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Wed 17 Nov 2010, 17:00 OAS - Oasis Crescent Property Fund - Dealing in Oasis Crescent Property Fund
OAS
OAS                                                                             
OAS - Oasis Crescent Property Fund - Dealing in Oasis Crescent Property Fund    
units                                                                           
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")                                                          
DEALING IN OASIS CRESCENT PROPERTY FUND UNITS                                   
In compliance with rules 3.63 to 3.74 of the JSE Limited`s Listings             
Requirements, the following information is disclosed:                           
NAME OF DIRECTOR                   N Ebrahim                                    
COMPANY OF WHICH I AM A DIRECTOR   Oasis Crescent Property Fund                 
                                  Managers Limited                              
STATUS:EXECUTIVE/NON-EXECUTIVE     Executive                                    
TYPE OF SECURITIES                 Units                                        
CLASS OF SECURITIES                Ordinary                                     
DATE OF TRANSACTION                15 November 2010            (1-4)            

CENTS PER UNIT                     1 329                       (1-4)            
                                                                                
NUMBER OF SECURITIES TRANSACTED    1 253                       (1)              
418                         (2)               
                                  418                         (3)               
                                  418                         (4)               
TOTAL RAND VALUE OF SECURITIES     R16 652.37                  (1)              
R5 555.22                   (2)               
                                  R5 555.22                   (3)               
                                  R5 555.22                   (4)               
NAME OF ASSOCIATE                  Adam Ismail Ebrahim Family                   
Trust                         (1)             
                                  Bint Nur Ebrahim Family Trust (2)             
                                  Zahrah Ebrahim Family Trust   (3)             
                                  Abli Family Trust             (4)             
RELATIONSHIP WITH DIRECTOR         Trustee of the Associate (1-4)               
                                                                                
NATURE OF TRANSACTION              Election to receive units in lieu            
                                  of cash in terms of the OCPF                  
Income Distribution for the                   
                                  period ended 30 September 2010                
                                  (Off-market transaction)   (1-4)              
                                                                                
NATURE AND EXTENT OF INTEREST IN   Indirect, non-beneficial       (1-           
THE TRANSACTION                    4)                                           
NAME OF DIRECTOR                   M S Ebrahim                                  
COMPANY OF WHICH I AM A DIRECTOR   Oasis Crescent Property Fund                 
Managers Limited                              
STATUS:EXECUTIVE/NON-EXECUTIVE     Executive                                    
TYPE OF SECURITIES                 Shares                                       
CLASS OF SECURITIES                Ordinary                                     
DATE OF TRANSACTION                15 November 2010            (1-6)            
                                                                                
CENTS PER UNIT                     1 329                       (1-6)            
                                                                                
NUMBER OF SECURITIES TRANSACTED    418                         (1)              
                                  1 253                       (2)               
                                  418                         (3)               
                                  418                         (4)               
418                         (5)               
                                  418                         (6)               
                                                                                
TOTAL RAND VALUE OF SECURITIES     R5 555.22                   (1)              
R16 652.37                  (2)               
                                  R5 555.22                   (3)               
                                  R5 555.22                   (4)               
                                  R5 555.22                   (5)               
R5 555.22                   (6)               
                                                                                
NAME OF ASSOCIATE                  Adam Ismail Ebrahim Family Trust             
                                  (2)                                           
Bint Nur Ebrahim Family Trust                 
                                  (3)Zahrah Ebrahim Family Trust                
                                  (4)                                           
                                  Abli Family Trust             (5)             
Mohamed Salman Ebrahim        (6)             
                                                                                
RELATIONSHIP WITH DIRECTOR         Trustee of the Associate    (2-5)            
                                  Minor Child of the Director (6)               

NATURE OF TRANSACTION              Election to receive units in lieu            
                                  of cash in terms of the OCPF                  
                                  Income Distribution for the                   
period ended 30 September 2010                
                                  (Off-market transaction)    (1-6)             
                                                                                
NATURE AND EXTENT OF INTEREST IN   Direct, beneficial          (1)              
THE TRANSACTION                    Indirect, non-beneficial                     
                                  (2-5)                                         
                                  Indirect, beneficial        (6)               
Clearance to deal in these shares was obtained in accordance with Rule 3.66 of  
the JSE Listings Requirements.                                                  
17 November 2010                                                                
Cape Town                                                                       
Designated adviser                                                              
PSG Capital (Pty) Limited                                                       
Date: 17/11/2010 17:00:06 Produced by the JSE SENS Department.                  
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