Daily Warrant Summary 22/06/2018 18:59
Go Back Add Warrant Prices to Favourites
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
ANGLO 303192980530500 378 1.261204165 
AGLSBI10910 0 0.00033000 110.0102/08/2018SBAmerican Call
AGLSBJ312635 0 0.00031000 10007/11/2018SBAmerican Call
AGLSBZ121116 0 0.00028500 110.0102/08/2018SBEuropean Put
AGLSTN9976993610015 0 0.00022500 107/02/2019SBAmerican 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
ANGLOPLAT 330343200033850 1003 3.1396374 
AMSSBA909 0 0.00045000 234.7404/07/2018SBAmerican Call
AMSSBB5425 0 0.00038000 190.1102/08/2018SBAmerican Call
AMSSBC292829 2 7.6918000033500 149.9307/11/2018SBAmerican Call
AMSSBP322737 0 0.00039500 210.0804/07/2018SBEuropean Put
ANGGOLD 110921012011400 -17 -0.15749074 
ANGSBF242124 0 0.00012000 59.9907/11/2018SBAmerican Call
ANGSBR201724 0 0.00011500 5402/08/2018SBEuropean Put
ABINBEV 133520131925135000 143 0.1144676 
ANHSBB418 0 0.000160000 450.4502/08/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
BRAIT 422041504285 -60 -1.402099406 
BATSBG600 0 0.0005200 2304/07/2018SBAmerican Call
BATSBH121114 0 0.0004500 1702/08/2018SBAmerican Call
BATSBI403940 0 0.0004000 2007/11/2018SBAmerican Call
B-AFRICA 161951600516500 46 0.283249203 
BGASBA516 0 0.00019000 5002/08/2018SBAmerican Call
BGASBB526 0 0.00022000 59.9907/11/2018SBAmerican Call
BILLITON 297292945929999 215 0.731197970 
BILSBB363140 0 0.00027500 90.0102/08/2018SBAmerican Call
BILSBC605560 0 0.00026000 85.0307/11/2018SBAmerican Call
BILSBD373237 0 0.00031000 85.0311/12/2018SBAmerican Call
BILSBR707 0 0.00025500 90.0104/07/2018SBEuropean Put
BILSBS8310 0 0.00022500 8007/11/2018SBEuropean Put
BILSBT242324 0 0.00026600 94.9711/12/2018SBEuropean Put
BILSTA113881136311412 0 0.00020000 107/02/2019SBAmerican Call
BLUETEL 105010301095 -11 -1.041310998 
BLUSBB505 0 0.0001500 502/08/2018SBAmerican Call
BLUSBC151215 -1 -5.88150001250 511/12/2018SBAmerican Call
BATS 696016900069601 254 0.37484742 
BTISTG262942623326354 618 2.3853548000 103/05/2019SBAmerican Call


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
BIDVEST 203362000020980 275 1.37815933 
BVTIHD797679528000 0 0.00012600 128/09/2018IBAmerican Call
DISCOVERY 150501485015085 795 5.582107258 
DSYSBQ403943 0 0.00016500 4502/08/2018SBEuropean Put
EXXARO 124161200013000 146 1.191212036 
DBEXX6483246664879 0 0.0000 114/08/2018DB Put
EXXSBB428 0 0.00015552 73.1902/08/2018SBAmerican Call
EXXSBC423947 0 0.00012500 4007/11/2018SBAmerican Call
EXXSBQ363138 0 0.00014637 68.6102/08/2018SBEuropean Put
EXXSBR282332 0 0.00011500 55.0111/12/2018SBEuropean Put
FIRSTRAND 614060706200 155 2.598946552 
FSRSBB767 0 0.0006800 2002/08/2018SBAmerican Call
FSRSBC969 0 0.0007500 2507/11/2018SBAmerican Call
FSRSBR5310 0 0.0005300 1802/08/2018SBEuropean Put
FSRSBS444147 0 0.0006500 2007/11/2018SBEuropean Put
GFIELDS 476246804900 -67 -1.391141275 
GFISBJ517 0 0.0005800 3002/08/2018SBAmerican Call
GFISBL252025 0 0.0005000 2507/11/2018SBAmerican Call
GFISBS262528 0 0.0005200 2502/08/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
GROWPNT 261525802650 45 1.7511389071 
GRTIVD205520502060 0 0.000946 101/04/2022IBEuropean Call
GRTIVE950945954 0 0.0001819 115/03/2028IBEuropean Call
HARMONY 213521002179 -23 -1.071683286 
HARSBD7610 0 0.0002500 1302/08/2018SBAmerican Call
HARSBE10912 0 0.00312003000 1507/11/2018SBAmerican Call
HARSBR151017 0 0.0002200 2002/08/2018SBEuropean Put
HARSTO556552560 -1 -0.17100001650 102/08/2018SBAmerican Call
IMPLATS 211220642250 45 2.181520735 
IMPSBM16016 0 0.0004500 2304/07/2018SBAmerican Call
IMPSBN768 0 0.00250002950 1507/11/2018SBAmerican Call
IMPSBO413642 0 0.0002120 811/12/2018SBAmerican Call
IMPSBP444348 0 0.0002500 1407/11/2018SBEuropean Put
INVPROP 152314761539 -22 -1.42299862 
IPFIVB130612601292 0 0.000560 101/04/2022IBEuropean Call
KUMBAIO 302092922031000 1372 4.76384855 
KIOSBB5110 0 0.00032500 175.1304/07/2018SBAmerican Call
KIOSBC4210 0 0.00040000 245.1002/08/2018SBAmerican Call
KIOSBD606 0 0.00043000 20002/08/2018SBAmerican Call
KIOSBE212021 4 23.538500033500 184.8407/11/2018SBAmerican Call
KIOSBQ538 0 0.00028000 170.0704/07/2018SBEuropean Put
KIOSBR282530 0 0.00035000 215.0502/08/2018SBEuropean Put
KIOSBS262128 0 0.00030000 204.9207/11/2018SBEuropean Put
KIOSTN148361478214865 0 0.00016000 104/10/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
MMIHLDGS 178517501900 2 0.114367296 
DBRMII160200 0 0.0000 111/09/2018DB Put
MRPRICE 232732264023600 523 2.301879439 
MRPSBA131015 3 27.274000024000 10002/08/2018SBAmerican Call
MRPSBB6110 0 0.00026500 90.0102/08/2018SBAmerican Call
MRPSBS8512 0 0.00021000 8002/08/2018SBEuropean Put
MRPSBT454248 0 0.00026000 90.0107/11/2018SBEuropean Put
MTN 107111062710800 12 0.117004913 
MTNIHN142814221595 50 3.4040009400 114/09/2018IBAmerican Call
MTNSBG7212 0 0.002570714500 4007/11/2018SBAmerican Call
MTNSBH141117 0 0.00012500 4507/11/2018SBAmerican Call
MTNSBT393439 0 0.00012500 5002/08/2018SBEuropean Put
NEDCOR 256442512127116 171 0.671137033 
UBOMLA00 0 0.0000 115/11/2018UB Put
NASPERSN 330743320010338000 9956 3.101248479 
DBNPAM2557800 0 0.0000 117/07/2018DB Put
DBNPAN823608139289219 0 0.0000 117/07/2018DB Put
DBNPAP2550000 0 0.0000 117/07/2018DB Put
DBNPAR281602537532503 0 0.0000 117/07/2018DB Put
DBNPAS391114149449613 0 0.0000 115/01/2019DB Put
DBNPAT419024345841902 -822 -1.921000000 115/01/2019DB Put
DBNPAU000 0 0.0000 117/07/2018DB Put
DBNPAV000 0 0.0000 117/07/2018DB Put
DBNPAX000 0 0.0000 117/07/2018DB Put
NPNIHF141689141202142175 0 0.000186000 118/07/2018IBAmerican Call
NPNSBF113 -1-50.00330000390000 1298.7004/07/2018SBAmerican Call
NPNSBG13817 0 0.000390000 1408.4507/11/2018SBAmerican Call
NPNSBH322934 3 9.683290000330000 1298.7007/11/2018SBAmerican Call
NPNSBS161417 0 0.000340000 1204.8204/07/2018SBEuropean Put
NPNSBT332836 0 0.000340000 125007/11/2018SBEuropean Put
NPNSBU292833 0 0.000305000 100011/12/2018SBEuropean Put
NPNSTM110099108154110800 0 0.000223000 104/10/2018SBAmerican Call
UBNPNR4295400 0 0.0000 121/09/2018UB Put
UBNPNS00 0 0.0000 121/09/2018UB Put
UBNPNT000 0 0.0000 121/09/2018UB Put
UBNPNU000 0 0.0000 121/09/2018UB Put
UBNPNV00 0 0.0000 121/09/2018UB Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
PSG 217672160022200 367 1.71406102 
UBPSGA000 0 0.0000 115/11/2018UB Put
REDEFINE 105110181054 16 1.5512481119 
RDFIVD508506510 0 0.000682 121/05/2024IBEuropean Call
RDFSTH272250273 4 1.5264800 104/10/2018SBAmerican Call
STANBANK 190241885019300 179 0.952763326 
SBKSBF141115 3 21.4313750019500 65.0202/08/2018SBAmerican Call
SBKSBG656 0 0.00025000 69.9807/11/2018SBAmerican Call
SBKSBS767 0 0.00017000 59.9902/08/2018SBEuropean Put
SBKSBT454249 0 0.00021000 75.0207/11/2018SBEuropean Put
SIBANYE 958930965 25 2.685630400 
SGLSBG101 0 0.0002115 12.5004/07/2018SBAmerican Call
SGLSBH292930 -1 -3.3320001779 9.6202/08/2018SBAmerican Call
SGLSBI10912 0 0.002235921250 5.7707/11/2018SBAmerican Call
SGLSBJ545358 0 0.000830 411/12/2018SBAmerican Call
SGLSTB11462250 4 3.7450001129 104/10/2018SBAmerican Call
SHOPRIT 228602250023432 560 2.511269972 
SHPIHI716071358100 0 0.00016000 114/09/2018IBAmerican Call
SHPSBA111011 0 0.00025000 7502/08/2018SBAmerican Call
SHPSBP4500 0 0.00024500 85.0307/11/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SASOL 467884672047400 -296 -0.631748259 
SOLSBJ363538 0 0.00046500 16007/11/2018SBAmerican Call
SOLSBL313033 0 0.00050000 140.0611/12/2018SBAmerican Call
SOLSBY606 0 0.00041500 144.9304/07/2018SBEuropean Put
SOLSBZ262328 0 0.00043000 130.0411/12/2018SBEuropean Put
SOLSTO164581632016496 0 0.00033000 107/02/2019SBAmerican Call
SYGEURO50 548954505618 4 0.0710043 
ESPIBO131455813145580 0 0.0000 120/11/2018IBEuropean Put
SYG-USA 352535003530 -37 -1.0448687 
SPIB11134196713419670 0 0.0000 119/12/2019IB Put
TFG 189961876719169 662 3.61966030 
TFGSBA181527 0 0.00019000 59.9902/08/2018SBAmerican Call
TOPI  
ESPIB2114591811459180 0 0.0000 113/02/2019IB Put
ESPIBP187451218745120 0 0.0000 108/10/2018IB Put
ESPIBQ111688911168890 0 0.0000 113/12/2018IB Put
LBCP133300400 0 0.0000 118/09/2018AB Put
LPLLB1000 0 0.0000 111/05/2020AB Put
NBELN2637246630430644062 0 0.0000 109/07/2018NB Put
NBELN3537341537341549154 0 0.0000 109/07/2018NB Put
NBELN4574181568105580257 0 0.0000 119/03/2019NB Put
NBELN5517980512558523401 0 0.0000 119/03/2019NB Put
NBELN6553366547772558959 0 0.0000 117/12/2019NB Put
SGI003000 0 0.0000 105/06/2020SG Put
SPIB13170078117007810 0 0.0000 104/05/2020IB Put
SPIB21103366410310801036248 0 0.0000 105/10/2020IB Put
SPIB26113167211316720 0 0.0000 104/03/2022IB Put
TOPSBC202 0 0.00056000 400004/07/2018SBEuropean Call
TOPSBD10614 1 11.11151900057000 500007/11/2018SBEuropean Call
TOPSBE342837 2 6.45230700053000 500007/11/2018SBEuropean Call
TOPSBY292630 -6-17.1410040051000 3448.2804/07/2018SBEuropean Put
TOPSBZ403541 -4 -9.30414400050000 500007/11/2018SBEuropean Put
TOPSKL143614301441 0 0.00045000 50011/02/2019SBEuropean Call
TOPSKM115700 0 0.00046000 50011/02/2019SBEuropean Call
TOPSKN101210061200 142 15.15150047000 50011/02/2019SBEuropean Call
TOPSKQ107910731084 0 0.00056000 50002/08/2018SBEuropean Put
TOPSKR127712711282 0 0.00057000 50002/08/2018SBEuropean Put
TOPSKS8834151680 0 0.00055000 50011/02/2019SBEuropean Put
TOPSKT76100 0 0.00054000 50011/02/2019SBEuropean Put
TOPSKV58000 0 0.00053000 50011/02/2019SBEuropean Put
UBTOMA100 0 0.0000 115/05/2019UB 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
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
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
TRUWTHS 810379208400 82 1.021214154 
TRUSBA548 0 0.0009500 3002/08/2018SBAmerican Call
TRUSBP4800 0 0.0009500 4007/11/2018SBEuropean Put
VUKILE 196619551996 15 0.77396442 
VKEIVA158615821589 0 0.000708 121/05/2024IBEuropean Call
VODACOM 126821258012850 367 2.983333904 
VODSBB100 0 0.00016000 37.9902/08/2018SBAmerican Call
VODSBC426 0 0.00018000 5007/11/2018SBAmerican Call
WOOLIES 541554005500 -34 -0.622736726 
WHLSBJ6110 0 0.0006100 2204/07/2018SBAmerican Call
WHLSBL989 0 0.0006700 2307/11/2018SBAmerican Call
Other  
ESPIB1119731185212093 0 0.0000 111/08/2023IB Put
ESPIB3142802114280210 0 0.0000 106/05/2019IB Put
ESPIB4393955839395580 0 0.0000 117/05/2019IB Put
ESPIB5122177812217780 0 0.0000 122/08/2019IB Put
ESPIB6244156124415610 0 0.0000 125/07/2019IB Put
ESPIB7140686014068600 0 0.0000 129/08/2019IB Put
ESPIB8114009011400900 0 0.0000 111/11/2019IB Put
ESPIB9125993212599320 0 0.0000 129/04/2019IB Put
ESPIBK154621215462120 0 0.0000 103/10/2018IBEuropean Put
ESPIBM109877610877881200000 0 0.0000 123/11/2018IB Put
ESPIBR106012510601250 0 0.0000 112/12/2018IB Put
ESPIBS100973310097330 0 0.0000 107/01/2019IB Put
ESPIBU156142515305060 36258 2.38100 131/05/2019IB Put
ESPIBY138812313812451400000 0 0.0000 106/05/2019IB Put
FTSIIB1139621139620 0 0.0000 107/07/2022IB Put
LBCP142899900 0 0.0000 126/11/2018AB 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
LPEGB82016200 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
LPESP1220072178922225 0 0.0000 111/06/2021AB Put
LPGB10100 0 0.0000 106/01/2020AB Put
LPGME1000 0 0.0000 120/11/2020AB Put
SPIB10126024612602460 0 0.0000 120/07/2021IB Put
SPIB122120552120550 0 0.0000 112/07/2019IB Put
SPIB14206819320681930 0 0.0000 106/11/2020IB Put
SPIB15127533812753380 0 0.0000 130/11/2020IB Put
SPIB16110827511055041111046 0 0.0000 102/06/2020IB Put
SPIB17458838345883830 0 0.0000 126/02/2021IB Put
SPIB189841259841250 0 0.0000 108/02/2021IB Put
SPIB199918119100120 0 0.0000 113/09/2021IB Put
SPIB20134521613452160 0 0.0000 126/03/2021IB Put
SPIB2210340009680001100000 0 0.0000 128/09/2021IB Put
SPIB24103441810344180 0 0.0000 113/08/2021IB Put
SXEIID99044990440 0 0.0000 128/11/2022IB Put
SXEIIE1076881076880 0 0.0000 113/02/2023IB Put
SXEIIF1083371083370 0 0.0000 127/03/2023IB 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
ZA117000 0 0.0000 109/06/2022BN Put
ZA118000 0 0.0000 129/06/2022BN Put
ZA119000 0 0.0000 102/06/2022BN Put
ZA120000 0 0.0000 105/07/2022BN Put
ZA121000 0 0.0000 102/08/2022BN Put
ZA1239993500 0 0.0000 122/06/2022BN Put
ZA124000 0 0.0000 113/10/2022BN Put
ZA125000 0 0.0000 104/10/2022BN Put
ZA127000 0 0.0000 120/12/2022BN Put
ZA128000 0 0.0000 127/12/2022BN Put
ZA129000 0 0.0000 127/12/2022BN Put
ZA130000 0 0.0000 129/12/2022BN Put
ZA132000 0 0.0000 102/02/2023BN Put
ZA133000 0 0.0000 102/02/2023BN Put
ZA134000 0 0.0000 127/03/2023BN Put
ZA135000 0 0.0000 127/03/2023BN Put
ZA136000 0 0.0000 125/04/2023BN Put
ZA137000 0 0.0000 125/04/2023BN Put
ZA138000 0 0.0000 129/05/2023BN Put
ZA139000 0 0.0000 129/05/2023BN Put
ZA143000 0 0.0000 130/04/2021BN Put
ZA146000 0 0.0000 115/06/2023BN Put

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