2011-12-30 |
MARKET DATA |
No 251 (1785) |
MARKET SUMMARY |
SECURITIES |
Cash market trade |
Repo market trade |
Total market turnover |
Nominal trading value |
Trading value |
No of trades |
Nominal trading value |
Trading value |
No of trades |
Nominal trading value |
Trading value |
No of trades |
(PLN M) |
(PLN M) |
(pcs) |
(PLN M) |
(PLN M) |
(pcs) |
(PLN M) |
(PLN M) |
(pcs) |
T-bonds |
965,00 |
981,05 |
77 |
1 040,00 |
1 045,82 |
5 |
2 005,00 |
2 026,88 |
82 |
T-bills |
0,00 |
0,00 |
0 |
0,00 |
0,00 |
0 |
0,00 |
0,00 |
0 |
TOTAL |
965,00 |
981,05 |
77 |
1 040,00 |
1 045,82 |
5 |
2 005,00 |
2 026,88 |
82 |
CASH MARKET SUMMARY - T-BONDS |
Bond |
ISIN |
Best bid/offer |
TRANSACTIONS - Prices |
TURNOVER |
Buy |
Sell |
First |
High |
Low |
Last |
Average *) |
Trading volume |
Trading value |
No of transactions |
(%) |
(%) |
(%) |
(%) |
(%) |
(%) |
(%) |
(pcs) |
(PLN M) |
(pcs) |
OK0112 |
PL0000105730 |
99,75 |
99,77 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
PS0412 |
PL0000104659 |
100,10 |
100,11 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
OK0712 |
PL0000105912 |
97,58 |
97,59 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
OK1012 |
PL0000106100 |
96,47 |
96,47 |
96,47 |
96,47 |
96,47 |
96,47 |
96,47 |
15 000 |
14,47 |
2 |
OK0113 |
PL0000106324 |
95,35 |
95,39 |
95,35 |
95,35 |
95,35 |
95,35 |
95,35 |
10 000 |
9,54 |
1 |
PS0413 |
PL0000105037 |
100,71 |
100,75 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
OK0713 |
PL0000106563 |
93,08 |
93,12 |
93,00 |
93,00 |
93,00 |
93,00 |
93,00 |
10 000 |
9,30 |
1 |
DS1013 |
PL0000102836 |
100,37 |
100,40 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
OK0114 |
PL0000106712 |
90,72 |
90,76 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
PS0414 |
PL0000105433 |
101,84 |
101,85 |
101,83 |
101,88 |
101,83 |
101,88 |
101,86 |
15 000 |
15,88 |
2 |
PS0415 |
PL0000105953 |
101,33 |
101,34 |
101,38 |
101,38 |
101,32 |
101,34 |
101,35 |
30 000 |
31,55 |
4 |
DS1015 |
PL0000103602 |
103,82 |
103,91 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
PS0416 |
PL0000106340 |
99,16 |
99,22 |
99,28 |
99,28 |
99,28 |
99,28 |
99,28 |
10 000 |
10,27 |
1 |
PS1016 |
PL0000106795 |
97,60 |
97,63 |
97,65 |
97,65 |
97,65 |
97,65 |
97,65 |
10 000 |
9,86 |
1 |
DS1017 |
PL0000104543 |
98,97 |
98,90 |
99,12 |
99,12 |
98,90 |
98,90 |
98,99 |
25 000 |
25,00 |
3 |
DS1019 |
PL0000105441 |
98,80 |
98,80 |
98,80 |
98,89 |
98,80 |
98,82 |
98,83 |
50 000 |
49,94 |
6 |
DS1020 |
PL0000106126 |
96,06 |
96,00 |
96,09 |
96,09 |
96,00 |
96,05 |
96,04 |
100 000 |
97,05 |
9 |
DS1021 |
PL0000106670 |
99,10 |
99,00 |
99,00 |
99,00 |
99,00 |
99,00 |
99,00 |
10 000 |
10,01 |
1 |
WS0922 |
PL0000102646 |
99,01 |
98,98 |
99,00 |
99,19 |
98,92 |
98,95 |
98,99 |
70 000 |
70,41 |
7 |
WS0429 |
PL0000105391 |
97,19 |
97,25 |
97,16 |
97,17 |
97,16 |
97,17 |
97,17 |
17 500 |
17,70 |
3 |
WS0437 |
PL0000104857 |
82,00 |
92,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
IZ0816 |
PL0000103529 |
102,25 |
102,29 |
102,20 |
102,35 |
102,13 |
102,35 |
102,26 |
45 000 |
57,14 |
5 |
IZ0823 |
PL0000105359 |
97,22 |
97,15 |
97,15 |
97,22 |
97,15 |
97,15 |
97,19 |
17 500 |
19,09 |
4 |
WZ0115 |
PL0000106480 |
99,53 |
99,51 |
99,52 |
99,54 |
99,52 |
99,54 |
99,53 |
145 000 |
147,37 |
5 |
WZ0118 |
PL0000104717 |
98,31 |
98,30 |
98,20 |
98,37 |
98,20 |
98,25 |
98,30 |
382 500 |
384,04 |
21 |
WZ0121 |
PL0000106068 |
96,25 |
96,29 |
96,20 |
96,20 |
96,20 |
96,20 |
96,20 |
2 500 |
2,46 |
1 |
TOTAL |
965 000 |
981,05 |
77 |
Weighted average by volume
CASH MARKET SUMMARY - T-BILLS |
Bond |
ISIN |
Days to maturity |
Best bid/offer |
TRANSACTIONS - Prices |
TURNOVER1 |
Buy |
Sell |
First |
High |
Low |
Last |
Average *) |
Trading volume |
Trading value |
No of transactions |
YTM (%) |
YTM (%) |
YTM (%) |
YTM (%) |
YTM (%) |
YTM (%) |
YTM (%) |
Clearing price (PLN) |
(pcs) |
(PLN M) |
(pcs) |
01FEB12 |
PL0000006029 |
29 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
29FEB12 |
PL0000006037 |
57 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
28MAR12 |
PL0000006045 |
85 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
30MAY12 |
PL0000006052 |
148 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0,00 |
0 |
0,00 |
0 |
TOTAL |
0 |
0,00 |
0 |
Weighted average by volume
FIXING - T-BONDS (10:05 AM) |
Bond |
ISIN |
Buy |
Sell |
YTM Buy |
YTM Sell |
Fixing |
YTM Fix |
(PLN) |
(PLN) |
(%) |
(%) |
(PLN) |
(%) |
PS0412 |
PL0000104659 |
100,07 |
100,13 |
4,38 |
4,19 |
100,10 |
4,28 |
OK0712 |
PL0000105912 |
97,55 |
97,60 |
4,51 |
4,41 |
97,58 |
4,45 |
OK1012 |
PL0000106100 |
96,44 |
96,49 |
4,56 |
4,50 |
96,47 |
4,52 |
OK0113 |
PL0000106324 |
95,34 |
95,42 |
4,59 |
4,51 |
95,38 |
4,55 |
PS0413 |
PL0000105037 |
100,68 |
100,78 |
4,68 |
4,60 |
100,73 |
4,64 |
OK0713 |
PL0000106563 |
92,98 |
93,15 |
4,78 |
4,66 |
93,07 |
4,71 |
DS1013 |
PL0000102836 |
100,31 |
100,49 |
4,80 |
4,69 |
100,40 |
4,75 |
OK0114 |
PL0000106712 |
90,70 |
90,79 |
4,85 |
4,79 |
90,75 |
4,82 |
PS0414 |
PL0000105433 |
101,80 |
101,91 |
4,89 |
4,84 |
101,86 |
4,86 |
WZ0115 |
PL0000106480 |
99,44 |
99,54 |
--- |
--- |
99,49 |
--- |
PS0415 |
PL0000105953 |
101,27 |
101,48 |
5,06 |
4,99 |
101,38 |
5,03 |
DS1015 |
PL0000103602 |
103,77 |
103,99 |
5,12 |
5,06 |
103,88 |
5,09 |
PS0416 |
PL0000106340 |
99,11 |
99,35 |
5,22 |
5,16 |
99,23 |
5,19 |
IZ0816 |
PL0000103529 |
102,10 |
102,39 |
--- |
--- |
102,25 |
--- |
PS1016 |
PL0000106795 |
97,56 |
97,73 |
5,33 |
5,29 |
97,65 |
5,31 |
DS1017 |
PL0000104543 |
98,93 |
99,20 |
5,46 |
5,40 |
99,07 |
5,43 |
WZ0118 |
PL0000104717 |
98,20 |
98,39 |
--- |
--- |
98,30 |
--- |
DS1019 |
PL0000105441 |
98,76 |
99,08 |
5,69 |
5,64 |
98,92 |
5,67 |
DS1020 |
PL0000106126 |
95,97 |
96,23 |
5,84 |
5,80 |
96,10 |
5,82 |
WZ0121 |
PL0000106068 |
96,08 |
96,36 |
--- |
--- |
96,22 |
--- |
DS1021 |
PL0000106670 |
99,03 |
99,30 |
5,87 |
5,84 |
99,17 |
5,86 |
WS0922 |
PL0000102646 |
98,98 |
99,32 |
5,87 |
5,83 |
99,15 |
5,85 |
IZ0823 |
PL0000105359 |
96,95 |
97,28 |
--- |
--- |
97,12 |
--- |
WS0429 |
PL0000105391 |
97,06 |
97,55 |
6,02 |
5,97 |
97,31 |
6,00 |
FIXING - T-BONDS (4:30 PM) |
Bond |
ISIN |
Buy |
Sell |
YTM Buy |
YTM Sell |
Fixing |
YTM Fix |
(PLN) |
(PLN) |
(%) |
(%) |
(PLN) |
(%) |
PS0412 |
PL0000104659 |
100,09 |
100,13 |
4,31 |
4,19 |
100,11 |
4,25 |
OK0712 |
PL0000105912 |
97,57 |
97,62 |
4,47 |
4,37 |
97,60 |
4,41 |
OK1012 |
PL0000106100 |
96,45 |
96,49 |
4,55 |
4,50 |
96,47 |
4,52 |
OK0113 |
PL0000106324 |
95,34 |
95,42 |
4,59 |
4,51 |
95,38 |
4,55 |
PS0413 |
PL0000105037 |
100,70 |
100,77 |
4,66 |
4,61 |
100,74 |
4,63 |
OK0713 |
PL0000106563 |
93,04 |
93,14 |
4,74 |
4,66 |
93,09 |
4,70 |
DS1013 |
PL0000102836 |
100,35 |
100,45 |
4,78 |
4,72 |
100,40 |
4,75 |
OK0114 |
PL0000106712 |
90,70 |
90,79 |
4,85 |
4,79 |
90,75 |
4,82 |
PS0414 |
PL0000105433 |
101,81 |
101,89 |
4,89 |
4,85 |
101,85 |
4,87 |
WZ0115 |
PL0000106480 |
99,47 |
99,58 |
--- |
--- |
99,53 |
--- |
PS0415 |
PL0000105953 |
101,27 |
101,37 |
5,06 |
5,03 |
101,32 |
5,05 |
DS1015 |
PL0000103602 |
103,72 |
103,95 |
5,14 |
5,07 |
103,84 |
5,10 |
PS0416 |
PL0000106340 |
99,10 |
99,28 |
5,23 |
5,18 |
99,19 |
5,20 |
IZ0816 |
PL0000103529 |
102,05 |
102,42 |
--- |
--- |
102,24 |
--- |
PS1016 |
PL0000106795 |
97,52 |
97,67 |
5,34 |
5,30 |
97,60 |
5,32 |
DS1017 |
PL0000104543 |
98,79 |
98,99 |
5,49 |
5,45 |
98,89 |
5,47 |
WZ0118 |
PL0000104717 |
98,20 |
98,42 |
--- |
--- |
98,31 |
--- |
DS1019 |
PL0000105441 |
98,71 |
98,86 |
5,70 |
5,68 |
98,79 |
5,69 |
DS1020 |
PL0000106126 |
95,93 |
96,08 |
5,85 |
5,82 |
96,01 |
5,83 |
WZ0121 |
PL0000106068 |
96,18 |
96,45 |
--- |
--- |
96,32 |
--- |
DS1021 |
PL0000106670 |
98,86 |
99,04 |
5,90 |
5,87 |
98,95 |
5,89 |
WS0922 |
PL0000102646 |
98,85 |
99,05 |
5,89 |
5,86 |
98,95 |
5,88 |
IZ0823 |
PL0000105359 |
97,02 |
97,31 |
--- |
--- |
97,17 |
--- |
WS0429 |
PL0000105391 |
96,81 |
97,33 |
6,04 |
5,99 |
97,07 |
6,02 |
REPO MARKET |
General Collateral (GC) |
T-Bond |
ISIN |
Duration |
Repo rate |
Nominal trading value |
Name |
Days |
Low |
High |
Average |
(PLN M) |
(%) |
(%) |
(%) |
GCZ |
G.C. Poland |
3/4 |
1 |
4,350 |
4,350 |
4,350 |
460 |
TOTAL |
460 |
Special Repo Trades |
T-Bonds |
T-Bond |
ISIN |
Duration |
Repo rate |
Nominal trading value |
Name |
Days |
Low |
High |
Average |
(PLN M) |
(%) |
(%) |
(%) |
OK0112 |
PL0000105730 |
3/4 |
1 |
4,150 |
4,150 |
4,150 |
80 |
OK0112 |
PL0000105730 |
4/5 |
1 |
4,300 |
4,300 |
4,300 |
280 |
OK0113 |
PL0000106324 |
3/4 |
1 |
4,300 |
4,300 |
4,300 |
190 |
DS1021 |
PL0000106670 |
3/4 |
1 |
4,150 |
4,150 |
4,150 |
30 |
TOTAL |
580 |