ラクスル(株)

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部情報・通信4384/ - -28,754,020株100株

株価指標(2021-10-26)

時価総額
1779億8738万円

□決算推移

日証金(2021-10-25付)

信用売り残高
1100株
前日比
-8.33%
信用買い残高
6000株
前日比
3.45%

□もっと見る

東証(2021-10-22付)

信用売り残高
3万6300株
前週比
13.08%
信用買い残高
9万4000株
前週比
-5.62%

□もっと見る

日証協(2021-10-08付)

貸付残高
32万9862株
前週比
16.24%
貸付新規
35万8804株
前週比
433.47%

□もっと見る

逆日歩(品貸料)

2021-09-06
0.00円/0日

□もっと見る

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
2021/10/19みずほ証券0.510%0%147,700株再IN(前回2021-09-28)
2021/10/11JPモルガン証券0.290%-0.250%85,652株-71,900報告義務消失
2021/10/06JPモルガン証券0.540%0%157,552株再IN(前回2020-07-21)
2021/09/28みずほ証券0.490%-0.030%141,800株-9,100報告義務消失
2021/08/31みずほ証券0.520%0%150,900株再IN(前回2021-08-20)
2021/08/20みずほ証券0.490%-0.010%143,200株-2,100報告義務消失
2021/08/18みずほ証券0.500%0%145,300株再IN(前回2021-07-30)
2021/07/30みずほ証券0.490%-0.020%142,900株-3,800報告義務消失
2021/06/24みずほ証券0.510%0%146,700株再IN(前回2021-04-28)
2021/06/22UBS AG0.310%-0.280%90,080株-79,580報告義務消失
2021/06/14UBS AG0.590%0%169,660株
2021/05/17Credit Suisse AG0.000%-0.590%2,500株-167,800ポジション解消
2021/05/14Credit Suisse AG0.590%-0.060%170,300株-16,700
2021/05/11BFAM Partners (Hong Kong)0.440%-0.090%128,400株-25,100報告義務消失
2021/05/11Integrated Core Strategies0.480%-0.080%138,177株-24,500報告義務消失
2021/04/28Integrated Core Strategies0.560%0%162,677株再IN(前回2020-07-08)
2021/04/28みずほ証券0.240%-0.280%71,500株-77,800報告義務消失
2021/04/20Credit Suisse AG0.650%0%187,000株
2021/04/13みずほ証券0.520%0%149,300株再IN(前回2020-12-18)
2021/03/05BFAM Partners (Hong Kong)0.530%0%153,500株再IN(前回2021-02-04)
2021/02/04BFAM Partners (Hong Kong)0.000%-0.720%0株-205,100ポジション解消
2020/12/18みずほ証券0.460%-0.040%133,362株-9,400報告義務消失
2020/12/14BFAM Partners (Hong Kong)0.720%+0.060%205,100株+15,400
2020/12/14みずほ証券0.500%0%142,762株再IN(前回2020-12-03)
2020/12/11BFAM Partners (Hong Kong)0.660%+0.160%189,700株+46,800
2020/12/09BFAM Partners (Hong Kong)0.500%0%142,900株
2020/12/03みずほ証券0.480%-0.100%138,536株-29,200報告義務消失
2020/12/01みずほ証券0.580%-0.030%167,736株-5,000
2020/11/27Nomura AM(Global Funds)0.490%-0.090%140,800株-23,700報告義務消失
2020/11/09みずほ証券0.610%+0.030%172,736株+8,300
2020/11/05Nomura AM(Global Funds)0.580%-0.100%164,500株-28,300
2020/11/05みずほ証券0.580%0%164,436株
2020/10/28Nomura AM(Global Funds)0.680%-0.110%192,800株-32,000
2020/10/05Nomura AM(Global Funds)0.790%-0.010%224,800株-3,000
2020/09/09Nomura AM(Global Funds)0.800%0%227,800株+1,800
2020/09/02モルガン・スタンレーMUFG0.290%-0.260%84,285株-72,900報告義務消失
2020/09/01モルガン・スタンレーMUFG0.550%-0.140%157,185株-37,900
2020/08/25モルガン・スタンレーMUFG0.690%-0.090%195,085株-25,900
2020/08/18モルガン・スタンレーMUFG0.780%-0.100%220,985株-29,330
2020/08/04Nomura AM(Global Funds)0.800%+0.020%226,000株+4,900
2020/08/03モルガン・スタンレーMUFG0.880%-0.030%250,315株-7,600
2020/07/30モルガン・スタンレーMUFG0.910%+0.020%257,915株+6,700
2020/07/21JPモルガン証券0.470%-0.120%134,969株-33,100報告義務消失
2020/07/21モルガン・スタンレーMUFG0.890%-0.010%251,215株-3,100
2020/07/20JPモルガン証券0.590%-0.010%168,069株-759
2020/07/20モルガン・スタンレーMUFG0.900%+0.050%254,315株+13,500
2020/07/16JPモルガン証券0.600%+0.010%168,828株+600
2020/07/16モルガン・スタンレーMUFG0.850%-0.100%240,815株-27,200
2020/07/15JPモルガン証券0.590%-0.030%168,228株-8,100
2020/07/13JPモルガン証券0.620%+0.070%176,328株+19,000
2020/07/13モルガン・スタンレーMUFG0.950%-0.060%268,015株-17,200
2020/07/10JPモルガン証券0.550%0%157,328株
2020/07/10Nomura International0.410%-0.130%118,000株-34,800報告義務消失
2020/07/09Nomura International0.540%-0.110%152,800株-30,400
2020/07/09モルガン・スタンレーMUFG1.010%+0.090%285,215株+25,600
2020/07/08Integrated Core Strategies0.480%-0.060%136,825株-15,700報告義務消失
2020/07/01モルガン・スタンレーMUFG0.920%0%259,615株再IN(前回2020-06-22)
2020/06/29Nomura AM(Global Funds)0.780%-0.090%221,100株-26,100
2020/06/23Integrated Core Strategies0.540%0%152,525株再IN(前回2020-06-15)
2020/06/23Nomura International0.650%-0.090%183,200株-26,600
2020/06/22Nomura International0.740%-0.150%209,800株-42,100
2020/06/22モルガン・スタンレーMUFG0.460%-0.100%130,215株-29,600報告義務消失
2020/06/18Nomura AM(Global Funds)0.870%-0.030%247,200株-5,800
2020/06/17Nomura AM(Global Funds)0.900%+0.010%253,000株+1,100
2020/06/17Nomura International0.890%-0.010%251,900株-2,600
2020/06/17モルガン・スタンレーMUFG0.560%-0.280%159,815株-78,400
2020/06/15Integrated Core Strategies0.470%-0.040%134,753株-9,300報告義務消失
2020/06/15Nomura International0.900%+0.100%254,500株+27,900
2020/06/12モルガン・スタンレーMUFG0.840%+0.150%238,215株+42,300
2020/06/11Nomura International0.800%+0.070%226,600株+19,300
2020/06/11モルガン・スタンレーMUFG0.690%0%195,915株再IN(前回2019-10-18)
2020/06/10Nomura International0.730%+0.130%207,300株+37,700
2020/06/09Nomura AM(Global Funds)0.890%-0.020%251,900株-4,000
2020/06/09Integrated Core Strategies0.510%0%144,053株再IN(前回2019-01-07)
2020/06/09Nomura International0.600%0%169,600株
2020/05/29Citigroup Global Markets ltd0.460%-0.050%131,100株-14,447報告義務消失
2020/05/28Nomura AM(Global Funds)0.910%+0.020%255,900株+3,200
2020/05/19Nomura AM(Global Funds)0.890%-0.010%252,700株-2,000
2020/05/15Citigroup Global Markets ltd0.510%0%145,547株再IN(前回2020-05-14)
2020/05/14Citigroup Global Markets ltd0.490%-0.010%137,847株-2,677報告義務消失
2020/05/08Nomura AM(Global Funds)0.900%+0.100%254,700株+28,500
2020/04/28Citigroup Global Markets ltd0.500%0%140,524株再IN(前回2019-12-27)
2020/03/26Nomura AM(Global Funds)0.800%+0.090%226,200株+26,600
2020/03/18Nomura AM(Global Funds)0.710%+0.090%199,600株+25,400
2020/03/12Nomura AM(Global Funds)0.620%+0.030%174,200株+7,100
2020/03/10Nomura AM(Global Funds)0.590%-0.020%167,100株-3,500
2019/12/27Citigroup Global Markets ltd0.290%-0.290%82,800株-81,500報告義務消失
2019/12/18Citigroup Global Markets ltd0.580%-0.090%164,300株-23,000
2019/12/13Citigroup Global Markets ltd0.670%-0.120%187,300株-32,700
2019/12/05Nomura AM(Global Funds)0.610%+0.020%170,600株+4,900
2019/12/02GOLDMAN SACHS0.480%-0.160%135,173株-44,943報告義務消失
2019/11/19GOLDMAN SACHS0.640%-0.140%180,116株-39,100
2019/11/13GOLDMAN SACHS0.780%+0.120%219,216株+33,380
2019/11/06Nomura AM(Global Funds)0.590%-0.010%165,700株-1,400
2019/11/01Citigroup Global Markets ltd0.790%-0.080%220,000株-22,400
2019/10/24Nomura AM(Global Funds)0.600%+0.020%167,100株+3,700
2019/10/21Citigroup Global Markets ltd0.870%+0.110%242,400株+30,900
2019/10/18Nomura AM(Global Funds)0.580%-0.020%163,400株-5,700
2019/10/18モルガン・スタンレーMUFG0.440%-0.150%124,951株-40,500報告義務消失
2019/10/18Citigroup Global Markets ltd0.760%+0.120%211,500株+31,900

Page Top