Daily Warrant Summary 08/02/2012 18:58
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
ARCMITTAL 671167116715 81 1.22798504 
ACLSBA29040 2 7.4106500 2003/04/2012SBAmerican Call
ACLSBB29031 1 3.5707500 2502/10/2012SBAmerican Call
ANGLO 347903479034799 835 2.464006184 
AGLIBB9000 7 8.43030000 75.0229/06/2012IBAmerican Call
AGLIBU13018 -2-13.33028500 75.0229/06/2012IBEuropean Put
AGLSBE2400 0 0.00031000 8001/02/2012SBAmerican Call
AGLSBF60540 6 11.1127500030000 10002/05/2012SBAmerican Call
AGLSBG392845 3 8.3375538534000 120.0505/07/2012SBAmerican Call
AGLSBY304 0 0.00397000027000 10003/04/2012SBEuropean Put
AGLSBZ201822 -2 -9.0961794429000 10004/09/2012SBEuropean Put
ANGLOPLAT 556655566555800 290 0.52312310 
AMSIBC3100 0 0.00057500 20029/06/2012IBAmerican Call
AMSIBT2500 0 0.00054000 20029/06/2012IBEuropean Put
AMSSBM100 0 0.00060000 149.9301/02/2012SBAmerican Call
AMSSBN222127 0 0.0017614162500 20005/07/2012SBAmerican Call
AMSSBS1900 0 0.00055000 20003/04/2012SBEuropean Put
ANGGOLD 347003470034723 500 1.461270512 
ANGSBL191725 1 5.56035000 130.0403/04/2012SBAmerican Call
ANGSBM18022 0 0.00039000 149.9301/08/2012SBAmerican Call
ANGSBP11012 -1 -8.336000032000 120.0503/04/2012SBEuropean Put
ANGSBQ3500 -1 -2.78035000 120.0501/08/2012SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
ABSA 147851477714785 -64 -0.431891917 
ASASBC3100 0 0.00014000 2501/02/2012SBAmerican Call
ASASBD31031 0 0.00015000 4505/07/2012SBAmerican Call
ASASBP30030 0 0.00013500 4004/09/2012SBEuropean Put
BILLITON 260412600526041 141 0.543247274 
BILIBH8600 0 0.00023000 5029/06/2012IBAmerican Call
BILIBY1900 -1 -5.00022000 5029/06/2012IBEuropean Put
BILSBL4000 0 0.00024000 59.9901/02/2012SBAmerican Call
BILSBM414047 0 0.0011366624000 8002/05/2012SBAmerican Call
BILSBN24024 0 0.00145566528000 10005/07/2012SBAmerican Call
BILSBU6010 -1-14.2920000022500 90.0103/04/2012SBEuropean Put
BILSBV25026 -1 -3.851000023500 69.9801/08/2012SBEuropean Put
BATS 372613725037261 150 0.403296233 
BTISBA231723 1 4.5530000041000 75.0204/09/2012SBAmerican Call
BTISBP3400 -1 -2.86036000 90.0104/09/2012SBEuropean Put
RICHEMONT 443344264433 18 0.417810597 
CFRSBB2300 0 0.0004300 1001/02/2012SBAmerican Call
CFRSBC4500 2 4.6504000 1502/05/2012SBAmerican Call
CFRSBD3500 0 0.00570004800 1502/10/2012SBAmerican Call
CFRSBV600 0 0.0004050 1001/02/2012SBEuropean Put
CFRSBW26027 -1 -3.7020000004250 1505/07/2012SBEuropean Put
EXXARO 206002060020630 -32 -0.16582208 
EXXSBA442547 1 2.332770020000 59.9905/07/2012SBAmerican Call
EXXSBO5100 0 0.00018000 4001/02/2012SBAmerican Call
EXXSBW1000 0 0.00016000 5001/02/2012SBEuropean Put


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
FIRSTRAND 229922862299 15 0.668977347 
FSRSBF8800 0 0.0001931 .0301/02/2012SBAmerican Call
FSRSBG5600 1 1.82500002100 605/07/2012SBAmerican Call
FSRSBS415 1 33.3318500001834 .0803/04/2012SBEuropean Put
FSRSBT25040 0 0.0002000 504/09/2012SBEuropean Put
GFIELDS 126661266612670 126 1.001690356 
GFISBG13013 1 8.33141060413500 4503/04/2012SBAmerican Call
GFISBH222023 1 4.7616569214000 5001/08/2012SBAmerican Call
GFISBY10013 -1 -9.09011000 3003/04/2012SBEuropean Put
GFISBZ3200 -1 -3.03012500 4501/08/2012SBEuropean Put
NEWGOLD 128871281512887 237 1.87459311 
GLDSBL3600 0 0.00012500 1501/02/2012SBAmerican Call
GLDSBM6020 1 20.0010000014500 2505/03/2012SBAmerican Call
GLDSBN201923 2 11.11015000 5001/08/2012SBAmerican Call
GLDSBP8021 -2-20.00012000 4005/03/2012SBEuropean Put
GLDSBQ3200 -2 -5.88013500 59.9901/08/2012SBEuropean Put
GROWPNT 202020152020 -6 -0.305011729 
GRTIVC155800 -2 -0.130572 124/07/2019IBEuropean Call
HARMONY 966096609665 190 2.013147692 
HARSBF171519 0 0.005500010000 3503/04/2012SBAmerican Call
HARSBG171517 1 6.25120124911200 5001/08/2012SBAmerican Call
HARSBH3300 1 3.132000010500 4002/10/2012SBAmerican Call
HARSBP3600 -2 -5.26010000 4001/08/2012SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
HYPROP 564056255640 -10 -0.18330384 
HYPIVC431000 -15 -0.3501636 124/07/2019IBEuropean Call
IMPLATS 169001687116900 101 0.602149648 
IMPSBL200 0 0.00017500 4501/02/2012SBAmerican Call
IMPSBM161417 0 0.0013500020000 59.9905/07/2012SBAmerican Call
IMPSBY3200 0 0.00800016500 55.0105/07/2012SBEuropean Put
INVPROP 116011601165 5 0.43289522 
IPFIVA51900 0 0.000500 119/07/2016IBEuropean Call
KUMBAIO 553275530055327 927 1.70277226 
KIOSBA39050 3 8.33055000 170.0704/09/2012SBAmerican Call
KIOSBN5400 0 0.00048000 120.0501/02/2012SBAmerican Call
KIOSBO59570 4 7.27047500 149.9302/05/2012SBAmerican Call
KIOSBX100 0 0.00045000 149.9301/02/2012SBEuropean Put
KIOSBY11100 -1 -8.33043000 20005/07/2012SBEuropean Put
MTN 133011330113329 101 0.777289802 
MTNIBC3000 1 3.45013500 2529/06/2012IBAmerican Call
MTNSBJ306 -1-25.0025000015000 3505/03/2012SBAmerican Call
MTNSBL141315 1 7.69371344114500 4002/05/2012SBAmerican Call
MTNSBM272628 1 3.85102320014000 4001/08/2012SBAmerican Call
MTNSBU600 0 0.00013500 3001/02/2012SBEuropean Put
MTNSBV34042 -2 -5.56013500 4505/07/2012SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
NEDCOR 158201582015826 20 0.13619387 
NEDSBG4000 0 0.00014500 3001/02/2012SBAmerican Call
NEDSBH4500 0 0.00015000 4505/07/2012SBAmerican Call
NASPERSN 389893896138989 89 0.232651664 
NPNSBC32040 1 3.23037500 85.0305/03/2012SBAmerican Call
NPNSBD3900 0 0.00040000 120.0501/08/2012SBAmerican Call
NPNSBP3000 0 0.001700037500 140.0602/10/2012SBEuropean Put
NPNSBZ600 0 0.00033000 10003/04/2012SBEuropean Put
OLDMUTUAL 189218921894 42 2.2712894179 
OMLSBD14300 0 0.0001400 301/02/2012SBAmerican Call
OMLSBE10700 9 9.1801500 405/07/2012SBAmerican Call
OMLSBF4300 5 13.161000001900 504/09/2012SBAmerican Call
OMLSBP201925 -3-13.041000001600 404/09/2012SBEuropean Put
STANBANK 109361093110936 81 0.753610117 
SBKIBC8800 2 2.3309500 2029/06/2012IBAmerican Call
SBKIBR1900 -1 -5.0009500 2029/06/2012IBEuropean Put
SBKSBM2200 1 4.76011000 1805/03/2012SBAmerican Call
SBKSBN4600 1 2.22010000 3002/05/2012SBAmerican Call
SBKSBO3500 1 2.94011500 3002/10/2012SBAmerican Call
SHOPRIT 133401333313340 335 2.581433345 
SHPSBR304 -1-25.00010500 3003/04/2012SBEuropean Put
SHPSBS161420 -2-11.11555511500 3001/08/2012SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SASOL 399953997139995 90 0.231881204 
SOLIBH9300 1 1.0910752735000 75.0229/06/2012IBAmerican Call
SOLSBA353436 1 2.9449550041000 120.0505/07/2012SBAmerican Call
SOLSBO9400 0 0.00033000 75.0201/02/2012SBAmerican Call
SOLSBY100 0 0.00031000 10001/02/2012SBEuropean Put
SOLSBZ18019 -1 -5.2655555635000 110.0105/07/2012SBEuropean Put

Send e-mail to
© 2012 SHARENET (PTY) Ltd, Cape Town, South Africa
Home     Terms & conditions    Privacy Policy
    Security Notice    Contact Details
Market Statistics are calculated by Sharenet and are therefore not the official JSE Market Statistics. The calculation/derivation may include underlying JSE data.