- | -- | ---------------------------------- | -- | -- | -- |
| On date | 15/02/2026 | |
|---|---|---|
| From date | to date | ||||
|---|---|---|---|---|---|
| -- | ----------- | -- | -- | -- | --------- |
A change occurred in the quantity and in the register of the corporation's security holders (including rights to purchase shares) as a result of:
Description of nature of the change Public offering of BONDS Series 11
Explanation: describe all details of the transaction or action which caused a change in the corporation's securities.
1 Name of the registered holder regarding whom the change occurred: The Tel Aviv Stock Exchange Ltd. Registration Company
Type of I.D. number: Number in the Israeli Registrar of CompaniesI.D. number: 515736817
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| Nature of the change: Public offering |
|---|
| Date of change: 15/02/2026Performed via the Stock Exchange Clearing House: No |
| Type and name of security in which change occurred: Villar BONDS Series 11 Securities no. on the stock exchange: 1223155 |
| Holder's balance in the security in the last report: 152,696,000 |
| Holder's balance in this security after the change: 488,830,000 |
| Total quantity of securities in which there was a decrease/increase: 336,134,000 |
| Is this a grant of rights to purchase shares No |
| Total consideration for the securities that were allocated: Stock exchange number of the share that will result from exercise of the security: |
| Number of shares that will result from full exercise/conversion of the security: |
| Total exercise premium that will be received from full exercise/conversion of the security into shares: |
Period during which the security may be exercised: Fromto |
| The securities allocated will be registered for trading: |
| The allocation of said securities is further topublished onand whose reference number is The security has been fully paid up and the consideration was received in full. The security has been fully paid up, but the consideration was not received in full. Issued for an ATM program Other. |
| Name of the registered holder regarding whom the change occurred: The Tel Aviv Stock Exchange Ltd. Registration Company 2 |
| Type of I.D. number: Number in the Israeli Registrar of CompaniesI.D. number: 515736817 |
| Nature of the change: Public offering Date of change: 15/02/2026Performed via the Stock Exchange Clearing House: No |
| Type and name of security in which change occurred: Villar BONDS Series 12 Securities no. on the stock exchange: 1236470 |
| Holder's balance in the security in the last report: 0 |
| Holder's balance in this security after the change: 341,844,000 |
| Total quantity of securities in which there was a decrease/increase: 341,844,000 |
| Is this a grant of rights to purchase shares No |
| Total consideration for the securities that were allocated: Stock exchange number of the share that will result from exercise of the security: |
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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.
Period during which the security may be exercised: Fromto |
|---|
| The securities allocated will be registered for trading: |
| The allocation of said securities is further topublished onand whose reference number is The security has been fully paid up and the consideration was received in full. The security has been fully paid up, but the consideration was not received in full. Issued for an ATM program Other. |
| Explanations: 1. If the change affects more than one security, detail the impact of the change in a separate line for each security. 2. Date of change – all changes of the same type, in the same security, carried out on one day, will be summarized in one line. For this matter – separate between changes carried out via the Stock Exchange Clearing House and changes carried out directly in the company's books. 3. The change – for a decrease add the sign "-". 4. In all quantity elds, enter the quantity of securities and not NIS par value. |
| A change occurred only in the corporation's securities holders register (without a change in the quantity of the corporation's securities) as a result of: |
| Description of nature of the change |
| Explanation: describe all details of the transaction or action which caused a change in the register |
| 1 Name of the registered holder regarding whom the change occurred: |
| Type of I.D. number: I.D. number: |
| Date of change: Performed via the Stock Exchange Clearing House: |
| Type and name of security in which change occurred: |
Securities no. on the stock exchange: |
| Quantity of the change: |
| Holder's balance in this security after the change: |
- The main shareholders register as of the report date is as follows:
| No. | Name of registered shareholder |
Type of I.D. number | I.D. number |
Securities number on the stock exchange |
Type of shares and their par value |
Number of shares |
Holds the shares as trustee |
|
|---|---|---|---|---|---|---|---|---|
| 1 | The Tel Aviv Stock Exchange Ltd. Registration Company |
Number in the Israeli Registrar of Companies |
515736817 416016 | Ordinary share NIS 1 par value |
17,791,110 | No |
-
- Attached is a shareholders register le in accordance with the provisions of Section 130 of the Companies Law, 1999 pdf.isa_מרשם_בעלי_מניות
-
- Attached is an updated le of the corporation's securities registers, including the warrants holders register and the BONDS holders register ערך_ניירות_מרשם_isa.pdf
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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.
Details of the signatories authorized to sign on behalf of the corporation:
| Name of signatory Position | |
|---|---|
| 1 Matan Tisser | Chief Executive Ofcer |
Explanation: pursuant to Regulation 5 of the Securities Regulations (Periodic and Immediate Reports), 1970, a report submitted under these Regulations shall be signed by those 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 matter (the mention does not constitute incorporation by 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: Villar
Address: P.O.B.3146, Industrial Park , Caesarea38900 Telephone: 04-6272770 , Fax:
04-6275832
E-mail: [email protected] Company website:www.villar.co.il
Former names of reporting entity: Tromasbest Curtain Walls and Partitions Ltd
Name of electronic reporter: Guy ShlomovitzPosition: ControllerName of employing company: Address: Ha'eshel3 , Caesarea3088900Telephone: 04-6272770Fax: 04-6275831E-mail: [email protected]