Page 161 - Profile's Stock Exchange Handbook - 2025 Issue 1
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Profile’s Stock Exchange Handbook: 2025 – Issue 1                       JSE – OAN
                                                  DIRECTORS: EbrahimAA(ind ne), Ebrahim Z, Mahomed Dr Y (ld ind ne),
                     Oando plc                     Mayman A (ind ne), Mohamed E (ind ne), Ebrahim M S (Chair),
                                                   EbrahimN(Dep Chair),SwinglerM(FD)
        OAN
       ISIN: NGOANDO00002  SHORT: OANDO  CODE: OAO  MAJOR ORDINARY SHAREHOLDERS as at 31 Mar 2024
       REG NO: 2005/038824/10  FOUNDED: 2005  LISTED: 2005  Oasis Crescent Income Fund  20.50%
       NATURE OF BUSINESS: Oando plc is one of Africa’s largest integrated  Oasis Crescent Equity Fund  18.70%
        energysolutionsproviderwithaproudheritage.Ithasaprimarylistingonthe  Oasis Crescent Property Company (Pty) Ltd.  11.60%
        Nigeria Stock Exchange and a secondary listing on the Johannesburg Stock  POSTAL ADDRESS: PO Box 1217, Cape Town, 8000
        Exchange. With shared values of Teamwork, Respect, Integrity, Passion and  MORE INFO: www.sharedata.co.za/sdo/jse/OAS
        Professionalism (TRIPP). The Oando Group comprises two companies who  COMPANY SECRETARY: Nazeem Ebrahim
        are leaders in their market: Oando Energy Resources and Oando Trading.  TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
       SECTOR: Energy—Energy—Oil,Gas&Coal—Oil Refining & Marketing  DESIGNATED ADVISOR: PSG Capital (Pty) Ltd.
       NUMBER OF EMPLOYEES: 154                   AUDITORS: Nexia SAB&T Inc.
       DIRECTORS: Bello B (ind ne), Igbokwe K (ind ne), Irune Dr A A,
        Iwueze C (ind ne), Mede N F, Omojola A, Osakwe I (ind ne, Nig),  CAPITAL STRUCTURE  AUTHORISED  ISSUED
        Sokefun R (ind ne), Akinrele A (Chair, ne, Nig), Tinubu J A (CEO, Nig),  OAS  Units no par  -  64 964 095
        Boyo O (Deputy CEO, Nig), Ogunsemi A (CFO)  DISTRIBUTIONS [ZARc]
       POSTAL ADDRESS: 9th -12th Floor, The Wings Office Complex,  Units no par  Ldt  Pay  Amt  Scr/100
        17a Ozumba Mbadiwe, Victoria Island, Lagos, Nigeria, PMB12801  Interim No 38  3 Dec 24  9 Dec 24  59.36  2.15
       MORE INFO: www.sharedata.co.za/sdo/jse/OAO  Final No 37     4 Jun 24 10 Jun 24  57.43  2.12
       COMPANY SECRETARY: Ayotola Jagun
       TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.  LIQUIDITY: Jan25 Avg 117 593 shares p.w., R2.4m(9.4% p.a.)
       SPONSORS: Sasfin Capital, a division of Sasfin Bank Ltd.  REIV  40 Week MA  OASIS
       AUDITORS: BDO
       CAPITAL STRUCTURE   AUTHORISED     ISSUED
       OAO  Ords of 50 kobo ea  30 000 000 000  12 431 412 481                         2054
       DISTRIBUTIONS [NGNk]                                                            1778
       Ords of 50 kobo ea    Ldt    Pay     Amt
       Interim No 23      5 Dec 14  15 Dec 14  70.00                                   1501
       Final No 22        7 Nov 14  17 Nov 14  30.00
                                                                                       1225
       LIQUIDITY: Jan25 Avg 56 898 shares p.w., R14 737.9(-% p.a.)
                                                                                       949
               OILP       40 Week MA   OANDO          2020  |  2021  |  2022  |  2023  |  2024  |
                                           100    FINANCIAL STATISTICS
                                                  (Amts in ZAR’000)  Sep 24  Mar 24  Mar 23  Mar 22  Mar 21
                                           80
                                                              Interim  Final  Final  Final  Final
                                                  Turnover     71 562  131 251  109 266  97 050  105 738
                                           60
                                                  Op Inc       71 290  285 543  13 214  198 302  102 520
                                           41     NetIntPd(Rcvd)  221  471  452   180  629
                                                  Att Inc      71 069  285 072  12 762  198 122  101 891
                                           21
                                                  TotCompIncLoss  71 069  285 072  12 762  198 120  101 891
                                                  Fixed Ass   892 485  891 941  818 680  772 857  737 362
                                           1
          2020  |  2021  |  2022  |  2023  |  2024  |
                                                  Tot Curr Ass  228 429  239 317  230 044  311 548  182 790
       FINANCIAL STATISTICS                       Ord SH Int  1 796 410 1 813 843 1 574 950 1 617 198 1 471 770
       (NGN million)  Sep 24  Dec 23  Dec 22  Dec 21  Dec 20  LT Liab  1 220  1 220  1 325  1 448  1 583
                  Quarterly  Final  Final  Final  Final  Tot Curr Liab  64 725  61 212  70 361  137 392  43 905
       Turnover   1 158 667 2 845 598 1 993 754  804 796  477 070  PER SHARE STATISTICS (cents per share)
       Op Inc       39 080  218 306  20 584  78 830  - 74 339  HEPS-C (ZARc)  111.10  317.60  - 9.90  247.50  134.80
       NetIntPd(Rcvd)  54 705  116 477  81 600  34 502  60 257  DPS (ZARc)  59.36  110.67  98.13  83.33  88.84
       Minority Int   454  - 1 719  - 2 512  - 2 959  - 22 525  NAV PS (ZARc)  2 757.00 2 703.00 2 391.00 2 440.00 2 239.00
       Att Inc      13 193  61 996  - 78 719  35 817 - 118 149  3 Yr Beta  - 0.11  - 0.17  - 0.11  - 0.06  -
       TotCompIncLoss  31 712  - 69 973  - 56 801  30 616 - 132 761  Price High  2 075  2 075  1 960  2 651  2 341
       Fixed Ass  2 659 736 1 034 449  462 706  430 961  906 995  Price Low  1 950  1 751  1 850  1 875  2 100
       Inv & Loans  12 061  12 061  4 450  3 440  3 138  Price Prd End  1 950  2 075  1 900  1 950  2 150
       Tot Curr Ass  3 313 203  815 549  372 211  132 128  70 473  RATIOS
       Ord SH Int  - 167 433 - 249 190 - 189 367 - 124 878  - 85 720  Ret on SH Fnd  7.91  15.72  0.81  12.25  6.92
       Minority Int  - 31 124  - 17 988  - 7 839  - 4 139  18 037  Oper Pft Mgn  99.62  217.55  12.09  204.33  96.96
       LT Liab    1 835 001  495 169  260 481  324 509  808 249  Current Ratio  3.53  3.91  3.27  2.27  4.16
       Tot Curr Liab  6 203 900 2 448 128 1 189 055  800 572  648 631  Div Cover  1.82  3.86  0.20  3.58  1.76
       PER SHARE STATISTICS (cents per share)
       NAV PS (ZARc)  - 13.47  - 40.09  - 15.23  - 39.48  - 25.40
       3 Yr Beta     0.71  - 0.48  0.90  0.23  0.98
       Price High     45    30    77   26    30
       Price Low       9     6    11   11     1
       Price Prd End  29    19    30   21    20
       RATIOS
       Ret on SH Fnd  - 27.49  - 22.56  41.19  - 25.47  207.84
       Oper Pft Mgn  3.37  7.67  1.03  9.80  - 15.58
       D:E          - 17.62  - 4.74  - 3.33  - 4.74  - 15.69
       Current Ratio  0.53  0.33  0.31  0.17  0.11
           Oasis Crescent Property Fund
        OAS
       ISIN: ZAE000074332  SHORT: OASIS  CODE: OAS
       REG NO: 2003/012266/06  FOUNDED: 2005  LISTED: 2005
       NATURE OF BUSINESS: The Fund is a closed end property fund,
        registered underthe CISCA andmanagedby OasisCrescent Property Fund
        ManagersLtd.(“OCPFM”).The FundisalistedREITonthe AltXexchange
        of the JSE. OCPFM is a regulated subsidiary within the Oasis Group, an
        independentfinancialservices group headquartered inSouth Africa, witha
        25-year track record of excellence.
       SECTOR: AltX
       NUMBER OF EMPLOYEES: 0
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