Page 96 - Profile's Stock Exchange Handbook - 2026 Issue 1
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JSE - CAS                               Profile’s Stock Exchange Handbook: 2026 - Issue 1
           Castleview Property Fund Ltd.               Caxton and CTP Publishers
        ISIN: ZAE000251633   SHORT: CASTLEVIEW   CODE: CVW   and Printers Ltd.
        REG NO: 2017/290413/06  FOUNDED: 2017   LISTED: 2017
        NATURE  OF  BUSINESS:  Castleview  is  a  property  holding  and   ISIN: ZAE000043345   SHORT: CAXTON   CODE: CAT
         investment company that was listed as a retail REIT on the AltX of   ISIN: ZAE000043352   SHORT: CAXTON6%CPP   CODE: CATP
         the JSE on 20 December 2017. Castleview’s investment mandate is   REG NO: 1947/026616/06   FOUNDED: 1947   LISTED: 1948
         to deliver healthy total returns to its shareholders via a diversified   NATURE OF BUSINESS: The group is involved in the publishing and
         property  portfolio  by  investing  in  South  African  and  selected   printing of newspapers and magazines, and in the manufacturing
         international real estate focused, firstly, on net asset value growth,   and distribution of packaging, stationery and labels.
         and,  secondly,  on  the  maintenance  of  a  sustainable  yield.  The   SECTOR: ConsDiscr--Media--Media--Publishing
         acquisition  of  the  I  Group  portfolio  in  September  2022  resulted   NUMBER OF EMPLOYEES: 4 324
         in  the  company  acquiring  a  diversified,  well-located  and  quality   DIRECTORS: Molusi A C G (ind ne), Nemukula A N (ind ne), Phalane J
         portfolio of direct and indirect assets across all property sectors   (ind ne), Witbooi L, Holden T J W (MD & FD)
         and repositioned the company as a mid-tier REIT with a portfolio   MAJOR ORDINARY SHAREHOLDERS as at 3 Sep 2025
         asset value of c. R20 billion.            Caxton Holdings (Pty) Ltd.        46.86%
        SECTOR: RealEstate--RealEstate--REITS--Retail  Peregrine Capital (Pty) Ltd.   8.89%
        NUMBER OF EMPLOYEES: 12                   POSTAL ADDRESS: PO Box 43587, Industria, 2042
        DIRECTORS: Bayly G C (ind ne), Day J, Green Adv D (ind ne),    MORE INFO: www.sharedata.co.za/sdo/jse/CAT
         Mabe K M (ind ne), Mohamed A M (ind ne), Padayachee A (ind ne),   COMPANY SECRETARY: Jeff Edwards
         Templeton J W A (CEO), Le Roux L (FD)    TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
        MAJOR ORDINARY SHAREHOLDERS as at 31 Mar 2025   SPONSOR: AcaciaCap Advisors Sponsors (Pty) Ltd.
         K2018365955 (South Africa) (Pty) Ltd.   39.30%   AUDITORS: Mazars South Africa
         K2024337975 (South Africa) (Pty) Ltd.   10.60%   CAPITAL STRUCTURE  Authorised  Issued
         K2024338090 (South Africa) (Pty) Ltd.   10.60%  CAT  Ords 2.5c ea    1 200 000 000     353 520 190
        POSTAL ADDRESS: PO Box 1745, Milnerton, Cape Town, 7435
        MORE INFO: www.sharedata.co.za/sdo/jse/CVW  CATP  Prefs 200c ea        100 000      50 000
        COMPANY SECRETARY: Statucor (Pty) Ltd.    DISTRIBUTIONS [ZARc]
        TRANSFER SECRETARY: JSE Investor Services (Pty) Ltd.  Ords 2.5c ea  Ldt  Pay   Amt
        SPONSOR: Java Capital Trustees and Sponsors (Pty) Ltd.  Final No 98  2 Dec 25  8 Dec 25  70.00
        AUDITORS: Moore Cape Town Inc.            Final No 97     3 Dec 24  9 Dec 24  60.00
        CAPITAL STRUCTURE      Authorised  Issued  LIQUIDITY: Jan26 Avg 453 552 shares p.w., R5.6m(6.7% p.a.)
        CVW    Ords no par val       -    1 012 964 669
        DISTRIBUTIONS [ZARc]
        Ords no par val   Ldt      Pay       Amt
        Interim No 13  15 Dec 25  22 Dec 25  11.07
        Final No 12    15 Jul 25  21 Jul 25  29.48
        LIQUIDITY: Jan26 Avg 15 058 shares p.w., R143 651.1


                                                  FINANCIAL STATISTICS
                                                               Jun 25   Jun 24  Jun 23   Jun 22   Jun 21
                                                  (R million)
                                                                Final  Final  Final  Final  Final
                                                  Turnover      6 709  6 647  6 975  5 979  5 220
                                                  Op Inc         568  658   742   590   310
                                                  NetIntPd(Rcvd)  - 252  - 228  - 150  - 118  - 86
        FINANCIAL STATISTICS                      Minority Int   - 2    2   18    - 8   15
                    Sep 25   Mar 25  Mar 24   Mar 23   Feb 22   Att Inc  600  656  734  552  551
        (R million)                               TotCompInc/Loss  664  741  645  729  1 203
                    Interim  Final  Final  Final  Final
        NetRent/InvInc  288  740  614  498    30  IFA and Intang  2 665  2 531  2 558  2 327  2 361
        Total Inc     397  2 962  881  579    30  Inv & Loans   1 414  1 412  1 442  1 762  1 417
        Attrib Inc   1 234  1 373  65  1 929  19  Tot Curr Ass  5 668  5 519  4 969  4 440  3 976
        TotCompInc/Loss  1 192  2 157  681  2 823  19  Ord SH Int  8 151  7 746  7 264  6 841  6 360
        Ord UntHs Int  10 377  9 391  8 560  8 368  172  Minority Int  - 48  - 26  33  74  77
        Investments  12 145  10 734  6 866  6 419  -  LT Liab    491  481   450   470   437
        FixedAss/Prop  10 078  10 457  10 942  13 276  348  Tot Curr Liab  1 349  1 453  1 430  1 440  1 182
        Tot Curr Ass  1 023  1 075  961  1 098  10  PER SHARE STATISTICS (cents per share)
        Total Ass    24 806  23 599  21 805  22 069  372  HEPS-C (ZARc)  178.90  196.10  188.60  157.00  75.40
        Tot Curr Liab  1 443  1 608  3 070  3 225  8  DPS (ZARc)  70.00  60.00  60.00  50.00  50.00
        PER SHARE STATISTICS (cents per share)    NAV PS (ZARc)  2 306.00  2 162.00 2 022.00  1 887.00  1 717.00
        HEPLU-C (ZARc)  17.94  107.47  18.10  20.42  52.16  3 Yr Beta  0.06  -  - 0.26  - 0.23  - 0.30
        DPLU (ZARc)  11.07  38.56  52.82  16.09  44.74  Price High  1 396  1 190  1 114  1 043  945
        NAV (ZARc)  1 024.43  953.94  869.53  855.38  460.92  Price Low  986  975  806  701  371
        3 Yr Beta     0.47  0.45  0.41  0.19   -  Price Prd End  1 180  1 018  1 000  891  869
        Price Prd End  954  820   850  710   500  RATIOS
        Price High    954   850   850  710   500  Ret on SH Fnd  7.38  8.51  10.30  7.86  8.79
        Price Low     820   820   710  500   500  Oper Pft Mgn  8.46  9.90  10.64  9.87  5.95
        RATIOS                                    D:E           0.06  0.06  0.06  0.07  0.07
        RetOnSH Funds  23.26  18.71  2.92  19.28  10.78  Current Ratio  4.20  3.80  3.48  3.08  3.36
        RetOnTotAss   6.11  14.79  5.65  2.42  8.02  Div Cover  2.41  3.05  3.39  3.02  2.96
        Debt:Equity   0.91  0.94  1.03  1.02  1.11
        OperRetOnInv  2.59  3.49  3.45  2.34  8.56
        OpInc:Turnover  34.86  36.36  29.44  40.00  51.73

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