新日本理化(株)□企業情報

主市場業種証券コード/EDINET英名称発行済み株式数単元
東証1部化学4406/E00882New Japan Chemical Co., Ltd.38,008,906株100株

株価指標(2017-04-25)

時価総額
53億9726万円
予想PER
-29.98倍
実績PER
55.64倍
実績PBR
0.45倍

□決算推移

日証金(2017-04-24付)

信用売り残高
74万2100株
前日比
8.53%
信用買い残高
36万3300株
前日比
5.18%

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東証(2017-04-21付)

信用売り残高
68万7100株
前週比
12.12%
信用買い残高
108万3600株
前週比
-2.01%

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日々公表信用残(2013-11-27付)

信用売り残高
13万2700株
前日比
-5.28%
信用買い残高
298万700株
前日比
0.17%

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日証協(2017-04-14付)

貸付残高
60万2800株
前週比
0.48%
貸付新規
1万5200株
前週比
60.00%

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逆日歩(品貸料)

2017-04-24
0.05円/1日
2017-04-21
0.00円/1日
2017-04-20
0.00円/1日
2017-04-19
0.00円/1日

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機関の空売り残高情報

計算日空売り者残高割合増減率残高数量増減量備考
2017/04/24SMBC日興証券0.940%+0.140%357,400株+52,200
2017/04/20SMBC日興証券0.800%+0.090%305,200株+32,400
2017/04/18SMBC日興証券0.710%+0.050%272,800株+21,800
2017/04/12SMBC日興証券0.660%+0.070%251,000株+25,700
2017/04/11SMBC日興証券0.590%-0.010%225,300株-3,700
2017/04/10SMBC日興証券0.600%+0.100%229,000株+35,700
2017/04/04SMBC日興証券0.500%0%193,300株再IN(前回2017-03-31)
2017/03/31SMBC日興証券0.440%-0.060%167,700株-23,000報告義務消失
2017/03/28SMBC日興証券0.500%0%190,700株
2016/12/29Nomura AM(Global Funds)0.430%-0.160%166,400株-59,400報告義務消失
2016/12/12Nomura AM(Global Funds)0.590%-0.100%225,800株-37,100
2016/05/16Deutsche Bank London0.460%-0.080%176,000株-31,800報告義務消失
2016/04/27Deutsche Bank London0.540%-0.120%207,800株-44,300
2016/04/26Deutsche Bank London0.660%0%252,100株再IN(前回2015-12-04)
2016/04/14Nomura AM(Global Funds)0.690%-0.090%262,900株-34,400
2015/12/04Deutsche Bank London0.490%-0.010%189,500株-1,400報告義務消失
2015/12/02Deutsche Bank London0.500%0%190,900株再IN(前回2015-11-25)
2015/11/26Nomura AM(Global Funds)0.780%-0.100%297,300株-39,500
2015/11/26Nomura AM Singapore0.480%-0.100%184,300株-38,400報告義務消失
2015/11/25Deutsche Bank London0.490%-0.010%189,400株-2,500報告義務消失
2015/11/20Deutsche Bank London0.500%0%191,900株再IN(前回2015-10-07)
2015/11/19Nomura AM(Global Funds)0.880%-0.090%336,800株-35,500
2015/11/17Nomura AM Singapore0.580%-0.110%222,700株-41,800
2015/10/07Deutsche Bank London0.480%-0.110%183,300株-43,500報告義務消失
2015/09/29Deutsche Bank London0.590%-0.100%226,800株-37,900
2015/09/15Deutsche Bank London0.690%+0.020%264,700株+8,200
2015/09/09Deutsche Bank London0.770%-0.050%293,100株-19,500
2015/09/04Deutsche Bank London0.820%+0.120%312,600株+45,100
2015/09/02Deutsche Bank London0.700%+0.030%267,500株+11,000
2015/08/27Nomura AM(Global Funds)0.970%-0.050%372,300株-18,500
2015/08/27Deutsche Bank London0.670%-0.100%256,500株-38,600
2015/08/25Nomura AM(Global Funds)1.020%-0.090%390,800株-33,700
2015/08/21Nomura AM(Global Funds)1.110%-0.130%424,500株-48,700
2015/08/21Nomura AM Singapore0.690%-0.090%264,500株-35,500
2015/08/14Deutsche Bank London0.770%-0.040%295,100株-15,700
2015/08/13Deutsche Bank London0.810%+0.170%310,800株+64,700
2015/08/12Deutsche Bank London0.640%+0.140%246,100株+53,200
2015/08/10Deutsche Bank London0.500%0%192,900株再IN(前回2015-04-24)
2015/07/27Nomura AM(Global Funds)1.240%+0.050%473,200株+20,700
2015/07/23Nomura AM(Global Funds)1.190%-0.040%452,500株-17,800
2015/06/22Nomura AM(Global Funds)1.230%-0.160%470,300株-58,900
2015/06/18Nomura AM(Global Funds)1.390%-0.090%529,200株-35,100
2015/06/17Nomura AM(Global Funds)1.480%-0.090%564,300株-33,900
2015/06/16Nomura AM(Global Funds)1.570%-0.110%598,200株-41,900
2015/06/10Nomura AM(Global Funds)1.680%-0.040%640,100株-17,000
2015/06/09Nomura AM(Global Funds)1.720%-0.090%657,100株-33,700
2015/06/05Nomura AM(Global Funds)1.810%-0.130%690,800株-49,000
2015/04/30Nomura AM Singapore0.780%-0.100%300,000株-35,500
2015/04/24Deutsche Bank London0.490%-0.100%186,300株-41,400報告義務消失
2015/04/17Nomura AM(Global Funds)1.940%-0.140%739,800株-53,500
2015/04/06Deutsche Bank London0.590%-0.080%227,700株-30,700
2015/03/31Nomura AM(Global Funds)2.080%-0.100%793,300株-39,000
2015/03/30Nomura AM Singapore0.880%-0.020%335,500株-6,600
2015/03/12Nomura AM(Global Funds)2.180%+0.130%832,300株+52,400
2015/03/09Deutsche Bank London0.670%+0.120%258,400株+46,200
2015/03/06Nomura AM(Global Funds)2.050%+0.070%779,900株+25,000
2015/03/06Deutsche Bank London0.550%+0.330%212,200株+127,400
2015/03/05Nomura AM(Global Funds)1.980%+0.110%754,900株+41,100
2015/03/05Nomura AM Singapore0.900%+0.080%342,100株+30,400
2015/03/04Nomura AM(Global Funds)1.870%+0.160%713,800株+63,700
2015/03/04Nomura AM Singapore0.820%+0.070%311,700株+23,100
2015/03/02Nomura AM(Global Funds)1.710%+0.070%650,100株+24,000
2015/03/02Nomura AM Singapore0.750%+0.110%288,600株+44,700
2015/02/26Nomura AM(Global Funds)1.640%+0.120%626,100株+47,700
2015/02/26Nomura AM Singapore0.640%+0.060%243,900株+19,900
2015/01/27Nomura AM Singapore0.580%-0.110%224,000株-40,400
2014/11/14Nomura AM Singapore0.690%-0.090%264,400株-32,600
2014/10/15UBS AG0.490%-0.010%188,800株-3,900報告義務消失
2014/10/14UBS AG0.500%-0.010%192,700株-2,800
2014/10/10UBS AG0.510%-0.010%195,500株-3,200
2014/10/09UBS AG0.520%-0.010%198,700株-3,200
2014/10/08Nomura AM(Global Funds)1.520%+0.040%578,400株+14,300
2014/10/08UBS AG0.530%0%201,900株-3,200
2014/10/07Nomura AM(Global Funds)1.480%-0.060%564,100株-24,200
2014/10/07UBS AG0.530%-0.010%205,100株-3,900
2014/10/06UBS AG0.540%-0.010%209,000株-3,300
2014/10/03UBS AG0.550%-0.010%212,300株-2,400
2014/10/02UBS AG0.560%-0.010%214,700株-3,100
2014/09/29UBS AG0.570%+0.010%217,800株+3,500
2014/09/26UBS AG0.560%0%214,300株+1,100
2014/09/25UBS AG0.560%0%213,200株-700
2014/09/24UBS AG0.560%0%213,900株+700
2014/09/22UBS AG0.560%0%213,200株再IN(前回2014-09-19)
2014/09/19UBS AG0.450%-0.100%171,600株-39,000報告義務消失
2014/09/18UBS AG0.550%0%210,600株+1,400
2014/09/16UBS AG0.550%0%209,200株-1,900
2014/09/11UBS AG0.550%+0.010%211,100株+3,000
2014/09/10UBS AG0.540%+0.010%208,100株+5,000
2014/09/09UBS AG0.530%+0.020%203,100株+5,700
2014/09/08UBS AG0.510%0%197,400株+1,500
2014/09/05UBS AG0.510%0%195,900株+1,800
2014/09/04UBS AG0.510%0%194,100株
2014/08/04Nomura AM(Global Funds)1.540%+0.140%588,300株+54,400
2014/06/23Nomura AM Singapore0.780%-0.030%297,000株-13,900
2014/06/12Nomura AM(Global Funds)1.400%+0.060%533,900株+24,200
2014/06/12Nomura AM Singapore0.810%+0.060%310,900株+23,400
2014/06/11Nomura AM(Global Funds)1.340%+0.100%509,700株+35,700
2014/06/11Nomura AM Singapore0.750%+0.089%287,500株+36,200
2014/06/02Nomura AM(Global Funds)1.240%+0.140%474,000株+53,500
2014/04/16Nomura AM(Global Funds)1.100%+0.090%420,500株+34,600

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