Daily Warrant Summary 22/11/2017 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 267102670027000 -485 -1.781779143 
AGLSBF120117123 0 0.00018000 75.0210/01/2018SBAmerican Call
AGLSBG474651 0 0.00024000 105.0406/03/2018SBAmerican Call
AGLSBH302730 -2 -6.2516628428500 120.0505/06/2018SBAmerican Call
AGLSBX989 0 0.00020000 90.0106/03/2018SBEuropean Put
AGLSBY262530 0 0.00024500 114.9405/06/2018SBEuropean Put
AGLSTM102151019010290 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
ANGLOPLAT 377423600038200 342 0.91430246 
AMSSBA211834 0 0.00045000 234.7404/07/2018SBAmerican Call
AMSSBP383342 0 0.00039500 210.0804/07/2018SBEuropean Put
ANGGOLD 141341375014173 561 4.131868311 
ANGSBC314 0 0.00016500 90.0105/12/2017SBAmerican Call
ANGSBD171625 0 0.00015000 90.0106/02/2018SBAmerican Call
ANGSBE353039 0 0.00014000 8005/06/2018SBAmerican Call
ANGSBQ191441 0 0.00013000 65.0206/03/2018SBEuropean Put
ABINBEV 161006160350172499 -666 -0.41141903 
ANHSBA201520 0 0.000165000 425.5310/01/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
ASPEN 317983166031850 621 1.991286448 
APNSBI171421 0 0.00031000 90.0105/12/2017SBAmerican Call
BRAIT 431942754399 134 3.201446855 
BATSBE101 0 0.0006900 2510/01/2018SBAmerican Call
BATSBF5424 0 0.0006200 2103/05/2018SBAmerican Call
BATSBG191623 2 11.761000005200 2304/07/2018SBAmerican Call
BATSBP605561 0 0.0005200 1703/05/2018SBEuropean Put
B-AFRICA 152311510815339 231 1.541802147 
BGASBN5410 0 0.00016000 5005/12/2017SBAmerican Call
BGASBO393441 0 0.00015000 5003/05/2018SBAmerican Call
BILLITON 257752576826006 -47 -0.181727604 
BILIHC112531123011275 0 0.00015200 115/05/2018IBAmerican Call
BILSBA353435 0 0.00026000 8006/03/2018SBAmerican Call
BILSBO666566 0 0.00021500 75.0210/01/2018SBAmerican Call
BILSBQ11811 0 0.00021000 65.0206/03/2018SBEuropean Put
BILSBR353039 0 0.00025500 90.0104/07/2018SBEuropean Put
BILSTO836982778433 -89 -1.0750018000 107/02/2018SBAmerican Call
BLUETEL 154515201645 -55 -3.441754293 
BLUSBA131220 0 0.0001900 703/05/2018SBAmerican Call


Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
BATS 927619150093225 -1024 -1.09455364 
BTIIHH340773401234141 0 0.00062700 131/08/2018IBAmerican Call
BTISTF285292840333000 0 0.00067500 103/05/2018SBAmerican Call
BIDVEST 188451830019000 68 0.361150281 
BVTIHD701470007028 0 0.00012600 128/09/2018IBAmerican Call
DISCOVERY 164231600016550 71 0.43961231 
DSYIHC751575017529 0 0.0009300 108/06/2018IBAmerican Call
DSYSBP10910 0 0.00013500 37.9906/03/2018SBEuropean Put
EXXARO 159071549015979 437 2.821439948 
DBEXX5638900 0 0.0000 119/02/2018DB Put
EXXSBA122116125 0 0.00010000 5006/02/2018SBAmerican Call
EXXSBP211623 0 0.00013000 65.0205/06/2018SBEuropean Put
FIRSTRAND 548953505525 -47 -0.8514850852 
FSRSBA282728 0 0.0005800 2505/06/2018SBAmerican Call
FSRSBO191623 0 0.0006000 1906/03/2018SBAmerican Call
FSRSBQ181730 0 0.0005000 1506/03/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
GFIELDS 572055205795 141 2.531589672 
GFISBH454261 0 0.0004800 2510/01/2018SBAmerican Call
GFISBI231825 0 0.0006500 3303/05/2018SBAmerican Call
GFISBR212025 0 0.0005200 2506/03/2018SBEuropean Put
GROWPNT 240924012435 -11 -0.458911488 
GRTIVD181418131815 0 0.000946 101/04/2022IBEuropean Call
GRTIVE765763880 0 0.0001819 115/03/2028IBEuropean Call
HARMONY 243923752500 -1 -0.041256667 
HARSBB201720 0 0.0002400 1710/01/2018SBAmerican Call
HARSBC252029 0 0.001000002800 1905/06/2018SBAmerican Call
HARSBQ262330 0 0.0002300 1506/03/2018SBEuropean Put
HARSTO111011061238 8 0.7350001650 102/08/2018SBAmerican Call
IMPLATS 424141014439 379 9.818934341 
IMPSBJ282728 11 68.751500004000 2010/01/2018SBAmerican Call
IMPSBL695170 21 41.181295003650 1605/06/2018SBAmerican Call
IMPSBM353037 7 28.00250004500 2304/07/2018SBAmerican Call
INVPROP 155715201557 12 0.781377504 
IPFIVA143714321441 0 0.000469 124/07/2019IBEuropean Call
IPFIVB120912041214 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 326503100032960 996 3.15937904 
KIOSBA676471 0 0.00025500 155.0405/06/2018SBAmerican Call
KIOSBB383343 3 8.573000032500 175.1304/07/2018SBAmerican Call
KIOSBP141118 0 0.00022000 149.9305/06/2018SBEuropean Put
KIOSBQ252229 0 0.00028000 170.0704/07/2018SBEuropean Put
KIOSTN185951854018625 802 4.55200016000 104/10/2018SBAmerican Call
MEDCLIN 939392509440 -77 -0.812304198 
MEISBD400 0 0.00014500 4510/01/2018SBAmerican Call
MMIHLDGS 196519001976 18 0.921952491 
DBRMIH182417971851 0 0.0000 115/03/2018DB Put
MRPRICE 208002050021050 656 3.261543414 
MRPSBD847987 0 0.00016500 5005/12/2017SBAmerican Call
MRPSBR8510 0 0.00016000 5006/03/2018SBEuropean Put
MTN 132281300013231 218 1.682683797 
MTNIHN434243304353 214 5.1869400 114/09/2018IBAmerican Call
MTNSBE383039 0 0.00012000 4510/01/2018SBAmerican Call
MTNSBF322732 2 6.6710000013500 5005/06/2018SBAmerican Call
MTNSBS12917 0 0.00011000 3506/03/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
NEDCOR 212452067521600 147 0.701528303 
UBOMLA00 0 0.0000 115/11/2018UB Put
NASPERSN 390010386000393900 -18990 -4.642034993 
DBNPAJ3598800 0 0.0000 130/08/2018DB Put
DBNPAK4078800 0 0.0000 118/01/2018DB Put
DBNPAL3970300 0 0.0000 118/01/2018DB Put
DBNPAM000 0 0.0000 118/01/2018DB Put
DBNPAN000 0 0.0000 118/01/2018DB Put
DBNPAQ000 0 0.0000 118/01/2018DB Put
NPNIHF213603213375213831 0 0.000186000 118/07/2018IBAmerican Call
NPNSBD959098 0 0.000299791 949.4005/12/2017SBAmerican Call
NPNSBE878492 -22-20.185000319777 949.4006/03/2018SBAmerican Call
NPNSBF454446 -12-21.0510000390000 1298.7004/07/2018SBAmerican Call
NPNSBP808 0 0.000264815 699.5505/12/2017SBEuropean Put
NPNSBQ4112 0 0.000269812 849.4706/03/2018SBEuropean Put
NPNSBR12912 1 11.1155000305000 1052.6305/06/2018SBEuropean Put
NPNSBS211621 0 0.000340000 1204.8204/07/2018SBEuropean Put
NPNSTM186012185546186478 -21249-10.1967223000 104/10/2018SBAmerican Call
UBNPNM2371900 0 0.0000 123/03/2018UB Put
UBNPNN50207502070 -7852-13.52480 123/03/2018UB Put
UBNPNO000 0 0.0000 123/03/2018UB Put
UBNPNP000 0 0.0000 123/03/2018UB Put
UBNPNQ5995200 0 0.0000 123/03/2018UB Put
UBTENA000 0 0.0000 123/03/2018UB Put
UBTENB00 0 0.0000 123/03/2018UB Put
OLDMUTUAL 365636203662 76 2.126902554 
OMLSBH191820 0 0.0003500 1105/12/2017SBAmerican Call
OMLSBI292831 0 0.0003850 1203/05/2018SBAmerican Call
PSG 273802700027490 180 0.66140310 
UBPSGA000 0 0.0000 115/11/2018UB Put
REDEFINE 104310351070 2 0.199139901 
RDFIVD448446449 0 0.000682 121/05/2024IBEuropean Call
RDFSTH356329405 0 0.000800 104/10/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
REMGRO 203472022520800 72 0.361568857 
REMIHM397239573987 0 0.00016900 115/05/2018IBAmerican Call
STANBANK 168491660117099 159 0.953092613 
SBKIHK534353295356 430 8.43250011300 115/12/2017IBAmerican Call
SBKSBE272227 0 0.00017500 55.0106/03/2018SBAmerican Call
SBKSBR171221 0 0.00015500 5006/03/2018SBEuropean Put
SIBANYE 190018551945 93 5.157243270 
SGLSBE5310 0 0.0002100 1105/12/2017SBAmerican Call
SGLSBF353035 0 0.0001750 1006/02/2018SBAmerican Call
SGLSBG242025 1 4.762500002200 1304/07/2018SBAmerican Call
SGLSBP528 0 0.0001750 1005/12/2017SBEuropean Put
SGLSBQ181722 0 0.0001500 903/05/2018SBEuropean Put
SGLSTB896842950 0 0.0001200 104/10/2018SBAmerican Call
SHOPRIT 220372162222200 347 1.601359736 
SHPIHI691068926927 0 0.00016000 114/09/2018IBAmerican Call
SHPSBC8312 0 0.00022500 69.9805/12/2017SBAmerican Call
STEINHOFF 564555805679 128 2.327712896 
SNHSBI8319 1 16.674060007000 2206/03/2018SBAmerican Call
SNHSBJ211921 2 11.112520006500 2005/06/2018SBAmerican Call
SNHSTB878740900 91 11.5248255000 107/02/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
SASOL 438914260043990 1028 2.401258469 
SOLIHN143321431414349 0 0.00029600 115/12/2017IBAmerican Call
SOLSBG8514 0 0.00045000 140.0605/12/2017SBAmerican Call
SOLSBH393641 0 0.00042000 120.0506/02/2018SBAmerican Call
SOLSBI413843 0 0.00043500 149.9305/06/2018SBAmerican Call
SOLSBV418 0 0.00039000 130.0405/12/2017SBEuropean Put
SOLSBW13817 0 0.00036000 130.0403/05/2018SBEuropean Put
SOLSBX191423 -1 -4.76950037500 130.0405/06/2018SBEuropean Put
SOLSBY302534 0 0.00041500 144.9304/07/2018SBEuropean Put
SOLSTN144671442714657 398 2.9430030000 107/02/2018SBAmerican Call
SYGEURO50 590058655950 -51 -0.86126212 
ESPIBO137814913781490 0 0.0000 120/11/2018IBEuropean Put
SYG-USA 343034263500 -38 -1.10437707 
SPIB11124324012432400 0 0.0000 119/12/2019IB Put
TIGBRANDS 403503850040500 1450 3.73579342 
TBSIHC122451045012266 1471 13.5360029000 120/04/2018IBAmerican Call
TFG 149001445014915 162 1.10913018 
TFGSBA6110 0 0.00015500 4505/12/2017SBAmerican Call
TFGSBP252425 0 0.00014000 4506/03/2018SBEuropean Put
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
TOPI  
ESPIB2123685412368540 0 0.0000 113/02/2019IB Put
ESPIBH216906221690620 0 0.0000 108/12/2017IB Put
ESPIBI118010311801030 0 0.00044873 122/03/2018IBEuropean Put
ESPIBL131502013150200 0 0.0000 125/05/2018IB Put
ESPIBN215105621510560 0 0.0000 125/05/2018IB Put
ESPIBP207805320780530 0 0.0000 108/10/2018IB Put
ESPIBQ122538212253820 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
NBELN1598855592809604900 0 0.0000 122/05/2018NB Put
NBELN2596048590055602041 0 0.0000 109/07/2018NB Put
NBELN3565838560089571587 0 0.0000 109/07/2018NB Put
NBELN4561656555968567344 0 0.0000 119/03/2019NB Put
NBELN5552716547058558373 0 0.0000 119/03/2019NB Put
NBELN6530102524795535409 0 0.0000 117/12/2019NB Put
SGI003000 0 0.0000 105/06/2020SG Put
SPIB13174784017478400 0 0.0000 104/05/2020IB Put
SPIB21102898310264101031555 0 0.0000 105/10/2020IB Put
TOPSBA115110120 0 0.00048000 5882.3510/01/2018SBEuropean Call
TOPSBB817583 -6 -6.675938751000 5882.3506/03/2018SBEuropean Call
TOPSBC737076 -8 -9.7630000056000 400004/07/2018SBEuropean Call
TOPSBO777180 0 0.00050000 5882.3505/12/2017SBEuropean Call
TOPSBV101 0 0.00045500 400005/12/2017SBEuropean Put
TOPSBW326 1 33.336879946500 3030.3006/03/2018SBEuropean Put
TOPSBX181318 2 13.33900049000 400005/06/2018SBEuropean Put
TOPSBY343139 0 0.00051000 3448.2804/07/2018SBEuropean Put
TOPSKB212821242131 0 0.00044000 50006/12/2017SBEuropean Call
TOPSKC214721432150 0 0.00045000 50006/03/2018SBEuropean Call
TOPSKD195319491956 0 0.00046000 50006/03/2018SBEuropean Call
TOPSKE191019061913 0 0.00047000 50004/07/2018SBEuropean Call
TOPSKF171417101717 0 0.00048000 50004/07/2018SBEuropean Call
TOPSKG136113571510 -122 -8.071068050000 50002/08/2018SBEuropean Call
TOPSKQ277273280 102 60.7110472756000 50002/08/2018SBEuropean Put
TOPSKR447443450 108 32.4310885057000 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
TRUWTHS 744272007500 146 2.001600760 
TRUSBB6110 0 0.0008500 3005/12/2017SBAmerican Call
VUKILE 193518852050 0 0.001055695 
VKEIVA142714251429 0 0.000708 121/05/2024IBEuropean Call
VODACOM 149001466515000 36 0.242021956 
VODIHE275426012765 0 0.00012400 125/05/2018IBAmerican Call
VODSBA211621 -1 -4.765000017000 4505/06/2018SBAmerican Call
WOOLIES 555655555620 126 2.329621570 
WHLSBH5113 0 0.0006800 2010/01/2018SBAmerican Call
WHLSBI171427 0 0.0006700 2305/06/2018SBAmerican Call
WHLSBJ282332 0 0.0006100 2204/07/2018SBAmerican Call
Name/Code RP B i d A s k Move %Move Volume Strike
Price
Cover
Ratio
Expiry
Date
Issuer Type
Other  
ESPIB1128541272512982 -6 -0.0536600 111/08/2023IB Put
ESPIB3131760813176080 0 0.0000 106/05/2019IB Put
ESPIB4379513837951380 0 0.0000 117/05/2019IB Put
ESPIB5118917411891740 0 0.0000 122/08/2019IB Put
ESPIB6237672923767290 0 0.0000 125/07/2019IB Put
ESPIB7131206113120610 0 0.0000 129/08/2019IB Put
ESPIB8113038011107591150000 0 0.0000 111/11/2019IB Put
ESPIB9122540312254030 0 0.0000 129/04/2019IB Put
ESPIBK144236114423610 0 0.0000 103/10/2018IBEuropean Put
ESPIBM127858012221601335000 0 0.0000 123/11/2018IB Put
ESPIBR123447812344780 0 0.0000 112/12/2018IB Put
ESPIBS114764211476420 0 0.0000 107/01/2019IB Put
ESPIBU138032813803280 0 0.0000 131/05/2019IB Put
ESPIBY127499112749910 0 0.0000 106/05/2019IB Put
FTSIIB1002691002690 0 0.0000 107/07/2022IB Put
LBCP122572300 0 0.0000 118/06/2018AB Put
LBCP142273200 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
LPEGB13040300 0 0.0000 122/12/2017AB Put
LPEGB23032000 0 0.0000 122/12/2017AB 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
SPIB10116219611621960 0 0.0000 120/07/2021IB Put
SPIB122092202092200 0 0.0000 112/07/2019IB Put
SPIB14206272220254432100000 0 0.0000 106/11/2020IB Put
SPIB15133845413384540 0 0.0000 130/11/2020IB Put
SPIB16109603710932971098777 0 0.0000 102/06/2020IB Put
SPIB17443134144313410 0 0.0000 126/02/2021IB Put
SPIB189751889751880 0 0.0000 108/02/2021IB Put
SPIB199571039000030 0 0.0000 113/09/2021IB Put
SPIB20141057414105740 0 0.0000 126/03/2021IB Put
SXEIIB1185691185690 0 0.0000 122/11/2021IB Put
SXEIIC1157621157620 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
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

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