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Azorim Investment Development & Construction Co Ltd. Major Shareholding Notification 2026

Jul 7, 2026

6674_rns_2026-07-07_69b2b772-2c22-4c67-9b0a-8e657d802639.pdf

Major Shareholding Notification

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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. ..

Below is the status as of date 30/06/2026

Name and type of holder (Institutional, mutual funds, provident fund, study funds, pension) ID Number Type ID Number Country of citizenship / incorporation or registration Name, type and series of security TASE Security Number Quantity of securities Balance in previous central report (quantity of securities) Change in quantity of securities (+/-) Maximum holding rate in the security during the reporting period (for profit only for institutional reporting group) Scientific holding rate in the security during the reporting period (for profit only for institutional reporting group) Is the holder entitled to report the change in holding cumulatively Comments
Migdal Insurance and Financial Holdings Ltd. - Profit-sharing life insurance accounts Co. ID 520029984 Israel Azorim BONDS 13 7150410 22,359,474.10 22,359,474.10 - 16.12% 16.12% Yes
Migdal Insurance and Financial Holdings Ltd. - Companies for managing mutual investment funds Co. ID 520029984 Israel Azorim BONDS 13 7150410 596,485.32 793,168.34 -196,683.02 0.58% 0.43% Yes
Migdal Insurance and Financial Holdings Ltd. - Profit-sharing life insurance accounts Co. ID 520029984 Israel Azorim BONDS 14 7150444 52,886,251.62 52,886,251.62 - 9.83% 9.83% Yes
Migdal Insurance and Financial Holdings Ltd. - Companies for managing mutual investment funds Co. ID 520029984 Israel Azorim BONDS 14 7150444 22,147,174.28 22,047,076.72 100,097.56 4.18% 3.94% Yes
Migdal Insurance and Financial Holdings Ltd. - Companies for managing mutual investment funds Co. ID 520029984 Israel Azorim BONDS 16 1223486 9,575,099.00 10,015,704.00 -440,605.00 3.95% 3.56% Yes
Migdal Insurance and Financial Holdings Ltd. - Companies for managing mutual investment funds Co. ID 520029984 Israel Azorim BONDS 15 7150451 5,750,686.44 3,986,366.81 1,764,319.63 4.04% 2.59% Yes
Phoenix Investment House Mutual Funds Co. ID 520041989 Israel Azorim BONDS 16 1223486 34,847,642.29 33,860,149.93 987,492.36 1340.78% 1302.78% Yes
BONDS Index Partnership Co. ID 540265600 Israel Azorim BONDS 16 1223486 173,048.00 170,698.00 2,350.00 6.66% 6.57% Yes
Phoenix Investment House Market Making Co. ID 520023185 Israel Azorim BONDS 16 1223486 4.89 286.25 -281.36 0.00% 0.01% Yes
Phoenix Nostro Co. ID 520017450 Israel Azorim BONDS 16 1223486 1,000,000.00 1,000,000.00 - 38.48% 38.48% Yes
Phoenix Investment House Mutual Funds Co. ID 520041989 Israel Azorim BONDS 15 7150451 5,037,445.69 5,107,524.80 -70,079.11 349.75% 332.46% Yes
Phoenix Investment House Market Making Co. ID 520023185 Israel Azorim BONDS 15 7150451 1,801.82 -952.30 2,754.12 0.13% -0.06% Yes
Phoenix Nostro Co. ID 520017450 Israel Azorim BONDS 15 7150451 3,372,237.39 3,597,053.22 -224,815.83 234.14% 234.14% Yes
Tradable Corporate BONDS Partnership Co. ID 540253267 Israel Azorim BONDS 15 7150451 10,971,149.10 13,831,309.04 -2,860,159.94 761.73% 900.30% Yes
Hevrat Hashmai (IEC) Provident Fund Co. ID 520017450 Israel Azorim BONDS 15 7150451 3,778,885.76 4,030,811.48 -251,925.72 262.37% 262.37% Yes
Phoenix Investment House Mutual Funds Co. ID 520041989 Israel Azorim BONDS 13 7150410 8,883,495.91 10,037,111.25 -1,153,615.34 640.29% 723.43% Yes

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 and type of holder (Institutional, mutual funds, provident fund, study funds, pension) ID Number Type ID Number Country of citizenship / incorporation or registration Name, type and series of security TASE Security Number Quantity of securities Balance in previous central report (quantity of securities) Change in quantity of securities (+/-) Maximum holding rate in the security during the reporting period (for profit only for institutional reporting group) Scientific holding rate in the security during the reporting period (for profit only for institutional reporting group) Is the holder entitled to report the change in holding cumulatively Comments
Phoenix Nostro Co. ID 520017450 Israel Azorim BONDS 13 7150410 112,405.62 112,405.62 - 8.10% 8.10% Yes
Tradable Corporate BONDS Partnership Co. ID 540253267 Israel Azorim BONDS 13 7150410 4,611,052.19 4,611,052.19 - 332.35% 332.35% Yes
Phoenix Investment House Mutual Funds Co. ID 520041989 Israel Azorim BONDS 14 7150444 37,317,476.57 34,732,192.53 2,585,284.04 693.42% 645.38% Yes
BONDS Index Partnership Co. ID 540265600 Israel Azorim BONDS 14 7150444 358,315.02 353,449.02 4,866.00 6.66% 6.57% Yes
Phoenix Investment House Market Making Co. ID 520023185 Israel Azorim BONDS 14 7150444 502.53 1,326.57 -824.04 0.01% 0.02% Yes
Phoenix Nostro Co. ID 520017450 Israel Azorim BONDS 14 7150444 3,106,326.50 3,106,326.50 - 57.72% 57.72% Yes
Hevrat Hashmal (IEC) Provident Fund Co. ID 520017450 Israel Azorim BONDS 14 7150444 1,395,147.39 1,395,147.39 - 25.92% 25.92% Yes

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