Oasis Property Equity Fund Fact Sheet MDD
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Fund Objectives

Monthly Prices
Dec 24
R 3.07    R 3.07
   0%
High Avg. Low
R 3.07 R 1.80
Fund Information
Fund Sector
SA – Real Estate – General
Fund Maximum Annual Fee *
1.15%-N
Y or N indicate if performance fee levied or not. Advisor fee excluded.
Distribution Periods
Quarterly
Fund Information
Launch Date
Sep 2000 25 years ago
Fund Benchmark
Cpi + 4%
Fund Risk Rating
1 2 3 4 5 Med High
Fund Size
R 97 Mil.


Oasis Property Equity Fund Unit Prices
SA - MA - I
SA - E - G
SA - E - LC
G - MA - F
SA - IB - VT
G - E - G
SA - MA - F
R - MA - F
SA - RE - G
SA - MA - HE
Did You Know ?

In 2019, Stanlib spinned off index tracking funds to a boutique asset manager 1VEST.

In 22003, asset manager Coronation listed on the JSE stock exchange.

Asset manager Coronation was the first introducer of absolute unit trusts funds in our local industry in 1999.

Distributions Info (in cents)
Q3 of 2022 1.94
Q2 of 2022 7.33
Q1 of 2022 0.00
See Also
Harvard House Property Fund
Anchor Property Fund
Oasis Property Equity Fund
Satrix Property ETF
Ninety One Property Equity Fund
Asset Allocation Analysis
Fund Management
Fund Activities
Disclaimer
Please note that unit trusts investmets are generally classified as long-term investment products not suitable for trading and speculation.