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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/21/24 G Willi Food International Ltd. 20-F 12/31/23 126:14M Z-K Global Ltd./FA |
Document/Exhibit Description Pages Size 1: 20-F Annual or Annual-Transition Report by a Foreign HTML 3.12M Non-Canadian Issuer 2: EX-2.1 Plan of Acquisition, Reorganization, Arrangement, HTML 51K Liquidation or Succession -- exhibit_2-1 5: EX-13.1 Annual or Quarterly Report to Security Holders -- HTML 34K exhibit_13-1 6: EX-13.2 Annual or Quarterly Report to Security Holders -- HTML 34K exhibit_13-2 8: EX-97.CLAWBACKPOLICY Clawback Policy re: Recovery of HTML 55K Erroneously Awarded Compensation -- exhibit_97-1 3: EX-12.1 Statement re: the Computation of Ratios -- HTML 41K exhibit_12-1 4: EX-12.2 Statement re: the Computation of Ratios -- HTML 40K exhibit_12-2 7: EX-15.1 Letter re: Unaudited Interim Financial Info -- HTML 33K exhibit_15-1 14: R1 Document and Entity Information HTML 107K 15: R2 Consolidated Statements of Financial Position HTML 119K 16: R3 Consolidated Statements of Income HTML 88K 17: R4 Consolidated Statements of Comprehensive Income HTML 52K 18: R5 Consolidated Statements of Changes in Equity HTML 60K 19: R6 Consolidated Statements of Cash Flows HTML 114K 20: R7 Basis of preparation HTML 52K 21: R8 Critical accounting estimates and assumptions HTML 43K 22: R9 Financial instruments risk management HTML 124K 23: R10 Segment information HTML 85K 24: R11 Cost of sales HTML 66K 25: R12 Selling expenses HTML 75K 26: R13 General and administrative expenses HTML 78K 27: R14 Employee benefit expenses HTML 81K 28: R15 Finance income and expenses HTML 103K 29: R16 Tax on income HTML 185K 30: R17 Earning per share HTML 54K 31: R18 Cash and cash equivalents HTML 50K 32: R19 Trade receivables, Net HTML 88K 33: R20 Other receivables and prepaid expenses HTML 55K 34: R21 Inventories, Net HTML 53K 35: R22 Property, plant and equipment HTML 205K 36: R23 Leases HTML 112K 37: R24 Subsidiaries HTML 49K 38: R25 Trade payables HTML 50K 39: R26 Employee benefit liabilities HTML 54K 40: R27 Other payables and accrued expenses HTML 52K 41: R28 Share capital HTML 45K 42: R29 Defined benefit scheme HTML 135K 43: R30 Share based payment HTML 79K 44: R31 Contingent liabilities and commitments HTML 60K 45: R32 Events during and after the reporting period HTML 58K 46: R33 Accounting policies HTML 89K 47: R34 Accounting policies (Policies) HTML 112K 48: R35 Financial instruments risk management (Tables) HTML 112K 49: R36 Segment information (Tables) HTML 81K 50: R37 Cost of sales (Tables) HTML 65K 51: R38 Selling expenses (Tables) HTML 75K 52: R39 General and administrative expenses (Tables) HTML 78K 53: R40 Employee benefit expenses (Tables) HTML 81K 54: R41 Finance income and expenses (Tables) HTML 104K 55: R42 Tax on income (Tables) HTML 189K 56: R43 Earning per share (Tables) HTML 53K 57: R44 Cash and cash equivalents (Tables) HTML 49K 58: R45 Trade receivables, Net (Tables) HTML 91K 59: R46 Other receivables and prepaid expenses (Tables) HTML 54K 60: R47 Inventories, Net (Tables) HTML 52K 61: R48 Property, plant and equipment (Tables) HTML 205K 62: R49 Leases (Tables) HTML 111K 63: R50 Subsidiaries (Tables) HTML 48K 64: R51 Trade payables (Tables) HTML 49K 65: R52 Employee benefit liabilities (Tables) HTML 52K 66: R53 Other payables and accrued expenses (Tables) HTML 52K 67: R54 Share capital (Tables) HTML 44K 68: R55 Defined benefit scheme (Tables) HTML 127K 69: R56 Share based payment (Tables) HTML 79K 70: R57 Accounting policies (Tables) HTML 48K 71: R58 Basis of preparation (Narrative) (Details) HTML 40K 72: R59 Financial instruments risk management (Narrative) HTML 36K (Details) 73: R60 Financial instruments risk management (Schedule of HTML 65K Classification of Financial Assets and Liabilities) (Details) 74: R61 Financial instruments risk management (Schedule of HTML 45K Fair Value Hierarchy of Financial Instruments) (Details) 75: R62 Financial instruments risk management (Schedule of HTML 52K Reconciliation of Opening and Closing Fair Value) (Details) 76: R63 Financial instruments risk management (Schedule of HTML 40K Exchange Rate Risk) (Details) 77: R64 Financial instruments risk management (Schedule of HTML 43K Sensitivity Analysis) (Details) 78: R65 Segment information (Narrative) (Details) HTML 42K 79: R66 Segment information (Schedule of Revenues from HTML 57K Principal Product of Imports Segments) (Details) 80: R67 Segment information (Schedule of Revenues from HTML 39K Principal Products) (Details) 81: R68 Cost of sales (Schedule of Cost of Sales) HTML 61K (Details) 82: R69 Selling expenses (Schedule of Selling Expenses) HTML 53K (Details) 83: R70 General and administrative expenses (Schedule of HTML 55K General and Administrative Expenses) (Details) 84: R71 Employee benefit expenses (Schedule of Employee HTML 41K Benefit Expenses) (Details) 85: R72 Employee benefit expenses (Schedule of Key HTML 45K Management Personnel Compensation) (Details) 86: R73 Finance income and expenses (Schedule of finance HTML 52K income) (Details) 87: R74 Finance income and expenses (Schedule of finance HTML 48K expenses) (Details) 88: R75 Tax on income (Narrative) (Details) HTML 36K 89: R76 Tax on income (Schedule of Tax Balances) (Details) HTML 39K 90: R77 Tax on income (Schedule of Deferred Taxes) HTML 58K (Details) (Ils) 91: R78 Tax on income (Schedule of Composition) (Details) HTML 45K 92: R79 Tax on income (Schedule of Reconciliation of HTML 63K Statutory Tax Rate to Effective Tax Rate) (Details) 93: R80 Earning per share (Schedule of Basic and Diluted HTML 42K Earning Per Share) (Details) 94: R81 Cash and cash equivalents (Schedule of Cash and HTML 42K Cash Equivalents) (Details) 95: R82 Trade receivables, Net (Schedule of Trade HTML 46K Receivables Composition) (Details) 96: R83 Trade receivables, Net (Schedule of Trade HTML 50K Receivables Days Past Due) (Details) 97: R84 Trade receivables, Net (Schedule of Changes in HTML 39K Allowance for Doubtful Debts) (Details) 98: R85 Other receivables and prepaid expenses (Schedule HTML 44K of Other Receivables and Prepaid Expenses) (Details) 99: R86 Inventories, Net (Schedule of Inventories) HTML 44K (Details) 100: R87 Property, plant and equipment (Schedule of HTML 124K Property Plant and Equipment) (Details) 101: R88 Leases (Narrative) (Details) HTML 39K 102: R89 Leases (Schedule of Right to use asset) (Details) HTML 54K 103: R90 Leases (Schedule of Leases Liabilities) (Details) HTML 40K 104: R91 Leases (Schedule of Amounts Recognized in Profit HTML 42K and Loss) (Details) 105: R92 Subsidiaries (Schedule of Financial Statement of HTML 43K Subsidiaries) (Details) 106: R93 Trade payables (Schedule of Trade Payables) HTML 40K (Details) 107: R94 Employee benefit liabilities (Schedule of HTML 42K Liabilities for Employee Benefits) (Details) 108: R95 Other payables and accrued expenses (Summary Other HTML 43K Payables and Accrued Expenses) (Details) (Ils) 109: R96 Share capital (Schedule of Share Capital) HTML 38K (Details) 110: R97 Defined benefit scheme (Narrative) (Details) HTML 57K 111: R98 Defined benefit scheme (Schedule of Principal HTML 55K Assumptions Used for Purposes of Actuarial Valuations) (Details) 112: R99 Defined benefit scheme (Schedule of Present Value HTML 51K of Defined Benefit Obligation in Current Period) (Details) 113: R100 Defined benefit scheme (Schedule of Defined HTML 52K Benefit Assets in Current Period) (Details) 114: R101 Defined benefit scheme (Schedule of Assets and HTML 43K Liabilities Recognized in Balance Sheets ) (Details) 115: R102 Share based payment (Narrative) (Details) HTML 64K 116: R103 Share based payment (Schedule of nature and scope HTML 55K of share-based payment plans during the period) (Details) 117: R104 Share based payment (Schedule of details regarding HTML 50K the stock option plans) (Details) 118: R105 Share based payment (Schedule of effect of HTML 37K share-based payment transactions on profit or loss for the period) (Details) 119: R106 Contingent liabilities and commitments (Narrative) HTML 64K (Details) 120: R107 Events during and after the reporting period HTML 42K (Details) 121: R108 Accounting policies (Schedule of Annual HTML 52K Depreciation and Amortization Rates) (Details) 123: XML IDEA XML File -- Filing Summary XML 241K 126: XML XBRL Instance -- zk2431140_htm XML 3.99M 122: EXCEL IDEA Workbook of Financial Report Info XLSX 201K 9: EX-101.CAL XBRL Calculations -- wilc-20231231_cal XML 252K 10: EX-101.DEF XBRL Definitions -- wilc-20231231_def XML 958K 11: EX-101.LAB XBRL Labels -- wilc-20231231_lab XML 1.87M 12: EX-101.PRE XBRL Presentations -- wilc-20231231_pre XML 1.17M 13: EX-101.SCH XBRL Schema -- wilc-20231231 XSD 316K 124: JSON XBRL Instance as JSON Data -- MetaLinks 475± 678K 125: ZIP XBRL Zipped Folder -- 0001178913-24-001024-xbrl Zip 701K
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Persons Subject to Policy
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Compensation Subject to Policy
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3. |
Recovery of Compensation
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Manner of Recovery; Limitation on Duplicative Recovery
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Administration
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Interpretation
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No Indemnification; No Liability
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8. |
Application; Enforceability
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9. |
Severability
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10. |
Amendment and Termination
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11. |
Definitions
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Signature
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Name
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This ‘20-F’ Filing | Date | Other Filings | ||
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Filed on: | 3/21/24 | 6-K | ||
For Period end: | 12/31/23 | |||
10/2/23 | ||||
11/28/22 | ||||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/23/23 G Willi Food International Ltd. 20-F 12/31/22 131:11M Z-K Global Ltd./FA 2/08/23 G Willi Food International Ltd. 6-K 2/08/23 3:301K Z-K Global Ltd./FA 7/25/22 G Willi Food International Ltd. S-8 7/25/22 5:425K Z-K Global Ltd./FA 3/25/21 G Willi Food International Ltd. 20-F 12/31/20 127:11M Z-K Global Ltd./FA 3/19/20 G Willi Food International Ltd. 20-F 12/31/19 126:14M Z-K Global Ltd./FA 4/30/14 G Willi Food International Ltd. 20-F 12/31/13 12:4.4M Z-K Global Ltd./FA 5/31/06 G Willi Food International Ltd. 20-F 12/31/05 14:1.3M Z-K Global Ltd./FA |