Monthly reports - shares


1. Securities of 30.09.2015 year*

Type of securities Number of active ISIN's Issued amount Nominal capital (MKD) Market value (MKD)
Shares

593.00

390256580.00

231177834553.07

240500406967.86

2. Structure of holders by type of sucurities 30.09.2015 year*

Investor Shares (MKD) Total (%)
Domestic natural persons

35277422699.30

14.6683422054

Domestic legal entities

120041546396.30

49.9132404432

Foreign natural persons

1864654598.07

0.7753228452

Foreign legal entities

83316783273.07

34.6430945061

Market value according to the structure of the holders of securities

3. Structure of holders of 30.09.2015 year*

Investor Shares
Domestic natural persons

79911.00

Domestic legal entities

1847.00

Foreign natural persons

1249.00

Foreign legal entities

203.00

4. Structure of securities accounts of

30.09.2015 year*
Type of account Market value (MKD) Market value (%) Number of accounts Number of accounts (%)
Owner's

218044170576.87

90.66

79313.00

92.83

Representative

67061211.87

0.03

5.00

0.01

Custody

3583606263.64

1.49

56.00

0.07

Portfolio

43473836.94

0.02

50.00

0.06

Other accounts

18762095078.54

7.80

6016.00

7.04

Market value according types of accounts

5. Settled trade transactions 09.2015 year*

Market Value (MKD) Quantity Number of transactions
MSE

177998336.00

545892.00

918.00

OTC

95749461.00

9400.00

4.00

6. Corporate actions 09.2015 year*

Active JSC Active ISIN numbers (shares) Newly registered companies Newly issued ISIN numbers (shares) Block/deleted companies

518.00

593.00

2.00

2.00

1.00

*Remark:

The following methodology has been used to calculate the market value of securities: For securities that have not been traded during the month, calculation is based on their nominal value. For securities that traded on MSE during the month, the official daily average price of the last day of trading in such security is applied. If on the last trading day of the month a security is not traded, the official daily average realized price on the last day in the month when it was traded is applied.