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
2024.04.23 04/19(金) Qube Research & Technologies Limited [Qube Master Fund Ltd] 0.48% -0.07 % 1,033,800 -143,000 04/18 報告義務消失
2024.04.22 04/18(木) Integrated Core Strategies (Asia) Pte. Ltd. 1.90% +0.04 % 4,097,900 87,400 04/17
2024.04.22 04/18(木) MERRILL LYNCH INTERNATIONAL 0.28% -0.22 % 610,331 -477,200 04/17 報告義務消失
2024.04.22 04/18(木) Qube Research & Technologies Limited [Qube Master Fund Ltd] 0.54% 0 % 1,176,800 04/16 新規
2024.04.19 04/17(水) Integrated Core Strategies (Asia) Pte. Ltd. 1.86% -0.05 % 4,010,500 -117,200 04/16
2024.04.19 04/17(水) MERRILL LYNCH INTERNATIONAL 0.50% 0 % 1,087,531 04/16 再イン
2024.04.18 04/16(火) Integrated Core Strategies (Asia) Pte. Ltd. 1.91% +0.18 % 4,127,700 390,700 04/15
2024.04.17 04/15(月) Integrated Core Strategies (Asia) Pte. Ltd. 1.73% +0.28 % 3,737,000 600,900 04/12
2024.04.16 04/12(金) Integrated Core Strategies (Asia) Pte. Ltd. 1.45% +0.16 % 3,136,100 342,300 04/11
2024.04.16 04/11(木) Integrated Core Strategies (Asia) Pte. Ltd. 1.29% +0.12 % 2,793,800 268,300 04/10
2024.04.15 04/11(木) J.P. MORGAN SECURITIES PLC 0.85% 0 % 1,848,432 09/25 再イン
2024.04.12 04/10(水) Integrated Core Strategies (Asia) Pte. Ltd. 1.17% +0.13 % 2,525,500 288,974 04/04
2024.04.08 04/04(木) Integrated Core Strategies (Asia) Pte. Ltd. 1.03% -0.12 % 2,236,526 -262,800 04/03
2024.04.05 04/03(水) Integrated Core Strategies (Asia) Pte. Ltd. 1.16% +0.19 % 2,499,326 402,319 03/29
2024.04.02 03/29(金) Integrated Core Strategies (Asia) Pte. Ltd. 0.97% -0.03 % 2,097,007 -59,358 03/28
2024.04.01 03/28(木) Integrated Core Strategies (Asia) Pte. Ltd. 1.00% +0.08 % 2,156,365 179,458 03/18
2024.03.21 03/18(月) Integrated Core Strategies (Asia) Pte. Ltd. 0.91% +0.10 % 1,976,907 218,307 03/12
2024.03.14 03/12(火) Integrated Core Strategies (Asia) Pte. Ltd. 0.81% +0.10 % 1,758,600 221,600 03/06
2024.03.08 03/06(水) Integrated Core Strategies (Asia) Pte. Ltd. 0.71% +0.10 % 1,537,000 217,000 03/01
2024.03.05 03/01(金) Integrated Core Strategies (Asia) Pte. Ltd. 0.61% +0.08 % 1,320,000 171,742 02/28