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BONDS RESULTS
Code MaturityDate Offer IssueRate Yield
FGN-BND-S7 26-May-2013 10,000,000,000.00 15% 22.058824%
FGN-BND-S5 26-May-2011 10,000,000,000.00 12% 17.647059%
FGN-BND-S3 28-Apr-2009 10,000,000,000.00 12% 17.647059%
 
MARKET HIGHLIGHTS
NSE CAPITAL
N 620.72(10b)
5.44%cap rise in percent
01-Jul-2009
NSE INDEX
272.18('00)
5.44%index rise in percent
01-Jul-2009
90DAY-NIFEX
N 155.67/US$
0.17%fixingoffer fall in percent
30-Jun-2009
90DAY-NIBOR
18.00%
1.21%nibor90 fall in percent
14-Apr-2009

Stock Prices and Movement at the close of 01-Jul-2009

CAP..(Trillion)
PRIMARY BIDRATE(%)
90DAY-NIBOR(%)

ECONOMIC INDICATORS:::  INFLATION 7.8% as at 31-Mar-2008;  CPI 171.6% as at 31-Mar-2008;  GDP 6.9 as at 31-Dec-2005;  MPR 10% as at 29-Nov-2007

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MONEY MARKET SUMMARY
PRIMARY AUCTION
Date29/11/2007
Tenor91
On offer (Nm) 5,000.00
Pub. Subscription(Nm) 7,155.19
Total Allotment(Nm) 5,000.00
Bid Rate(%) 6.45- 7.44
True Yield(%) 7.58
MPR10.00
OMO AUCTION
Date30/11/2007
Tenor167
Maturity date15/05/2008
Total Bids(Nm)275,000.00
Total Sold(Nm)150,000.00
Bid Rate(%) 0.00- 0.00
True Yield(%) 7.67
NIBOR-(14/04/2009)
TenorRate(%)
715.0833
3017.875
6018.125
9018

Nigerian Interbank Foreign Exchange Fixing (NIFEX) - 30/06/2009
Spot Fixing
Bid N/$Offer N/$
147.7525147.8525
TenorSwap PointsForwardFixings offer
302.6041/2.6058150.3566150.4583
605.2068/5.2103152.9593153.0628
907.8082/7.8135155.5607155.666
18015.6046/15.6151163.3571163.4676

Nigeria's Debt Instrument
Promissory Notes
dateBid(cent)Offer(cent)Coupon (rate%)Maturity Date
09/07/200435.25 36.5815/11/2010
Par Bond
09/07/200486.5 88505/01/2020

Forex
DAS
Auctiondate17/06/2009
On Offer(US$m) 150.00
Amount Sold(US$m) 133.99
Parallel
Valuedate19/06/2009
CurrencyNaira
EURO204.35
USD146.70

Economic Review
Market compare
90-Day NiborAllShareIndex
Economic Indicators
Inflation Rate-over 6 months
Inflation Rate-over 6 months

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