2016.10.24 |
10/21(金)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
--- |
10/20 |
Without change |
2017.03.17 |
10/20(木)
|
Credit Suisse Securities (Europe) Limited
|
0.79% |
-0.10 % |
148,800 |
-18,800 |
10/18 |
|
2016.10.21 |
10/20(木)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
--- |
10/19 |
Without change |
2016.10.21 |
10/19(水)
|
Deutsche Bank Aktiengesellschaft, London ドイツ銀行ロンドン支店
|
0.48% |
-0.09 % |
91,661 |
-16,400 |
09/23 |
報告義務消失 |
2016.10.20 |
10/19(水)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
--- |
10/18 |
Without change |
2017.03.16 |
10/18(火)
|
Credit Suisse Securities (Europe) Limited
|
0.89% |
-0.02 % |
167,600 |
-2,900 |
10/17 |
|
2016.10.19 |
10/18(火)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
--- |
10/17 |
Without change |
2017.03.16 |
10/17(月)
|
Credit Suisse Securities (Europe) Limited
|
0.90% |
+0.02 % |
170,500 |
4,600 |
10/06 |
|
2016.10.18 |
10/17(月)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
--- |
10/14 |
Without change |
2016.10.17 |
10/14(金)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,700 |
100 |
10/13 |
|
2016.10.14 |
10/13(木)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,600 |
100 |
10/12 |
|
2016.10.13 |
10/12(水)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
97,500 |
800 |
10/11 |
|
2016.10.12 |
10/11(火)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
96,700 |
--- |
10/10 |
Without change |
2016.10.11 |
10/10(月)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
96,700 |
--- |
10/07 |
Without change |
2016.10.11 |
10/07(金)
|
OXAM QUANT FUND LIMITED
|
0.52% |
-- |
96,700 |
500 |
10/06 |
|
2017.03.13 |
10/06(木)
|
Credit Suisse Securities (Europe) Limited
|
0.88% |
-0.05 % |
165,900 |
-9,500 |
10/04 |
|
2016.10.07 |
10/06(木)
|
OXAM QUANT FUND LIMITED
|
0.51% |
-- |
96,200 |
800 |
10/05 |
|
2016.10.06 |
10/05(水)
|
OXAM QUANT FUND LIMITED
|
0.51% |
-- |
95,400 |
--- |
10/04 |
Without change |
2017.03.10 |
10/04(火)
|
Credit Suisse Securities (Europe) Limited
|
0.93% |
+0.04 % |
175,400 |
8,300 |
10/03 |
|
2016.10.05 |
10/04(火)
|
OXAM QUANT FUND LIMITED
|
0.51% |
-- |
95,400 |
--- |
10/03 |
Without change |