一般信用差引残高 機関空売り合計
32,900 (0.23%) -
公開日 計算日 空売り企業・個人名 残高割合 増減率 残高数量 増減量 前回計算日 備考
2024.04.04 04/02(火) Integrated Core Strategies (Asia) Pte. Ltd. 2.20% +0.10 % 309,092 14,500 03/19
2024.03.22 03/19(火) Integrated Core Strategies (Asia) Pte. Ltd. 2.10% +0.01 % 294,592 800 03/18
2024.03.21 03/18(月) Integrated Core Strategies (Asia) Pte. Ltd. 2.09% -0.01 % 293,792 -1,400 03/15
2024.03.19 03/15(金) Integrated Core Strategies (Asia) Pte. Ltd. 2.10% +0.02 % 295,192 2,300 03/13
2024.03.15 03/13(水) Integrated Core Strategies (Asia) Pte. Ltd. 2.08% -0.01 % 292,892 -1,900 03/05
2024.03.07 03/05(火) Integrated Core Strategies (Asia) Pte. Ltd. 2.10% +0.10 % 294,792 13,600 02/22
2024.02.27 02/22(木) Integrated Core Strategies (Asia) Pte. Ltd. 2.00% +0.01 % 281,192 1,400 02/21
2024.02.26 02/21(水) Integrated Core Strategies (Asia) Pte. Ltd. 1.99% -0.02 % 279,792 -2,708 02/01
2024.02.05 02/01(木) Integrated Core Strategies (Asia) Pte. Ltd. 2.01% +0.06 % 282,500 8,100 01/31
2024.02.02 01/31(水) Integrated Core Strategies (Asia) Pte. Ltd. 1.95% +0.07 % 274,400 9,600 01/30
2024.02.01 01/30(火) Integrated Core Strategies (Asia) Pte. Ltd. 1.88% +0.11 % 264,800 15,600 01/29
2024.01.31 01/29(月) Integrated Core Strategies (Asia) Pte. Ltd. 1.77% +0.17 % 249,200 24,100 01/26
2024.01.30 01/26(金) Integrated Core Strategies (Asia) Pte. Ltd. 1.60% +0.17 % 225,100 24,194 01/25
2024.01.29 01/25(木) Integrated Core Strategies (Asia) Pte. Ltd. 1.43% +0.45 % 200,906 63,100 01/24
2024.01.26 01/24(水) Integrated Core Strategies (Asia) Pte. Ltd. 0.98% +0.22 % 137,806 31,500 01/23
2024.01.25 01/23(火) Integrated Core Strategies (Asia) Pte. Ltd. 0.75% +0.24 % 106,306 34,600 01/22
2024.01.24 01/22(月) Integrated Core Strategies (Asia) Pte. Ltd. 0.51% 0 % 71,706 01/19 新規
2023.11.02 10/31(火) Nomura Asset Management Singapore Limited (Global Funds T... 0.47% -0.12 % 67,200 -16,600 09/05 報告義務消失
2023.09.07 09/05(火) Nomura Asset Management Singapore Limited (Global Funds T... 0.59% -0.10 % 83,800 -14,200 06/28
2023.06.30 06/28(水) Nomura Asset Management Singapore Limited (Global Funds T... 0.69% -0.01 % 98,000 -900 05/18