Page 112 - Profile's Stock Exchange Handbook - 2025 Issue 1
P. 112
JSE – EME Profile’s Stock Exchange Handbook: 2025 – Issue 1
eMedia Holdings Ltd. Emira Property Fund Ltd.
EME EMI
ISIN: ZAE000208898 SHORT: E MEDIA CODE: EMH ISIN: ZAE000203063 SHORT: EMIRA CODE: EMI
ISIN: ZAE000209524 SHORT: E MEDIA-N CODE: EMN REG NO: 2014/130842/06 FOUNDED: 2003 LISTED: 2003
REG NO: 1968/011249/06 FOUNDED: 1968 LISTED: 1994 NATURE OF BUSINESS: Emira is a diversified South African Real Estate
NATURE OF BUSINESS: eMedia Holdings Ltd. (eMedia Holdings) is a Investment Trust (REIT). It has been listed in the Real Estate Investment
media investment holding company, incorporated in South Africa and Trusts sector on the JSE Ltd. since 28 November 2003. Its property
listed on the JSE Ltd. under the media sector. portfolioisspreadacrossthe office, retail andindustrialsectorsinlinewith
SECTOR: ConsDiscr—Media—Media—Radio and TV Broadcasters the Fund’s strategic objectives.
NUMBER OF EMPLOYEES: 1 106 SECTOR: RealEstate—RealEstate—REITS—Diversified
DIRECTORS: GovenderTG(ne), Govender L (ind ne), NUMBER OF EMPLOYEES: 24
Mphande E (ind ne), Shaik Y (ne), WatsonRD(ld ind ne), DIRECTORS: Bekkens M (ind ne), Day J (ne), Nyker J (ind ne),
Copelyn J A (Chair, ne), Sheriff M K (CEO), Lee A (FD) ThomasDJJ(ind ne), TempletonJWA (Chair, ne),
MAJOR ORDINARY SHAREHOLDERS as at 31 Mar 2024 Booyens G S (CFO), Jennett G M (CEO), Mahlangu V (ld ind ne),
Fulela Trade and Invest 81 (Pty) Ltd. 80.23% van Biljon Mrs U (COO)
POSTAL ADDRESS: Private Bag X9944, Sandton, Johannesburg, 2146 MAJOR ORDINARY SHAREHOLDERS as at 18 Apr 2024
MORE INFO: www.sharedata.co.za/sdo/jse/EMH Castleview Property Fund Ltd. 55.38%
COMPANY SECRETARY: HCI Managerial Services (Pty) Ltd. Public Investment Corporation SOC Ltd. 5.80%
TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd. POSTAL ADDRESS: PO Box 69104, Bryanston, 2021
SPONSOR: Investec Bank Ltd. MORE INFO: www.sharedata.co.za/sdo/jse/EMI
AUDITORS: BDO SA COMPANY SECRETARY: Acorim (Pty) Ltd.
TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
CAPITAL STRUCTURE AUTHORISED ISSUED SPONSOR: Questco Corporate Advisory (Pty) Ltd.
EMH Ords no par 70 000 000 63 810 244 AUDITORS: Moore Infinity Inc.
EMN Ords “N” no par 1 055 000 000 381 927 359
CAPITAL STRUCTURE AUTHORISED ISSUED
DISTRIBUTIONS [ZARc] EMI Ords of no par val 2 000 000 000 522 667 247
Ords no par Ldt Pay Amt
Interim No 11 10 Dec 24 17 Dec 24 14.00 DISTRIBUTIONS [ZARc]
Final No 10 11 Jun 24 18 Jun 24 16.00 Ords of no par val Ldt Pay Amt
Interim No 44 3 Dec 24 9 Dec 24 62.39
LIQUIDITY: Jan25 Avg 13 544 shares p.w., R44 124.4(1.1% p.a.) Final No 43 25 Jun 24 1 Jul 24 55.28
ALSH 40 Week MA EMEDIA
LIQUIDITY: Jan25 Avg 2m shares p.w., R18.1m(17.5% p.a.)
550
REIV 40 Week MA EMIRA
490 1322
431 1168
371 1013
312 859
252 704
2020 | 2021 | 2022 | 2023 | 2024 |
FINANCIAL STATISTICS 550
2020 | 2021 | 2022 | 2023 | 2024 |
(R million) Sep 24 Mar 24 Mar 23 Mar 22 Mar 21 NOTES: Emira Property Fund Ltd. changed its year end from 30 June to 31
Interim Final Final Final(rst) Final March.
Turnover 1 581 3 059 3 125 3 145 2 429
Op Inc 221 491 531 529 179 FINANCIAL STATISTICS Mar 24 Mar 23 Jun 22 Jun 21
Sep 24
(R million)
NetIntPd(Rcvd) 22 42 24 16 10
Interim Final Final Final Final
Minority Int 48 109 123 138 36 NetRent/InvInc 432 889 605 673 722
Att Inc 100 225 255 283 72 Total Inc 462 937 657 715 762
TotCompIncLoss 147 334 378 414 100 Attrib Inc 1 451 517 826 969 467
Fixed Ass 1 108 1 055 1 058 1 067 1 082 TotCompIncLoss 1 297 646 969 1 124 317
Tot Curr Ass 2 187 2 297 1 758 1 786 1 574 Ord UntHs Int 9 372 8 350 8 182 7 862 7 349
Ord SH Int 2 884 2 857 2 802 2 753 2 635 Investments 2 563 2 783 2 703 3 009 2 204
Minority Int 1 326 1 313 1 288 1 244 1 109 FixedAss/Prop 10 069 9 697 11 719 9 510 9 269
LT Liab 1 117 1 084 970 864 927 Tot Curr Ass 357 412 584 189 902
Tot Curr Liab 709 866 571 752 786
Total Ass 17 192 15 604 16 243 14 072 13 281
PER SHARE STATISTICS (cents per share) Tot Curr Liab 2 862 2 525 2 937 1 830 1 199
HEPS-C (ZARc) 22.47 50.68 57.33 64.21 21.08 PER SHARE STATISTICS (cents per share)
DPS (ZARc) 14.00 34.00 41.00 47.00 14.00 HEPS-C (ZARc) 213.26 50.05 98.62 160.72 188.24
NAV PS (ZARc) 651.00 645.00 615.00 622.00 595.00 DPS (ZARc) 62.39 117.02 96.78 119.79 66.65
3 Yr Beta 1.04 1.09 0.54 0.26 0.37 NAV PS (ZARc) 1 945.50 1 733.10 1 696.40 1 628.60 1 518.30
Price High 375 407 550 500 550 3 Yr Beta 0.19 0.08 0.33 1.24 1.18
Price Low 273 310 331 251 237 Price Prd End 1 090 868 1 011 901 985
Price Prd End 375 326 361 398 295 Price High 1 227 1 060 1 108 1 170 1 053
RATIOS Price Low 863 751 900 821 510
Ret on SH Fnd 7.04 8.01 9.23 10.53 2.88 RATIOS
Oper Pft Mgn 14.00 16.05 17.00 16.81 7.36 RetOnSH Funds 30.81 6.53 13.08 12.33 6.32
D:E 0.29 0.29 0.26 0.24 0.30 RetOnTotAss 6.75 7.60 8.13 8.83 8.84
Current Ratio 3.09 2.65 3.08 2.38 2.00
Debt:Equity 0.78 0.79 0.84 0.74 0.74
Div Cover(EPS) 1.59 1.49 1.40 1.36 1.16
OperRetOnInv 6.84 7.12 5.59 5.38 6.29
OpInc:Turnover 46.52 46.95 46.65 46.20 48.88
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