Daily Warrant Summary 23/05/2013 19:00
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
ABIL 179017261795 -60 -3.247711741 
ABLNIG479472486 0 0.0001466 131/10/2013NBAmerican Call
ABLSBA14014 0 0.0003300 805/11/2013SBAmerican Call
ABLSBB11814 -1 -8.335500002500 1007/01/2014SBAmerican Call
ABLSTI288275326 -23 -7.72375862300 107/05/2014SBAmerican Call
ARCMITTAL 245223892525 -93 -3.65766356 
ACLNII6506500 0 0.0001958 117/10/2013NBAmerican Call
ANGLO 225492228823288 -1392 -5.814572950 
AGLIBC101 0 0.00028500 10028/06/2013IBAmerican Call
AGLIBV464250 0 0.00027500 10028/06/2013IBEuropean Put
AGLIHK454843854711 0 0.00018500 125/07/2013IBAmerican Call
AGLNII122791226212297 0 0.00011464 114/04/2014NBAmerican Call
AGLNNG504450265062 0 0.00019229 109/10/2013NBAmerican Call
AGLSBM5211 -3-33.338900027500 7006/08/2013SBAmerican Call
AGLSBN213 -1-50.002900031000 75.0206/08/2013SBAmerican Call
AGLSBR716772 11 20.75231127000 65.0206/08/2013SBEuropean Put
AGLSBS262629 0 0.00020000 55.0107/01/2014SBEuropean Put
DBAGLE935088009900 0 0.0000 104/11/2013DB Put
DBAGLF142501370014800 0 0.0000 104/11/2013DB Put
DBAGLG142501370014800 0 0.0000 104/11/2013DB Put
DBAGLH935088009900 0 0.0000 104/11/2013DB Put
ANGLOPLAT 295002870029825 -251 -0.84582604 
AMSIBD200 0 0.00052000 20028/06/2013IBAmerican Call
AMSIBU122121123 0 0.00048000 149.9328/06/2013IBEuropean Put
AMSNIH107231065910788 0 0.00019900 116/10/2013NBAmerican Call
AMSSBD202 0 0.00053500 140.0606/08/2013SBAmerican Call
AMSSBE3111 0 0.00045000 149.9302/10/2013SBAmerican Call
AMSSBF9714 0 0.0010000038000 130.0403/12/2013SBAmerican Call
AMSSBG353536 0 0.00031000 120.0507/01/2014SBAmerican Call
AMSSTG344425006000 0 0.00030000 109/10/2013SBAmerican Call
NBAGL5897088859055 0 0.0000 118/07/2013NB Put
NBAGL6130401296313117 0 0.0000 119/07/2013NB Put
NBAGL79958987710039 0 0.0000 119/07/2013NB Put
NBAGL8183341828618382 0 0.0000 119/07/2013NB Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
ANGGOLD 158991565016500 118 0.751014967 
ANGNIJ000 0 0.0009725 114/04/2014NBAmerican Call
ANGSBC113 0 0.00028500 10006/08/2013SBAmerican Call
ANGSBD110 0 0.00027000 90.0102/10/2013SBAmerican Call
ANGSBE217 1 33.3334424000 75.0202/10/2013SBAmerican Call
ANGSBF6612 1 16.67102811422000 65.0203/12/2013SBAmerican Call
ANGSBG191624 1 5.569084518500 69.9803/12/2013SBAmerican Call
ANGSTH383735793846 0 0.00015000 107/05/2014SBAmerican Call
ASPEN 210542080021300 -612 -2.82920722 
APNNIG135731355313594 0 0.0007900 131/10/2013NBAmerican Call
ABSA 146751462015000 -325 -2.171694802 
ASANII822482028247 0 0.0006870 116/10/2013NBAmerican Call
ASASBH415 0 0.00018000 3506/08/2013SBAmerican Call
ASASBI161321 0 0.00017000 3505/11/2013SBAmerican Call
ASASBJ272232 -2 -6.90447516000 4007/01/2014SBAmerican Call
ASASBR8611 0 0.00013500 4006/08/2013SBEuropean Put
ASASBS393940 0 0.00016000 4006/08/2013SBEuropean Put
ASASBT332938 0 0.00014000 3507/01/2014SBEuropean Put
BILLITON 279552780028920 -965 -3.342879167 
BILIBI545355 0 0.00024000 75.0228/06/2013IBAmerican Call
BILIBZ100 0 0.00023000 75.0228/06/2013IBEuropean Put
BILIHJ105431051311995 0 0.00017600 125/07/2013IBAmerican Call
BILNIJ158651584115890 0 0.00013214 114/04/2014NBAmerican Call
BILNNF843684108462 0 0.00020520 109/10/2013NBAmerican Call
BILSBC161625 -6-26.0911177129000 85.0306/08/2013SBAmerican Call
BILSBD9817 0 0.00031000 8006/08/2013SBAmerican Call
BILSBE331734 -6-15.00830028500 8003/12/2013SBAmerican Call
BILSBY161217 0 0.00027000 90.0106/08/2013SBEuropean Put
BILSBZ171326 4 28.5744500023500 65.0207/01/2014SBEuropean Put
BILSTI109081088910927 -739 -6.21100017500 109/10/2013SBAmerican Call
BATS 532275300054600 -873 -1.61685912 
BTIIHB208682081120926 0 0.00033800 125/10/2013IBAmerican Call
BTISTB217862146922093 -276 -1.23281034000 107/05/2014SBAmerican Call


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
BIDVEST 256002540026177 -451 -1.73788363 
BVTNII155361552215550 -463 -2.8715010385 116/10/2013NBAmerican Call
RICHEMONT 864986008800 -363 -4.037152077 
CFRIHA572553865411 0 0.0003300 125/07/2013IBAmerican Call
CFRNIE601160076015 0 0.0002757 125/10/2013NBAmerican Call
CFRSBF616062 -12-16.44872507300 2506/08/2013SBAmerican Call
CFRSBG61590 -9-12.68120007800 2507/01/2014SBAmerican Call
CFRSBP316 0 0.0006600 2006/08/2013SBEuropean Put
CFRSBQ8615 1 16.672468536650 2003/12/2013SBEuropean Put
CFRSBZ600 0 0.0005800 1506/08/2013SBEuropean Put
CFRSTG475647504763 -249 -4.904004000 109/10/2013SBAmerican Call
EXXARO 142401416714280 -480 -3.26911162 
DBEXX3100 0 0.0000 118/09/2013DB Put
EXXNIG601660036030 0 0.0008673 117/10/2013NBAmerican Call
EXXSBF214 0 0.00018500 69.9806/08/2013SBAmerican Call
EXXSBG10919 -3-25.0020050017500 59.9905/11/2013SBAmerican Call
EXXSBH303035 0 0.00015000 5007/01/2014SBAmerican Call
EXXSTG396538354095 0 0.00011000 109/10/2013SBAmerican Call
FIRSTRAND 301429963121 -97 -3.1218274938 
FSRIHJ760743765 -116-13.358002400 123/05/2014IBAmerican Call
FSRNIJ157815741582 0 0.0001603 114/04/2014NBAmerican Call
FSRNNH115911551163 0 0.0001943 109/10/2013NBAmerican Call
FSRSBL11720 -3-20.0015310153300 906/08/2013SBAmerican Call
FSRSBM221827 0 0.0003300 1007/01/2014SBAmerican Call
FSRSBX171422 0 0.0002900 806/08/2013SBEuropean Put
FSRSBY353536 0 0.0003000 907/01/2014SBEuropean Put
FSRSTH10189901350 -88 -8.01221082300 107/05/2014SBAmerican Call
GFIELDS 565855006000 58 1.045364462 
GFINIJ286728562878 0 0.0003241 114/04/2014NBAmerican Call
GFINNG3673670 0 0.0008174 109/10/2013NBAmerican Call
GFISBA131322 0 0.0007000 2503/12/2013SBAmerican Call
GFISBB161219 1 6.671170006600 3003/12/2013SBAmerican Call
GFISBN212 0 0.0009580 30.4806/08/2013SBAmerican Call
GFISBO334 0 0.0008500 2502/10/2013SBAmerican Call
GFISTI160015451606 0 0.0005000 107/05/2014SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
NEWGOLD 127751270013100 77 0.61396346 
GLDSBC526 0 0.00015000 4006/08/2013SBAmerican Call
GLDSBD161619 0 0.0020000015000 3003/12/2013SBAmerican Call
GROWPNT 273427102790 -66 -2.364849030 
GRTIHA975967984 0 0.002001800 125/07/2013IBAmerican Call
GRTIVC250825042513 0 0.000523 124/07/2019IBEuropean Call
GRTIVD201420092020 0 0.0001150 101/04/2022IBEuropean Call
GRTIVE130413001308 0 0.0001850 115/03/2028IBEuropean Call
HARMONY 363035003765 80 2.251068146 
HARNII703697710 0 0.0003507 116/10/2013NBAmerican Call
HARSBA10611 0 0.0005000 2503/12/2013SBAmerican Call
HARSBB171618 0 0.0004500 2507/01/2014SBAmerican Call
HARSBM112 0 0.0007500 2506/08/2013SBAmerican Call
HARSBN324 1 50.001600006500 2002/10/2013SBAmerican Call
HARSBO445 0 0.0006000 2503/12/2013SBAmerican Call
HARSTH576523680 63 11.737004800 107/05/2014SBAmerican Call
HYPROP 778076507826 -103 -1.31419569 
HYPIVC729672897303 0 0.00014973 124/07/2019IBEuropean Call
IMPLATS 9950980410102 -109 -1.082077777 
IMPNIN462446164632 0 0.0006360 114/04/2014NBAmerican Call
IMPNNF132313151331 0 0.00010787 109/10/2013NBAmerican Call
IMPSBC8015 0 0.00015500 5006/08/2013SBAmerican Call
IMPSBD202 0 0.00018500 5006/08/2013SBAmerican Call
IMPSBE316 0 0.00015000 4502/10/2013SBAmerican Call
IMPSBF7410 -1-12.5017820013500 5003/12/2013SBAmerican Call
IMPSBG363537 -2 -5.261660010500 4007/01/2014SBAmerican Call
IMPSBQ105104106 0 0.00014800 4506/08/2013SBEuropean Put
IMPSBR555360 0 0.00011500 4007/01/2014SBEuropean Put
IMPSTG148213001750 -132 -8.165009500 109/10/2013SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
INVLTD 700069508100 -250 -3.45833291 
INLNIF457945724586 0 0.0002515 117/10/2013NBAmerican Call
INVPLC 700368007290 -261 -3.591880323 
INPNIJ410941034115 0 0.0003140 114/04/2014NBAmerican Call
INPNNH310831003117 0 0.0004012 109/10/2013NBAmerican Call
INPSTH272327172730 0 0.0004750 107/05/2014SBAmerican Call
INVPROP 175517501780 -45 -2.50326594 
IPFIVA137613711381 0 0.000472 119/07/2016IBEuropean Call
IPFIVB121712121223 0 0.000663 101/04/2022IBEuropean Call
IMPERIAL 213482115022888 -653 -2.97867476 
IPLIHD816081288192 0 0.00013400 125/07/2013IBAmerican Call
KUMBAIO 515005130052000 -2400 -4.45309913 
KIOIHB152751519915352 0 0.00036900 125/07/2013IBAmerican Call
KIONIH278192771027929 0 0.00024575 116/10/2013NBAmerican Call
KIOSBD9517 -5-35.7156053357500 20006/08/2013SBAmerican Call
KIOSBE526 0 0.00062500 20006/08/2013SBAmerican Call
KIOSBF323235 -7-17.076500052500 149.9305/11/2013SBAmerican Call
KIOSBG464247 -8-14.296710049000 16007/01/2014SBAmerican Call
KIOSTG157441568315806 -1502 -8.6331044000 107/05/2014SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
MONDILTDP 131111241613374 -277 -2.07290275 
MNDNIH777877780 0 0.0005950 115/04/2014NBAmerican Call
MONDIPLCP 130721205013550 -364 -2.71252967 
MNPNIH779477817807 0 0.0005975 115/04/2014NBAmerican Call
MRPRICE 129981264513177 148 1.151476609 
MPCSBA292930 1 3.451500013000 4002/10/2013SBAmerican Call
MPCSBP333134 0 0.00012500 4007/01/2014SBEuropean Put
MTN 176901740018190 -396 -2.194977666 
MTNIBD8584110 0 0.00013500 5028/06/2013IBAmerican Call
MTNIHJ570156855718 0 0.00012900 123/05/2014IBAmerican Call
MTNNIJ103211030910334 0 0.0008170 114/04/2014NBAmerican Call
MTNNNJ680767956819 0 0.00011390 109/10/2013NBAmerican Call
MTNNNK570256915714 0 0.00013385 124/01/2014NBAmerican Call
MTNSBA242328 -8-26.6730000018000 4506/08/2013SBAmerican Call
MTNSBB383150 -8-18.18256517500 5003/12/2013SBAmerican Call
MTNSBY8419 3 50.0018957016000 5006/08/2013SBEuropean Put
MTNSBZ201525 0 0.00015500 4507/01/2014SBEuropean Put
MTNSTH662466127177 -405 -5.77302312500 107/05/2014SBAmerican Call
MRHLD 216820752177 -32 -1.45140122 
MURNIG106710670 0 0.0001135 105/11/2013NBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
NEDCOR 177101759418000 -241 -1.34673415 
NEDSBI171718 0 0.00020000 55.0103/12/2013SBAmerican Call
NASPERSN 714007120073000 -1600 -2.191631650 
NPNIHA389663892839005 0 0.00033300 125/07/2013IBAmerican Call
NPNNII459564592245990 0 0.00026850 117/10/2013NBAmerican Call
NPNSBG767577 0 0.00057500 20006/08/2013SBAmerican Call
NPNSBH60565 0 0.00064000 219.7807/01/2014SBAmerican Call
NPNSBS300 0 0.00052500 170.0706/08/2013SBEuropean Put
NPNSBT141019 0 0.00057500 16007/01/2014SBEuropean Put
NPNSTG366723622137085 -1292 -3.40323836000 109/10/2013SBAmerican Call
OLDMUTUAL 306730503170 -102 -3.227714899 
OMLNIJ191319111916 -68 -3.396001204 117/10/2013NBAmerican Call
OMLSBI454585 0 0.0003000 705/11/2013SBAmerican Call
OMLSTH118311811186 -83 -6.5624802100 107/05/2014SBAmerican Call
PICKNPAY 390638503950 -44 -1.11764307 
PIKNII190618971915 0 0.0002093 117/10/2013NBAmerican Call
PPC 308830693088 -62 -1.971478999 
PPCSTH115011031154 0 0.0002000 109/10/2013SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
REDEFINE 106010311070 -10 -0.936883271 
RDFIHF373355382 0 0.000720 120/01/2014IBAmerican Call
RDFIVD500490504 -30 -5.745800700 121/05/2024IBEuropean Call
RDFSIH611609613 0 0.000460 104/09/2013SIAmerican Call
REINET 202720062085 10 0.502235280 
REINIE127212701274 0 0.000780 125/10/2013NBAmerican Call
REMGRO 196371940020000 -232 -1.171471201 
REMIHH891288888936 0 0.00010900 125/07/2013IBAmerican Call
RMBH 393039064000 -129 -3.181984609 
RMHNII219521882202 0 0.0001822 117/10/2013NBAmerican Call
SABMILLER 496504950049650 -1215 -2.391989840 
SABNIJ280492802128078 -298 -1.0210023457 115/04/2014NBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SAPPI 225522252400 -15 -0.66801168 
SAPNIK109210861098 0 0.0001305 115/04/2014NBAmerican Call
STANBANK 111151105111248 -230 -2.032880089 
SBKIBD9811 0 0.00011500 3028/06/2013IBAmerican Call
SBKIBS657 0 0.00010500 2028/06/2013IBEuropean Put
SBKIHG263724502654 0 0.0008900 107/02/2014IBAmerican Call
SBKNIN595959485970 0 0.0005751 115/04/2014NBAmerican Call
SBKNNL387938683890 0 0.0007650 109/10/2013NBAmerican Call
SBKNNM331533053326 0 0.0008772 124/01/2014NBAmerican Call
SBKSBC211727 -4-16.003500011200 3506/08/2013SBAmerican Call
SBKSBD667 0 0.00013000 2506/08/2013SBAmerican Call
SBKSBE282338 -3 -9.6817323512000 3007/01/2014SBAmerican Call
SIBANYE 701693720 28 4.162378472 
SGLSBA315 0 0.0001350 805/11/2013SBAmerican Call
SGLSBB11612 2 22.226500001000 603/12/2013SBAmerican Call
SGLSIA248247250 16 6.9954500650 107/05/2014SIAmerican Call
STEINHOFF 225522252280 -45 -1.964681990 
SHFNII901893909 -56 -5.8616001415 117/10/2013NBAmerican Call
SHOPRIT 172211711717500 96 0.562116309 
SHPIHF484945104866 0 0.00013200 123/05/2014IBAmerican Call
SHPNIH902290089036 0 0.0008526 117/10/2013NBAmerican Call
SHPSBA161420 1 6.2511100020000 5002/10/2013SBAmerican Call
SHPSBW434046 -1 -2.274000019000 5006/08/2013SBEuropean Put
SHPSBX323133 0 0.00016500 4507/01/2014SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SANLAM 480247514900 -98 -2.003855972 
SLMNIJ271727152720 0 0.0002284 115/04/2014NBAmerican Call
SASOL 419504150042000 -1050 -2.442735084 
SOLIBI525253 0 0.00037000 10028/06/2013IBAmerican Call
SOLIHJ132201319713244 0 0.00030800 123/05/2014IBAmerican Call
SOLNIJ242202420124240 0 0.00019400 115/04/2014NBAmerican Call
SOLNNF150231500515041 0 0.00028132 109/10/2013NBAmerican Call
SOLSBE403845 0 0.00039000 110.0106/08/2013SBAmerican Call
SOLSBF47557 0 0.00041000 10007/01/2014SBAmerican Call
SOLSBS417 0 0.00035000 10006/08/2013SBEuropean Put
SOLSBT232030 3 15.001420040000 120.0505/11/2013SBEuropean Put
SOLSTH160351600816063 0 0.00026500 104/09/2013SBAmerican Call
SPAR 119001171711900 104 0.88218040 
SPPNII607260546090 0 0.0006047 117/10/2013NBAmerican Call
SATRIX40 365336403789 -110 -2.93467423 
STXNIJ208020732088 0 0.0001706 115/04/2014NBAmerican Call
STXNNF131013021319 0 0.0002430 109/10/2013NBAmerican Call
SYCOM 292528702968 -50 -1.68462628 
SYCIVC253125012562 0 0.000663 124/07/2019IBEuropean Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
TIGBRANDS 291052900029400 -1045 -3.47390115 
TBSNII163361613316393 -628 -3.6215013350 117/10/2013NBAmerican Call
TFG 110001060111150 -50 -0.451713809 
TFGSBA558 0 0.00013000 4002/10/2013SBAmerican Call
TFGSBB212126 0 0.00012000 2502/10/2013SBAmerican Call
TOPI  
ESPIBA10100789999771020180 0 0.00034068 127/10/2016IBEuropean Put
TOPDWD599598601 0 0.00033500 500014/11/2013DBEuropean Call
TOPDWM811222830 -141-13.81155032500 500018/07/2013DBEuropean Call
TOPDWV3800 0 0.00037500 500015/08/2013DBEuropean Put
TOPDWW343122345 200######45329338000 500015/08/2013DBEuropean Put
TOPDWX542541575 203 59.18615039000 500010/10/2013DBEuropean Put
TOPDWY735734737 139 26.03200040000 500010/10/2013DBEuropean Put
TOPSBB424143 0 0.00036000 400006/08/2013SBEuropean Call
TOPSBC13918 0 0.00038500 400006/08/2013SBEuropean Call
TOPSBD505061 0 0.00036000 500007/01/2014SBEuropean Call
TOPSBQ558 1 25.005000032500 500006/08/2013SBEuropean Put
TOPSBR151516 3 33.336000035000 500006/08/2013SBEuropean Put
TOPSBS181829 5 38.4612000032500 500007/01/2014SBEuropean Put
TOPSKA555556 0 0.00032500 8333.3319/12/2013SBEuropean Call
TOPSKS272728 7 41.1820400038000 8333.3319/09/2013SBEuropean Put
ZA043000 0 0.0000 112/07/2017BN Put
ZA044000 0 0.0000 117/07/2017BN Put
ZA04552923200 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
ZA049000 0 0.0000 112/08/2016BN Put
ZA050000 0 0.0000 113/09/2016BN Put
ZA051000 0 0.0000 113/10/2016BN Put
ZA052000 0 0.0000 111/11/2016BN Put
ZA053000 0 0.0000 113/12/2016BN Put
ZA054000 0 0.0000 113/01/2017BN Put
ZA055000 0 0.0000 113/02/2017BN Put
ZA056000 0 0.0000 113/03/2017BN Put
ZA057000 0 0.0000 118/04/2017BN 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 122/02/2018BN Put
ZA062000 0 0.0000 122/02/2018BN Put
TRUWTHS 876887178843 -82 -0.932237783 
TRUNIG429542784313 -118 -2.692004700 105/11/2013NBAmerican Call
VODACOM 112001115011437 -375 -3.242921707 
VODIHA340633913422 0 0.0008300 123/05/2014IBAmerican Call
VODNIE628262726292 0 0.0005420 115/04/2014NBAmerican Call
VODNNG397439654950 0 0.0007574 109/10/2013NBAmerican Call
VODSBA302833 -7-18.9274885011500 3007/01/2014SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
WOOLIES 772476007799 16 0.213147403 
WHLNIH450244944511 0 0.0003360 105/11/2013NBAmerican Call
WHLSBA555275 -3 -5.45248007000 2002/10/2013SBAmerican Call
WHLSBP303041 0 0.0007250 2007/01/2014SBEuropean Put
Other  
ESPIBZ121543612032821227591 0 0.000134145 125/01/2016IBEuropean Put
LPBCA22621200 0 0.0000 105/12/2016AB Put
LPBCA32665000 0 0.0000 124/01/2017AB Put
LPBCA42495400 0 0.0000 107/03/2017AB Put
LPBCA52369100 0 0.0000 128/03/2017AB Put
LPBCP22509100 0 0.0000 105/12/2016AB Put
LPBCP42380100 0 0.0000 128/03/2017AB Put
PLASBA333036 0 0.00014500 4007/01/2014SBAmerican Call
SPXIIC1064071064070 0 0.0001374 107/03/2017IB Put

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