| 2018.09.12 |
09/10(月)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
09/07 |
Without change |
| 2018.09.11 |
09/10(月)
|
モルガン・スタンレーMUFG証券株式会社
|
0.50% |
0 % |
53,051 |
|
07/30 |
再イン |
| 2018.09.11 |
09/07(金)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
09/06 |
Without change |
| 2018.09.10 |
09/06(木)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
09/05 |
Without change |
| 2018.09.07 |
09/05(水)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
09/04 |
Without change |
| 2018.09.06 |
09/04(火)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
09/03 |
Without change |
| 2018.09.05 |
09/03(月)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/31 |
Without change |
| 2018.09.05 |
09/03(月)
|
Nomura International plc
|
0.66% |
+0.14 % |
69,400 |
14,400 |
08/29 |
|
| 2018.09.04 |
08/31(金)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/30 |
Without change |
| 2018.09.03 |
08/30(木)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/29 |
Without change |
| 2018.09.03 |
08/30(木)
|
JPM Securities Japan Co Ltd.
|
0.66% |
-0.11 % |
69,703 |
-11,700 |
08/27 |
|
| 2018.08.31 |
08/29(水)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/28 |
Without change |
| 2018.08.31 |
08/29(水)
|
Deutsche Bank Aktiengesellschaft, London ドイツ銀行ロンドン支店
|
0.68% |
-0.10 % |
71,900 |
-11,000 |
08/24 |
|
| 2018.08.31 |
08/29(水)
|
Nomura International plc
|
0.52% |
-0.08 % |
55,000 |
-8,500 |
08/28 |
|
| 2018.08.30 |
08/28(火)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/27 |
Without change |
| 2018.08.30 |
08/28(火)
|
Nomura International plc
|
0.60% |
+0.08 % |
63,500 |
8,700 |
08/27 |
|
| 2018.08.29 |
08/27(月)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/24 |
Without change |
| 2018.08.29 |
08/27(月)
|
Nomura International plc
|
0.52% |
0 % |
54,800 |
|
08/23 |
再イン |
| 2018.08.29 |
08/27(月)
|
JPM Securities Japan Co Ltd.
|
0.77% |
-0.11 % |
81,403 |
-11,200 |
08/23 |
|
| 2018.08.28 |
08/24(金)
|
OXAM QUANT FUND LIMITED
|
0.76% |
0 % |
79,800 |
--- |
08/23 |
Without change |