| 2018.01.25 |
01/24(水)
|
OXAM QUANT FUND LIMITED
|
0.93% |
0 % |
346,000 |
--- |
01/23 |
Without change |
| 2018.01.24 |
01/23(火)
|
OXAM QUANT FUND LIMITED
|
0.93% |
0 % |
346,000 |
--- |
01/22 |
Without change |
| 2018.01.24 |
01/23(火)
|
JPM Securities Japan Co Ltd.
|
2.76% |
-0.14 % |
1,033,000 |
-52,000 |
01/22 |
|
| 2018.01.24 |
01/22(月)
|
JPM Securities Japan Co Ltd.
|
2.90% |
+0.40 % |
1,085,000 |
150,000 |
01/19 |
|
| 2018.01.23 |
01/22(月)
|
OXAM QUANT FUND LIMITED
|
0.93% |
0 % |
346,000 |
--- |
01/19 |
Without change |
| 2018.01.23 |
01/19(金)
|
JPM Securities Japan Co Ltd.
|
2.50% |
-0.27 % |
935,000 |
-100,000 |
01/16 |
|
| 2018.01.22 |
01/19(金)
|
OXAM QUANT FUND LIMITED
|
0.93% |
0 % |
346,000 |
--- |
01/18 |
Without change |
| 2018.01.22 |
01/18(木)
|
Credit Suisse Securities (Europe) Limited
|
1.23% |
+0.10 % |
462,135 |
37,000 |
01/17 |
|
| 2018.01.22 |
01/18(木)
|
GOLDMAN SACHS INTERNATIONAL
|
0.58% |
-0.05 % |
220,000 |
-18,000 |
01/05 |
|
| 2018.01.19 |
01/18(木)
|
OXAM QUANT FUND LIMITED
|
0.93% |
-- |
346,000 |
1,000 |
01/17 |
|
| 2018.01.19 |
01/17(水)
|
Credit Suisse Securities (Europe) Limited
|
1.13% |
-0.01 % |
425,135 |
-5,095 |
01/16 |
新規 |
| 2018.01.18 |
01/17(水)
|
OXAM QUANT FUND LIMITED
|
0.92% |
-- |
345,000 |
1,000 |
01/16 |
|
| 2018.01.18 |
01/16(火)
|
JPM Securities Japan Co Ltd.
|
2.76% |
-0.19 % |
1,035,000 |
-73,000 |
01/15 |
|
| 2018.01.17 |
01/16(火)
|
OXAM QUANT FUND LIMITED
|
0.92% |
-- |
344,000 |
1,000 |
01/15 |
|
| 2018.01.17 |
01/15(月)
|
JPM Securities Japan Co Ltd.
|
2.96% |
-0.13 % |
1,108,000 |
-48,000 |
01/12 |
|
| 2018.01.16 |
01/15(月)
|
OXAM QUANT FUND LIMITED
|
0.92% |
-- |
343,000 |
1,000 |
01/12 |
|
| 2018.01.16 |
01/12(金)
|
JPM Securities Japan Co Ltd.
|
3.09% |
-0.01 % |
1,156,000 |
-5,000 |
12/19 |
|
| 2018.01.15 |
01/12(金)
|
OXAM QUANT FUND LIMITED
|
0.91% |
-- |
342,000 |
1,000 |
01/11 |
|
| 2018.01.12 |
01/11(木)
|
OXAM QUANT FUND LIMITED
|
0.91% |
-- |
341,000 |
1,000 |
01/10 |
|
| 2018.01.11 |
01/10(水)
|
OXAM QUANT FUND LIMITED
|
0.91% |
-- |
340,000 |
1,000 |
01/09 |
|