| 2018.05.01 |
04/27(金)
|
OXAM QUANT FUND LIMITED
|
0.80% |
0 % |
35,700 |
--- |
04/26 |
Without change |
| 2018.05.01 |
04/26(木)
|
OXAM QUANT FUND LIMITED
|
0.80% |
0 % |
35,700 |
--- |
04/25 |
Without change |
| 2018.04.27 |
04/25(水)
|
OXAM QUANT FUND LIMITED
|
0.80% |
-0.02 % |
35,700 |
-800 |
04/24 |
|
| 2018.04.26 |
04/24(火)
|
OXAM QUANT FUND LIMITED
|
0.82% |
-- |
36,500 |
-100 |
04/23 |
|
| 2018.04.26 |
04/24(火)
|
JPM Securities Japan Co Ltd.
|
2.79% |
-0.03 % |
124,600 |
-1,200 |
04/23 |
|
| 2018.04.25 |
04/23(月)
|
OXAM QUANT FUND LIMITED
|
0.82% |
-- |
36,600 |
-100 |
04/20 |
|
| 2018.04.25 |
04/23(月)
|
Credit Suisse Securities (Europe) Limited
|
0.98% |
-0.03 % |
43,900 |
-1,400 |
04/20 |
|
| 2018.04.25 |
04/23(月)
|
JPM Securities Japan Co Ltd.
|
2.82% |
-0.13 % |
125,800 |
-5,600 |
04/20 |
|
| 2018.04.24 |
04/20(金)
|
OXAM QUANT FUND LIMITED
|
0.82% |
-- |
36,700 |
-200 |
04/19 |
|
| 2018.04.24 |
04/20(金)
|
Credit Suisse Securities (Europe) Limited
|
1.01% |
+0.02 % |
45,300 |
900 |
04/19 |
|
| 2018.04.24 |
04/20(金)
|
JPM Securities Japan Co Ltd.
|
2.94% |
-0.06 % |
131,400 |
-2,500 |
04/16 |
|
| 2018.04.23 |
04/19(木)
|
OXAM QUANT FUND LIMITED
|
0.83% |
-0.02 % |
36,900 |
-800 |
04/18 |
|
| 2018.04.23 |
04/19(木)
|
Credit Suisse Securities (Europe) Limited
|
0.99% |
-0.01 % |
44,400 |
-300 |
04/18 |
|
| 2018.04.20 |
04/18(水)
|
OXAM QUANT FUND LIMITED
|
0.85% |
-0.02 % |
37,700 |
-800 |
04/17 |
|
| 2018.04.20 |
04/18(水)
|
Credit Suisse Securities (Europe) Limited
|
1.00% |
+0.06 % |
44,700 |
2,500 |
04/17 |
|
| 2018.04.19 |
04/17(火)
|
Credit Suisse Securities (Europe) Limited
|
0.94% |
+0.19 % |
42,200 |
8,400 |
04/13 |
|
| 2018.04.19 |
04/17(火)
|
OXAM QUANT FUND LIMITED
|
0.86% |
-0.01 % |
38,500 |
-600 |
04/16 |
|
| 2018.04.18 |
04/16(月)
|
OXAM QUANT FUND LIMITED
|
0.88% |
-- |
39,100 |
-100 |
04/13 |
|
| 2018.04.18 |
04/16(月)
|
JPM Securities Japan Co Ltd.
|
3.00% |
+0.14 % |
133,900 |
6,200 |
04/12 |
|
| 2018.04.17 |
04/13(金)
|
Credit Suisse Securities (Europe) Limited
|
0.75% |
-0.11 % |
33,800 |
-5,000 |
04/12 |
|