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Oasis Crescent Property Fund

OASJSE

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ZAR 25.76
-7.93%
End of day
Market Cap

$1.72B

P/E Ratio

14.89

Employees

N/A

Dividend Yield

0.04%

Price Chart

Risk-Adjusted Performance

Ratio1W1M3M6M1Y5YScore
Sortino-1.112.522.13-0.960.79
Calmar-12.436.443.69-1.001.28
Sharpe-1.111.471.24-0.930.28
Omega0.001.842.050.461.23
Martin-21.5410.338.69-1.013.01
Ulcer4.588.555.8398.1141.86

Oasis Crescent Property Fund (OAS) Price Performance

Oasis Crescent Property Fund (OAS) trades on JSE in ZAR. The company is classified in the Real Estate sector under the REIT - Diversified industry. The stock currently trades at ZAR25.76, down 7.93% from the previous close.

Over the past year, OAS has traded between a low of ZAR19.50 and a high of ZAR2050.00. The stock has lost 98.7% over this period. It is currently 98.7% below its 52-week high.

Oasis Crescent Property Fund has a market capitalization of $1.72B, with a price-to-earnings ratio of 14.89 and a dividend yield of 0.04%.

About Oasis Crescent Property Fund

The Fund is a well-diversified REIT invested in South African direct property investments, high quality global listed REITs and liquid instruments. The Fund is focused on meeting all tenant needs and maintaining world class facilities. The absence of debt and financial leverage delivers a more sustainable rate of growth during the normal course of operations but more importantly, the Fund is not exposed to the risk and negative effects of financial leverage during difficult times as we are currently experiencing. The objective of the Manager is to protect and grow the real wealth of investors by providing sustainable growth in Net Asset Value ("NAV") and delivering a consistent income stream that has potential to grow. This objective is achieved through our diversification strategy and the active management of the direct property portfolio as covered in more detail under the Portfolio Overview section below. Our focused approach has delivered significant real wealth creation for investors with an annualised total unitholder return of 10.0% relative to annualised inflation of 5.5% since inception, resulting in a real return of 4.5%. The Fund's annualised total intrinsic value return is 11.3% per annum since inception.

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Company Info

Exchange
JSE
Currency
ZAR

Financial Metrics

Revenue (TTM)
$151.30M
EBITDA
$80.31M
Profit Margin
74.36%
EPS (TTM)
1.73
Book Value
28.20

Technical Indicators

52 Week High
ZAR 2,050.00
52 Week Low
ZAR 18.45
50 Day MA
ZAR 2,433.15
200 Day MA
ZAR 1,991.37
Beta
0.03

Valuation

Trailing P/E
14.89
Forward P/E
N/A
Price/Sales
11.38
Price/Book
1.02
Enterprise Value
$1.66B