Daily Warrant Summary 26/05/2017 19:00
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Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
ANGLO 173781735018000 -351 -1.981861908 
AGLSBD4110 0 0.00024000 144.9305/07/2017SBAmerican Call
AGLSBE12914 -2-14.2965000021000 105.0404/10/2017SBAmerican Call
AGLSBU181320 0 0.00019000 110.0106/06/2017SBEuropean Put
AGLSBV524954 0 0.00022000 110.0106/09/2017SBEuropean Put
AGLSBW413643 0 0.00019500 110.0102/11/2017SBEuropean Put
AGLSTM438743274457 0 0.00017000 107/02/2018SBAmerican Call
ZA082000 0 0.0000 124/07/2019BN Put
ZA083000 0 0.0000 119/08/2019BN Put
ZA085000 0 0.0000 128/08/2019BN Put
ANGGOLD 149751470015145 192 1.30858870 
ANGSBA353239 1 2.946800014500 75.0204/10/2017SBAmerican Call
ANGSBB171617 1 6.251000018500 90.0102/11/2017SBAmerican Call
ANGSBC600 0 0.00016500 90.0105/12/2017SBAmerican Call
ANGSBO989 0 0.00016500 110.0105/07/2017SBAmerican Call
ANGSBP313033 0 0.00014500 69.9802/11/2017SBEuropean Put
ANGSBY14918 0 0.00014500 8005/07/2017SBEuropean Put
ASPEN 295012916129619 496 1.711202777 
APNIHB807880648092 245 3.2040022100 103/11/2017IBAmerican Call
APNSBH181320 1 6.2510000032000 110.0106/09/2017SBAmerican Call
APNSBI373641 0 0.009000031000 90.0105/12/2017SBAmerican Call
BRAIT 855084058700 -45 -0.52874129 
BATSBC767 0 0.0009500 4005/07/2017SBAmerican Call
BATSBD262128 0 0.0008500 3706/09/2017SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
B-AFRICA 147671447114981 -193 -1.291408020 
BGASBM5210 0 0.00018500 55.0103/08/2017SBAmerican Call
BGASBN292431 0016000 5005/12/2017SBAmerican Call
BILLITON 199071985020319 -253 -1.251789067 
BILIHC556255435580 0 0.00015200 115/05/2018IBAmerican Call
BILSBM546 0 0.00025500 134.9505/07/2017SBAmerican Call
BILSBN161123 0 0.00023000 94.9704/10/2017SBAmerican Call
BILSBP333233 0 0.00020000 90.0102/11/2017SBEuropean Put
BILSBZ262130 0 0.00021500 10005/07/2017SBEuropean Put
BILSTO542053985441 0 0.00018000 107/02/2018SBAmerican Call
BATS 920699135093000 590 0.64253431 
BTIIHG368693683236906 585 1.6120056800 129/09/2017IBAmerican Call
BTISTF317633167531850 251 0.804067500 103/05/2018SBAmerican Call
BIDVEST 168501620017000 150 0.901070010 
BVTIHC550054995500 186 3.5070011700 129/09/2017IBAmerican Call
RICHEMONT 107631065810850 -4 -0.041629926 
CFRIHF407240564088 0 0.0006900 120/10/2017IBAmerican Call


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
DBXEURO50 523552495306 -44 -0.84118155 
ESPIBO132359413235940 0 0.0000 120/11/2018IBEuropean Put
DBX-USA 295329402985 1 0.03149736 
ESPIBG380536738053670 0 0.0001880 120/07/2017IBEuropean Put
SPIB11116218911621890 0 0.0000 119/12/2019IB Put
DISCOVERY 130001292813200 111 0.86604830 
DSYIHB382638153836 0 0.0009200 112/06/2017IBAmerican Call
EXXARO 10106991710500 -539 -5.063627806 
DBEXX4640000 0 0.0000 108/08/2017DB Put
FIRSTRAND 511049505150 -19 -0.377416623 
FSRSBM8310 0 0.0005600 2005/07/2017SBAmerican Call
FSRSBN403944 0 0.0005000 1802/11/2017SBAmerican Call
FSRSBP191819 0 0.0004350 1502/11/2017SBEuropean Put
FSRSBZ121112 0 0.0004800 1505/07/2017SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
GFIELDS 484945124989 114 2.414745955 
GFISBE222122 0 0.0004750 2505/07/2017SBAmerican Call
GFISBF434243 0 0.0004500 2304/10/2017SBAmerican Call
GFISBG191819 1 5.561200005800 3002/11/2017SBAmerican Call
GFISBP6510 0 0.0004000 2505/07/2017SBEuropean Put
GFISBQ292829 0 0.0004600 2502/11/2017SBEuropean Put
GROWPNT 255025102562 3 0.126823356 
GRTIVD190519031907 0 0.000946 101/04/2022IBEuropean Call
GRTIVE831829833 0 0.0001819 115/03/2028IBEuropean Call
HARMONY 279627502946 56 2.041440144 
HARSBA151425 1 7.142913800 3502/11/2017SBAmerican Call
HARSBP423746 0 0.0003300 2502/11/2017SBEuropean Put
HARSTN355350360 44 12.9429703500 104/10/2017SBAmerican Call
IMPLATS 370036533750 -50 -1.3311222401 
IMPSBG516 0 0.0004700 3005/07/2017SBAmerican Call
IMPSBH428 0 0.0006000 2506/09/2017SBAmerican Call
IMPSBI141318 0 0.00500004500 2504/10/2017SBAmerican Call
IMPSBT483152 0 0.0005000 3006/09/2017SBEuropean Put
INVPROP 159515601608 5 0.31559065 
IPFIVA144014271452 0 0.000469 124/07/2019IBEuropean Call
IPFIVB122112081233 0 0.000560 101/04/2022IBEuropean Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
KUMBAIO 156571530016000 -330 -2.06400528 
KIOSTM722071997241 0 0.0009000 104/10/2017SBAmerican Call
MEDCLIN 133501325013600 0 0.002043275 
MEISBB171421 0 0.00013500 4505/07/2017SBAmerican Call
MEISBC444147 0 0.00012500 4504/10/2017SBAmerican Call
MMIHLDGS 222921512260 -13 -0.581442719 
DBRMIG208900 0 0.0000 114/09/2017DB Put
MRPRICE 147501445014800 123 0.841572906 
MRPSBC11613 0 0.00017000 59.9906/09/2017SBAmerican Call
MRPSBD272627 0016500 5005/12/2017SBAmerican Call
MRPSBQ292438 0 0.00015000 59.9906/09/2017SBEuropean Put
MTN 119221185012010 19 0.163113250 
MTNIHM369736854025 0 0.0008400 111/09/2017IBAmerican Call
MTNSBC546 0 0.00012500 55.0106/06/2017SBAmerican Call
MTNSBD212023 0 0.00013500 4004/10/2017SBAmerican Call
MTNSBQ72120 0 0.00010500 4505/07/2017SBEuropean Put
MTNSBR282728 0 0.00012000 5006/09/2017SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
NASPERSN 280300277351280450 1271 0.46827658 
DBNPAB28246230667 0 0.0000 120/07/2017DB Put
DBNPAC000 0 0.0000 120/07/2017DB Put
DBNPAD000 000 120/07/2017DB Put
NPNIHE116079116010116147 0 0.000165000 112/07/2017IBAmerican Call
NPNSBA777480 0 0.000220000 80005/07/2017SBAmerican Call
NPNSBB706972 0 0.000235000 847.4604/10/2017SBAmerican Call
NPNSBC515052 0 0.000260000 900.9002/11/2017SBAmerican Call
NPNSBD500 0 0.000300000 952.3805/12/2017SBAmerican Call
NPNSBL433847 0 0.000240000 952.3806/06/2017SBAmerican Call
NPNSBP100 0 0.000265000 699.3005/12/2017SBEuropean Put
NPNSBX400 0 0.000210000 699.3006/06/2017SBEuropean Put
NPNSBY528 0 0.000200000 598.8004/10/2017SBEuropean Put
NPNSBZ161518 0 0.000235000 699.3002/11/2017SBEuropean Put
NPNSTL107354106650111099 0 0.000180000 104/10/2017SBAmerican Call
UBNPNI1000030 0 0.0000 122/09/2017UB Put
UBNPNJ110 0 0.0000 122/09/2017UB Put
UBNPNK200 0 0.0000 122/09/2017UB Put
UBNPNL1975800 0 0.0000 122/09/2017UB Put
UBTENG000 0 0.0000 122/09/2017UB Put
UBTENH000 0 0.0000 122/09/2017UB Put
UBTENI000 0 0.0000 122/09/2017UB Put
NETCARE 266826222674 38 1.442199130 
NTCSBA393443 0 0.0002650 802/11/2017SBAmerican Call
OLDMUTUAL 324132323310 -9 -0.283888538 
OMLSBG11811 0 0.0003900 1006/09/2017SBAmerican Call
OMLSBH282528 003500 1105/12/2017SBAmerican Call
REDEFINE 111210851120 -3 -0.279963151 
RDFIVD500498502 0 0.000682 121/05/2024IBEuropean Call
RDFSTG301298325 0 0.000850 104/10/2017SBAmerican Call
REMGRO 225452220022551 109 0.49468842 
REMIHM665466416667 0 0.00016900 115/05/2018IBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
STANBANK 153351520115500 -160 -1.031865068 
SBKIHK408730504099 -191 -4.4782011300 115/12/2017IBAmerican Call
SBKSBC10510 0 0.00016500 55.0105/07/2017SBAmerican Call
SBKSBD342936 0 0.00015500 5002/11/2017SBAmerican Call
SBKSBQ171226 0 0.00013500 4006/09/2017SBEuropean Put
SIBANYE 175117501799 -51 -2.8310787898 
SGLSBC7210 -3-30.00985802052 11.9205/07/2017SBAmerican Call
SGLSBD191633 -3-13.6418568801887 11.9206/09/2017SBAmerican Call
SGLSBE231825 -2 -8.004000002100 1105/12/2017SBAmerican Call
SGLSBP800 0 0.0001750 1005/12/2017SBEuropean Put
SGLSTA407370410 -48-10.60234701584 104/10/2017SBAmerican Call
SHOPRIT 211122090021180 509 2.472748325 
SHPIHH7771645077767 0 0.00013600 115/09/2017IBAmerican Call
SHPSBB443146 0 0.00019500 69.9806/09/2017SBAmerican Call
SHPSBC322937 0022500 69.9805/12/2017SBAmerican Call
SHPSBQ528 0 0.00018000 59.9905/07/2017SBEuropean Put
STEINHOFF 724072057270 33 0.465078676 
SNHIHA236823622373 110 4.7713005100 108/12/2017IBAmerican Call
SNHSBF517 0 0.0007700 2006/06/2017SBAmerican Call
SNHSBG171419 2 12.504600008000 2506/09/2017SBAmerican Call
SNHSBH434046 0 0.0007000 2304/10/2017SBAmerican Call
SNHSTB268726802693 0 0.0005000 107/02/2018SBAmerican Call
SASOL 392953904039900 -505 -1.271341726 
SOLIHN109231090610940 0 0.00028200 115/12/2017IBAmerican Call
SOLSBE11911 0 0.00046500 190.1106/09/2017SBAmerican Call
SOLSBF323134 0 0.00040000 140.0604/10/2017SBAmerican Call
SOLSBG232223 0 0.003000045000 140.0605/12/2017SBAmerican Call
SOLSBU282228 0 0.00040000 149.9306/09/2017SBEuropean Put
SOLSBV363536 0039000 130.0405/12/2017SBEuropean Put
SOLSTN127811275012812 -517 -3.9010030000 107/02/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
TIGBRANDS 392923900039900 92 0.23770012 
TBSIHC119761195711995 0 0.00029000 120/04/2018IBAmerican Call
TFG 133201305613539 86 0.656873509 
TFGSBA600 0 0.00015500 4505/12/2017SBAmerican Call
TOPI  
ESPIB2106239810623980 0 0.0000 113/02/2019IB Put
ESPIBC126605012660500 0 0.0000 126/09/2017IB Put
ESPIBE131867113186710 0 0.0000 105/09/2017IB Put
ESPIBH181059917924931828705 0 0.0000 108/12/2017IB Put
ESPIBI9928789829491015000 0 0.00044873 122/03/2018IBEuropean Put
ESPIBJ104130610413060 0 0.00042957 102/10/2018IBEuropean Put
ESPIBL109795510979550 0 0.0000 125/05/2018IB Put
ESPIBN179593517959350 0 0.0000 125/05/2018IB Put
ESPIBP177320917554761790941 0 0.0000 108/10/2018IB Put
ESPIBQ105493210549320 0 0.0000 113/12/2018IB Put
LBCP102966100 0 0.0000 128/02/2018AB Put
LBCP112829000 0 0.0000 114/05/2018AB Put
LBCP132600100 0 0.0000 118/09/2018AB Put
LPLLB1000 0 0.0000 111/05/2020AB Put
NBELN1547584542017553150 0 0.0000 122/05/2018NB Put
NBELN2552369546768557969 0 0.0000 109/07/2018NB Put
NBELN3495825490793500857 0 0.0000 109/07/2018NB Put
NBELN4522413517122527704 0 0.0000 119/03/2019NB Put
NBELN5483570478674488466 0 0.0000 119/03/2019NB Put
NBELN6506442501341511543 0 0.0000 117/12/2019NB Put
SGI003000 0 0.0000 105/06/2020SG Put
SPIB13154684115468410 0 0.0000 104/05/2020IB Put
TOPIBB623618627 0 0.00046500 25008/06/2017IBEuropean Call
TOPSBM181330 0 0.00047000 5882.3506/06/2017SBEuropean Call
TOPSBN322734 0 0.00048500 5882.3506/09/2017SBEuropean Call
TOPSBO1700 0 0.00050000 5882.3505/12/2017SBEuropean Call
TOPSBS400 0 0.00041500 5882.3506/06/2017SBEuropean Put
TOPSBT141115 0 0.003000044000 5882.3506/09/2017SBEuropean Put
TOPSBU191730 0 0.0025000044500 5882.3502/11/2017SBEuropean Put
TOPSBV100 0 0.00045500 400005/12/2017SBEuropean Put
TOPSKA109710931101 0 0.00043000 50005/09/2017SBEuropean Call
TOPSKB973969977 -46 -4.57800044000 50006/12/2017SBEuropean Call
TOPSKC766762770 -46 -5.751088445000 50006/12/2017SBEuropean Call
TOPSKM117711731181 0 0.00042000 50004/07/2017SBEuropean Call
TOPSKN167916751683 0 0.00040000 50005/09/2017SBEuropean Call
TOPSKU324190361 21 7.0218308249000 50005/09/2017SBEuropean Put
TOPSKW529390533 42 8.381550000 50006/12/2017SBEuropean Put
TOPSKX713709717 0 0.00051000 50006/12/2017SBEuropean Put
UBTOMA100 0 0.0000 115/05/2019UB Put
ZA038000 0 0.0000 115/05/2017BN Put
ZA039000 0 0.0000 130/05/2017BN Put
ZA040000 0 0.0000 113/06/2017BN Put
ZA043000 0 0.0000 112/07/2017BN Put
ZA044000 0 0.0000 117/07/2017BN Put
ZA045000 0 0.0000 124/07/2017BN Put
ZA046000 0 0.0000 126/07/2017BN Put
ZA047000 0 0.0000 114/08/2017BN Put
ZA048000 0 0.0000 113/09/2017BN Put
ZA058000 0 0.0000 115/05/2017BN Put
ZA059000 0 0.0000 113/06/2017BN Put
ZA060000 0 0.0000 112/07/2017BN Put
ZA061000 0 0.0000 115/02/2018BN Put
ZA062000 0 0.0000 115/02/2018BN Put
ZA063000 0 0.0000 128/06/2018BN Put
ZA064000 0 0.0000 129/10/2018BN Put
ZA067000 0 0.0000 113/02/2019BN Put
ZA071000 0 0.0000 129/07/2019BN Put
ZA072000 0 0.0000 115/05/2019BN Put
ZA073000 0 0.0000 122/05/2019BN Put
ZA075000 0 0.0000 124/07/2019BN Put
ZA078000 0 0.0000 124/06/2019BN Put
ZA081000 0 0.0000 109/07/2019BN Put
ZA0877535000 0 0.0000 124/02/2020BN Put
ZA088000 0 0.0000 120/11/2019BN Put
ZA089000 0 0.0000 119/12/2019BN Put
ZA092000 0 0.0000 117/03/2020BN Put
TRUWTHS 750273607600 -126 -1.653173856 
TRUSBA10512 0 0.0008200 3205/07/2017SBAmerican Call
TRUSBB252029 008500 3005/12/2017SBAmerican Call
TRUSBP262331 0 0.0007900 3503/08/2017SBEuropean Put
VUKILE 191419001950 -13 -0.671306782 
VKEIVA135313511355 0 0.000708 121/05/2024IBEuropean Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
VODACOM 167451624316785 385 2.351864261 
VODIHD416000 0 0.00012200 126/05/2017IBAmerican Call
VODIHE504050195060 0 0.00012400 125/05/2018IBAmerican Call
WOOLIES 672166956799 -80 -1.182890483 
WHLSBE600 0 0.0008000 2906/06/2017SBAmerican Call
WHLSBF111037 0 0.0007200 2605/07/2017SBAmerican Call
WHLSBG181724 -2-10.001552637700 2602/11/2017SBAmerican Call
Other  
ESPIB1113251121111438 0 0.0000 111/08/2023IB Put
ESPIB3117186711718670 0 0.0000 106/05/2019IB Put
ESPIB4331555533155550 0 0.0000 117/05/2019IB Put
ESPIB5102496910249690 0 0.0000 122/08/2019IB Put
ESPIB6204508020450800 0 0.0000 125/07/2019IB Put
ESPIB7125897212589720 0 0.0000 129/08/2019IB Put
ESPIB89575849575840 0 0.0000 111/11/2019IB Put
ESPIB9106795310679530 0 0.0000 129/04/2019IB Put
ESPIBK134077213407720 0 0.0000 103/10/2018IBEuropean Put
ESPIBM12009671456001445000 0 0.0000 123/11/2018IB Put
ESPIBR122307612169601229191 0 0.0000 112/12/2018IB Put
ESPIBS114544211397151151169 0 0.0000 107/01/2019IB Put
ESPIBU132103513210350 0 0.0000 131/05/2019IB Put
ESPIBY114950611380111161001 3177 0.2810 106/05/2019IB Put
FTSIIA12870000 0 0.000696049 115/05/2020IB Put
LBCP122572300 0 0.0000 118/06/2018AB Put
LBCP142273200 0 0.0000 126/11/2018AB Put
LPBCA62897600 0 0.0000 123/05/2017AB Put
LPBCP62558100 0 0.0000 123/05/2017AB Put
LPBCP72316200 0 0.0000 117/07/2017AB Put
LPBCP92680600 0 0.0000 113/11/2017AB Put
LPBEG1000 0 0.0000 118/12/2019AB Put
LPECA1000 0 0.0000 126/08/2019AB Put
LPECA2000 0 0.0000 120/04/2020AB Put
LPEGB13040300 0 0.0000 122/12/2017AB Put
LPEGB23032000 0 0.0000 122/12/2017AB Put
LPEGB3100000 0 0.0000 107/08/2017AB Put
LPEGB43167000 0 0.0000 107/02/2018AB Put
LPEGB52944200 0 0.0000 112/03/2018AB Put
LPEGB62515900 0 0.0000 114/05/2018AB Put
LPEGB72141400 0 0.0000 118/06/2018AB Put
LPEGB81886500 0 0.0000 111/09/2018AB Put
LPEGB9000 0 0.0000 104/12/2018AB Put
LPEGP1100 0 0.0000 120/04/2021AB Put
LPEGP2000 0 0.0000 115/11/2021AB Put
LPGB10100 0 0.0000 106/01/2020AB Put
LPGME1000 0 0.0000 120/11/2020AB Put
NBCLN1000 0 0.0000 105/10/2017NB Put
SPIB10108563710856370 0 0.0000 120/07/2021IB Put
SPIB121835271835270 0 0.0000 112/07/2019IB Put
SPIB14174575917000001763216 0 0.0000 106/11/2020IB Put
SXEIIA1141901141900 0 0.0000 109/11/2021IB Put
SXEIIB1147631147630 0 0.0000 122/11/2021IB Put
SXEIIC1082731082730 0 0.0000 128/02/2022IB Put
ZA0668818000 0 0.0000 102/04/2019BN Put
ZA0698327000 0 0.0000 127/05/2019BN Put
ZA080000 0 0.0000 123/09/2019BN Put
ZA0847770000 0 0.0000 117/12/2019BN Put
ZA086000 0 0.0000 105/06/2020BN Put
ZA090000 0 0.0000 128/04/2020BN Put
ZA091000 0 0.0000 102/04/2020BN Put
ZA093000 0 0.0000 106/07/2020BN Put
ZA09410092500 0 0.0000 120/08/2018BN Put
ZA095000 0 0.0000 128/09/2020BN Put
ZA097000 0 0.0000 114/09/2020BN Put
ZA098000 0 0.0000 123/01/2019BN Put
ZA099000 0 0.0000 114/12/2020BN Put
ZA100000 0 0.0000 114/12/2020BN Put
ZA101000 0 0.0000 130/03/2021BN Put
ZA104000 0 0.0000 112/03/2019BN Put
ZA105100 0 0.0000 124/04/2019BN Put
ZA107000 0 0.0000 124/04/2019BN Put
ZA108000 0 0.0000 128/06/2021BN Put
ZA109000 0 0.0000 111/06/2019BN Put
ZA110000 0 0.0000 122/04/2021BN Put
ZA112000 0 0.0000 106/12/2019BN Put
ZA113000 0 0.0000 123/11/2021BN Put
ZA114000 0 0.0000 123/03/2022BN Put
ZA116000 0 0.0000 110/03/2020BN Put
ZA120000 0 0.0000 105/07/2022BN Put

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