2021.11.04 |
11/01(月)
|
GOLDMAN SACHS INTERNATIONAL
|
0.80% |
+0.08 % |
41,600 |
3,900 |
10/29 |
|
2021.11.02 |
10/29(金)
|
GOLDMAN SACHS INTERNATIONAL
|
0.73% |
+0.08 % |
37,700 |
3,900 |
10/28 |
|
2021.11.01 |
10/28(木)
|
GOLDMAN SACHS INTERNATIONAL
|
0.65% |
+0.07 % |
33,800 |
3,800 |
10/27 |
|
2021.10.29 |
10/27(水)
|
GOLDMAN SACHS INTERNATIONAL
|
0.58% |
0 % |
30,000 |
|
10/25 |
新規 |
2021.10.26 |
10/22(金)
|
Credit Suisse AG
|
0.68% |
-0.12 % |
35,000 |
-6,400 |
10/19 |
|
2021.10.21 |
10/19(火)
|
Credit Suisse AG
|
0.80% |
+0.08 % |
41,400 |
4,000 |
10/14 |
|
2021.10.18 |
10/14(木)
|
Credit Suisse AG
|
0.72% |
+0.08 % |
37,400 |
4,200 |
10/13 |
|
2021.10.15 |
10/13(水)
|
Credit Suisse AG
|
0.64% |
+0.08 % |
33,200 |
4,300 |
10/12 |
|
2021.10.14 |
10/12(火)
|
Credit Suisse AG
|
0.56% |
0 % |
28,900 |
|
09/16 |
再イン |
2021.09.28 |
09/24(金)
|
Nomura Asset Management Singapore Limited (Global Funds T...
|
0.79% |
-0.10 % |
41,100 |
-5,200 |
09/09 |
|
2021.09.21 |
09/16(木)
|
Nomura Asset Management Singapore Limited (Sjunde AP-Fonden)
|
0.77% |
-0.11 % |
39,900 |
-5,600 |
09/07 |
|
2021.09.21 |
09/16(木)
|
Credit Suisse AG
|
0.45% |
-0.14 % |
23,500 |
-7,200 |
09/01 |
報告義務消失 |
2021.09.13 |
09/09(木)
|
Nomura Asset Management Singapore Limited (Global Funds T...
|
0.89% |
-0.07 % |
46,300 |
-3,900 |
06/24 |
|
2021.09.09 |
09/07(火)
|
Nomura Asset Management Singapore Limited (Sjunde AP-Fonden)
|
0.88% |
-0.11 % |
45,500 |
-5,900 |
06/24 |
|
2021.09.03 |
09/01(水)
|
Credit Suisse AG
|
0.59% |
-0.08 % |
30,700 |
-4,200 |
08/30 |
|
2021.09.01 |
08/30(月)
|
Credit Suisse AG
|
0.67% |
-0.03 % |
34,900 |
-1,600 |
08/11 |
|
2021.08.13 |
08/11(水)
|
Deutsche Bank Aktiengesellschaft, London ドイツ銀行ロンドン支店
|
0.44% |
-0.13 % |
22,900 |
-6,900 |
08/06 |
報告義務消失 |
2021.08.13 |
08/11(水)
|
Credit Suisse AG
|
0.70% |
-0.13 % |
36,500 |
-6,600 |
08/10 |
|
2021.08.12 |
08/10(火)
|
Credit Suisse AG
|
0.83% |
-0.11 % |
43,100 |
-5,700 |
08/06 |
|
2021.08.11 |
08/06(金)
|
Deutsche Bank Aktiengesellschaft, London ドイツ銀行ロンドン支店
|
0.57% |
-0.11 % |
29,800 |
-5,900 |
08/02 |
|