Broker Statistics Broker Bonds

Broker Statistics Broker Bonds is designed to provide brokers with an overview of their market position in the bond market.

Changes November 2020

Please note that there will be changes to the Product Broker Statistics Broker Bonds as of 30 November 2020 following the migration of Euronext and Oslo Børs. The last Delivery of the monthly report will be 1 December 2020, where the last trading day of the month 30 November 2020 will not be included. As of this date, the product will be included in the Euronext Membership Service and be replaced by standard statistics reports provided by Euronext. Please contact clientsupport@euronext.com to access these files.

Broker Statistics Broker Bonds

Broker Statistics Broker Bonds provides each broker with details about their trading compared to the other members at Oslo Børs. The other member firms are anonymous in the tables, since this is non-public information.

The Broker Statistics Broker Bonds file contains the following tables:

  • Per broker last month: Market share last month for buy trades, sell trades and total turnover.
  • Per broker year to date: Market share year to date for buy trades, sell trades and total turnover.
  • Per instrument total: Total turnover per listed instrument.
  • Per instrument: Your buy value, sell value, total traded value and your market share for each instrument.
  • Per instrument, trade type: Your buy value, sell value, total traded value and your market share for each instrument and trade type.
  • Per list: Your buy value, sell value, total value and market share per sector.
  • Per day: Your buy value, sell value, total value and market share per trading day last month.
  • Last month Gov bonds: Market share last month for buy trades, sell trades and total turnover for Government bonds traded last month.
  • Year to date Gov bonds: Market share last month for buy trades, sell trades and total turnover for Government bonds traded last year to date.

 

Distribution and Availability

The product consists of two files, one file that includes all trades that have been executed through the Oslo Børs trading system, and one that excludes Repurchases agreements. The files are in xls-format and delivered by means of email or FTP (Get).

The files are distributed monthly during the first trading day the following month.

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