Business Summary Management Board of Directors Joint Auditors Company Registrar Subsidiaries/Associates Capital Structure

   OASIS INSURANCE PLC - 10/10/2011

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Index: 20012.07 -94.01 -0.47%

Business Summary Management Board of Directors Company Secretary Company Registrars Subsidiaries/Associates Joint Auditors Quote Login
Sector:
INSURANCE
Listing Date:
9th November, 1992
End of Accounting Year:
31 Dec
Share Outstanding:
5,003,506,791.00
NSE code
OASISINS
AGM Date:
21-10-2010


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No. Of Deals:   1.00


Volume Traded:   100,000.00


Value Traded:    50,000.00


52 Weeks High:  0.50


52 Weeks Low:    0.50

Open Price:    0.50


Close Price:    0.50


High Price:    0.50


Low Price:    0.50


Year To Date Appreciation:   -90.79 

 


1 Week Change (%)


1 Month Change (%)


6 Months Change (%)


1 Year Change (%)

OASISINS


0


0


0


0

NSE All-share Index


-2.77


-5.17


-19.09


-15.82

Quarterly Results For OASISINS

2nd August 2011: 2nd Quarter Results for the Period Ending 30 JUN 11


Values
2011 N'm
2010 N'm
% Change
Profit & Loss Information
Turnover
1,065
889
19.8%
Profit Before Tax
204
110
85.94%
Taxation
-11
-8
31.25%
Profit Or Loss After Tax
193
101
90.38%
Balance Sheet Information
Fixed Assets
1,102
606
81.83%
Investments
2,172
2,119
2.5%
Trade Debtors
999
877
13.9%
Cash & Bank Balances
104
44
133.93%
Other Debit Balances
368
457
-19.45%
Net Assets
3,635
3,128
16.21%
  VALUATION MEASURES
Market Cap :
2,501,753,395.50
EPS:
0.04
P/E:
12.96
Book Value :
N/A
Book Value Per Share :
N/A
Price/Book
N/A
  FINANCIAL HIGHLIGHTS
  Fiscal
Fiscal Year End
31 Dec
Most Recent Quarter
2nd Quarter
  Profitability
Profit Before Tax Margin
19.14
Profit After Tax Margin
18.13
Profit Before Tax Growth
85.94
Profit After Tax Growth
90.38
  Management Effectiveness
Return On Assets
0.04
Return On Equity
0.05


  INCOME STATEMENT
Revenue:
N1,065.00(mln)
Revenue Per Share :
0.21
Revenue Growth :
19.80%
   Balance Sheet
Total Cash
103.96
Shareholder Fund Growth
16.21%
Loan Growth
0.00%
Deposit Growth
0.00%
Fixed Asset Growth
81.83%
  Dividends & Splits
Dividend:
0.03 (2008-03-10)
Bonus Declared
  TRADING INFORMATION
  Stock Price History
52-week Change:
0.00%
52-week Change
(relative to NSE Index)
-17.33%
52-Week High:
0.50
52 Week Low :
0.50
50-Day Moving Average :
0.50
200-Day Moving Average:
0.67
  Share Statistics
Ave. Volume (3 month):
601,388.24
Ave. Volume (10 days):
158,445.00
Shares Outstanding:
5,003,506,791.00
Daily Volume
100,000.00


Oasis Insurance Plc
Balance Sheet as at 31st December 2007
Assets employed
2007
2006
Bank balances and cash
455,738
31,252
Investment
2,448,290
472,219
Debtors and prepayment
467,306
476,674
Statutory deposit
315,000
35,000
Fixed assets
47,623
35,892
Total Assets
3733957
1051037
Financed by
Creditors and accruals
93,375
29,366
Trade creditors
4,224
80,944
Taxation
45,017
18,720
Deferred taxation
5,959
5,959
Dividend
76,358
Insurance
120,386
104,664
268961
316011
CAPITAL AND RESERVES
Called up share capital
2,501,753
545,415
Deposit for share
583,056
6,583
Contingency reserve
121,670
98,499
Share equalisation reserve
87,465
31,001
General reserve
171,052
53,528
Shareholders’ fund
3,464,996
735,026
3733957
1051037
PROFIT AND LOSS ACCOUNTS
For the year ended 31 December 2007
PREMIUM AND PROFITS
Gross premium
277,152
292,794
Profit before taxation
183,743
132,268
Profit after taxation
138,164
113,548
Dividend
80,000
76,358
Earnings per share
09.60k
10.41k
Dividend per share (paid)
2.00k
2.00k
Statement of Cash Flows
For the period ended 31 December 2007
Cash flows from operating activities
Premium receipt
163,917
187,272
Outward reinsurance paid
-3,431
-24,791
Claim recoveries
1,694
54,093
Cash paid to and on behalf of employees
-67,088
-53,114
Other operating cash payments
-139,915
-57,118
Other cash receipts
107,898
14,463
Income tax paid
-19,282
-23,896
Commission paid
-10,787
-24,344
Claims paid
-40,937
-157,032
Net cash provided by opearting activities
-7931
-84467
Cash flows from investing activities
Purchase of fixed assets
-26,816
-19,126
Proceeds from sale of fixed assets
2,162
530
Proceeds from sale of investments
281,303
171,545
Purchase of other investments
-556,998
Purchase of liquid investments
-1,595,844
Net Cash used in Investing Activities
-1896193
152949
Cash flows from financing activities
Proceeds from share issue
2,408,610
Payment of dividend
-80,000
-76,359
Net Cash used in Financing Activities
2328610
-76359
Net increase/(Decrease) in cash and cash equivalent
424,486
-7,887
Cash and cash equivalent at 1 January
31,252
39,139
Cash and cash equivalent at 31 December
455738
31252
The cash and cash Equivalents are made up as follows:
Cash in hand
310
270
Cash at bank
464,227
34,653
Bank overdraft
-8,799
-3,671
455738
31252
Investment Valuation Ratios
Profitability Ratios
Operating Profit Margin(%)
Return On Capital Employed(%)
Return On Net Worth(%)
0.04%
Return on Assets
0.04%
Net Premium Income/Insurance Funds
Growth in Gross Premiums
-0.05%
Growth in Net Premiums
Growth in Underwriting Profit
Growth in Assets
2.55%
Growth in PBT
0.39%
Growth in PAT
3.71%
Underwriting Expense Ratio
Combined Ratio
Operating Ratio
Underwriting Profit Margin
PBT Margin
0.66%
PAT Margin
0.50%
NAPS
0
Cash Flow Indicator Ratios
Earning Retention Ratio
1.58%
Earnings Per Share
0
Dividend Per Share
-0
Announcement Date
Agm Date
Book Closure
Address
--
2009-09-10
--
21st Sept, 2010
2010-10-21
--
Emmanuel Hall, Tofa – Arena, by WEAC Junction, Polytechnic Road, Ibadan.
Bonus
Bonus Type
Announcement Date
Payment Date
Closure Date
Dividend
Dividend Type
Announcement Date
Payment Date
Closure Date
0.03
--
--
--
2008-03-10
Right Ratio
Face Value
Announcement Date
Record Date
Ex-right Date
Premium
Old Face Value
New Face Value
Announcement Date
Ex-split Date
Meeting Date
Remark/Outcome