Oasis Crescent Property Fund announced that unitholders are referred to the announcement dated October 26, 2021, in which the Fund announced, inter alia, the distribution, after non-permissible income, in respect of the six months ended September 30, 2021, of 4,143.90095 cents (in aggregate), for every 100 units held, payable to unitholders recorded in the register of the Fund at close of business on 3 December 2021, from income.