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OASIS CRESCENT PROPERTY FUND - Distribution results announcement

Release Date: 10/06/2024 13:25
Code(s): OAS     PDF:  
Wrap Text
Distribution results announcement

OASIS CRESCENT PROPERTY FUND
A property fund created under the Oasis Crescent Property
Trust Scheme registered in terms of the Collective
Investment Schemes Control Act (Act 45 of 2002) having
REIT status with the JSE
JSE share code: OAS
ISIN: ZAE000074332
("the Fund")

DISTRIBUTION RESULTS ANNOUNCEMENT

1. Unitholders are referred to the announcements released by the Fund on SENS on
   26 April 2024 and 8 May 2024, regarding the Fund's distribution in respect of the six months
   ended 31 March 2024, as well as the circular to unitholders dated 8 May 2024 ("Circular"),
   in this regard.

2. As indicated in the above announcements and the Circular, unitholders could elect to
   receive in cash the distribution of 5,743.07800 cents (in aggregate), after non-permissible
   income, for every 100 units held ("Cash Distribution"), failing which the distribution would
   be reinvested at the rate of 2.12471 units at 2,703 cents per unit (in aggregate) for every
   100 units so held ("Unit Reinvestment"). Non-resident unitholders are referred to those
   sections of the abovementioned announcements and the Circular dealing with the
   reinvestment ratio and cash distribution ratio for non-resident unitholders. The deadline for
   the above election was 12:00 p.m. on Friday, 7 June 2024.

3. Unitholders holding 62 731 540 units or 95.5% of units qualifying to receive the distribution,
   elected to receive the Cash Distribution, resulting in a Cash Distribution of R36 027 212.73,
   gross of tax.

4. The remaining unitholders, holding 2 937 102 units or 4.5% of units qualifying to receive the
   distribution, reinvested their distribution, amounting to R1 686 800.64 gross of tax
   (R1 520 572.65 net of tax), resulting in the issuing of 56 201 new units.

5. Unitholders are advised that on Monday, 10 June 2024, distribution payments were made
   into the bank accounts of those certificated unitholders, and distribution payments were
   credited to the Central Securities Depositary Participant ("CSDP") accounts or to the broker
   custody accounts of those dematerialised unitholders, who elected to receive the Cash
   Distribution.

6. Unitholders are advised that on Wednesday, 12 June 2024, new unit certificates will be
   posted to those certificated unitholders, and new units will be credited to the CSDP accounts
   or broker custody accounts of those dematerialised unitholders, who qualified for the Unit
   Reinvestment.

7. Unitholders are advised that 9 404 units will be issued to directors of Oasis Crescent
   Property Fund Managers Limited and their associates, with no units being issued to
   prescribed officers or the company secretary of Oasis Crescent Property Fund Managers
   Limited, on the following basis:

   DIRECTOR / ASSOCIATE OF DIRECTOR                                NO. OF UNITS
   ADAM EBRAHIM FAMILY TRUST                                              1 410
   BINT NUR EBRAHIM TRUST                                                   470
   ZAHRA EBRAHIM TRUST                                                      470
   ABLI FAMILY TRUST                                                        470
   ROSHIN ARA EBRAHIM FAMILY TRUST                                          470
   OASIS CRESCENT PROPERTY FUND MANAGERS                                  4 084
   OASIS CRESCENT INSURANCE LTD                                           1 666
   MR MAHOMED SHAHEEN EBRAHIM                                               364

8. The number of listed units will be adjusted on or about Tuesday, 18 June 2024, based on
   the results of the distribution.

9. Unitholders are referred to the Fund's abovementioned announcements for details on the
   tax implications of the distribution.

Cape Town
10 June 2024

Corporate Advisor and Designated Advisor
PSG Capital

Date: 10-06-2024 01:25:00
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