Daily Warrant Summary 16/01/2018 19:14
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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 292942900129500 -896 -2.971546848 
AGLSBG575459 0 0.00024000 105.0406/03/2018SBAmerican Call
AGLSBH363142 -5-12.209565028500 120.0505/06/2018SBAmerican Call
AGLSBX505 0 0.00020000 90.0106/03/2018SBEuropean Put
AGLSBY161318 0 0.00024500 114.9405/06/2018SBEuropean Put
AGLSTM124301240512522 -918 -6.85210017000 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
ANGLOPLAT 376813730037750 -370 -0.97169341 
AMSSBA171427 0 0.00045000 234.7404/07/2018SBAmerican Call
AMSSBB353435 0 0.00038000 190.1102/08/2018SBAmerican Call
AMSSBP353435 0 0.00039500 210.0804/07/2018SBEuropean Put
ANGGOLD 134501290013979 -540 -3.86965633 
ANGSBD547 0 0.00015000 90.0106/02/2018SBAmerican Call
ANGSBE251228 -2 -7.144500014000 8005/06/2018SBAmerican Call
ANGSBQ151417 0 0.00013000 65.0206/03/2018SBEuropean Put
ANGSBR232223 0 0.00011500 5402/08/2018SBEuropean Put
ABINBEV 142465142010150000 -1985 -1.37191218 
ANHSBB252027 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 391738504000 -73 -1.831904241 
BATSBF24024 0 0.0006200 2103/05/2018SBAmerican Call
BATSBG9413 0 0.0005200 2304/07/2018SBAmerican Call
BATSBH252425 0 0.0004500 1702/08/2018SBAmerican Call
BATSBP757476 0 0.0005200 1703/05/2018SBEuropean Put
B-AFRICA 178001720018143 600 3.493050142 
BGASBO706573 0 0.00015000 5003/05/2018SBAmerican Call
BILLITON 271882718827500 -725 -2.601987457 
BILIHC124411180012465 -550 -4.1840015200 115/05/2018IBAmerican Call
BILSBA343345 -3 -7.501200026000 8006/03/2018SBAmerican Call
BILSBB413641 -4 -8.897700027500 90.0102/08/2018SBAmerican Call
BILSBQ426 0 0.00021000 65.0206/03/2018SBEuropean Put
BILSBR262526 0 0.00025500 90.0104/07/2018SBEuropean Put
BILSTO936393049462 -757 -7.51300018000 107/02/2018SBAmerican Call
BLUETEL 132213201390 -10 -0.751216114 
BLUSBA426 0 0.0001900 703/05/2018SBAmerican Call
BATS 852008450085500 -74 -0.09477551 
BTIIHH253472531125383 444 1.7430062700 131/08/2018IBAmerican Call
BTISTF199521988733000 -153 -0.768567500 103/05/2018SBAmerican Call


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
BIDVEST 211002050021299 311 1.501229049 
BVTIHD923092159245 202 2.30140012600 128/09/2018IBAmerican Call
DISCOVERY 177111760117715 186 1.061418669 
DSYIHC871384008731 0 0.0009300 108/06/2018IBAmerican Call
DSYSBP400 0 0.00013500 37.9906/03/2018SBEuropean Put
EXXARO 163001590016850 -476 -2.84760924 
DBEXX5638900 0 0.0000 119/02/2018DB Put
EXXSBA126122132 -8 -5.9310000010000 5006/02/2018SBAmerican Call
EXXSBB333233 0 0.00017000 8002/08/2018SBAmerican Call
EXXSBP151415 0 0.00013000 65.0205/06/2018SBEuropean Put
FIRSTRAND 630962566400 159 2.598461619 
FSRSBA423743 2 5.262400005800 2505/06/2018SBAmerican Call
FSRSBO332835 0 0.0006000 1906/03/2018SBAmerican Call
FSRSBQ418 0 0.0005000 1506/03/2018SBEuropean Put
FSRSBR191819 0 0.0005300 1802/08/2018SBEuropean Put
GFIELDS 531152505674 -232 -4.191424489 
GFISBI121112 0 0.0006500 3303/05/2018SBAmerican Call
GFISBJ272628 0 0.0005800 3002/08/2018SBAmerican Call
GFISBR181722 0 0.0005200 2506/03/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
GROWPNT 279927302810 48 1.7419076498 
GRTIVD221022082212 0 0.000946 101/04/2022IBEuropean Call
GRTIVE111011081150 0 0.0001819 115/03/2028IBEuropean Call
HARMONY 213921002200 -53 -2.421172121 
HARSBC121116 -2-14.293874512800 1905/06/2018SBAmerican Call
HARSBQ262526 0 0.0002300 1506/03/2018SBEuropean Put
HARSBR302930 0 0.0002200 2002/08/2018SBEuropean Put
HARSTO796767825 -5 -0.595501650 102/08/2018SBAmerican Call
IMPLATS 331032723329 -145 -4.203918674 
IMPSBL252025 1 3.45134003650 1605/06/2018SBAmerican Call
IMPSBM11815 1 7.691888054500 2304/07/2018SBAmerican Call
INVPROP 171816001818 88 5.40323790 
IPFIVA156816011744 0 0.000469 124/07/2019IBEuropean Call
IPFIVB134513461406 0 0.000560 101/04/2022IBEuropean Call
KUMBAIO 372003640037688 -2736 -6.85861449 
KIOSBA858486 0 0.00025500 155.0405/06/2018SBAmerican Call
KIOSBB504951 0 0.00032500 175.1304/07/2018SBAmerican Call
KIOSBC272660 0 0.00040000 245.1002/08/2018SBAmerican Call
KIOSBP656 0 0.00022000 149.9305/06/2018SBEuropean Put
KIOSBQ151415 0 0.00028000 170.0704/07/2018SBEuropean Put
KIOSBR302730 0 0.00035000 215.0502/08/2018SBEuropean Put
KIOSTN226482258224000 -2685-10.58627016000 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 217020302185 150 7.436768990 
DBRMIH204420132074 0 0.0000 115/03/2018DB Put
MRPRICE 250252400025500 825 3.411027001 
MRPSBA433847 0 0.00024000 10002/08/2018SBAmerican Call
MRPSBR65065 0 0.00016000 5006/03/2018SBEuropean Put
MRPSBS201522 -4-17.393150021000 8002/08/2018SBEuropean Put
MTN 134171340013498 166 1.252674783 
MTNIHN453041004544 0 0.0009400 114/09/2018IBAmerican Call
MTNSBF292433 1 3.851488513500 5005/06/2018SBAmerican Call
MTNSBS539 0 0.00011000 3506/03/2018SBEuropean Put
MTNSBT302934 0 0.00012500 5002/08/2018SBEuropean Put
NEDCOR 257722515026300 522 2.071125000 
UBOMLA00 0 0.0000 115/11/2018UB Put
NASPERSN 368439365500369000 8426 2.34723633 
DBNPAJ522504968354816 0 0.0000 130/08/2018DB Put
DBNPAK407893833543243 0 0.0000 118/01/2018DB Put
DBNPAL545775061058544 0 0.0000 118/01/2018DB Put
DBNPAM000 0 0.0000 117/07/2018DB Put
DBNPAN000 0 0.0000 117/07/2018DB Put
DBNPAQ000 0 0.0000 117/07/2018DB Put
NPNIHF189440189330189550 0 0.000186000 118/07/2018IBAmerican Call
NPNSBE595463 10 20.00100000319777 949.4006/03/2018SBAmerican Call
NPNSBF292830 3 11.54226800390000 1298.7004/07/2018SBAmerican Call
NPNSBQ909 0 0.000269812 849.4706/03/2018SBEuropean Put
NPNSBR12714 0 0.000305000 1052.6305/06/2018SBEuropean Put
NPNSBS221926 0 0.000340000 1204.8204/07/2018SBEuropean Put
NPNSTM161085160479161690 0 0.000223000 104/10/2018SBAmerican Call
UBNPNM2371900 0 0.0000 123/03/2018UB Put
UBNPNN6852700 0 0.0000 123/03/2018UB Put
UBNPNO000 0 0.0000 123/03/2018UB Put
UBNPNP000 0 0.0000 123/03/2018UB Put
UBNPNQ7140000 0 0.0000 123/03/2018UB Put
UBTENA000 0 0.0000 123/03/2018UB Put
UBTENB00 0 0.0000 123/03/2018UB Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
OLDMUTUAL 396339353964 58 1.497977129 
OMLSBI353236 0 0.0003850 1203/05/2018SBAmerican Call
PSG 254692514425500 204 0.81223682 
UBPSGA000 0 0.0000 115/11/2018UB Put
REDEFINE 109110501097 23 2.1513379431 
RDFIVD536470570 0 0.000682 121/05/2024IBEuropean Call
RDFSTH365338390 26 7.5650300800 104/10/2018SBAmerican Call
REMGRO 231812297023339 281 1.231109670 
REMIHM683368036862 350 5.4250016900 115/05/2018IBAmerican Call
STANBANK 196001933219700 750 3.985567675 
SBKSBE494653 0 0.00017500 55.0106/03/2018SBAmerican Call
SBKSBF414045 0 0.00019500 65.0202/08/2018SBAmerican Call
SBKSBR416 0 0.00015500 5006/03/2018SBEuropean Put
SBKSBS222122 0 0.00017000 59.9902/08/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SIBANYE 160215851650 -62 -3.737788715 
SGLSBF656 -3-33.3312600251750 1006/02/2018SBAmerican Call
SGLSBG10914 -2-16.674764152200 1304/07/2018SBAmerican Call
SGLSBQ232223 0 0.0001500 903/05/2018SBEuropean Put
SGLSTB606600657 -38 -5.72473801200 104/10/2018SBAmerican Call
SHOPRIT 220002140022050 700 3.293255787 
SHPIHI676656006783 212 3.51900016000 114/09/2018IBAmerican Call
STEINHOFF 586581600 -6 -1.0111020220 
SNHSBI101 0 0.0007000 2206/03/2018SBAmerican Call
SNHSBJ212 0 0.002000006500 2005/06/2018SBAmerican Call
SNHSTB16625 0 0.0005000 107/02/2018SBAmerican Call
SASOL 451044460045781 -832 -1.811318775 
SOLSBH333137 0 0.00042000 120.0506/02/2018SBAmerican Call
SOLSBI401242 -3 -7.1412000043500 149.9305/06/2018SBAmerican Call
SOLSBW767 0 0.00036000 130.0403/05/2018SBEuropean Put
SOLSBX12728 0 0.00037500 130.0405/06/2018SBEuropean Put
SOLSBY232223 0 0.00041500 144.9304/07/2018SBEuropean Put
SOLSTN154641541715511 0 0.00030000 107/02/2018SBAmerican Call
SYGEURO50 550654665650 -48 -0.8749288 
ESPIBO141020014102000 0 0.0000 120/11/2018IBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SYG-USA 329232433329 24 0.7394008 
SPIB11129467712946770 0 0.0000 119/12/2019IB Put
TIGBRANDS 443014414045000 216 0.491010074 
TBSIHC159691560016018 0 0.00029000 120/04/2018IBAmerican Call
TFG 181001792118200 890 5.171761547 
TFGSBP4110 0 0.00014000 4506/03/2018SBEuropean Put
TOPI  
ESPIB2121030412103040 0 0.0000 113/02/2019IB Put
ESPIBI113886111388610 0 0.00044873 122/03/2018IBEuropean Put
ESPIBL127188312718830 0 0.0000 125/05/2018IB Put
ESPIBN208049520804950 0 0.0000 125/05/2018IB Put
ESPIBP201884420188440 0 0.0000 108/10/2018IB Put
ESPIBQ119380111938010 0 0.0000 113/12/2018IB Put
LBCP10346813433735024 0 0.0000 128/02/2018AB Put
LBCP11342043386534542 0 0.0000 114/05/2018AB Put
LBCP13332423291333571 0 0.0000 118/09/2018AB Put
LPLLB1000 0 0.0000 111/05/2020AB Put
NBELN1604537598355610719 0 0.0000 122/05/2018NB Put
NBELN2603558597463609652 0 0.0000 109/07/2018NB Put
NBELN3563456557704569208 0 0.0000 109/07/2018NB Put
NBELN4566140560402571878 0 0.0000 119/03/2019NB Put
NBELN5547496541881553111 0 0.0000 119/03/2019NB Put
NBELN6536252530861541643 0 0.0000 117/12/2019NB Put
SGI003000 0 0.0000 105/06/2020SG Put
SPIB13172915017291500 0 0.0000 104/05/2020IB Put
SPIB21104566410430501048278 0 0.0000 105/10/2020IB Put
TOPSBB605764 0 0.00051000 5882.3506/03/2018SBEuropean Call
TOPSBC514753 6 13.3336000056000 400004/07/2018SBEuropean Call
TOPSBW606 0 0.00046500 3030.3006/03/2018SBEuropean Put
TOPSBX151018 0 0.00049000 400005/06/2018SBEuropean Put
TOPSBY333244 -5-13.1640000051000 3448.2804/07/2018SBEuropean Put
TOPSKC188818821893 0 0.00045000 50006/03/2018SBEuropean Call
TOPSKD169116851696 0 0.00046000 50006/03/2018SBEuropean Call
TOPSKE166116551666 0 0.00047000 50004/07/2018SBEuropean Call
TOPSKF146314571468 0 0.00048000 50004/07/2018SBEuropean Call
TOPSKG110510991110 104 10.555413050000 50002/08/2018SBEuropean Call
TOPSKQ416405421 -87-17.0319103056000 50002/08/2018SBEuropean Put
TOPSKR597591602 0 0.00057000 50002/08/2018SBEuropean Put
UBTOMA100 0 0.0000 115/05/2019UB 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
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
VUKILE 214019902151 70 3.381782649 
VKEIVA171417121715 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 143271415014500 256 1.821486243 
VODSBA14915 0 0.00017000 4505/06/2018SBAmerican Call
VODSBB282330 3 12.502500016000 37.9902/08/2018SBAmerican Call
WOOLIES 594059256000 -45 -0.754930272 
WHLSBI171221 0 0.0006700 2305/06/2018SBAmerican Call
WHLSBJ302635 0 0.0006100 2204/07/2018SBAmerican Call
Other  
ESPIB1105181041210623 0 0.0000 111/08/2023IB Put
ESPIB3134471213447120 0 0.0000 106/05/2019IB Put
ESPIB4359898235989820 0 0.0000 117/05/2019IB Put
ESPIB5112545411254540 0 0.0000 122/08/2019IB Put
ESPIB6225337422533740 0 0.0000 125/07/2019IB Put
ESPIB7136541013654100 0 0.0000 129/08/2019IB Put
ESPIB8104916110491610 0 0.0000 111/11/2019IB Put
ESPIB9115658811565880 0 0.0000 129/04/2019IB Put
ESPIBK149472214947220 0 0.0000 103/10/2018IBEuropean Put
ESPIBM124791712400001278000 0 0.0000 123/11/2018IB Put
ESPIBR124384012438400 0 0.0000 112/12/2018IB Put
ESPIBS115444311544430 0 0.0000 107/01/2019IB Put
ESPIBU146569414656941465694 3344 0.2320 131/05/2019IB Put
ESPIBY130517413051740 3289 0.2510 106/05/2019IB Put
FTSIIB1071221071220 0 0.0000 107/07/2022IB Put
LBCP12317413142632055 0 0.0000 118/06/2018AB Put
LBCP14295622926929854 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
LPEGB4347003435635043 0 0.0000 107/02/2018AB Put
LPEGB5321833186432501 0 0.0000 112/03/2018AB Put
LPEGB6272342696427503 0 0.0000 114/05/2018AB Put
LPEGB7229552272723182 0 0.0000 118/06/2018AB Put
LPEGB8200811988220280 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
LPESP1221352191622354 0 0.0000 111/06/2021AB Put
LPGB10100 0 0.0000 106/01/2020AB Put
LPGME1000 0 0.0000 120/11/2020AB Put
SPIB10120169812016980 0 0.0000 120/07/2021IB Put
SPIB121920031920030 0 0.0000 112/07/2019IB Put
SPIB14191543519154350 0 0.0000 106/11/2020IB Put
SPIB15120651212065120 0 0.0000 130/11/2020IB Put
SPIB16111521911124311118007 0 0.0000 102/06/2020IB Put
SPIB17421206242120620 0 0.0000 126/02/2021IB Put
SPIB189845289845280 0 0.0000 108/02/2021IB Put
SPIB199996429100000 0 0.0000 113/09/2021IB Put
SPIB20126925612692560 0 0.0000 126/03/2021IB Put
SXEIIC1197511197510 0 0.0000 128/02/2022IB Put
SXEIID99472994720 0 0.0000 128/11/2022IB 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
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
ZA123000 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

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