Stock market down N557bn on profit-taking in Lafarge, 38 others

The Nigerian stock market declined by N557 billion due to profit-taking in Lafarge and 38 other stocks. This downturn reflects investors securing gains amid market fluctuations.

The Nigerian Exchange (NGX) saw a sharp drop in market value, losing N557 billion on a day marked by widespread profit-taking. Lafarge, a major cement producer, along with 38 other companies, experienced selling pressure as investors locked in recent profits.

This event highlights the volatility in the local equity market, where gains from previous sessions prompted cautious exits. No specific triggers beyond profit-taking were detailed in reports, but it underscores the market's sensitivity to investor sentiment.

Market analysts note that such corrections are common after rallies, helping to stabilize valuations. The overall impact included reduced trading activity in affected stocks, contributing to the net loss.

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The Nigerian stock market has reached a capitalization of N100 trillion, driven by reforms and collaboration. This milestone highlights strong performance in 2025 for the nation's financial markets.

The stock market declined by 0.05% due to profit-taking in UACN and 22 other stocks.

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Building on February's gains that pushed market cap to N113trn, the Nigerian stock market added N1.72 trillion on March 3, 2026, fueled by strong demand for MTN Nigeria and Dangote Cement shares.

Indian stock markets recorded a sharp decline on Monday due to escalating tensions in West Asia. US and Israel strikes on Iran caused crude oil prices to surge, heightening investor caution. Iran has closed the Strait of Hormuz, potentially disrupting global oil supplies.

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Indian equity benchmarks Sensex and Nifty posted their strongest single-day gains in years on Wednesday, driven by a US-Iran ceasefire that eased oil prices and inflation fears. The market capitalization of BSE-listed companies rose by ₹16.1 lakh crore. However, Asian stocks turned cautious as the ceasefire showed signs of fragility.

2026年3月9日,东京股市暴跌,因中东紧张局势升级引发的油价飙升令投资者不安。日经225指数下跌5.2%,收于52,728.72点,盘中一度下跌高达7.6%。在美国-以色列与伊朗冲突中,通胀和经济放缓的担忧加剧。

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周五早盘,日本日经平均股价指数下跌1.1%至56,821.39,追踪华尔街跌势,受美伊地缘政治紧张局势升温影响。科技股对指数拖累沉重,而航空运输板块大幅下跌。投资者在三连休前显得谨慎。

 

 

 

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