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G Willi Food International Ltd. – ‘20-F’ for 12/31/23 – ‘EX-97.CLAWBACKPOLICY’

On:  Thursday, 3/21/24, at 9:13am ET   ·   For:  12/31/23   ·   Accession #:  1178913-24-1024   ·   File #:  0-29256

Previous ‘20-F’:  ‘20-F’ on 3/23/23 for 12/31/22   ·   Latest ‘20-F’:  This Filing   ·   7 References:   

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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

Annual or Annual-Transition Report by a Foreign Non-Canadian Issuer   —   Form 20-F   —   SEA’34

Filing Table of Contents

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  


‘EX-97.CLAWBACKPOLICY’   —   Clawback Policy re: Recovery of Erroneously Awarded Compensation — exhibit_97-1


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



 C: 

Exhibit 97.1

G. WILLI FOOD INTERNATIONAL LTD.
POLICY FOR
RECOVERY OF ERRONEOUSLY AWARDED COMPENSATION

G. Willi Food International Ltd. (the “Company”) has adopted this Policy for Recovery of Erroneously Awarded Compensation (the “Policy”), effective as of October 2, 2023 (the “Effective Date”). Capitalized terms used in this Policy but not otherwise defined herein are defined in Section 11.
 
1.
Persons Subject to Policy
 
This Policy shall apply to and be binding and enforceable on current and former Officers. In addition, the Committee and the Board may apply this Policy to persons who are not Officers, and such application shall apply in the manner determined by the Committee and the Board in their sole discretion.
 
2.
Compensation Subject to Policy
 
This Policy shall apply to Incentive-Based Compensation received on or after the Effective Date. For purposes of this Policy, the date on which Incentive-Based Compensation is “received” shall be determined under the Applicable Rules, which generally provide that Incentive-Based Compensation is “received” in the Company’s fiscal period during which the relevant Financial Reporting Measure is attained or satisfied, without regard to whether the grant, vesting or payment of the Incentive-Based Compensation occurs after the end of that period.
 
3.
Recovery of Compensation
 
In the event that the Company is required to prepare a Restatement, the Company shall recover, reasonably promptly and in accordance with Section 4 below, the portion of any Incentive-Based Compensation that is Erroneously Awarded Compensation, unless the Committee and the Board have determined that recovery from the relevant current or former Officer would be Impracticable. Recovery shall be required in accordance with the preceding sentence regardless of whether the applicable Officer engaged in misconduct or otherwise caused or contributed to the requirement for the Restatement and regardless of whether or when restated financial statements are filed by the Company. For clarity, the recovery of Erroneously Awarded Compensation under this Policy will not give rise to any Officer’s right to voluntarily terminate employment for “good reason” or due to a “constructive termination” (or any similar term of like effect) under any plan, program or policy of or agreement with the Company or any of its affiliates.
 
4.
Manner of Recovery; Limitation on Duplicative Recovery
 
The Committee and the Board shall, in its sole discretion, determine the manner of recovery of any Erroneously Awarded Compensation, which may include, without limitation, reduction or cancellation by the Company or an affiliate of the Company of Incentive-Based Compensation or Erroneously Awarded Compensation, reimbursement or repayment by any person subject to this Policy, and, to the extent permitted by law, an offset of the Erroneously Awarded Compensation against other compensation payable by the Company or an affiliate of the Company to such person. Notwithstanding the foregoing, unless otherwise prohibited by the Applicable Rules, to the extent this Policy provides for recovery of Erroneously Awarded Compensation already recovered by the Company pursuant to Section 304 of the Sarbanes-Oxley Act of 2002 or Other Recovery Arrangements, the amount of Erroneously Awarded Compensation already recovered by the Company from the recipient of such Erroneously Awarded Compensation may be credited to the amount of Erroneously Awarded Compensation required to be recovered pursuant to this Policy from such person.
 

5.
Administration
 
This Policy shall be administered, interpreted and construed by the Committee, which is authorized to make all determinations necessary, appropriate or advisable for such purpose. The Board may re-vest in itself the authority to administer, interpret and construe this Policy in accordance with applicable law, and in such event references herein to the “Committee” shall be deemed to be references to the Board. Subject to any permitted review by the applicable national securities exchange or association pursuant to the Applicable Rules, all determinations and decisions made by the Committee pursuant to the provisions of this Policy shall be final, conclusive and binding on all persons, including the Company and its affiliates, shareholders and employees. The Committee may delegate administrative duties with respect to this Policy to one or more directors or employees of the Company, as permitted under applicable law, including any Applicable Rules.
 
6.
Interpretation
 
This Policy shall be interpreted and applied in a manner that is consistent with the requirements of the Applicable Rules, and to the extent this Policy is inconsistent with such Applicable Rules, it shall be deemed amended to the minimum extent necessary to ensure compliance therewith.
 
7.
No Indemnification; No Liability
 
The Company shall not indemnify or insure any person against the loss of any Erroneously Awarded Compensation pursuant to this Policy, nor shall the Company directly or indirectly pay or reimburse any person for any premiums for third-party insurance policies that such person may elect to purchase to fund such person’s potential obligations under this Policy. None of the Company, an affiliate of the Company or any member of the Committee or the Board shall have any liability to any person as a result of actions taken under this Policy.
 
8.
Application; Enforceability
 
Except as otherwise determined by the Committee or the Board, the adoption of this Policy does not limit, and is intended to apply in addition to, any Other Recovery Arrangements. Without limiting the foregoing, in the event of a conflict between this Policy and the Compensation Policy, the latter shall prevail, except with respect to the recovery of any portion of Incentive-Based Compensation that is Erroneously Awarded Compensation that would not be recoverable under the Compensation Policy, in which case this Policy shall prevail. Subject to Section 4, the remedy specified in this Policy shall not be exclusive and shall be in addition to every other right or remedy at law or in equity that may be available to the Company or an affiliate of the Company or is otherwise required by applicable law and regulations.
 
2

9.
Severability
 
The provisions in this Policy are intended to be applied to the fullest extent of the law; provided, however, to the extent that any provision of this Policy is found to be unenforceable or invalid under any applicable law, such provision will be applied to the maximum extent permitted, and shall automatically be deemed amended in a manner consistent with its objectives to the extent necessary to conform to any limitations required under applicable law.
 
10.
Amendment and Termination
 
The Board or the Committee may amend, modify or terminate this Policy in whole or in part at any time and from time to time in its sole discretion. This Policy will terminate automatically when the Company does not have a class of securities listed on a national securities exchange or association in the U.S.
 
11.
Definitions
 
Applicable Rules” means Section 10D of the Exchange Act, Rule 10D-1 promulgated thereunder, the listing rules of the national securities exchange or association on which the Company’s securities are listed, and any applicable rules, standards or other guidance adopted by the Securities and Exchange Commission or any national securities exchange or association on which the Company’s securities are listed.

Board” means the Board of Directors of the Company.
 
Compensation Policy” means the Company’s compensation policy for officers and directors, as adopted in accordance with the Israeli Companies Law 5759-1999 and as in effect from time to time.
 
Committee” means the Compensation Committee of the Board or, in the absence of such a committee, a majority of the independent directors serving on the Board.
 
Erroneously Awarded Compensation” means the amount of Incentive-Based Compensation received by a current or former Officer that exceeds the amount of Incentive-Based Compensation that would have been received by such current or former Officer based on a restated Financial Reporting Measure, as determined on a pre-tax basis in accordance with the Applicable Rules.
 
Exchange Act” means the Securities Exchange Act of 1934, as amended.
 
Financial Reporting Measure” means any measure determined and presented in accordance with the accounting principles used in preparing the Company’s financial statements, and any measures derived wholly or in part from such measures, including GAAP, IFRS and non-GAAP/IFRS financial measures, as well as stock price and total shareholder return.
 
3

GAAP” means United States generally accepted accounting principles.
 
IFRS” means international financial reporting standards as adopted by the International Accounting Standards Board.
 
Impracticable” means (a) the direct expense paid to third parties to assist in enforcing recovery would exceed the Erroneously Awarded Compensation; provided that the Company has (i) made reasonable attempt(s) to recover the Erroneously Awarded Compensation, (ii) documented such reasonable attempt(s) and (iii) provided such documentation to the relevant listing exchange or association, (b) the recovery would violate the Company’s home country laws adopted prior to November 28, 2022 pursuant to an opinion of home country counsel; provided that the Company has (i) obtained an opinion of home country counsel, acceptable to the relevant listing exchange or association, that recovery would result in such a violation and (ii) provided such opinion to the relevant listing exchange or association, or (c) recovery would likely cause an otherwise tax-qualified retirement plan, under which benefits are broadly available to employees of the Company, to fail to meet the requirements of 26 U.S.C. 401(a)(13) or 26 U.S.C. 411(a) and the regulations thereunder.
 
Incentive-Based Compensation” means, with respect to a Restatement, any compensation that is granted, earned, or vested based wholly or in part upon the attainment of one or more Financial Reporting Measures and received by a person: (a) after such person began service as an Officer; (b) who served as an Officer at any time during the performance period for that compensation; (c) while the Company has a class of securities listed on a national securities exchange or association; and (d) during the applicable Three-Year Period.
 
Officer” means each person who the Company determines serves as a Company officer, as defined in Section 16 of the Securities Exchange Act of 1934, as amended.
 
Other Recovery Arrangements means any clawback, recoupment, forfeiture or similar policies or provisions of the Company or its affiliates, including any such policies or provisions of such effect contained in any employment agreement, bonus plan, incentive plan, equity-based plan or award agreement thereunder or similar plan, program or agreement of the Company or an affiliate or required under applicable law (including, without limitation, the Compensation Policy).
 
Restatement” means an accounting restatement to correct the Company’s material noncompliance with any financial reporting requirement under securities laws, including restatements that correct an error in previously issued financial statements (a) that is material to the previously issued financial statements or (b) that would result in a material misstatement if the error were corrected in the current period or left uncorrected in the current period.
 
Three-Year Period” means, with respect to a Restatement, the three completed fiscal years immediately preceding the date that the Board, a committee of the Board, or the officer or officers of the Company authorized to take such action if Board action is not required, concludes, or reasonably should have concluded, that the Company is required to prepare such Restatement, or, if earlier, the date on which a court, regulator or other legally authorized body directs the Company to prepare such Restatement. The “Three-Year Period” also includes any transition period (that results from a change in the Company’s fiscal year) within or immediately following the three completed fiscal years identified in the preceding sentence. However, a transition period between the last day of the Company’s previous fiscal year end and the first day of its new fiscal year that comprises a period of nine to 12 months shall be deemed a completed fiscal year.
 
4

ACKNOWLEDGMENT AND CONSENT TO
POLICY FOR RECOVERY OF ERRONEOUSLY AWARDED COMPENSATION

The undersigned has received a copy of the Policy for Recovery of Erroneously Awarded Compensation (the “Policy”) adopted by G. Willi Food International Ltd. (the “Company”), and has read and understands the Policy. Capitalized terms used but not defined herein shall have the meanings ascribed to such terms in the Policy.

As a condition of receiving Incentive-Based Compensation from the Company, the undersigned agrees that any Incentive-Based Compensation received on or after the Effective Date is subject to recovery pursuant to the terms of the Policy. To the extent the Company’s recovery right conflicts with any other contractual rights the undersigned may have with the Company, the undersigned understands that the terms of the Policy shall supersede any such contractual rights. The terms of the Policy shall apply in addition to any right of recoupment against the undersigned under the Compensation Policy or applicable law and regulations.
 
___________________
Date
________________________________________
Signature
 
 
________________________________________
Name
 
 
________________________________________
Title

 
5

Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘20-F’ Filing    Date    Other Filings
Filed on:3/21/246-K
For Period end:12/31/23
10/2/23
11/28/22
 List all Filings 


7 Previous Filings that this Filing References

  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
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