Page 162 - Profile's Stock Exchange Handbook - 2026 Issue 2
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JSE - PSG                               Profile’s Stock Exchange Handbook: 2026 - Issue 2
             PSG Financial Services Ltd.                    Purple Group Ltd.

        ISIN: ZAE000191417   SHORT: PSG FIN   CODE: KST  ISIN: ZAE000185526   SHORT: PURPLE   CODE: PPE
        REG NO: 1993/003941/06   FOUNDED: 1993   LISTED: 2014  REG NO: 1998/013637/06   FOUNDED: 1998   LISTED: 1998
        NATURE  OF  BUSINESS:  PSG  Financial  Services  (previously  PSG   NATURE OF BUSINESS: Purple Group Ltd., registered and incorporated
         Konsult)  is  a  leading  financial  services  group  predominantly   in  the  Republic  of  South  Africa,  is  a  financial  services  company
         serving individuals and enterprises in South Africa and Namibia.  listed on the “Financials – General Financial” sector of the JSE. It has
        SECTOR: Fins--FinServcs--InvBnkng&BrokerServcs-- DiversFinServcs  subsidiaries that operate in trading, investing and asset management.
        NUMBER OF EMPLOYEES: 3 304                SECTOR: Fins--FinServcs--InvBnkng&BrokerServcs--Investment Services
        DIRECTORS: Burton P E (ind ne), Johannes J, Lambrechts L (ind ne),   NUMBER OF EMPLOYEES: 0
         Mathews B (ind ne), Matsau Z (ind ne), Mouton P J (ne), Sangqu A H   DIRECTORS: Barnes M A (ne), Forman A (ind ne), Maisela W B (ind ne),
         (ind ne), Totaram S (ind ne), Theron W (Chair, ne), Gouws F J (CEO),   Mohale B (ne), Rutheford P (ne), Ntshingila H (Chair, ind ne), Savage C
         Smith M I F (CFO)                         (CEO), Carter C C (Interim Chair, ind ne, USA), van Dyk G (CFO)
        MAJOR ORDINARY SHAREHOLDERS as at 22 Jan 2026   MAJOR ORDINARY SHAREHOLDERS as at 31 Aug 2025
         Coronation Asset Management (Pty) Ltd.   15.60%   Base SPV Partnership A     8.86%
         Public Investment Corporation     15.15%   Serialong Financial Investments (Pty) Ltd.   5.86%
         JF Mouton Familietrust            13.10%  Business Venture Investments No. 184   5.43%
        POSTAL ADDRESS: PO Box 3335, Tyger Valley, Bellville, 7536  POSTAL ADDRESS: PO Box 411449, Craighall, 2024
        MORE INFO: www.sharedata.co.za/sdo/jse/KST  MORE INFO: www.sharedata.co.za/sdo/jse/PPE
        COMPANY SECRETARY: PSG Management Services (Pty) Ltd.  COMPANY SECRETARY: CTSE Registry Services (Pty) Ltd.
        TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.  TRANSFER SECRETARY: CTSE Registry Services (Pty) Ltd.
        SPONSOR: PSG Capital (Pty) Ltd.           SPONSOR: Deloitte & Touche Sponsor Services (Pty) Ltd.
        AUDITORS: Deloitte & Touche Inc.          AUDITORS: BDO South Africa Inc.
        CAPITAL STRUCTURE      Authorised  Issued  CAPITAL STRUCTURE     Authorised   Issued
        KST    Ords no par val    3 000 000 000    1 248 509 839  PPE  Ords no par val    2 000 000 000    1 429 852 267
        DISTRIBUTIONS [ZARc]                      DISTRIBUTIONS [ZARc]
        Ords no par val   Ldt      Pay       Amt  Ords no par val   Ldt       Pay      Amt
        Final No 24    5 May 26  11 May 26  45.00  Share Premium No 5  15 Apr 16  25 Apr 16  0.65
        Interim No 23  4 Nov 25  10 Nov 25  20.00  Share Premium No 4  20 Nov 15  30 Nov 15  1.25
        LIQUIDITY: Apr26 Avg 5m shares p.w., R111.9m(19.4% p.a.)  LIQUIDITY: Apr26 Avg 4m shares p.w., R7.4m(13.5% p.a.)








        NOTE: PSG Konsult Ltd. renamed to PSG Financial Services Ltd. on   FINANCIAL STATISTICS
         30 August 2023.                                       Feb 26   Aug 25  Aug 24   Aug 23   Aug 22
        FINANCIAL STATISTICS                      (R ‘000)    Interim  Final  Final Final(rst)  Final
                    Feb 26   Feb 25  Feb 24   Feb 23   Feb 22   Turnover  258 487  486 671  400 432  276 062  274 003
        (R million)
                     Final  Final  Final Final(rst) Final(rst)  Op Inc  88 954  136 270  85 990  - 17 204  61 627
        Total Premiums  2 714  2 614  2 264  1 874  1 675  NetIntPd(Rcvd)  - 21 652  - 30 341 - 16 655  - 9 640  - 5 114
        Total Income  8 327  6 692  5 910  5 349  6 032  Minority Int  17 614  17 784  10 788  - 10 327  26 982
        Total Outgo  3 643  3 050  2 810  2 500  4 598  Att Inc  40 648  61 034  24 795  - 24 872  43 968
        Minority Int  168   106   84    77    86  TotCompInc/Loss  57 476  79 192  35 583  - 33 669  71 707
        Attrib Inc   1 737  1 274  1 034  950  921  Fixed Ass   4 264  4 586  3 222  3 233  3 017
        TotCompInc/Loss  1 874  1 372  1 125  1 065  1 011  Inv & Loans  19 300  9 800  9 153  18 435  18 224
        Ord SH Int   5 652  4 964  4 601  4 247  4 124  Tot Curr Ass  664 650  654 379  449 737  456 307  305 244
        Minority Int  758   626   569  493   424  Ord SH Int  716 612  671 506  602 945  571 167  479 076
        Long-Term Liab  66 598  53 054  45 720  40 427  36 276  Minority Int  153 302  135 671  117 838  107 062  72 325
        Cap Employed  73 768  59 300  51 385  45 757  41 361  LT Liab  14 488  8 445  29 078  7 767  18 879
        Fixed Assets  105    97   93    75    86  Tot Curr Liab  405 340  449 118  339 522  367 824  270 722
        Investments     8    9     9    10    10  PER SHARE STATISTICS (cents per share)
        Current Assets  6 271  5 028  4 062  4 119  4 054  HEPS-C (ZARc)  2.86  4.30  1.77  - 2.05  1.14
        Current Liab  84 628  55 021  62 724  42 353  37 305  NAV PS (ZARc)  52.10  47.23  42.45  40.80  38.39
        PER SHARE STATISTICS (cents per share)    3 Yr Beta     1.36  0.52  0.72  0.18  0.26
        HEPS-C (ZARc)  135.00  101.10  81.10  72.90  69.70  Price High  274  199  105  91  350
        DPS (ZARc)   45.00  52.00  42.00  36.00  32.00  Price Low  161  70  46    56    125
        NAV PS (ZARc)  456.10  397.10  362.90  330.70  313.25  Price Prd End  214  170  76  59  200
        3 Yr Beta     0.62  0.65  0.73  0.60  0.82  RATIOS
        Price Prd End  2 827  1 811  1 519  1 299  1 374  Ret on SH Fnd  13.39  9.76  4.94  - 5.19  12.87
        Price High   2 873  2 097  1 623  1 476  1 523  Oper Pft Mgn  34.41  28.00  21.47  - 6.23  22.49
        Price Low    1 639  1 411  1 138  981  880  D:E         0.02  0.01  0.05  0.02  0.06
        RATIOS                                    Current Ratio  1.64  1.46  1.32  1.24  1.13
        Ret on SH Fund  29.71  24.69  21.62  21.68  22.13
        Ret on Tot Ass  3.08  3.31  2.82  3.37  1.96
        Debt:Equity  10.39  9.49  8.84  8.53  7.98
        Solvency Mgn%  1 284.68  1 664.65 2 070.43  1 931.96  418.43


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