09 Jun - 3 min read

Dealings In Oasis Units

Dealings In Oasis Units

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
Share code: OAS
ISIN: ZAE000074332
(“the Fund”)

DEALINGS IN OASIS UNITS

In compliance with paragraphs 3.63 to 3.74 of the JSE Limited Listings Requirements
(“JSE Listings Requirements”), the following information is disclosed:

1.
NAME OF DIRECTOR                               N Ebrahim

COMPANY OF WHICH A DIRECTOR                    Oasis Crescent Property Fund Managers
                                               Limited

STATUS: EXECUTIVE/NON-EXECUTIVE                Executive

TYPE AND CLASS OF SECURITIES                   Ordinary units

NATURE OF TRANSACTIONS                         Reinvestment of the                 (1-7)
                                               distribution for the
                                               6 months ended
                                               31 March 2021 in
                                               new units
                                               (Off-market transactions)

DATE OF TRANSACTIONS                           9 June 2021                         (1-7)

PRICE PER SECURITY (CENTS)                     2 239                               (1-7)

NUMBER OF SECURITIES TRANSACTED                1 187                               (1)
                                               395                                 (2)
                                               395                                 (3)
                                               395                                 (4)
                                               395                                 (5)
                                               3 438                               (6)
                                               1 402                               (7)

TOTAL RAND VALUE OF SECURITIES                 R26 576.93                          (1)
TRANSACTED                                     R8 844.05                           (2)
                                               R8 844.05                           (3)
                                               R8 844.05                           (4)
                                               R8 844.05                           (5)
                                               R76 976.82                          (6)
                                               R31 390.78                          (7)

NAME OF ASSOCIATES                             Adam Ebrahim Family Trust           (1)
                                               Bint Nur Ebrahim Trust              (2)
                                               Zahrah Ebrahim Trust                (3)
                                               Abli Family Trust                   (4)
                                               Roshin Ara Ebrahim Family Trust     (5)
                                               Oasis Crescent Property Fund
                                               Managers Limited                    (6)
                                               Oasis Crescent Insurance Limited    (7)

RELATIONSHIP WITH DIRECTOR                     The director is a trustee           (1-5)
                                               of the associate
                                               The director is a director          (6-7)
                                               of the associate

NATURE AND EXTENT OF INTEREST IN               Indirect, non-beneficial            (1-5)
THE TRANSACTIONS                               Indirect, beneficial                (6-7)

2.
NAME OF DIRECTOR                               M S Ebrahim

COMPANY OF WHICH A DIRECTOR                    Oasis Crescent Property Fund Managers
                                               Limited

STATUS: EXECUTIVE/NON-EXECUTIVE                Executive

TYPE AND CLASS OF SECURITIES                   Ordinary units

NATURE OF TRANSACTIONS                         Reinvestment of the                 (1-8)
                                               distribution for the
                                               6 months ended
                                               31 March 2021 in
                                               new units
                                               (Off-market transactions)

DATE OF TRANSACTIONS                           9 June 2021                         (1-8)

PRICE PER SECURITY (CENTS)                     2 239                               (1-8)

NUMBER OF SECURITIES TRANSACTED                1 187                               (1)
                                                 395                               (2)
                                                 395                               (3)
                                                 395                               (4)
                                                 395                               (5)
                                               3 438                               (6)
                                               1 402                               (7)
                                                 313                               (8)

TOTAL RAND VALUE OF SECURITIES                 R26 576.93                          (1)
TRANSACTED                                     R8 844.05                           (2)
                                               R8 844.05                           (3)
                                               R8 844.05                           (4)
                                               R8 844.05                           (5)
                                               R76 976.82                          (6)
                                               R31 390.78                          (7)
                                               R7 008.07                           (8)

NAME OF ASSOCIATES                             Adam Ebrahim Family Trust           (1)
                                               Bint Nur Ebrahim Trust              (2)
                                               Zahrah Ebrahim Trust                (3)
                                               Abli Family Trust                   (4)
                                               Roshin Ara Ebrahim Family Trust     (5)
                                               Oasis Crescent Property Fund
                                               Managers Limited                    (6)
                                               Oasis Crescent Insurance Limited    (7)

RELATIONSHIP WITH DIRECTOR                     The director is a trustee           (1-5)
                                               of the associate
                                               The director is a director          (6-7)
                                               of the associate

NATURE AND EXTENT OF INTEREST IN               Indirect, non-beneficial            (1-5)
THE TRANSACTIONS                               Indirect, beneficial                (6-7)
                                               Direct, beneficial                  (8)

3.
NAME OF DIRECTOR                               Z Ebrahim

COMPANY OF WHICH A DIRECTOR                    Oasis Crescent Property Fund Managers
                                               Limited

STATUS: EXECUTIVE/NON-EXECUTIVE                Executive

TYPE AND CLASS OF SECURITIES                   Ordinary units

NATURE OF TRANSACTIONS                         Reinvestment of the                 (1-4)
                                               distribution for the
                                               6 months ended
                                               31 March 2021 in
                                               new units
                                               (Off-market transactions)

DATE OF TRANSACTIONS                           9 June 2021                         (1-4)

PRICE PER SECURITY (CENTS)                     2 239                               (1-4)

NUMBER OF SECURITIES TRANSACTED                1 187                               (1)
                                                 395                               (2)
                                                 395                               (3)
                                               3 438                               (4)

TOTAL RAND VALUE OF SECURITIES                 R26 576.93                          (1)
TRANSACTED                                     R8 844.05                           (2)
                                               R8 844.05                           (3)
                                               R76 976.82                          (4)

NAME OF ASSOCIATES                             Adam Ebrahim Family Trust           (1)
                                               Bint Nur Ebrahim Trust              (2)
                                               Zahrah Ebrahim Trust                (3)
                                               Oasis Crescent Property Fund
                                               Managers Limited                    (4)

RELATIONSHIP WITH DIRECTOR                     The director is a trustee           (1-3)
                                               of the associate
                                               The director is a director          (4)
                                               of the associate

NATURE AND EXTENT OF INTEREST IN               Indirect, non-beneficial            (1-3)
THE TRANSACTIONS                               Indirect, beneficial                (4)

Clearance for the above was obtained in terms of paragraph 3.66 of the JSE Listings
Requirements.

Cape Town
9 June 2021

Designated Advisor
PSG Capital

Date: 09-06-2021 05:00:00
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