Company: LGN
Filing Date: 2025-02-14
Form Type: DRS
Source: 0000950123-25-002471
Chunk: 225

Company: Legence Corp.
Filing Date: 2025-02-14
Form: DRS
Chunk 225
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, Laws of Hong Kong), and no advertisement, invitation or document relating to the Shares may be issued or may be in the
possession of any person for the purpose of issue (in each case whether in Hong Kong or elsewhere), which is directed at, or the contents of which are likely to be accessed or read by, the public in Hong Kong (except if permitted to do so under the
laws of Hong Kong) other than with respect to Shares which are or are intended to be disposed of only to persons outside Hong Kong or only to “professional investors” within the meaning of the Securities and Futures Ordinance (Cap. 571,
Laws of Hong Kong) and any rules made thereunder.

153

Confidential Treatment Requested by Legence Corp. Pursuant to 17 C.F.R. Section 200.83 Israel In the State of Israel, the Shares offered hereby may not be offered to any person or entity other than the following:

| • |     | a fund for joint investments in trust (i.e., mutual fund), as such term is defined in the Law for Joint 
 Investments in Trust, 5754-1994, or a management company of such a fund;                                |

| • |     | a provident fund as defined in Section 47(a)(2) of the Income Tax Ordinance of the State of Israel, or a 
 management company of such a fund;                                                                       |

| • |     | an insurer, as defined in the Law for Oversight of Insurance Transactions, 5741-1981, a banking entity or                                                                                                                                           
 satellite entity, as such terms are defined in the Banking Law (Licensing), 5741-1981, other than a joint services company, acting for their own account or for the account of investors of the type listed in Section 15A(b) of the Securities Law 
 1968;                                                                                                                                                                                                                                               |

| • |     | a company that is licensed as a portfolio manager, as such term is defined in Section 8(b) of the Law for                                                                                           
 the Regulation of Investment Advisors and Portfolio Managers, 5755-1995, acting on its own account or for the account of investors of the type listed in Section 15A(b) of the Securities Law 1968; |

| • |     | a company that is licensed as an investment advisor, as such term is defined in Section 7(c) of the Law for 
 the Regulation of Investment Advisors and Portfolio Managers, 5755-1995