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Oasis Crescent Property Fund  –  JSE:OAS  
     
Prices at least 15 minutes delayed. Source: JSE Ltd.
 
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1D 2D 3M 1Y 3Y 5Y 10Y
JSE Overall 91 393 0.74%
Real Estate Inv Trus 398 0.54%
 
More performance data
10 Day Trading Range
20.00 20.50
Peer Comparison
HAMMERSON (HMN)62.25 (0.00%)
SUPR (SRI)19.80 (-4.81%)
VUKILE (VKE)18.73 (1.79%)
RESILIENT (RES)59.60 (0.73%)
HYPROP (HYP)41.97 (0.72%)
OASIS (OAS)20.50 (0.00%)
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OAS Calendar Table
Institutional Support for OAS
Dec 2024 quarter 0.00%
Sep 2024 quarter 0.00%
Unit Trust Holdings
Sector: Real Estate Investment Trusts
 
OAS  Latest Market Data
Friday's Close20.50   P/E Ratio13.94
Today's Open20.50   EPS - TTM 147.10
Best Bid20.00 x 1 000   DPS - TTM Dividend (cps) 59 119
Best Offer20.50 x 2 166   Dividend Yield 5.78
Volume 1 000   Market Cap 1.33bn
Day's Range20.50–20.50   Shares In Issue 64.96m
Detailed quote
Latest SENS Latest News
Latest Results
12 months ended Mar 2025 (published Apr 2025) Final
(ZAR million)%chgMar 25 Mar 24
Turnover10.9% 145.6 131.3
Attributable Income-52.8% 134.4 285.1
Market Cap (ZARm)-4.4% 1 331.8 1 392.7
EPS (ZARc)-51.7% 206.20 427.20
HEPS (Cont Ops)(ZARc)-53.7% 147.10 317.60
DPS (ZARc)7.1% 118.54 110.67
View Comment Detailed financials
 
Nature of Business
The Fund is a closed end property fund, registered under the CISCA and managed by Oasis Crescent Property Fund Managers Ltd. (“OCPFM”). The Fund is a listed REIT on the AltX exchange of the JSE. OCPFM is a regulated subsidiary within the Oasis Group, an independent financial services group headquartered in South Africa, with a 25-year track record of excellence.
 
 
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