Dealing 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
(“Oasis” or “the Fund”)
DEALING IN OASIS UNITS
In compliance with paragraphs 3.63 to 3.74 of the JSE Limited’s
Listings Requirements, the following information is disclosed:
NAME OF DIRECTOR N Ebrahim
COMPANY OF WHICH I AM A Oasis Crescent Property Fund Managers
DIRECTOR Limited
STATUS:EXECUTIVE/NON- Executive
EXECUTIVE
TYPE OF SECURITIES Units
CLASS OF SECURITIES Ordinary
DATE OF TRANSACTION 14 June 2017 (1-5)
CENTS PER UNIT 2 050 (1-5)
NUMBER OF SECURITIES 1 240 (1)
TRANSACTED 413 (2)
413 (3)
413 (4)
413 (5)
TOTAL RAND VALUE OF R25 420.00 (1)
SECURITIES R8 466.50 (2)
R8 466.50 (3)
R8 466.50 (4)
R8 466.50 (5)
NAME OF ASSOCIATE Adam Ismail Ebrahim Family Trust (1)
Bint Nur Ebrahim Family Trust (2)
Zahrah Ebrahim Family Trust (3)
Abli Family Trust (4)
Roshin Ara Ebrahim Family Trust (5)
RELATIONSHIP WITH DIRECTOR The director is a trustee of the
associate (1-5)
NATURE OF TRANSACTION Reinvestment of the distribution for
the 6 months ended 31 March 2017 in
new units
(Off-market transaction) (1-5)
NATURE AND EXTENT OF Indirect, non-beneficial (1-5)
INTEREST IN THE TRANSACTION
NAME OF DIRECTOR M S Ebrahim
COMPANY OF WHICH I AM A Oasis Crescent Property Fund Managers
DIRECTOR Limited
STATUS:EXECUTIVE/NON- Executive
EXECUTIVE
TYPE OF SECURITIES Units
CLASS OF SECURITIES Ordinary
DATE OF TRANSACTION 14 June 2017 (1-6)
CENTS PER UNIT 2 050 (1-6)
NUMBER OF SECURITIES 1 240 (1)
TRANSACTED 413 (2)
413 (3)
413 (4)
413 (5)
415 (6)
TOTAL RAND VALUE OF R25 420.00 (1)
SECURITIES R8 466.50 (2)
R8 466.50 (3)
R8 466.50 (4)
R8 466.50 (5)
R8 507.50 (6)
NAME OF ASSOCIATE Adam Ismail Ebrahim Family Trust (1)
Bint Nur Ebrahim Family Trust (2)
Zahrah Ebrahim Family Trust (3)
Abli Family Trust (4)
Roshin Ara Ebrahim Family Trust (5)
RELATIONSHIP WITH DIRECTOR The director is a trustee of the
associate (1-5)
NATURE OF TRANSACTION Reinvestment of the distribution for
the 6 months ended 31 March 2017 in
new units
(Off-market transaction) (1-6)
NATURE AND EXTENT OF Indirect, non-beneficial (1-5)
INTEREST IN THE TRANSACTION
Direct, beneficial (6)
Clearance to deal in these units was obtained in accordance with
paragraph 3.66 of the JSE Listings Requirements, to the extent
required.
14 June 2017
Cape Town
Designated adviser
PSG Capital Proprietary Limited
Date: 14/06/2017 05:05:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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