Page 198 - Profile's Stock Exchange Handbook 2022 Issue 1
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JSE – REN                                Profile’s Stock Exchange Handbook: 2022 – Issue 1
                                                  POSTAL ADDRESS: PO Box 2555, Rivonia, 2128
                   Renergen Ltd.                  MORE INFO: www.sharedata.co.za/sdo/jse/RES
        REN                                       COMPANY SECRETARY: Ashleigh Egan
       ISIN: ZAE000202610  SHORT: RENERGEN  CODE: REN  TRANSFER SECRETARY: JSE Investor Services (Pty) Ltd.
       REG NO: 2014/195093/06  FOUNDED: 2014  LISTED: 2015  SPONSOR: Java Capital (Pty) Ltd.
       NATURE OF BUSINESS: An energy group focused on alternative and
        renewable energy sectors in South Africa and sub-Saharan Africa. The  AUDITORS: PKF Octagon Inc.
        Company is listed on the JSE Alternative Exchange (AltX).  CAPITAL STRUCTURE  AUTHORISED  ISSUED
       SECTOR: AltX                               RES  Ords no par value  1 000 000 000  400 126 254
       NUMBER OF EMPLOYEES: 0                     DISTRIBUTIONS [ZARc]
       DIRECTORS: Maleke Dr B (ind ne), Matteucci L (ind ne), Olivier F (ne),  Ords no par value  Ldt  Pay  Amt
        SwanaMB(ind ne), King D C (Chair, ind ne, UK), Marani S (CEO),  Final No 37  14 Sep 21  20 Sep 21  226.11
        Harvey B (FD), Mitchell N (COO)
       MAJOR ORDINARY SHAREHOLDERS as at 21 Feb 2021  Interim No 36  13 Apr 21  19 Apr 21  202.70
         Tamryn Investment Holdings (Pty) Ltd.  23.40%  LIQUIDITY: Jan22 Avg 4m shares p.w., R186.1m(47.7% p.a.)
         Notable Pioneer Ltd.             11.41%
         Government Employees Pension Fund  8.31%         REIV       40 Week MA  RESILIENT
       POSTAL ADDRESS: Postnet Suite 610, Private Bag X10030, Randburg,                15116
        2125
       MORE INFO: www.sharedata.co.za/sdo/jse/REN                                      12705
       COMPANY SECRETARY: Acorim (Pty) Ltd.
                                                                                       10294
       TRANSFER SECRETARY: Computershare Investor Services (Pty) Ltd.
       DESIGNATED ADVISOR: PSG Capital (Pty) Ltd.                                      7882
       AUDITORS: Mazars
                                                                                       5471
       CAPITAL STRUCTURE   AUTHORISED     ISSUED
       REN  Ords no par value  500 000 000  123 754 005
                                                     2017  |  2018  |  2019  |  2020  |  2021  3060
       LIQUIDITY: Jan22 Avg 1m shares p.w., R31.1m(54.0% p.a.)
                                                  FINANCIAL STATISTICS
                 40 Week MA        RENERGEN
                                                  (R million)  Jun 21  Jun 20  Jun 19  Jun 18  Jun 17
                                           3700                 Final  Final  Final  Final Final(rst)
                                                  Operatng Proft  1 671  2 447  2 646  2 783  2 113
                                           3105
                                                  Total Inc     1 684  2 475  2 733  2 869  2 183
                                                  Attrib Inc     213  - 3 678  4 590  - 3 320  2 510
                                           2510
                                                  TotCompIncLoss  476  - 3 787  4 716  - 3 327  1 975
                                           1915   Ord UntHs Int  18 819  19 435  25 166  22 846  28 649
                                                  Investmnt Prop  22 482  23 441  24 231  22 838  21 395
                                           1320
                                                  Tot Curr Ass   290  278  1 009  2 014  1 286
                                                  Total Ass    29 929  32 426  37 127  40 693  49 048
                                           725
          2017  |  2018  |  2019  |  2020  |  2021
                                                  Tot Curr Liab  2 910  3 076  3 192  3 040  1 963
       FINANCIAL STATISTICS                       PER SHARE STATISTICS (cents per share)
       (Amts in ZAR'000)  Aug 21  Feb 21  Feb 20  Feb 19  Feb 18  HEPS-C (ZARc)  70.16  - 672.09  468.87 - 2 016.38  588.56
                   Interim  Final  Final  Final  Final  DPS (ZARc)  428.81  368.44  531.06  565.44  567.29
       Turnover      1 249  1 925  2 635  2 987  2 885  NAV PS (ZARc)  5 213.00 5 384.00 6 932.00 6 149.00 8 944.00
       Op Inc      - 25 411  - 46 773  - 67 305  - 46 014  - 40 102  3 Yr Beta  1.54  1.77  1.35  1.52  0.28
       NetIntPd(Rcvd)  1 912  4 019  - 27  2 534  2 935  Price Prd End  5 215  4 332  6 196  5 625  12 174
       Minority Int    -     -    -  - 4 116  - 2 921  Price High  5 500  6 999  6 901  15 350  13 999
       Att Inc     - 25 167  - 42 620  - 52 619  - 40 860  - 37 680
       TotCompIncLoss  - 25 167  - 42 620  - 52 029  - 44 976  - 43 990  Price Low  2 998  3 007  5 095  4 431  10 101
       Fixed Ass   575 591  475 558  350 824  37 757  32 615  RATIOS
       Tot Curr Ass  108 333  154 786  156 912  102 438  5 496  RetOnSH Funds  1.06  - 19.67  18.22  - 14.43  8.14
       Ord SH Int  289 302  206 408  247 230  180 634  80 948  RetOnTotAss  - 1.73  6.90  7.50  6.61  5.18
       Minority Int    -     -    -  - 16 401  - 12 285  Debt:Equity  0.51  0.65  0.45  0.74  0.65
       LT Liab     509 489  541 476  358 145  49 684  34 156  OperRetOnInv  7.43  10.44  10.92  12.18  9.87
       Tot Curr Liab  61 019  32 478  21 116  11 193  11 433  OpInc:Turnover  58.35  68.09  69.51  71.96  67.43
       PER SHARE STATISTICS (cents per share)
       HEPS-C (ZARc)  - 21.05  - 36.29  - 47.31  - 45.95  - 37.68
       NAV PS (ZARc)  246.20  175.65  210.54  164.01  84.73
       3 Yr Beta     0.70  0.75  0.42  0.64   -
       Price High    3 138  2 077  1 798  1 100  1 395
       Price Low     1 550  958  695   725  727
       Price Prd End  2 055  1 920  1 425  800  899
       RATIOS
       Ret on SH Fnd  - 17.40  - 20.65  - 21.28  - 27.39  - 59.13
       Oper Pft Mgn  - 2 034.51 - 2 429.77 - 2 554.27 - 1 540.48 - 1 390.02
       D:E           1.76  2.62  1.45  0.30  0.50
       Current Ratio  1.78  4.77  7.43  9.15  0.48
                 Resilient REIT Ltd.
        RES
       ISIN: ZAE000209557  SHORT: RESILIENT  CODE: RES
       REG NO: 2002/016851/06  FOUNDED: 2002  LISTED: 2002
       NATURE OF BUSINESS: Resilient has been listed on the JSE since 6
        December 2002 and is a retail-focused Real Estate Investment Trust
        (“REIT”). Its strategy is to invest in dominant retail centres with a minimum  Impress your
        of three anchor tenants and let predominantly to national retailers.
       SECTOR: RealEstate—RealEstate—REITS—Retail
       NUMBER OF EMPLOYEES: 29                               web visitors
       DIRECTORS: Bird S (ind ne), BrownDH(ind ne), ChagondaTI(ind ne),
        GordonDK(ind ne), Kriek J J, MaroleMLD(ind ne), Phili P (ind ne),
        SishubaTS(ind ne), van WykBD(ind ne), Olivier A (Chair, ind ne), de  with investor relations
        Beer D (CEO), Hanekom N W (COO), Muller M (CFO)
       MAJOR ORDINARY SHAREHOLDERS as at 30 Jun 2021                 data feeds from ProfileData
         Public Investment Corporation SOC Ltd.  11.59%
         Resilient Properties (Pty) Ltd.   9.79%                   www.profile.co.za
         Delsa Investments (Pty) Ltd.      6.78%
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