Page 185 - 2021 Issue 2
P. 185
Profile’s Stock Exchange Handbook: 2021 – Issue 2 JSE – OAN
DIRECTORS: EbrahimAA(ind ne), Ebrahim Z,
Oando plc Mahomed Dr Y (ld ind ne), Mayman A (ind ne), Mohamed E (ind ne),
Ebrahim M S (Chair), Ebrahim N (Dep Chair), Swingler M (FD)
OAN
ISIN: NGOANDO00002 SHORT: OANDO CODE: OAO MAJOR ORDINARY SHAREHOLDERS as at 31 Mar 2020
REG NO: 2005/038824/10 FOUNDED: 2005 LISTED: 2005 Oasis Crescent Equity Fund 15.90%
NATURE OF BUSINESS: Oando plc is one of Africa’s largest integrated Oasis Crescent Property Company (Pty) Ltd. 12.10%
energy solutions provider with a proud heritage. It has a primary listing on Oasis Crescent Bal Progressive Fund of Funds 11.20%
the Nigeria Stock Exchange and a secondary listing on the Johannesburg POSTAL ADDRESS: PO Box 1217, Cape Town, 8000
Stock Exchange. With shared values of Teamwork, Respect, Integrity, MORE INFO: www.sharedata.co.za/sdo/jse/OAS
Passion and Professionalism (TRIPP). The Oando Group comprises four COMPANY SECRETARY: Nazeem Ebrahim
companies who are leaders in their market: Oando Energy Resources,
Oando Trading, OVH Energy. TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
SECTOR: Energy—Energy—Oil,Gas&Coal—Oil Refining & Marketing DESIGNATED ADVISOR: PSG Capital (Pty) Ltd.
NUMBER OF EMPLOYEES: 137 AUDITORS: Nexia SAB&T Inc.
DIRECTORS: AjiABG(ne, Nig), Akinrele A (ne, Nig), Irune Dr A A, CAPITAL STRUCTURE AUTHORISED ISSUED
Osakwe I (ind ne, Nig), Yakubu T (ind ne, Nig), ZubairuMM(Nig), OAS Units no par - 65 732 845
GbadeboOMA (Chair, ind ne, Nig), Tinubu J (CEO, Nig), DISTRIBUTIONS [ZARc]
Boyo O (Deputy CEO, Nig), Adeyemo O (FD, Nig)
Amt
Ldt
Pay
POSTAL ADDRESS: 9th -12th Floor, The Wings Office Complex, 17a Units no par 1 Dec 20 7 Dec 20 43.80 Scr/100
Interim No 30
2.00
Ozumba Mbadiwe, Victoria Island, Lagos, Nigeria, PMB12801
MORE INFO: www.sharedata.co.za/sdo/jse/OAO Final No 29 2 Jun 20 8 Jun 20 48.79 2.25
COMPANY SECRETARY: Ayotola Jagun LIQUIDITY: Apr21 Ave 29 674 shares p.w., R632 375.6(2.3% p.a.)
TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd. SAPY 40 Week MA OASIS
SPONSORS: Sasfin Capital, a division of Sasfin Bank Ltd.
AUDITORS: Ernst & Young 2259
CAPITAL STRUCTURE AUTHORISED ISSUED 1939
OAO Ords of 50 kobo ea 30 000 000 000 12 431 412 481
1619
DISTRIBUTIONS [NGNk]
Ords of 50 kobo ea Ldt Pay Amt
1299
Interim No 23 5 Dec 14 15 Dec 14 70.00
Final No 22 7 Nov 14 17 Nov 14 30.00 978
LIQUIDITY: Apr21 Ave 86 084 shares p.w., R13 425.5(-% p.a.)
658
2016 | 2017 | 2018 | 2019 | 2020 |
OILP 40 Week MA OANDO
FINANCIAL STATISTICS
123
(Amts in ZAR'000) Sep 20 Mar 20 Mar 19 Mar 18 Mar 17
Interim Final Final Final(rst) Final
101
Turnover 51 993 114 590 116 225 106 135 98 733
78 Op Inc 37 885 48 572 155 361 119 253 78 834
NetIntPd(Rcvd) 406 399 155 531 - 512
55
Att Inc 37 479 48 173 155 206 118 722 78 424
TotCompIncLoss 37 479 48 173 155 206 66 629 30 140
33
Fixed Ass 722 542 721 815 720 185 669 288 572 309
10 Tot Curr Ass 195 740 198 061 174 810 161 685 159 148
2016 | 2017 | 2018 | 2019 | 2020 |
Ord SH Int 1 425 145 1 400 330 1 373 697 1 235 374 1 158 412
FINANCIAL STATISTICS LT Liab 1 635 1 678 - - -
(NGN million) Sep 19 Dec 18 Dec 17 Dec 16 Dec 15 Tot Curr Liab 47 111 45 955 54 391 45 221 45 008
Quarterly Final Final Final Final
Turnover 98 351 679 465 497 422 455 747 203 432 PER SHARE STATISTICS (cents per share)
Op Inc 18 592 44 002 56 678 - 7 658 10 403 HEPS-C (ZARc) 56.90 30.90 205.90 109.50 106.50
NetIntPd(Rcvd) 10 344 32 441 33 784 51 056 48 638 DPS (ZARc) 43.80 100.99 111.93 102.74 100.32
Minority Int 1 062 4 365 5 831 369 745 NAV PS (ZARc) 2 186.00 2 172.00 2 198.00 2 059.00 2 050.00
Att Inc 4 833 24 433 13 942 3 125 - 50 435 3 Yr Beta 0.02 0.02 - 0.07 - 0.10 - 0.19
TotCompIncLoss 7 357 38 084 70 995 112 382 - 37 831 Price High 2 150 2 175 2 100 2 060 2 025
Fixed Ass 354 524 355 020 343 466 293 542 223 130 Price Low 2 125 2 050 1 825 1 860 1 875
Inv & Loans 1 033 1 033 1 033 - - Price Prd End 2 150 2 125 2 100 2 060 2 025
Tot Curr Ass 128 980 130 119 106 940 190 708 356 598 RATIOS
Ord SH Int 209 055 200 875 175 602 122 363 36 852 Ret on SH Fnd 5.26 3.44 11.30 9.61 6.77
Minority Int 80 275 76 242 87 834 69 981 14 042 Oper Pft Mgn 72.87 42.39 133.67 112.36 79.85
LT Liab 330 183 348 228 376 677 342 260 254 893 Current Ratio 4.15 4.31 3.21 3.58 3.54
Tot Curr Liab 460 429 449 765 400 064 456 940 640 535 Div Cover 1.32 0.75 2.26 1.98 1.43
PER SHARE STATISTICS (cents per share)
NAV PS (ZARc) 67.27 64.63 58.06 40.67 24.69
3 Yr Beta 0.19 0.73 0.27 0.81 0.84
Price High 30 56 38 68 150
Price Low 10 16 16 13 33
Price Prd End 22 20 30 38 44
RATIOS
Ret on SH Fnd 8.15 10.39 7.51 1.82 - 97.63
Oper Pft Mgn 18.90 6.48 11.39 - 1.68 5.11
D:E 1.58 1.74 1.95 2.53 8.37
Current Ratio 0.28 0.29 0.27 0.42 0.56
Oasis Crescent Property Fund
OAS
ISIN: ZAE000074332 SHORT: OASIS CODE: OAS
REG NO: 2003/012266/06 FOUNDED: 2005 LISTED: 2005
NATUREOF BUSINESS:OasisCrescent Property FundManagersLtd. 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.
SECTOR: AltX
NUMBER OF EMPLOYEES: 0
183