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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
All Share 65 635 -1.43%
SA Listed Property 314 0.93%
 
More performance data
10 Day Trading Range
19.00 20.00
Peer Comparison
HAMMERSON (HMN)7.66 (-0.52%)
RESILIENT (RES)52.25 (0.58%)
VUKILE (VKE)10.95 (-0.09%)
DKR (DKR)293.00 (0.00%)
HYPROP (HYP)27.13 (0.82%)
OASIS (OAS)19.01 (-2.46%)
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Visual Calendar for OAS
OAS Calendar Table
Institutional Support for OAS
Mar 2021 quarter 0.00%
Dec 2020 quarter 0.00%
Unit Trust Holdings
Sector: Real Estate Investment Trusts
 
OAS  Latest Market Data
Yesterday's Close19.49   P/E Ratio14.46
Today's Open19.25   EPS - TTM 134.80
Best Bid   DPS - TTM Dividend (cps) 45 89
Best Offer19.25 x 48 855   Dividend Yield 4.56
Volume 55 418   Market Cap 1.31bn
Day's Range19.00–19.25   Shares In Issue 67.06m
Detailed quote
Latest SENS Latest News
Latest Results for OAS
12 months ended Mar 2021 (published Apr 2021) Final
(ZAR million)%chgMar 21 Mar 20
Turnover-7.7% 105.7 114.6
Attributable Income111.5% 101.9 48.2
Market Cap (ZARm)3.2% 1 413.3 1 369.8
EPS (ZARc)106.6% 156.20 75.60
HEPS (ZARc)336.2% 134.80 30.90
DPS (ZARc)-12.0% 88.84 100.99
View Comment Detailed financials
 
Nature of Business
Oasis Crescent Property Fund Managers Ltd. was established to manage and administer direct property funds that subscribe to the principles of Islamic finance to enable investors to diversify the asset allocation of their investment portfolio.
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