Oasis Crescent Property Fund Announces Distribution for the Six Months Ended 30 September 2019
October 23, 2019 at 12:30 am IST
Oasis Crescent Property Fund announced the distribution, after non-permissible income, in respect of the six months ended 30 September 2019, of 5,221.32081 cents (in aggregate), for every 100 units held, payable to unitholders recorded in the register of the Fund at close of business on 29 November 2019. As indicated in the Declaration Announcement, unitholders may elect to receive the Distribution in cash or may reinvest the Distribution by the purchase of additional units at a rate of 2.32576 units at 2,245 cents per unit (in aggregate), for every 100 units so held.