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At the close of the market today, the Equity Market ended trading session with an aggregate of 26,763.24 to capture a further loss of 0.40% (compared to 26,871.24 and 0.17% loss recorded last week Wednesday).

Diagnosis: Today’s All Share Index’s loss of 0.40% was as a result of relatively greater losses arising from bearish sentiments in Industrial, Consumer Goods, Banking and Insurance stocks. Furthermore, losses were recorded in Non-financial services, Oil & Gas, Health Care,  and Conglomerates/Real Estate Stocks.

Nevertheless, equity investors executed a number of profitable positions in Construction/Real Estate, Consumer Goods, Consumer, Banking, Health Care, Industrial and Non-financial services stocks.

The market breadth (No of Gainers/No of Losers) significantly declined compared to last week Wednesday (0.79x vs 1.57x) as bearish activities dominated bullish activities: 23 Gainers were recorded against 29 Losers on the trading chart.

The top 5 Gainers were FO (+28.35), MOBIL (+7.00), TOTAL (+2.01), JBERGER (+1.32) and CCNN (+0.84). The top 5 Losers were NESTLE (-9.02), WAPCO (-4.30), UNILEVER (-2.35), GUINNESS (-2.10) and GLAXOSMITH (-1.75).

5 most actively traded stocks were GUARANTY, ZENITH, FBNH, UBA and TRANSCORP.

In terms of VOLUME, STERLING, WEMA, EQUITYASUR, AIICO and DIAMONDBNAK topped the list of equities on the trading chart.

ETERNA, FORTE , MOBIL and TOTAL led the Oil & Gas index to a gain of 5.18%.

DANGCEM and WAPCO led the Industrial index to a loss of 2.03%.

CHAMPION, GUINNESS, NB, DANGSUGAR, HONEYWELL, NESTLE, PZ and UNILEVER led the Consumer Goods index to a loss of 1.28%.

DIAMOND, ETI, GUARANTY, STERLING, UBA and FBNH led the Banking index to a loss of 0.95%.

MANSARD and CUSTODYINS led the Insurance index to a loss of 0.11%.

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