| 2021.10.18 |
10/14(木)
|
Nomura International plc
|
0.88% |
+0.13 % |
328,800 |
48,300 |
10/12 |
|
| 2021.10.15 |
10/14(木)
|
モルガン・スタンレーMUFG証券株式会社
|
0.78% |
-0.26 % |
294,513 |
-97,500 |
10/13 |
|
| 2021.10.15 |
10/13(水)
|
JPM Securities Japan Co Ltd.
|
0.75% |
+0.13 % |
280,274 |
48,600 |
10/12 |
|
| 2021.10.15 |
10/13(水)
|
MERRILL LYNCH INTERNATIONAL
|
0.80% |
+0.08 % |
300,740 |
29,200 |
10/12 |
|
| 2021.10.14 |
10/13(水)
|
モルガン・スタンレーMUFG証券株式会社
|
1.05% |
-0.11 % |
392,013 |
-41,700 |
10/12 |
|
| 2021.10.14 |
10/12(火)
|
JPM Securities Japan Co Ltd.
|
0.62% |
+0.08 % |
231,674 |
29,574 |
10/11 |
|
| 2021.10.14 |
10/12(火)
|
Nomura International plc
|
0.75% |
0 % |
280,500 |
|
10/07 |
再イン |
| 2021.10.14 |
10/12(火)
|
MERRILL LYNCH INTERNATIONAL
|
0.72% |
+0.08 % |
271,540 |
31,400 |
10/11 |
|
| 2021.10.13 |
10/12(火)
|
モルガン・スタンレーMUFG証券株式会社
|
1.16% |
0 % |
433,713 |
|
10/08 |
新規 |
| 2021.10.13 |
10/11(月)
|
JPM Securities Japan Co Ltd.
|
0.54% |
0 % |
202,100 |
|
10/08 |
新規 |
| 2021.10.13 |
10/11(月)
|
MERRILL LYNCH INTERNATIONAL
|
0.64% |
+0.08 % |
240,140 |
28,900 |
10/08 |
|
| 2021.10.12 |
10/08(金)
|
Nomura Asset Management Singapore Limited (Sjunde AP-Fonden)
|
0.60% |
+0.04 % |
224,400 |
14,000 |
10/06 |
|
| 2021.10.12 |
10/08(金)
|
MERRILL LYNCH INTERNATIONAL
|
0.56% |
+0.04 % |
211,240 |
13,900 |
10/07 |
|
| 2021.10.11 |
10/07(木)
|
MERRILL LYNCH INTERNATIONAL
|
0.52% |
-0.03 % |
197,340 |
-10,500 |
10/06 |
|
| 2021.10.11 |
10/07(木)
|
Nomura International plc
|
0.36% |
-0.17 % |
136,900 |
-66,200 |
10/06 |
報告義務消失 |
| 2021.10.08 |
10/06(水)
|
Nomura Asset Management Singapore Limited (Global Funds T...
|
0.60% |
+0.10 % |
225,700 |
35,900 |
10/05 |
|
| 2021.10.08 |
10/06(水)
|
Nomura Asset Management Singapore Limited (Sjunde AP-Fonden)
|
0.56% |
0 % |
210,400 |
|
10/01 |
新規 |
| 2021.10.08 |
10/06(水)
|
Nomura International plc
|
0.54% |
-0.28 % |
203,100 |
-104,500 |
10/05 |
|
| 2021.10.08 |
10/06(水)
|
MERRILL LYNCH INTERNATIONAL
|
0.55% |
+0.03 % |
207,840 |
10,100 |
10/05 |
|
| 2021.10.07 |
10/05(火)
|
Nomura Asset Management Singapore Limited (Global Funds T...
|
0.50% |
0 % |
189,800 |
|
10/01 |
新規 |