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Market cap: | 1,225,910,529 |
EPS - TTM: | 247.66 |
P/E ratio: | 7.47 |
Forward P/E: | 0 |
Dividend yield: | 4.5 % |
Return on equity: | 12.25 % |
Return on assets: | 11.28 % |
Net asset value: | 2,440.00 |
Price/NAV: | 0.76 |
Authorised shares: | 0 |
Issued shares: | 66,265,434 |
Report |
Date |
---|---|
OAS - Annual Report March 2021 | 2021/03/31 |
OAS - Annual Report March 2020 | 2020/03/31 |
Sector: Real Estate Investment Trusts
'000 Rands |
Mar 22 F |
Sep 21 I |
---|---|---|
Turnover | 97 | 50 |
Op Inc | 198 | 102 |
Att Inc | 198 | 102 |
Cash Gen PS | 129.05 | 18.79 |
Cshflo frm ops | 86 | 12 |
Oper Pft Mgn | 204.33 % | 203.61 % |
'000 Rands |
Mar 22 F |
Sep 21 I |
---|---|---|
Fixed Ass | 772,857 | 742,144 |
Tot Curr Ass | 311,548 | 220,536 |
Ord SH Int | 1,617,198 | 1,563,405 |
0 | 0 | |
LT Liab | 1,448 | 1,525 |
Tot Curr Liab | 137,392 | 44,472 |
Mar 22 F |
Sep 21 I |
|
---|---|---|
EPS (ZARc) | 298.11 | 154.1 |
HEPS-C (ZARc) | 247.5 | 151.1 |
DPS (ZARc) | 83.33 | 41.44 |
NAV PS (ZARc) | 2440 | 2351 |
Ret on SH Fnd | 12.25 % | 13.05 % |
Ret On Tot Ass | 11.28 % | 12.68 % |
Next AGM date: Thursday, 21 July 2022, unconfirmed |
Interim results estimated to be released on 26 October 2022 |
Nature of business
Oasis Crescent Property Fund Managers Ltd. was established to manage and administer direct property funds that subscribe to the principles of Islamic finance to enable investors to diversify the asset allocation of their investment portfolio.
Company email
info@oasiscrescent.com
Company website
http://www.oasiscrescent.com
Transfer secretary
Computershare Investor Services (Pty) Ltd.
Company secretary
Nazeem Ebrahim
Postal address
PO Box 1217, Cape Town, 8000
Registered address
96 Upper Roodebloem Road, University Estate, Cape Town, 7925
Company tel
021 413-7860
Company fax
Major shareholders
Oasis Crescent Equity Fund, Oasis Crescent Property Company (Pty) Ltd., Oasis Crescent Bal Progressive Fund of Funds, Oasis Crescent Pension Annuity Fund, BNP Paribas Securities, Oasis Crescent Balanced Stable Fund of Funds, Oasis Crescent Retirement Annuity High Equity Fund
Declared date |
Last day to trade |
Pay date |
Type |
Value |
---|---|---|---|---|
2022/04/29 | 2022/05/31 | 2022/06/06 | Final | 41.8858291 ZARc |
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