OAS - Oasis Crescent Property Fund - Adoption of new performance measures for
OAS
OAS
OAS - Oasis Crescent Property Fund - Adoption of new performance measures for
future trading statements
Oasis Crescent Property Fund
A property fund created under the Oasis Crescent Trust Scheme registered in
terms of the Collective Schemes Control Act
(Act 45 of 2002)
JSE code: OAS
ISIN: ZAE000074332
("OCPF" or "the Fund")
ADOPTION OF NEW PERFORMANCE MEASURES FOR FUTURE TRADING STATEMENTS
In compliance with section 3.4(b)(v)of the Listings Requirements of the JSE
Limited, unitholders are advised that owing to the nature of the business
conducted by OCPF, being that of a property related collective investment
scheme, the board of OCPF has decided to adopt the "gross distribution per unit"
and "net asset value per unit" measures for future trading statement purposes,
as it is considered to be a more appropriate yardstick to measure the
performance of OCPF than "headline earnings per unit" and "earnings per unit".
14 December 2009
Cape Town
Designated adviserPSG Capital (Pty) Limited
Date: 14/12/2009 17:40:01 Produced by the JSE SENS Department.
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