一般信用買残高 一般信用差引残高 機関空売り合計
547,600 (4.46%) 546,700 (4.45%) 254,100 (2.06 %)
公開日 計算日 空売り企業・個人名 残高割合 増減率 残高数量 増減量 前回計算日 備考
2024.04.02 03/29(金) UBS AG 0.61% +0.08 % 36,800 4,600 03/27
2024.03.29 03/27(水) UBS AG 0.53% 0 % 32,200 03/26 再イン
2024.03.26 03/22(金) Nomura Asset Management Singapore Limited (Global Funds T... 1.48% -0.11 % 89,700 -6,400 03/08
2024.03.21 03/18(月) GOLDMAN SACHS INTERNATIONAL 0.51% 0 % 30,886 03/13 再イン
2024.03.12 03/08(金) Nomura Asset Management Singapore Limited (Global Funds T... 1.59% -0.06 % 96,100 -3,600 03/04
2024.03.12 03/08(金) XTX Markets Pte Ltd 0.49% -0.03 % 29,800 -1,900 03/01 報告義務消失
2024.03.06 03/04(月) Nomura Asset Management Singapore Limited (Global Funds T... 1.65% -0.09 % 99,700 -5,300 02/29
2024.03.05 03/01(金) XTX Markets Pte Ltd 0.52% 0 % 31,700 02/28 再イン
2024.03.04 02/29(木) Nomura Asset Management Singapore Limited (Global Funds T... 1.74% -0.15 % 105,000 -9,000 02/21
2024.02.27 02/22(木) XTX Markets Pte Ltd 0.46% -0.04 % 28,000 -2,500 02/21 報告義務消失
2024.02.26 02/21(水) Nomura Asset Management Singapore Limited (Global Funds T... 1.89% -0.08 % 114,000 -5,000 01/30
2024.02.26 02/21(水) XTX Markets Pte Ltd 0.50% 0 % 30,500 02/02 新規
2024.02.01 01/30(火) Nomura Asset Management Singapore Limited (Global Funds T... 1.97% -0.09 % 119,000 -5,200 01/26
2024.01.30 01/26(金) Nomura Asset Management Singapore Limited (Global Funds T... 2.06% -0.13 % 124,200 -7,800 01/16
2024.01.18 01/16(火) Nomura Asset Management Singapore Limited (Global Funds T... 2.19% -0.10 % 132,000 -6,100 01/12
2024.01.16 01/12(金) Nomura Asset Management Singapore Limited (Global Funds T... 2.29% -0.03 % 138,100 -1,800 12/19
2023.12.21 12/19(火) Nomura Asset Management Singapore Limited (Global Funds T... 2.32% +0.07 % 139,900 4,100 11/28
2023.11.30 11/28(火) Nomura Asset Management Singapore Limited (Global Funds T... 2.25% +0.13 % 135,800 8,000 11/14
2023.11.16 11/14(火) Nomura Asset Management Singapore Limited (Global Funds T... 2.12% +0.08 % 127,800 4,600 11/07
2023.11.09 11/07(火) Nomura Asset Management Singapore Limited (Global Funds T... 2.04% +0.08 % 123,200 4,600 11/02