DAR ES SALAAM STOCK EXCHANGE
Market Report
Friday, 03
rd
July 2026
DSE recorded a total turnover of TZS 6,849.91 million from 1,054,103 shares traded in 3,725 deals, TZS 364.95 million from 350,231
ETF shares traded in 311 deals; and TZS 26.85 billion from bonds traded in 36 deals.
On the Block Trade Pre-arranged Market board, NMB counter traded a block of 200,000 shares, while IEACLC-ETF counter traded a
block of 230,000 shares.
On the Normal Board, AFRIPRISE counter had 58,391 shares traded at a weighted average price of TZS 675 per share in 215
deal(s). CRDB counter had 483,051 shares traded at a weighted average price of TZS 2,800 per share in 1932 deal(s). DCB
counter had 17,852 shares traded at a weighted average price of TZS 505 per share in 143 deal(s). DSE counter had 4,180 shares
traded at a weighted average price of TZS 6,310 per share in 43 deal(s). KCB counter had 17,984 shares traded at a weighted average
price of TZS 1,920 per share in 83 deal(s). MBP counter had 1,915 shares traded at a weighted average price of TZS 1,830 per share in
25 deal(s). MCB counter had 5,963 shares traded at a weighted average price of TZS 910 per share in 60 deal(s). MKCB counter had
2,359 shares traded at a weighted average price of TZS 4,310 per share in 28 deal(s). MUCOBA counter had 3,627 shares traded at a
weighted average price of TZS 455 per share in 35 deal(s). NICO counter had 15,401 shares traded at a weighted average price of TZS
3,830 per share in 105 deal(s). NMB counter had 108,045 shares traded at a weighted average price of TZS 16,440 per share in 445
deal(s). NMG counter had 736 shares traded at a weighted average price of TZS 255 per share in 2 deal(s). PAL counter had 16,023
shares traded at a weighted average price of TZS 345 per share in 42 deal(s). SWIS counter had 1,651 shares traded at a weighted
average price of TZS 2,870 per share in 43 deal(s). TBL counter had 2,722 shares traded at a weighted average price of TZS 9,640 per
share in 37 deal(s). TCC counter had 4,755 shares traded at a weighted average price of TZS 12,340 per share in 29 deal(s). TCCL
counter had 23,990 shares traded at a weighted average price of TZS 3,260 per share in 29 deal(s). TOL counter had 4,443 shares
traded at a weighted average price of TZS 1,460 per share in 59 deal(s). TPCC counter had 6,933 shares traded at a weighted average
price of TZS 6,360 per share in 113 deal(s). TTP counter had 563 shares traded at a weighted average price of TZS 490 per share in 18
deal(s). VODA counter had 73,519 shares traded at a weighted average price of TZS 805 per share in 238 deal(s).
On the ETF Board, IEACLC-ETF counter had 33,970 shares traded at a weighted average price of TZS 1,280 per share in 94 deal(s),
while VERTEX-ETF counter had 86,261 shares traded at a weighted average price of TZS 340 per share in 216 deal(s).
On the Government Bonds Board, a 5-year bond with a coupon rate of 13.00% and a face value of TZS 14.40 bln was traded at a price
of 66.4821% in 8 deal(s), a 15-year bond with a coupon rate of 14.50% and a face value of TZS 0.10 bln was traded at a price of
100.0001% in 1 deal(s), a 20-year bond with a coupon rate of 11.00% and a face value of TZS 0.24 bln was traded at a price of
104.8358% in 1 deal(s), a 20-year bond with a coupon rate of 12.00% and a face value of TZS 0.11 bln was traded at a price of
111.0001% in 3 deal(s), a 20-year bond with a coupon rate of 12.10% and a face value of TZS 7.50 bln was traded at a price of
118.1075% in 1 deal(s), a 20-year bond with a coupon rate of 14.00% and a face value of TZS 0.03 bln was traded at a price of
126.5000% in 1 deal(s), a 20-year bond with a coupon rate of 15.49% and a face value of TZS 0.07 bln was traded at prices of
124.9997%, 125.0000%, 125.0001% and 130.0000% in 5 deal(s), a 25-year bond with a coupon rate of 13.25% and a face value of
TZS 0.72 bln was traded at prices of 115.8540%, 118.1189%, 119.0000%, 121.0000% and 122.3574% in 9 deal(s), a 25-year bond
with a coupon rate of 13.75% and a face value of TZS 0.08 bln was traded at a price of 110.5098% in 1 deal(s), a 25-year bond with a
coupon rate of 15.00% and a face value of TZS 2.10 bln was traded at a price of 105.5372% in 1 deal(s), while a 25-year bond with a
coupon rate of 15.95% and a face value of TZS 1.50 bln was traded at prices of 132.7329%, 141.0000% and 142.0000% in 3 deal(s).
On the Corporate Bonds Board, a 5-year bond with a coupon rate of 12.00% and a face value of TZS 1.50 mln was traded at a price of
100.0000% in 2 deal(s).
Equities Market Turnover (in million TZS)
03 Jul 26
Jul -Sep 26
Apr -Jun 26
Jul -Sep 25
Total Turnover
6,849.91
17,807.71
496,795.38
248,636.49
Turnover from Shares Bought by
12.08
600.91
7,564.15
49,034.28
Foreign Investors:
%Buying Local Investors
99.82
96.63
98.48
80.28
%Buying Foreign Investors
0.18
3.37
1.52
19.72
Turnover from Shares Sold by
1,258.45
2,029.89
188,126.36
114,911.38
Foreign Investors:
%Selling Local Investors
81.63
88.60
62.13
53.78
%Selling Foreign Investors
18.37
11.40
37.87
46.22
ETF Market Turnover (in million TZS)
03 Jul 26
Jul -Sep 26
Apr -Jun 26
Jul -Sep 25
Total Turnover
364.95
1,262.14
11,840.28
Turnover from Shares Bought by
0.00
2.89
1,638.79
Foreign Investors:
%Buying Local Investors
100.00
99.77
86.16
%Buying Foreign Investors
0.00
0.23
13.84
Turnover from Shares Sold by
0.00
388.98
100.58
Foreign Investors:
%Selling Local Investors
100.00
69.18
99.15
%Selling Foreign Investors
0.00
30.82
0.85
Value of Government Bonds Traded (in billions TZS)
03 Jul 26
Apr - Jun 26
Jul - Sep 25
Face Value
Transaction Value
26.85
24.27
1,467.41
1,768.94
1,525.24
1,614.67
Value of Corporate Bonds Traded (in Million USD)
03 Jul 26
Apr - Jun 26
Jul - Sep 25
Face Value
Transaction Value
0
0
0.42
0.42
0
0
Value of Corporate Bonds Traded (in Million TZS)
03 Jul 26
Apr - Jun 26
Jul - Sep 25
Face Value
Transaction Value
1.50
1.50
5,077.80
4,950.16
2,299.10
2,193.11
Key Market Indicators:
03 Jul 26
30 Jun 26
31 Jul 25
Total Market Capitalisation (TZS bln)
35,765.53
35,175.40
20,997.44
Domestic Market Capitalisation (TZS bln)
24,339.45
23,744.32
13,694.24
ETF Market Capitalisation (TZS bln)
190.48
178.38
0
Outstanding Government Bonds (TZS bln)
32,008.82
32,985.60
27,171.33
Outstanding Corporate Bonds (TZS bln)
369.43
349.52
122.36
Outstanding Sustainable Bonds (TZS bln)
531.39
531.39
459.04
Outstanding Sustainable Bonds (USD mln)
73.00
73.00
73.00
Outstanding Sub-national Bonds (TZS bln)
53.12
53.12
53.12
Outstanding Sukuk Bonds (TZS bln)
320.74
290.5
394.22
Outstanding Sukuk Bonds (USD mln)
113.05
113.05
0
Outstanding Infrastructure Bonds (TZS bln)
323.09
323.09
323.09
All Share Index (DSEI)
4,116.73
4,048.80
2,449.58
Tanzania Share Index (TSI)
8,997.09
8,777.10
5,172.98
Industrial & Allied (IA)
4,943.15
4,957.64
4,758.62
Banks, Finance & Investment (BI)
20,389.16
19,676.07
8,635.79
Commercial Services (CS)
2,323.83
2,275.41
1,555.92
Exchange Rate:
03 Jul 26
30 Jun 26
31 Jul 25
TZS/USD (BOT Mean Rate)
2,629.50
2,623.52
2,545.79
TZS/KE (BOT Mean Rate)
20.32
20.24
19.67
TZS/GBP (BOT Mean Rate)
3,518.01
3,474.59
3,387.18
S. MREMA
For: CHIEF EXECUTIVE OFFICER
Dar es Salaam Stock Exchange
Box 70081,
2nd Floor, Exchange Tower, NHC Morocco Square, Dar es Salaam
Division: Equity & Fixed Income Markets
Web: www.dse.co.tz
Fax: +255 22 2133849
Tel: 255 22 2123983
Email: info@dse.co.tz
EQUITY DAILY PRICES
DATE: 03-July-2026
Co.
Opening Price
(TZS)
Closing Price
(TZS)
High
(TZS)
Low
(TZS)
Turnover
(TZS)
Deals
Volume
Market Cap (TZS)
Billions
Outstanding
Bids
Outstanding
Offers
AFRIPRISE
650
675
730
650
39,349,965
215
58,391
98.57
13,721
121,231
CRDB
2,760
2,800
2,840
2,760
1,350,681,140
1,932
483,051
7,313.15
165,486
261,270
DCB
505
505
510
500
9,015,280
143
17,852
96.75
4,105
41,258
DSE
6,270
6,310
6,350
6,250
26,372,510
43
4,180
150.33
5,038
6,700
EABL
5,470
5,510
0
0
0
0
0
4,357.17
0
0
JATU
265
265
0
0
0
0
0
5.28
0
0
JHL
8,650
8,650
0
0
0
0
0
626.89
0
0
KA
120
120
0
0
0
0
0
681.77
2,091
0
KCB
1,930
1,920
1,930
1,910
34,547,320
83
17,984
5,703.05
5,902
70,469
MBP
1,970
1,830
1,940
1,800
3,536,600
25
1,915
54.88
1,132
3,839
MCB
885
910
990
880
5,413,500
60
5,963
56.26
2,577
11,538
MKCB
4,320
4,310
4,400
4,250
10,162,040
28
2,359
101.52
2,811
4,648
MUCOBA
490
455
490
455
1,657,445
35
3,627
14.86
979
20,336
NICO
3,630
3,830
4,000
3,650
58,821,330
105
15,401
236.10
22,497
20,473
Co.
Opening Price
(TZS)
Closing Price
(TZS)
High
(TZS)
Low
(TZS)
Turnover
(TZS)
Deals
Volume
Market Cap (TZS)
Billions
Outstanding
Bids
Outstanding
Offers
NMB
16,350
16,440
16,450
16,400
5,026,619,680
446
308,045
8,220.00
16,520
2,820
NMG
260
255
260
260
191,360
2
736
48.08
278
0
PAL
330
345
355
325
5,539,005
42
16,023
55.36
12,083
0
SWALA
450
450
0
0
0
0
0
47.79
0
0
SWIS
2,700
2,870
3,000
2,720
4,732,960
43
1,651
103.32
463
3,821
TBL
9,620
9,640
9,710
9,590
26,232,690
37
2,722
2,844.34
487
0
TCC
12,340
12,340
12,430
12,300
58,694,630
29
4,755
1,234.00
261
3,111
TCCL
3,020
3,260
3,290
3,000
78,279,350
29
23,990
622.70
24,814
23,203
TOL
1,450
1,460
1,470
1,440
6,475,820
59
4,443
83.96
1,762
12,879
TPCC
6,440
6,360
6,400
6,320
44,084,180
113
6,933
1,144.31
185
9,436
TTP
500
490
500
480
278,990
18
563
46.58
1,306
1,380
USL
25
25
0
0
0
0
0
9.12
60
0
VODA
795
805
830
790
59,222,415
238
73,519
1,803.20
6,977
17,011
YETU
510
510
0
0
0
0
0
6.18
0
0
Total
6,849,908,210
3,725
1,054,103
35,765.53
Dar es Salaam Stock Exchange
Box 70081,
2nd Floor, Exchange Tower, NHC Morocco Square, Dar es Salaam
Division: Equity & Fixed Income Markets
Web: www.dse.co.tz
Fax: +255 22 2133849
Tel: 255 22 2123983
Email: info@dse.co.tz
ETF DAILY PRICES
DATE: 03-July-2026
Co.
Opening Price
(TZS)
Closing Price
(TZS)
High
(TZS)
Low
(TZS)
Turnover
(TZS)
Deals
Volume
Market Cap (TZS)
Billions
Outstanding
Bids
Outstanding
Offers
IEACLC-ETF
1,270
1,280
1,290
1,270
335,566,970
95
263,970
172.12
51,192
77,220
VERTEX-ETF
335
340
350
335
29,384,730
216
86,261
18.36
10,874
13,162
Total
364,951,700
311
350,231
190.48
Dar Es Salaam Stock Exchange
Box 70081,
2nd Floor, Exchange Tower, NHC Morocco Square, Dar es Salaam
Division:Equity & Fixed Income Markets
Web: www.dse.co.tz
Fax: +255 22 2133849
Tel: 255 22 2123983
Email: info@dse.co.tz
Daily Price Information
Bond No.
Term
(Years)
Coupon
(%)
Issue Date
Maturity Date
Deals
Trade Date
Amount
(Bln TZS)
Price (%)
Yield
Clean Price
498 20 15.49 21/02/2019 21/02/2039 103/07/2026 0.01910 125.0001 12.4148 119.2709
513 20 15.49 01/08/2019 01/08/2039 103/07/2026 0.01010 125.0000 12.5747 118.4221
517 20 15.49 26/09/2019 26/09/2039 103/07/2026 0.02790 124.9997 12.2668 120.6710
549 20 15.49 04/11/2020 05/11/2040 103/07/2026 0.00500 130.0000 11.5196 127.4113
549 20 15.49 04/11/2020 05/11/2040 103/07/2026 0.00500 130.0000 11.5196 127.4113
561 25 15.95 22/04/2021 22/04/2046 103/07/2026 0.50000 142.0000 10.9043 138.7226
561 25 15.95 22/04/2021 22/04/2046 103/07/2026 0.50000 132.7329 11.8409 129.4555
561 25 15.95 22/04/2021 22/04/2046 103/07/2026 0.50000 141.0000 11.0003 137.7226
576 20 12.10 14/04/2022 14/04/2042 103/07/2026 7.50000 118.1075 10.1174 115.3560
670 15 14.50 27/02/2025 24/02/2040 103/07/2026 0.10000 100.0001 15.3971 94.8754
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 0.40000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
671 5 13.00 19/03/2025 20/03/2030 103/07/2026 2.00000 66.4821 31.8628 62.5999
675 25 15.00 07/08/2025 07/08/2050 103/07/2026 2.10000 105.5372 15.0792 99.4139
678 20 14.00 04/09/2025 04/09/2045 103/07/2026 0.03000 126.5000 11.2007 121.7438
686 25 13.75 25/09/2025 25/09/2050 103/07/2026 0.08280 110.5098 12.8338 106.6297
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.02800 115.8540 11.1688 110.3725
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.15000 121.0000 10.5481 115.5185
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.09400 122.3574 10.3921 116.8759
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.07000 115.8540 11.1688 110.3725
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.03000 115.8540 11.1688 110.3725
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.07000 115.8540 11.1688 110.3725
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.02600 119.0000 10.7837 113.5185
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.11200 118.1189 10.8898 112.6374
695 25 13.25 05/02/2026 05/02/2051 103/07/2026 0.14000 115.8540 11.1688 110.3725
698 20 12.00 19/03/2026 19/03/2046 103/07/2026 0.06000 111.0001 11.1604 107.4165
698 20 12.00 19/03/2026 19/03/2046 103/07/2026 0.02730 111.0001 11.1604 107.4165
Bond No.
Term
(Years)
Coupon
(%)
Issue Date
Maturity Date
Deals
Trade Date
Amount
(Bln TZS)
Price (%)
Yield
Clean Price
698 20 12.00 19/03/2026 19/03/2046 103/07/2026 0.02700 111.0001 11.1604 107.4165
702 20 11.00 29/05/2026 29/05/2046 103/07/2026 0.23700 104.8358 10.6282 103.6906
SAMIA-25/30.T1 5 12.00 10/02/2025 10/02/2030 103/07/2026 0.00100 100.0000 12.6201 101.6400
SAMIA-25/30.T1 5 12.00 10/02/2025 10/02/2030 103/07/2026 0.00050 100.0000 12.6201 101.6400
26.85270
36
Total