Market Information
- Daily Price
- Assets Under Custody
- Shared Symbols
- Corporate Actions
Market Numbers as of
Monday, February 17, 2025
COMPANY | OPEN | CLOSE | VOLUME | VALUE | NTYPE |
---|---|---|---|---|---|
LEARNAFRCA | 3.95 | 3.95 | 271,713 | 973,530 | NSE |
ENAMELWA | 19.30 | 19.30 | 50 | 925 | NSE |
UNIVINSURE | 0.30 | 0.30 | 31,768,386 | 9,133,909 | NSE |
GREENWETF | 899.99 | 890.00 | 1 | 890 | NSE |
NIDF | 114.00 | 114.00 | 7,895 | 879,935 | NSE |
NGXGROUP | 21.35 | 21.40 | 403,804 | 8,659,258 | NSE |
MCNICHOLS | 0.97 | 0.97 | 80,240 | 85,054 | NSE |
ETERNA | 21.75 | 21.85 | 3,787,496 | 84,376,438 | NSE |
STERLINGNG | 3.96 | 4.00 | 2,130,514 | 8,373,066 | NSE |
FLOURMILL | 44.80 | 44.80 | 189,921 | 8,284,647 | NSE |
UBA | 22.90 | 21.90 | 37,034,236 | 819,129,853 | NSE |
NEIMETH | 1.92 | 2.11 | 3,934,645 | 8,168,639 | NSE |
OKOMUOIL | 345.30 | 345.30 | 235,041 | 79,331,778 | NSE |
IKEJAHOTEL | 7.00 | 7.00 | 1,115,780 | 7,889,132 | NSE |
CORNERST | 2.35 | 2.17 | 3,494,600 | 7,885,157 | NSE |
VERITASKAP | 1.40 | 1.24 | 60,848,122 | 78,210,365 | NSE |
WAPIC | 0.77 | 0.80 | 10,066,069 | 7,817,524 | NSE |
INTBREW | 4.65 | 4.60 | 1,651,271 | 7,611,245 | NSE |
VFDGROUP | 45.00 | 45.00 | 17,936 | 746,640 | NSE |
UNIONDICON | 7.30 | 7.30 | 1,000 | 7,300 | NSE |
UNILEVER | 19.40 | 19.40 | 382,467 | 7,246,586 | NSE |
UPL | 2.18 | 2.39 | 303,296 | 722,826 | NSE |
FBNH | 22.90 | 22.00 | 3,305,552 | 72,038,442 | NSE |
STANBIC | 53.00 | 53.25 | 1,352,363 | 72,034,878 | NSE |
GUINEAINS | 0.37 | 0.40 | 18,003,688 | 7,197,365 | NSE |
COMPANY | OPEN | CLOSE | VOLUME | VALUE | NTYPE |
---|---|---|---|---|---|
SDIGIPLC | 0.21 | 0.21 | 400 | 84 | NASD |
SDFOODCPT | 1.90 | 1.90 | 258,064 | 490,321 | NASD |
SDAFRILAND | 17.46 | 17.46 | 23,236 | 405,700 | NASD |
SDFCWAMCO | 47.00 | 47.00 | 774,768 | 36,414,104 | NASD |
SDARADEL | 4,712.86 | 4,712.86 | 69,014 | 326,260,661 | NASD |
SD11PLC | 182.70 | 182.70 | 10 | 1,820 | NASD |
SDCSCSPLC | 18.90 | 18.90 | 61,030 | 1,153,567 | NASD |
- NGX
- NASD
COMPANY | OPEN | CLOSE | VOLUME | VALUE | NTYPE |
---|---|---|---|---|---|
LEARNAFRCA | 3.95 | 3.95 | 271,713 | 973,530 | NSE |
ENAMELWA | 19.30 | 19.30 | 50 | 925 | NSE |
UNIVINSURE | 0.30 | 0.30 | 31,768,386 | 9,133,909 | NSE |
GREENWETF | 899.99 | 890.00 | 1 | 890 | NSE |
NIDF | 114.00 | 114.00 | 7,895 | 879,935 | NSE |
NGXGROUP | 21.35 | 21.40 | 403,804 | 8,659,258 | NSE |
MCNICHOLS | 0.97 | 0.97 | 80,240 | 85,054 | NSE |
ETERNA | 21.75 | 21.85 | 3,787,496 | 84,376,438 | NSE |
STERLINGNG | 3.96 | 4.00 | 2,130,514 | 8,373,066 | NSE |
FLOURMILL | 44.80 | 44.80 | 189,921 | 8,284,647 | NSE |
UBA | 22.90 | 21.90 | 37,034,236 | 819,129,853 | NSE |
NEIMETH | 1.92 | 2.11 | 3,934,645 | 8,168,639 | NSE |
OKOMUOIL | 345.30 | 345.30 | 235,041 | 79,331,778 | NSE |
IKEJAHOTEL | 7.00 | 7.00 | 1,115,780 | 7,889,132 | NSE |
CORNERST | 2.35 | 2.17 | 3,494,600 | 7,885,157 | NSE |
VERITASKAP | 1.40 | 1.24 | 60,848,122 | 78,210,365 | NSE |
WAPIC | 0.77 | 0.80 | 10,066,069 | 7,817,524 | NSE |
INTBREW | 4.65 | 4.60 | 1,651,271 | 7,611,245 | NSE |
VFDGROUP | 45.00 | 45.00 | 17,936 | 746,640 | NSE |
UNIONDICON | 7.30 | 7.30 | 1,000 | 7,300 | NSE |
UNILEVER | 19.40 | 19.40 | 382,467 | 7,246,586 | NSE |
UPL | 2.18 | 2.39 | 303,296 | 722,826 | NSE |
FBNH | 22.90 | 22.00 | 3,305,552 | 72,038,442 | NSE |
STANBIC | 53.00 | 53.25 | 1,352,363 | 72,034,878 | NSE |
GUINEAINS | 0.37 | 0.40 | 18,003,688 | 7,197,365 | NSE |
COMPANY | OPEN | CLOSE | VOLUME | VALUE | NTYPE |
---|---|---|---|---|---|
SDIGIPLC | 0.21 | 0.21 | 400 | 84 | NASD |
SDFOODCPT | 1.90 | 1.90 | 258,064 | 490,321 | NASD |
SDAFRILAND | 17.46 | 17.46 | 23,236 | 405,700 | NASD |
SDFCWAMCO | 47.00 | 47.00 | 774,768 | 36,414,104 | NASD |
SDARADEL | 4,712.86 | 4,712.86 | 69,014 | 326,260,661 | NASD |
SD11PLC | 182.70 | 182.70 | 10 | 1,820 | NASD |
SDCSCSPLC | 18.90 | 18.90 | 61,030 | 1,153,567 | NASD |
2020 | 2021 | 2022 | ||||
---|---|---|---|---|---|---|
ASSET | VOLUME | VALUE | VOLUME | VALUE | VOLUME | VALUE |
NGX EQUITIES | 1,082,343,046,323 | 18,114,477,387,776.30 | 1,119,066,030,122 | 18,990,797,836,699.50 | 1,129,719,703,760 | 21,981,122,354,419.20 |
NASD EQUITIES | 171,277,008,758 | 555,033,572,411.39 | 163,871,301,754 | 661,600,711,017.81 | 164,955,400,583 | 616,128,801,723.89 |
UNLISTED SECURITIES | 2,934,382,602 | 2,934,382,602,000.00 | 755,254,021 | 89,607,101,578.63 | 755,254,021 | 89,607,101,578.63 |
LCFE | 18,445 | 2,424,190,000.00 | 645,475 | 2,535,129,340.00 | 648,375 | 2,709,129,340.00 |
CORPORATE BONDS | 622,893,024 | 622,893,024,000.00 | 913,081,810 | 913,081,810,000.00 | 1,318,119,508 | 1,318,119,508,000.00 |
AGENCY BONDS | 47,103,611 | 47,103,611,000.00 | 57,103,611 | 57,103,611,000.00 | 28,632,611 | 28,632,611,000.00 |
STATE BONDS | 355,130,905 | 355,130,905,000.00 | 347,609,513 | 347,609,513,000.00 | 423,496,034 | 423,496,034,000.00 |
COMMERCIAL PAPERS | 250,885,161 | 250,885,161,000.00 | 252,917,022 | 252,917,022,000.00 | 92,738,251 | 92,738,251,000.00 |
FGN BONDS | 1,647,038,651 | 1,647,038,651,000.00 | 1,661,012,741 | 1,661,012,741,000.00 | 1,754,346,977 | 1,754,346,977,000.00 |
SUPRANATIONAL BONDS | 11,331,250 | 11,331,250,000.00 | 0 | 0.00 | 0 | 0.00 |
PRIVATE NOTE | 0 | 0.00 | 1,500,000 | 1,500,000,000.00 | 531,125 | 531,125,000.00 |
2020 | 2021 | 2022 | ||||
---|---|---|---|---|---|---|
ASSET | VOLUME | VALUE | VOLUME | VALUE | VOLUME | VALUE |
NGX EQUITIES | 1,082,343,046,323 | 18,114,477,387,776.30 | 1,119,066,030,122 | 18,990,797,836,699.50 | 1,129,719,703,760 | 21,981,122,354,419.20 |
NASD EQUITIES | 171,277,008,758 | 555,033,572,411.39 | 163,871,301,754 | 661,600,711,017.81 | 164,955,400,583 | 616,128,801,723.89 |
UNLISTED SECURITIES | 2,934,382,602 | 2,934,382,602,000.00 | 755,254,021 | 89,607,101,578.63 | 755,254,021 | 89,607,101,578.63 |
LCFE | 18,445 | 2,424,190,000.00 | 645,475 | 2,535,129,340.00 | 648,375 | 2,709,129,340.00 |
CORPORATE BONDS | 622,893,024 | 622,893,024,000.00 | 913,081,810 | 913,081,810,000.00 | 1,318,119,508 | 1,318,119,508,000.00 |
AGENCY BONDS | 47,103,611 | 47,103,611,000.00 | 57,103,611 | 57,103,611,000.00 | 28,632,611 | 28,632,611,000.00 |
STATE BONDS | 355,130,905 | 355,130,905,000.00 | 347,609,513 | 347,609,513,000.00 | 423,496,034 | 423,496,034,000.00 |
COMMERCIAL PAPERS | 250,885,161 | 250,885,161,000.00 | 252,917,022 | 252,917,022,000.00 | 92,738,251 | 92,738,251,000.00 |
FGN BONDS | 1,647,038,651 | 1,647,038,651,000.00 | 1,661,012,741 | 1,661,012,741,000.00 | 1,754,346,977 | 1,754,346,977,000.00 |
SUPRANATIONAL BONDS | 11,331,250 | 11,331,250,000.00 | 0 | 0.00 | 0 | 0.00 |
PRIVATE NOTE | 0 | 0.00 | 1,500,000 | 1,500,000,000.00 | 531,125 | 531,125,000.00 |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | ABACUS MONEY MARKET FUND | FFIONEABMM | EQUITY | NGFFIONEABM9 | VALID |
2 | ABBEY BUILDING SOCIETY PLC | ABBEYBDS | EQUITY | NGABBEY00001 | VALID |
3 | ACADEMY PRESS PLC | ACADEMY | EQUITY | NGACADEMY008 | VALID |
4 | ACCESS HOLDINGS PLC | ACCESSCORP | EQUITY | NGACCESS0005 | VALID |
5 | AFRICA PRUDENTIAL REGISTRARS PLC | AFRIPRUD | EQUITY | NGAFRIPRUD04 | VALID |
6 | AFRICAN ALLIANCE INSURANCE PLC | AFRINSURE | EQUITY | NGAFRINSURE4 | VALID |
7 | AFROMEDIA PLC | AFROMEDIA | EQUITY | NGAFROMEDIA7 | VALID |
8 | AIICO INSURANCE PLC | AIICO | EQUITY | NGAIICO00006 | VALID |
9 | AIRTEL AFRICA PLC | AIRTELAFRI | EQUITY | GB00BKDRYJ47 | VALID |
10 | ALUMINIUM EXTRUSION INDUSTRIES | ALEX | EQUITY | NGALEX000003 | VALID |
11 | ARBICO PLC | ARBICO | EQUITY | NGARBICO0007 | VALID |
12 | ARDOVA PLC | ARDOVA | EQUITY | NGAP00000004 | VALID |
13 | ASO SAVINGS & LOANS PLC | ASOSAVINGS | EQUITY | NGASOSAVING3 | VALID |
14 | ASSOCIATED BUS COMPANY PLC | ABCTRANS | EQUITY | NGABCTRANS01 | VALID |
15 | AT & T GLOBAL INFORMATION SOLUTIONS PLC | NCR | EQUITY | NGNCR0000008 | VALID |
16 | AUSTINLAZ COMPANY PLC | AUSTINLAZ | EQUITY | NGAUSTINLAZ9 | VALID |
17 | AXA MANSARD EQUITY INCOME FUND | FFAXMANEIF | EQUITY | NGFFAXMANEI2 | VALID |
18 | AXA MANSARD MONEY MARKET FUND | FFAXMANMMF | EQUITY | NGFFAXMANMM7 | VALID |
19 | AXAMansard Insurance Plc | MANSARD | EQUITY | NGGTASSURE05 | VALID |
20 | BERGER PAINTS NIGERIA PLC | BERGER | EQUITY | NGBERGER0000 | VALID |
21 | BETA GLASS COMPANY (NIG) PLC | BETAGLAS | EQUITY | NGBETAGLAS04 | VALID |
22 | BRICLINKS AFRICA PLC | BAPLC | EQUITY | NGBAPLC00002 | VALID |
23 | BUA FOODS PLC | BUAFOODS | EQUITY | NGBUAFOODS04 | VALID |
24 | C & I LEASING PLC | CILEASING | EQUITY | NGCILEASING2 | VALID |
25 | CADBURY PLC | CADBURY | EQUITY | NGCADBURY001 | VALID |
26 | CAP PLC | CAP | EQUITY | NGCAP0000009 | VALID |
27 | CAPITAL HOTEL PLC | CAPHOTEL | EQUITY | NGCAPHOTEL09 | VALID |
28 | CAPITAL OIL PLC | CAPOIL | EQUITY | NGCAPOIL0007 | VALID |
29 | CAPITAL TRUST HALAL FIXED INCOME FUND | CAPTHALFI | EQUITY | NGCAPTHALFI7 | VALID |
30 | CAVERTON OFFSHORE SUPPORT GRP PLC | CAVERTON | EQUITY | NGCAVERTON07 | VALID |
31 | CHAMPION BREWERIES | CHAMPION | EQUITY | NGCHAMPION00 | VALID |
32 | CHAMS PLC | CHAMS | EQUITY | NGCHAMS00001 | VALID |
33 | CHELLARAMS PLC | CHELLARAM | EQUITY | NGCHELLARAM5 | VALID |
34 | COMPUTER WAREHOUSE GROUP PLC | CWG | EQUITY | NGCWG0000002 | VALID |
35 | CONOIL PLC | CONOIL | EQUITY | NGCONOIL0003 | VALID |
36 | CONSOLIDATED HALLMARK INSURANCE PLC | CHIPLC | EQUITY | NGHMARKINS04 | VALID |
37 | CORNERSTONE INSURANCE PLC | CORNERST | EQUITY | NGCORNERST03 | VALID |
38 | COURTVILLE INVESTMENTS PLC | COURTVILLE | EQUITY | NGCOURTVILE6 | VALID |
39 | CUSTODIAN INVESTMENT PLC | CUSTODIAN | EQUITY | NGCUSTODYIN6 | VALID |
40 | CUTIX PLC | CUTIX | EQUITY | NGCUTIX00002 | VALID |
41 | DAAR COMMUNICATIONS PLC | DAARCOMM | EQUITY | NGDAARCOMM01 | VALID |
42 | DANGOTE CEMENT PLC | DANGCEM | EQUITY | NGDANGCEM008 | VALID |
43 | DANGOTE SUGAR REFINERY PLC | DANGSUGAR | EQUITY | NGDANSUGAR02 | VALID |
44 | DEAP CAPITAL MANAGEMENT & TRUST PLC | DEAPCAP | EQUITY | NGDEAPCAP009 | VALID |
45 | DUNLOP NIGERIA | DUNLOP | EQUITY | NGDUNLOP0005 | VALID |
46 | ECOBANK TRANSNATIONAL INCORPORATED | ETI | EQUITY | TG0000000132 | VALID |
47 | EKOCORP PLC | EKOCORP | EQUITY | NGECOCORP009 | VALID |
48 | ELLAH LAKES | ELLAHLAKES | EQUITY | NGELLAHLAKE8 | VALID |
49 | ETERNA PLC | ETERNA | EQUITY | NGETERNAOIL1 | VALID |
50 | E-TRANZACT INTERNATIONAL PLC | ETRANZACT | EQUITY | NGETRANZ0005 | VALID |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | 11 PLC | SD11PLC | EQUITY | NGSD11PLC007 | VALID |
2 | ACCESS BANK PLC | SDACCESS | EQUITY | NGSDACCESS08 | VALID |
3 | ACORN PETROLEUM PLC | SDACORN | EQUITY | NGSDACORN001 | VALID |
4 | AFRILAND PROPERTIES PLC | SDAFRILAND | EQUITY | NGSDAFRLAND2 | VALID |
5 | AG MORTGAGE BANK PLC | SDAGMBANK | EQUITY | NGSDAGMBANK7 | VALID |
6 | AIR LIQUIDE PLC | SDAIRLIQ | EQUITY | NGSDAIRLIQ00 | VALID |
7 | BGL PLC | SDBGLPLC | EQUITY | NGSDBGLPLC04 | VALID |
8 | CAPITAL BANCORP PLC | SDCBANCO | EQUITY | NGSDCBANCO00 | VALID |
9 | CAPPA AND D'ALBERTO PLC | SDCAPDBETO | EQUITY | NGSDCAPBETO0 | VALID |
10 | CENTRAL SECURITIES CLEARING SYSTEM | SDCSCSPLC | EQUITY | NGSDCSCSPLC2 | VALID |
11 | CITITRUST HOLDINGS PLC | SDCITITRUST | EQUITY | NGSDCITITRU9 | VALID |
12 | COSTAIN (WEST AFRICA) PLC | SDCOSTAIN | EQUITY | NGSDCOSTAIN0 | VALID |
13 | CR SERVICES (CREDIT BUREAU) PLC | SDCRSBUR | EQUITY | NGSDCRSBUR01 | VALID |
14 | DUFIL PRIMA FOOD PLC | SDDUFIL | EQUITY | NGSDDUFIL008 | VALID |
15 | FAMAD NIGERIA PLC | SDFAMADPLC | EQUITY | NGFAMADPLC05 | VALID |
16 | FAN MILK PLC | SDFANMILK | EQUITY | NGSDFANMILK1 | VALID |
17 | FIRSTTRUST MORTGAGE BANK PLC | SDFSTTRUSTMB | EQUITY | NGSDTRUSTMB2 | VALID |
18 | FOOD CONCEPTS PLC | SDFOODCPT | EQUITY | NGSDFOODCPT4 | VALID |
19 | FREE RANGE FARMS PLC | SDFARMSPLC | EQUITY | NGSDFARMS007 | VALID |
20 | FRIESLAND CAMPINA WAMCO NIGERIA PLC | SDFCWAMCO | EQUITY | NGSDFCWAMCO6 | VALID |
21 | FUMMAN AGRICULTURAL PRODUCT IND. PLC | SDFUMMAN | EQUITY | NGSDFUMMAN04 | VALID |
22 | GEO-FLUIDS PLC | SDGEFLUID | EQUITY | NGSDGEFLUID5 | VALID |
23 | GOLDEN CAPTIAL PLC | SDGOLDEN | EQUITY | NGSDGOLDEN09 | VALID |
24 | GREAT NIGERIA INSURANCE PLC | SDGNI | EQUITY | NGSDGNI00002 | VALID |
25 | INDUSTRIAL AND GENERAL INSURANCE PLC | SDIGIPLC | EQUITY | NGSDIGIPLC02 | VALID |
26 | LIGHTHOUSE FINANCIAL SERVICES PLC | SDLIGHTFSP | EQUITY | NGSDLITEFSP6 | VALID |
27 | MASS TELECOM INNOVATION PLC | SDMASSTCOM | EQUITY | NGSDMASSCOM6 | VALID |
28 | MIXTA REAL ESTATE PLC | SDMIXREAL | EQUITY | NGSDMIXREAL8 | VALID |
29 | NASD PLC | SDNASDPLC | EQUITY | NGSDNASDPLC5 | VALID |
30 | NEWREST ASL NIGERIA PLC | SDNEWREST | EQUITY | NGSDNEWREST2 | VALID |
31 | NIGER DELTA EXPLORATION & PRODUCTION PLC | SDNDEP | EQUITY | NGSDNDEP0001 | VALID |
32 | NIGERIA MORTGAGE REFINANCE COMPANY PLC | SDNMRCPLC | EQUITY | NGSDNMRCPLC4 | VALID |
33 | NIPCO PLC | SDNIPCOPLC | EQUITY | NGSDNIPCO008 | VALID |
34 | PARTNERSHIP INVESTMENT COMPANY PLC | SDPARTNER | EQUITY | NGSDPARTNER6 | VALID |
35 | PROVIDUS BANK PLC | SDPROVIDUS | EQUITY | NGSDPROVIDU9 | VALID |
36 | RESOURCERY PlC | SDRSOURCE | EQUITY | NGSDRSOURCE2 | VALID |
37 | RIGGS VENTURES WEST AFRICA PLC | SDRIGGS | EQUITY | NGSDRIGGS000 | VALID |
38 | SWAP TECHNOLOGIES & TELECOMMS PLC | SDSWAPPLC | EQUITY | NGSDSWAPPLC0 | VALID |
39 | UBN PROPERTY COMPANY PLC | SDUBNPROP | EQUITY | NGSDUBNPROP5 | VALID |
40 | VFD GROUP PLC | SDVFDGROUP | EQUITY | NGSDVFDGROU4 | VALID |
41 | VITAL PRODUCTS PLC | SDVITPROD | EQUITY | NGSDVITPROD1 | VALID |
42 | ALLIANZ NIGERIA INSURANCE PLC | SDALLINSUR | EQUITY | NGSDALLINSU5 | INVALID |
43 | ARM LIFE PLC | SDARMLIFE | EQUITY | NGSDARMLIFE5 | INVALID |
44 | ARM PROPERTIES PLC | SDARMPROP | EQUITY | NGSDARMPROP5 | INVALID |
45 | CONSOLIDATED BREWERIES PLC | SDCILBREW | EQUITY | NGSDCILBREW9 | INVALID |
46 | ENSURE INSURANCE PLC | SDENSURPLC | EQUITY | NGSDENSURE00 | INVALID |
47 | INTERNATIONAL PACKAGING IND. OF NIG PLC | SDIPIPLC | EQUITY | NGSDIPIPLC01 | INVALID |
48 | JAIZ INTERNATIONAL PLC | SDJAIZ | EQUITY | NGSDJAIZ0004 | INVALID |
49 | NIGERIAN EXCHANGE GROUP | SDNGXGROUP | EQUITY | NGNGXGROUP09 | INVALID |
50 | SPRING MORTGAGE PLC | SDSPRINGM | EQUITY | NGSDSPRINGM7 | INVALID |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | DUKIA GOLD ETC | LXDKGLDBGS | EXCHANGE TRADED CERTIFICATE | NGLXDKGLDBG4 | VALID |
2 | PADDY RICE GRADE A | LXPDGABAG01 | WAREHOUSE RECIEPT | NGLXPDGABA10 | VALID |
3 | PDY RICE-G1-LAB-KEB | LXPD1LABKEB1 | WAREHOUSE RECIEPT | NGLXPD1LABK5 | VALID |
4 | SESAME SEED GRADE A | LXSDGAKAT01 | WAREHOUSE RECIEPT | NGLXSDGAKA16 | VALID |
5 | SORGHUM GRADE A | LXSGGAFUN01 | WAREHOUSE RECIEPT | NGLXSGGAFU16 | VALID |
6 | SOYABEAN-G2-OLM-KAD | LXSB2OLMKAD1 | WAREHOUSE RECIEPT | NGLXSB2OLMK0 | VALID |
7 | SOYABEANS GRADE A | LXSBGAKAT01 | WAREHOUSE RECIEPT | NGLXSBGAKA18 | VALID |
8 | YEL MAIZE-G2-THR-KAD | LXMZ2THRKAD | WAREHOUSE RECIEPT | NGLXMZ2THRK4 | VALID |
9 | YELLOW MAIZE GRADE A | LXMZGADUT01 | WAREHOUSE RECIEPT | NGLXMZGADU11 | VALID |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | ASSOCIATED BUS COMPANY PLC 2021 RIGHTS | RR2021ABC | RIGHTS | NGRR2021ABC9 | INVALID |
2 | CONSOLIDATED HALLMARK INS PLC 2017 RGHTS | RR2017HMARK | RIGHTS | NGRR17HMARK6 | INVALID |
3 | CONSOLIDATED HALLMARK INS PLC 2020 RGHTS | RR2020HMARK | RIGHTS | NGRR2020HMA7 | INVALID |
4 | FIDSON HEALTHCARE RIGHTS 2019 | RR2019FIDSON | RIGHTS | NG2019FIDSO0 | INVALID |
5 | FLOUR MILLS NIGERIA PLC 2018 RIGHTS | RR2018FLRMIL | RIGHTS | NGRR18FLRML3 | INVALID |
6 | FTN COCOA PROCESSORS PLC 2021 RIGHTS | RRFTNCOCOA | RIGHTS | NGRRFTNCOCO3 | INVALID |
7 | GUINNESS NIGERIA PLC 2017 RIGHTS | RR2017GUNNES | RIGHTS | NGRR17GUNES5 | INVALID |
8 | INTERNATIONAL BREWRIES PLC 2019 RIGHTS | RR19INTBREW1 | RIGHTS | NGRR19INTBR7 | INVALID |
9 | LAFARGE AFRICA PLC 2017 RIGHTS | RR2017WAPCO | RIGHTS | NGRR17WAPCO2 | INVALID |
10 | NPF MICRO FINANCE BANK PLC 2021 RIGHTS | RR2021NPFMFB | RIGHTS | NGRR2021NPF5 | INVALID |
11 | TRANSCORP HOTELS PLC 2020 RIGHTS | RR2020TRSHOT | RIGHTS | NGRR2020TSH4 | INVALID |
12 | TRANS-NATIONWIDE EXPRESS PLC 2017 RIGHTS | RR2017TRNEXP | RIGHTS | NGRR17TREXP9 | INVALID |
13 | UAC NIGERIA PLC 2017 RIGHTS | RR2017UACPLC | RIGHTS | NGRR17UACPL2 | INVALID |
14 | UACN PROPERTY DEVELOPMENT CO. PLC-RIGHTS | RR2020UPDC | RIGHTS | NGRR2020UPD7 | INVALID |
15 | UNILEVER NIGERIA PLC 2017 RIGHTS | RR2017UNILEV | RIGHTS | NGRR17UNILV0 | INVALID |
16 | UNION BANK NIGERIA PLC 2017 RIGHTS | RR2017UBN | RIGHTS | NGRR2017UBN2 | INVALID |
17 | VFD GROUP PLC 2021 RIGHTS | SDRR2021VFD | RIGHTS | NGSDRR21VFD0 | INVALID |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | (182-DAY CBN TBILL)SIB SEP 2024 | SB2024S1TA | BOND | NGSB2024S1A3 | VALID |
2 | 10.00% B&H JAN 2023 | BHL2023S2TA | BOND | NGBHL2023TA3 | MATURED |
3 | 10.00% EPF JAN 2026 | EPF2026S1 | BOND | NGEPF2026S15 | VALID |
4 | 10.00% FGN JUL 2030 | FG7B2030S3 | BOND | NGFG7B2030S8 | VALID |
5 | 10.00% FMN FEB 2023 | FMN2023S3A | BOND | NGFMN20233A7 | MATURED |
6 | 10.00% TSL GTEED OCT 2030 | TSL2030S1 | BOND | NGTSL2030S11 | VALID |
7 | 10.091% FGS DEC 2022 | FGS202267 | BOND | NGFGS2022674 | MATURED |
8 | 10.470% FGS MAR 2025 | FGS202514 | BOND | NGFGS2025149 | VALID |
9 | 10.50% FBNQ FEB 2023 | FBQ2023S1 | BOND | NGFBQ2023S10 | MATURED |
10 | 11.00% B&H JAN 2023 | BHL2023S2TB | BOND | NGBHL2023TB1 | MATURED |
11 | 11.10% FMN FEB 2025 | FMN2025S3B | BOND | NGFMN20253B3 | VALID |
12 | 11.20% FGN JUN 2027 | FGSUK2027S3 | BOND | NGFGSUK20279 | VALID |
13 | 11.25% DAN MAY 2024 | DAN2024S1TA | BOND | NGDAN2024TA8 | VALID |
14 | 11.296% FGS NOV 2022 | FGS202265 | BOND | NGFGS2022658 | VALID |
15 | 11.301% FGS AUG 2022 | FGS202259 | BOND | NGFGS2022591 | MATURED |
16 | 11.85% DAN APR 2027 | DAN2027S2TA | BOND | NGDAN2027TA1 | VALID |
17 | 12.00% NOVA JUL 2027 | NOVA2027S1 | BOND | NGNOVA202714 | VALID |
18 | 12.00% NSPGB APR 2031 | NSP2031S2 | BOND | NGNSP2031S20 | VALID |
19 | 12.1493% FGN JUL 2034 | FG112034S2 | BOND | NGFG112034S7 | VALID |
20 | 12.150% FGS SEP 2022 | FGS202261 | BOND | NGFGS2022617 | MATURED |
21 | 12.195% FGS JUL 2022 | FGS202257 | BOND | NGFGS2022575 | VALID |
22 | 12.244% FGS OCT 2022 | FGS202263 | BOND | NGFGS2022633 | MATURED |
23 | 12.25% LAB JAN 2030 | LAB2030S3 | BOND | NGLAB2030S37 | VALID |
24 | 12.35% DAN APR 2029 | DAN2029S2TB | BOND | NGDAN2029TB5 | VALID |
25 | 12.40% FGN MAR 2036 | FG132036S2 | BOND | NGFG132036S8 | VALID |
26 | 12.49% FGN MAY 2029 | FG6B2029S3 | BOND | NGFG6B2029S2 | VALID |
27 | 12.50% DAN MAY 2026 | DAN2026S1TB | BOND | NGDAN2026TB1 | VALID |
28 | 12.50% DCM APR 2025 | DCM2025S1 | BOND | NGDCM2025S13 | VALID |
29 | 12.50% FGN JAN 2026 | FG132026S1 | BOND | NGFG132026S9 | VALID |
30 | 12.50% FGN JAN 2026 | FG132026SI | EQUITY | NGFG132026S9 | VALID |
31 | 12.50% FGN MAR 2035 | FG172035S1 | BOND | NGFG172035S1 | VALID |
32 | 12.50%% FGN APR 2032 | FG182032S2 | BOND | NGFG182032S6 | VALID |
33 | 12.75% MTN NOV 2031 | MTN2031S2 | BOND | NGMTN2031S22 | VALID |
34 | 12.7500% FGN APR 2023 | FG152023S3 | BOND | NGFG152023S1 | MATURED |
35 | 12.98% FGN MAR 2050 | FG172050S2 | BOND | NGFG172050S0 | VALID |
36 | 13% ONDO JAN 2027 | ODB2027S1 | BOND | NGODB2027S10 | VALID |
37 | 13.00% DAN APR 2032 | DAN2032S2TC | BOND | NGDAN2032TC7 | VALID |
38 | 13.00% FGN DEC 2031 | FGSUK2031S4 | BOND | NGFGSUK20311 | VALID |
39 | 13.00% FGN JAN 2042 | FG182042S1 | BOND | NGFG182042S5 | VALID |
40 | 13.00% FHSUK JUL 2028 | FHSUK202801 | BOND | NGFHS2028018 | VALID |
41 | 13.00% GPC NOV 2031 | GPC2031S1 | BOND | NGGPC2031S19 | VALID |
42 | 13.00% LAB DEC 2031 | LAB2031S4 | BOND | NGLAB2031S44 | VALID |
43 | 13.00% LMS MAR 2025 | LMS2025S2 | BOND | NGLMS2025S23 | VALID |
44 | 13.00% MCI MAR 2026 | MCI2026S1 | BOND | NGMCI2026S17 | VALID |
45 | 13.00% MTN MAY 2028 | MTN2028S1 | BOND | NGMTN2028S19 | VALID |
46 | 13.00% SAF APR 2027 | SAF2027S1A | BOND | NGSAF20271A6 | VALID |
47 | 13.25% EAT N GO MAR 2029 | ENG2029S2 | BOND | NGENG2029S21 | VALID |
48 | 13.25% LFZC SEP 2041 | LFZ2041S1 | BOND | NGLFZ2041S15 | VALID |
49 | 13.25% PAT FEB 2032 | PAT2032S1 | BOND | NGPAT2032S15 | VALID |
50 | 13.25% SAF APR 2029 | SAF2029S1B | BOND | NGSAF20291B2 | VALID |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | AMFM 364D PN 14FEB 2023 (S1) | PN23AMFMS1 | COMMERCIAL PAPERS | NGPN23AMFM19 | MATURED |
2 | B&H 2Y MN 01MAR 2024 (S1) | MN24BHLS1 | COMMERCIAL PAPERS | NGMN24BHLS13 | VALID |
3 | B&H 364D PN 19AUG 2022 (S1) | PN22BHLS1 | COMMERCIAL PAPERS | NGPN22BHLS12 | VALID |
4 | CMBL 181D CP 08AUG2022 (S21) | CP22CMBS21 | COMMERCIAL PAPERS | NGCP22CMB216 | VALID |
5 | CMBL 182D CP 24OCT2022 (S1) | CP22CMBS1 | COMMERCIAL PAPERS | NGCP22CMBS19 | MATURED |
6 | CMBL 269D CP 04NOV2022 (S22) | CP22CMBS22 | COMMERCIAL PAPERS | NGCP22CMB224 | MATURED |
7 | CMBL 269D CP 19JAN2023 (S2) | CP23CMBS2 | COMMERCIAL PAPERS | NGCP23CMBS26 | MATURED |
8 | CSPL 270D CP 23DEC 2022 (S2) | CP22CSP02 | COMMERCIAL PAPERS | NGCP22CSP023 | MATURED |
9 | DANGCEM 270D CP 23AUG 2022 (S3) | CP22DANS3 | COMMERCIAL PAPERS | NGCP22DANS34 | MATURED |
10 | DLM 179D CP 12AUG2022 (S3) | CP22DLMS3 | COMMERCIAL PAPERS | NGCP22DLMS32 | MATURED |
11 | DLM 180D CP 04OCT2022 (S5) | CP22DLMS5 | COMMERCIAL PAPERS | NGCP22DLMS57 | MATURED |
12 | DLM 270D CP 11NOV2022 (S4) | CP22DLMS4 | COMMERCIAL PAPERS | NGCP22DLMS40 | MATURED |
13 | DLM 270D CP 29AUG2022 (S2) | CP22DLMS2 | COMMERCIAL PAPERS | NGCP22DLMS24 | MATURED |
14 | DLM 276D CP 30DEC2022 (S6) | CP22DLMS6 | COMMERCIAL PAPERS | NGCP22DLMS65 | MATURED |
15 | DPF 182D CP 04OCT 2022 (S5) | CP22DPF05 | COMMERCIAL PAPERS | NGCP22DPF051 | MATURED |
16 | DPF 260D CP 21DEC 2022 (S6) | CP22DPF06 | COMMERCIAL PAPERS | NGCP22DPF069 | MATURED |
17 | FBNQ 180D CP 07SEP 2022 (S1) | CP22FBQS1 | COMMERCIAL PAPERS | NGCP22FBQS12 | MATURED |
18 | FBNQ 270D CP 06DEC 2022 (S2) | CP22FBQS2 | COMMERCIAL PAPERS | NGCP22FBQS20 | MATURED |
19 | FSDH 181D CP 01AUG 2022 (S6) | CP22FSD06 | COMMERCIAL PAPERS | NGCP22FSD063 | VALID |
20 | FSDH 268D CP 27OCT 2022 (S7) | CP22FSD07 | COMMERCIAL PAPERS | NGCP22FSD071 | MATURED |
21 | MIXTA 180D CP 03OCT 2022 (S3) | CP22MRES3 | COMMERCIAL PAPERS | NGCP22MRES35 | MATURED |
22 | MIXTA 180D CP 17OCT 2022 (S2) | CP22MRES2 | COMMERCIAL PAPERS | NGCP22MRES27 | MATURED |
23 | MIXTA 180D CP 19JUL 2022 (S1) | CP22MRES1 | COMMERCIAL PAPERS | NGCP22MRES19 | VALID |
24 | MIXTA 268D CP 03FEB 2023 (S5) | CP23MRES5 | COMMERCIAL PAPERS | NGCP23MRES59 | MATURED |
25 | MIXTA 268D CP 30DEC 2022 (S4) | CP22MRES4 | COMMERCIAL PAPERS | NGCP22MRES43 | MATURED |
26 | NEVEAH 180D CP 19JULY2022 (S2) | CP22NVHS2 | COMMERCIAL PAPERS | NGCP22NVHS27 | VALID |
27 | NEVEAH 180D CP 28NOV2022 (S4) | CP22NVHS4 | COMMERCIAL PAPERS | NGCP22NVHS43 | MATURED |
28 | NEVEAH 270D CP 20FEB2023 (S3) | CP23NVHS3 | COMMERCIAL PAPERS | NGCP23NVHS34 | MATURED |
29 | PRIMA 182D CP 05SEP 2022 (S2) | CP22PCLS2 | COMMERCIAL PAPERS | NGCP22PCLS22 | MATURED |
30 | SIBTC 269D CP 27OCT2022 (SR.3) | CP22SIB03 | COMMERCIAL PAPERS | NGCP22SIB038 | MATURED |
31 | UCAP 210D CP 19SEP2022 (S8) | CP22UCAPS8 | COMMERCIAL PAPERS | NGCP22UCAP88 | MATURED |
32 | UCAP 210D CP 28SEP2022 (S9) | CP22UCAPS9 | COMMERCIAL PAPERS | NGCP22UCAP96 | MATURED |
33 | VANL 180D CP 09AUG2022 (S6) | CP22VANS06 | COMMERCIAL PAPERS | NGCP22VAN083 | VALID |
34 | VANL 180D CP 14SEP 2022 (S7) | CP22VANS07 | COMMERCIAL PAPERS | NGCP22VAN075 | MATURED |
35 | VANL 269D CP 03MAR 2023 (S9) | CP23VANS09 | COMMERCIAL PAPERS | NGCP23VAN099 | MATURED |
36 | VANL 270D CP 13DEC 2022 (S8) | CP22VANS08 | COMMERCIAL PAPERS | NGCP22VAN067 | MATURED |
37 | VANL 270D CP 16SEP2022 (S5) | CP22VANS05 | COMMERCIAL PAPERS | NGCP22VAN059 | MATURED |
38 | ACCESSBANK 180D CP 29NOV2017 (S8) | CP17ACSS8 | COMMERCIAL PAPERS | NGCP17ACSS86 | MATURED |
39 | ACCESSBANK 182D CP 26FEB2018 (S11) | CP18ACS11 | COMMERCIAL PAPERS | NGCP18ACS114 | MATURED |
40 | ACCESSBANK 267D CP 22DEC2017 (S6) | CP17ACSS6 | COMMERCIAL PAPERS | NGCP17ACSS60 | MATURED |
41 | ACCESSBANK 269D CP 25AUG2017 (S3) | CP17ACSS3 | COMMERCIAL PAPERS | NGCP17ACSS37 | MATURED |
42 | ACCESSBANK 270D CP 18SEP2018 (S15) | CP18ACS15 | COMMERCIAL PAPERS | NGCP18ACS155 | MATURED |
43 | ACCESSBANK 270D CP 25MAY2018 (S12) | CP18ACS12 | COMMERCIAL PAPERS | NGCP18ACS122 | MATURED |
44 | ACCESSBANK 270D CP 27FEB2018 (S9) | CP18ACSS9 | COMMERCIAL PAPERS | NGCP18ACSS94 | MATURED |
45 | ACCESSBANK 90D CP 31AUG2017 (S7) | CP17ACSS7 | COMMERCIAL PAPERS | NGCP17ACSS78 | MATURED |
46 | CERPAC 235D CP 26JUN2020 (SR 1) | CP20CRFS01 | COMMERCIAL PAPERS | NGCP20CRFS12 | MATURED |
47 | CITIBANK 30D CP 11MAR2020(SR1) | CP20CTNS1 | COMMERCIAL PAPERS | NGCP20CTNS10 | MATURED |
48 | CITIBANK 95D CP 17MAY2020(SR2) | CP20CTNS2 | COMMERCIAL PAPERS | NGCP20CTNS28 | MATURED |
49 | CMBL 179D CP 27NOV2020 (S9) | CP20CMB0S9 | COMMERCIAL PAPERS | NGCP20CMB095 | MATURED |
50 | CMBL 179D CP 28JAN2022 (S19) | CP22CMBS19 | COMMERCIAL PAPERS | NGCP22CMB190 | MATURED |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | OMO-APR-2019-352D-19032020 | OM352190320 | OMO BILLS | NGO401903206 | MATURED |
2 | OMO-APR-2019-359D-16042020 | OM359160420 | OMO BILLS | NGO421604206 | MATURED |
3 | OMO-APR-2019-364D-02042020 | OM364020420 | OMO BILLS | NGO410402208 | MATURED |
4 | OMO-APR-2020-180D-30102020 | OM180301020 | OMO BILLS | NGO8B2107206 | MATURED |
5 | OMO-APR-2020-341D-30032021 | OM341300321 | OMO BILLS | NGO9B3104218 | MATURED |
6 | OMO-APR-2020-348D-16032021 | OM348160321 | OMO BILLS | NGO3B1603214 | MATURED |
7 | OMO-APR-2020-364D-05042021 | OM364050421 | OMO BILLS | NGO7B1904217 | MATURED |
8 | OMO-APR-2020-364D-19042021 | OM364190421 | OMO BILLS | NGO6B0504218 | MATURED |
9 | OMO-APR-2020-82D-07072020 | OMO82070720 | OMO BILLS | NGO5B0707201 | MATURED |
10 | OMO-AUG-2019-175D-06022020 | OM175060220 | OMO BILLS | NGO560206201 | MATURED |
11 | OMO-AUG-2019-188D-05032020 | OM188050320 | OMO BILLS | NGO600305203 | MATURED |
12 | OMO-AUG-2019-189D-05032020 | OM189050320 | OMO BILLS | NGO580305207 | MATURED |
13 | OMO-AUG-2019-344D-16072020 | OM344160720 | OMO BILLS | NGO551607201 | MATURED |
14 | OMO-AUG-2019-351D-27082020 | OM364270820 | OMO BILLS | NGO592708208 | MATURED |
15 | OMO-AUG-2019-363D-27082020 | OM363270820 | OMO BILLS | NGO612708204 | MATURED |
16 | OMO-AUG-2019-364D-13082020 | OM364130820 | OMO BILLS | NGO571308202 | MATURED |
17 | OMO-DEC-2019-176D-09062020 | OM176090620 | OMO BILLS | NGO070906209 | MATURED |
18 | OMO-DEC-2019-362D-01122020 | OM362011220 | OMO BILLS | NGO040112201 | MATURED |
19 | OMO-DEC-2019-362D-08122020 | OM362081220 | OMO BILLS | NGO050812203 | MATURED |
20 | OMO-DEC-2019-362D-15122020 | OM362151220 | OMO BILLS | NGO101512208 | MATURED |
21 | OMO-DEC-2019-96D-10032020 | OM96100320 | OMO BILLS | NGO011003207 | MATURED |
22 | OMO-FEB-2019-350D-06022020 | OM350060220 | OMO BILLS | NGO360206203 | MATURED |
23 | OMO-FEB-2019-351D-13022020 | OM351130220 | OMO BILLS | NGO371302207 | MATURED |
24 | OMO-FEB-2019-359D-30012020 | OM359300120 | OMO BILLS | NGO303001208 | MATURED |
25 | OMO-FEB-2019-360D-06022020 | OM360060220 | OMO BILLS | NGO330206200 | MATURED |
26 | OMO-FEB-2019-360D-30012020 | OM360300120 | OMO BILLS | NGO293001200 | MATURED |
27 | OMO-FEB-2019-364D-06022020 | OM364060220 | OMO BILLS | NGO320206202 | MATURED |
28 | OMO-FEB-2019-364D-13022020 | OM364130220 | OMO BILLS | NGO341302204 | MATURED |
29 | OMO-FEB-2019-364D-20022020 | OM364200220 | OMO BILLS | NGO352002206 | MATURED |
30 | OMO-FEB-2019-364D-27022020 | OM364270220 | OMO BILLS | NGO382702205 | MATURED |
31 | OMO-FEB-2020-180D-04082020 | OM180040820 | OMO BILLS | NGO130408204 | MATURED |
32 | OMO-FEB-2020-180D-18082020 | OM180180820 | OMO BILLS | NGO931808206 | MATURED |
33 | OMO-FEB-2020-362D-02022021 | OM362020221 | OMO BILLS | NGO140202217 | MATURED |
34 | OMO-FEB-2020-362D-16022021 | OM362160221 | OMO BILLS | NGO941602219 | MATURED |
35 | OMO-FEB-2020-89D-19052020 | OM89190520 | OMO BILLS | NGO921905202 | MATURED |
36 | OMO-JAN 2020-362D-12012021 | OM362120121 | OMO BILLS | NGO071201212 | MATURED |
37 | OMO-JAN-2019-182D-16012020 | OM182160120 | OMO BILLS | NGO531601209 | MATURED |
38 | OMO-JAN-2019-351D-30012020 | OM364300120B | OMO BILLS | NGO283001202 | MATURED |
39 | OMO-JAN-2019-360D-23012020 | OM360230120 | OMO BILLS | NGO252301203 | MATURED |
40 | OMO-JAN-2019-364D-16012020 | OM364160120 | OMO BILLS | NGO191601200 | MATURED |
41 | OMO-JAN-2019-364D-23012020 | OM364230120A | OMO BILLS | NGO222301200 | MATURED |
42 | OMO-JAN-2019-364D-23012020 | OM364230120B | OMO BILLS | NGO232301208 | MATURED |
43 | OMO-JAN-2019-364D-30012020 | OM364300120A | OMO BILLS | NGO263001206 | MATURED |
44 | OMO-JAN-2019-91D-16012020 | OM91160120 | OMO BILLS | NGO761601200 | MATURED |
45 | OMO-JAN-2020-180D-21072020 | OM180210720 | OMO BILLS | NGO062107204 | MATURED |
46 | OMO-JAN-2020-180D-28072020 | OM180280720 | OMO BILLS | NGO102807201 | MATURED |
47 | OMO-JAN-2020-362D-06012021 | OM362060121 | OMO BILLS | NGO040601211 | MATURED |
48 | OMO-JAN-2020-362D-19012021 | OM362190121 | OMO BILLS | NGO081901215 | MATURED |
49 | OMO-JAN-2020-362D-26012021 | OM362260121 | OMO BILLS | NGO112601214 | MATURED |
50 | OMO-JAN-2020-89D-07042020 | OM89070420 | OMO BILLS | NGO010704201 | MATURED |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
wdt_ID | SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
---|---|---|---|---|---|
1 | NTB-AUG-2021-364D-11082022 | T364110822 | NTB | NGT031108225 | VALID |
2 | NTB-JUL-2021-364D-14072022 | T364140722 | NTB | NGT031407221 | VALID |
3 | NTB-JUL-2021-364D-28072022 | T364280722 | NTB | NGT032807221 | VALID |
4 | NTB-2006-000007-01062007 | TB06070607 | NTB | NGTB06070600 | MATURED |
5 | NTB-2019-182D-01082019 | T182010819 | NTB | NGT020108194 | MATURED |
6 | NTB-2019-182D-18072019 | T182180719 | NTB | NGT021807190 | MATURED |
7 | NTB-2019-364D-16012020 | T364160120 | NTB | NGT031601203 | MATURED |
8 | NTB-2019-364D-30012020 | T364300120 | NTB | NGT033001204 | MATURED |
9 | NTB-2019-91D-02052019 | T091020519 | NTB | NGT010205190 | MATURED |
10 | NTB-2019-91D-18042019 | T091180419 | NTB | NGT011804199 | MATURED |
11 | NTB-APR-2019-182D-03102019 | T182031019 | NTB | NGT020310196 | MATURED |
12 | NTB-APR-2019-364D-02042020 | T364020420 | NTB | NGT030204207 | MATURED |
13 | NTB-APR-2019-364D-16042020 | T364160420 | NTB | NGT031604207 | MATURED |
14 | NTB-APR-2019-91D-04072019 | T091040719 | NTB | NGT010407192 | MATURED |
15 | NTB-APR-2020-182D-01102020 | T182011020 | NTB | NGT020110208 | MATURED |
16 | NTB-APR-2020-182D-15102020 | T182151020 | NTB | NGT021510208 | MATURED |
17 | NTB-APR-2020-182D-29102020 | T182291020 | NTB | NGT022910209 | MATURED |
18 | NTB-APR-2020-364D-01042021 | T364010421 | NTB | NGT030104217 | MATURED |
19 | NTB-APR-2020-364D-15042021 | T364150421 | NTB | NGT031504217 | MATURED |
20 | NTB-APR-2020-364D-29042021 | T364290421 | NTB | NGT032904218 | MATURED |
21 | NTB-APR-2020-91D-02072020 | T091020720 | NTB | NGT010207204 | MATURED |
22 | NTB-APR-2020-91D-16072020 | T091160720 | NTB | NGT011607204 | MATURED |
23 | NTB-APR-2020-91D-30072020 | T091300720 | NTB | NGT013007205 | MATURED |
24 | NTB-APR-2021-091D-29072021 | T091290721 | NTB | NGT012907215 | MATURED |
25 | NTB-APR-2021-182D-28102021 | T182281021 | NTB | NGT022810219 | MATURED |
26 | NTB-APR-2021-364D-28042022 | T364280422 | NTB | NGT032804228 | MATURED |
27 | NTB-APR-2022-91D-15072021 | T091150721 | NTB | NGT011507214 | MATURED |
28 | NTB-AUG-2019-182D-12022020 | T182120220 | NTB | NGT021202202 | MATURED |
29 | NTB-AUG-2019-182D-27022020 | T182270220 | NTB | NGT022702200 | MATURED |
30 | NTB-AUG-2019-182D-30012020 | T182300120 | NTB | NGT023001206 | MATURED |
31 | NTB-AUG-2019-364D-12082020 | T364120820 | NTB | NGT031208207 | MATURED |
32 | NTB-AUG-2019-364D-27082020 | T364270820 | NTB | NGT032708205 | MATURED |
33 | NTB-AUG-2019-364D-30072020 | T364300720 | NTB | NGT033007201 | MATURED |
34 | NTB-AUG-2019-91D-13112019 | T091131119 | NTB | NGT011311195 | MATURED |
35 | NTB-AUG-2019-91D-31102019 | T091311019 | NTB | NGT013110199 | MATURED |
36 | NTB-AUG-2020-182D-11022021 | T182110221 | NTB | NGT021102212 | MATURED |
37 | NTB-AUG-2020-364D-12082021 | T364120821 | NTB | NGT031208215 | MATURED |
38 | NTB-AUG-2020-91D-12112020 | T091121120 | NTB | NGT011211205 | MATURED |
39 | NTB-AUG-2021-091D-11112021 | T091111121 | NTB | NGT011111215 | MATURED |
40 | NTB-AUG-2021-182D-10022022 | T182100222 | NTB | NGT021002222 | MATURED |
41 | NTB-DEC-2019-182D-10062020 | T182100620 | NTB | NGT021006207 | MATURED |
42 | NTB-DEC-2019-182D-18062020 | T182180620 | NTB | NGT021806200 | MATURED |
43 | NTB-DEC-2019-364D-09122020 | T364091220 | NTB | NG7030912208 | MATURED |
44 | NTB-DEC-2019-364D-17122020 | T364171220 | NTB | NGT031712208 | MATURED |
45 | NTB-DEC-2019-91D-11032020 | T091110320 | NTB | NGT011103204 | MATURED |
46 | NTB-DEC-2019-91D-19032020 | T091190320 | NTB | NGT011903207 | MATURED |
47 | NTB-DEC-2020-01042021 | T091010421 | NTB | NGT010104211 | MATURED |
48 | NTB-DEC-2020-01072021 | T182010721 | NTB | NGT020107212 | MATURED |
49 | NTB-DEC-2020-09122021 | T364091221 | NTB | NGT030912213 | MATURED |
50 | NTB-DEC-2020-10062021 | T182100621 | NTB | NGT021006215 | MATURED |
SYMBOLNAME | SYMBOL | SECURITY TYPE | ISN CODE | STATUS |
2020 | 2021 | 2022 | ||||
---|---|---|---|---|---|---|
ASSET | VOLUME | VALUE | VOLUME | VALUE | VOLUME | VALUE |
NGX EQUITIES | 1,082,343,046,323 | 18,114,477,387,776.30 | 1,119,066,030,122 | 18,990,797,836,699.50 | 1,129,719,703,760 | 21,981,122,354,419.20 |
NASD EQUITIES | 171,277,008,758 | 555,033,572,411.39 | 163,871,301,754 | 661,600,711,017.81 | 164,955,400,583 | 616,128,801,723.89 |
UNLISTED SECURITIES | 2,934,382,602 | 2,934,382,602,000.00 | 755,254,021 | 89,607,101,578.63 | 755,254,021 | 89,607,101,578.63 |
LCFE | 18,445 | 2,424,190,000.00 | 645,475 | 2,535,129,340.00 | 648,375 | 2,709,129,340.00 |
CORPORATE BONDS | 622,893,024 | 622,893,024,000.00 | 913,081,810 | 913,081,810,000.00 | 1,318,119,508 | 1,318,119,508,000.00 |
AGENCY BONDS | 47,103,611 | 47,103,611,000.00 | 57,103,611 | 57,103,611,000.00 | 28,632,611 | 28,632,611,000.00 |
STATE BONDS | 355,130,905 | 355,130,905,000.00 | 347,609,513 | 347,609,513,000.00 | 423,496,034 | 423,496,034,000.00 |
COMMERCIAL PAPERS | 250,885,161 | 250,885,161,000.00 | 252,917,022 | 252,917,022,000.00 | 92,738,251 | 92,738,251,000.00 |
FGN BONDS | 1,647,038,651 | 1,647,038,651,000.00 | 1,661,012,741 | 1,661,012,741,000.00 | 1,754,346,977 | 1,754,346,977,000.00 |
SUPRANATIONAL BONDS | 11,331,250 | 11,331,250,000.00 | 0 | 0.00 | 0 | 0.00 |
PRIVATE NOTE | 0 | 0.00 | 1,500,000 | 1,500,000,000.00 | 531,125 | 531,125,000.00 |