2023.02.07 |
02/03(金)
|
GOLDMAN SACHS INTERNATIONAL
|
2.06% |
+0.15 % |
333,796 |
24,300 |
02/02 |
|
2023.02.06 |
02/02(木)
|
Nomura International plc
|
0.33% |
-0.34 % |
54,000 |
-55,300 |
02/01 |
報告義務消失 |
2023.02.06 |
02/02(木)
|
Citigroup Global Markets Limited
|
1.03% |
+0.11 % |
166,567 |
18,500 |
01/30 |
|
2023.02.06 |
02/02(木)
|
GOLDMAN SACHS INTERNATIONAL
|
1.91% |
+0.23 % |
309,496 |
37,573 |
02/01 |
|
2023.02.03 |
02/02(木)
|
Morgan Stanley & Co. International plc
|
0.04% |
-0.40 % |
7,400 |
-73,900 |
02/01 |
報告義務消失 |
2023.02.03 |
02/01(水)
|
GOLDMAN SACHS INTERNATIONAL
|
1.68% |
-0.02 % |
271,923 |
-3,400 |
01/31 |
|
2023.02.03 |
02/01(水)
|
Morgan Stanley & Co. International plc
|
0.50% |
0 % |
81,300 |
|
|
新規 |
2023.02.03 |
02/01(水)
|
Nomura International plc
|
0.67% |
+0.09 % |
109,300 |
15,300 |
01/27 |
|
2023.02.02 |
01/31(火)
|
GOLDMAN SACHS INTERNATIONAL
|
1.70% |
+0.12 % |
275,323 |
19,900 |
01/27 |
|
2023.02.01 |
01/30(月)
|
Barclays Capital Securities Ltd
|
0.49% |
-0.07 % |
80,500 |
-11,900 |
01/17 |
報告義務消失 |
2023.02.01 |
01/30(月)
|
Citigroup Global Markets Limited
|
0.91% |
+0.09 % |
148,067 |
15,100 |
01/23 |
|
2023.01.31 |
01/27(金)
|
Nomura International plc
|
0.58% |
0 % |
94,000 |
|
01/24 |
再イン |
2023.01.31 |
01/27(金)
|
GOLDMAN SACHS INTERNATIONAL
|
1.58% |
-0.08 % |
255,423 |
-13,600 |
01/24 |
|
2023.01.26 |
01/24(火)
|
GOLDMAN SACHS INTERNATIONAL
|
1.66% |
+0.08 % |
269,023 |
13,300 |
01/23 |
|
2023.01.25 |
01/23(月)
|
Citigroup Global Markets Limited
|
0.82% |
+0.11 % |
132,967 |
17,500 |
01/20 |
|
2023.01.25 |
01/23(月)
|
GOLDMAN SACHS INTERNATIONAL
|
1.58% |
-0.10 % |
255,723 |
-16,346 |
01/18 |
|
2023.01.24 |
01/20(金)
|
Citigroup Global Markets Limited
|
0.71% |
+0.02 % |
115,467 |
3,900 |
01/17 |
|
2023.01.20 |
01/18(水)
|
GOLDMAN SACHS INTERNATIONAL
|
1.68% |
-0.05 % |
272,069 |
-8,892 |
01/17 |
|
2023.01.19 |
01/17(火)
|
Barclays Capital Securities Ltd
|
0.57% |
-0.04 % |
92,400 |
-5,700 |
01/11 |
|
2023.01.19 |
01/17(火)
|
Citigroup Global Markets Limited
|
0.69% |
-0.11 % |
111,567 |
-17,000 |
01/11 |
|