2017/09/22 | Credit Suisse Securities | 0.870% | -0.080% | 1,703,885株 | -164,000 | |
2017/09/22 | モルガン・スタンレーMUFG | 2.210% | +0.200% | 4,339,498株 | +403,000 | |
2017/09/21 | モルガン・スタンレーMUFG | 2.010% | +0.080% | 3,936,498株 | +152,000 | |
2017/09/21 | Merrill Lynch international | 0.790% | +0.030% | 1,554,018株 | +62,000 | |
2017/09/20 | モルガン・スタンレーMUFG | 1.930% | +0.130% | 3,784,498株 | +254,000 | |
2017/09/20 | Merrill Lynch international | 0.760% | -0.010% | 1,492,018株 | -24,000 | |
2017/09/19 | Merrill Lynch international | 0.770% | +0.040% | 1,516,018株 | +71,000 | |
2017/09/15 | Credit Suisse Securities | 0.950% | -0.080% | 1,867,885株 | -156,000 | |
2017/09/15 | UBS AG | 0.680% | 0% | 1,340,825株 | | 再IN(前回2017-04-12) |
2017/09/15 | Merrill Lynch international | 0.730% | +0.040% | 1,445,018株 | +77,000 | |
2017/09/15 | Deutsche Bank London | 0.780% | +0.180% | 1,539,000株 | +350,000 | |
2017/09/14 | モルガン・スタンレーMUFG | 1.800% | +0.080% | 3,530,498株 | +152,000 | |
2017/09/14 | Merrill Lynch international | 0.690% | +0.030% | 1,368,018株 | +58,000 | |
2017/09/13 | Canada Pension Plan IB | 1.300% | +0.100% | 2,564,000株 | +39,000 | |
2017/09/13 | モルガン・スタンレーMUFG | 1.720% | +0.040% | 3,378,498株 | +83,000 | |
2017/09/13 | Merrill Lynch international | 0.660% | +0.020% | 1,310,018株 | +48,452 | |
2017/09/13 | Deutsche Bank London | 0.600% | +0.020% | 1,189,000株 | +39,000 | |
2017/09/12 | Credit Suisse Securities | 1.030% | +0.110% | 2,023,885株 | +206,000 | |
2017/09/12 | モルガン・スタンレーMUFG | 1.680% | +0.260% | 3,295,498株 | +501,000 | |
2017/09/12 | Merrill Lynch international | 0.640% | +0.030% | 1,261,566株 | +61,000 | |
2017/09/12 | Deutsche Bank London | 0.580% | 0% | 1,150,000株 | | 再IN(前回2017-08-30) |
2017/09/11 | モルガン・スタンレーMUFG | 1.420% | +0.080% | 2,794,498株 | +168,000 | |
2017/09/11 | Merrill Lynch international | 0.610% | +0.030% | 1,200,566株 | +56,000 | |
2017/09/08 | Merrill Lynch international | 0.580% | +0.010% | 1,144,566株 | +15,000 | |
2017/09/07 | Credit Suisse Securities | 0.920% | +0.060% | 1,817,885株 | +117,000 | |
2017/09/07 | モルガン・スタンレーMUFG | 1.340% | +0.100% | 2,626,498株 | +183,000 | |
2017/09/07 | Merrill Lynch international | 0.570% | +0.030% | 1,129,566株 | +68,000 | |
2017/09/06 | Merrill Lynch international | 0.540% | +0.040% | 1,061,566株 | +64,000 | |
2017/09/05 | モルガン・スタンレーMUFG | 1.240% | +0.090% | 2,443,498株 | +180,000 | |
2017/09/05 | Merrill Lynch international | 0.500% | -0.010% | 997,566株 | -19,000 | |
2017/09/04 | Credit Suisse Securities | 0.860% | -0.070% | 1,700,885株 | -134,000 | |
2017/09/04 | モルガン・スタンレーMUFG | 1.150% | +0.120% | 2,263,498株 | +235,000 | |
2017/09/04 | Merrill Lynch international | 0.510% | -0.010% | 1,016,566株 | -7,000 | |
2017/09/01 | Credit Suisse Securities | 0.930% | -0.140% | 1,834,885株 | -276,000 | |
2017/09/01 | モルガン・スタンレーMUFG | 1.030% | +0.090% | 2,028,498株 | +175,000 | |
2017/09/01 | Merrill Lynch international | 0.520% | 0% | 1,023,566株 | | 再IN(前回2017-08-31) |
2017/08/31 | Credit Suisse Securities | 1.070% | -0.180% | 2,110,885株 | -347,000 | |
2017/08/31 | モルガン・スタンレーMUFG | 0.940% | +0.160% | 1,853,498株 | +307,000 | |
2017/08/31 | Merrill Lynch international | 0.480% | -0.020% | 950,566株 | -38,000 | 報告義務消失 |
2017/08/30 | Credit Suisse Securities | 1.250% | -0.190% | 2,457,885株 | -366,000 | |
2017/08/30 | Merrill Lynch international | 0.500% | 0% | 988,566株 | | 再IN(前回2017-06-28) |
2017/08/30 | Deutsche Bank London | 0.340% | -0.470% | 676,000株 | -912,000 | 報告義務消失 |
2017/08/29 | モルガン・スタンレーMUFG | 0.780% | -0.040% | 1,546,498株 | -63,000 | |
2017/08/29 | Deutsche Bank London | 0.810% | +0.050% | 1,588,000株 | +97,000 | |
2017/08/28 | Macquarie Asian | 0.480% | -0.030% | 957,000株 | -46,000 | 報告義務消失 |
2017/08/25 | Canada Pension Plan IB | 1.200% | +0.100% | 2,525,000株 | +333,000 | |
2017/08/24 | モルガン・スタンレーMUFG | 0.820% | +0.050% | 1,609,498株 | +85,000 | |
2017/08/23 | Credit Suisse Securities | 1.440% | -0.060% | 2,823,885株 | -33,000 | |
2017/08/23 | Canada Pension Plan IB | 1.100% | +0.200% | 2,192,000株 | +332,000 | |
2017/08/22 | Canada Pension Plan IB | 0.900% | +0.200% | 1,860,000株 | +485,000 | |
2017/08/21 | モルガン・スタンレーMUFG | 0.770% | -0.030% | 1,524,498株 | -54,000 | |
2017/08/21 | Deutsche Bank London | 0.760% | +0.090% | 1,491,000株 | +177,000 | |
2017/08/18 | モルガン・スタンレーMUFG | 0.800% | +0.070% | 1,578,498株 | +149,240 | |
2017/08/17 | Credit Suisse Securities | 1.500% | +0.080% | 2,856,885株 | +69,000 | |
2017/08/15 | Credit Suisse Securities | 1.420% | +0.060% | 2,787,885株 | +118,000 | |
2017/08/14 | Credit Suisse Securities | 1.360% | +0.100% | 2,669,885株 | +198,000 | |
2017/08/14 | Deutsche Bank London | 0.670% | 0% | 1,314,000株 | | 再IN(前回2017-06-19) |
2017/08/14 | OXAM | 0.970% | 0% | 1,901,000株 | | 再IN(前回2017-08-01) |
2017/08/10 | Macquarie Asian | 0.510% | 0% | 1,003,000株 | | 再IN(前回2016-11-24) |
2017/08/09 | モルガン・スタンレーMUFG | 0.730% | -0.120% | 1,429,258株 | -254,000 | |
2017/08/07 | Credit Suisse Securities | 1.260% | +0.160% | 2,471,885株 | +313,000 | |
2017/08/07 | モルガン・スタンレーMUFG | 0.850% | +0.100% | 1,683,258株 | +196,000 | |
2017/08/02 | Credit Suisse Securities | 1.100% | +0.010% | 2,158,885株 | +16,000 | |
2017/08/01 | Credit Suisse Securities | 1.090% | -0.070% | 2,142,885株 | -137,000 | |
2017/08/01 | モルガン・スタンレーMUFG | 0.750% | -0.130% | 1,487,258株 | -251,074 | |
2017/08/01 | OXAM | 0.230% | -1.080% | 441,000株 | -2,130,000 | 報告義務消失 |
2017/07/27 | Credit Suisse Securities | 1.160% | -0.130% | 2,279,885株 | -253,000 | |
2017/07/27 | Canada Pension Plan IB | 0.700% | +0.100% | 1,375,000株 | +59,000 | |
2017/07/26 | Canada Pension Plan IB | 0.600% | 0% | 1,316,000株 | | |
2017/07/25 | Credit Suisse Securities | 1.290% | -0.030% | 2,532,885株 | -55,000 | |
2017/07/24 | Credit Suisse Securities | 1.320% | -0.170% | 2,587,885株 | -340,090 | |
2017/07/24 | モルガン・スタンレーMUFG | 0.880% | -0.090% | 1,738,332株 | -170,000 | |
2017/07/19 | Credit Suisse Securities | 1.490% | -0.100% | 2,927,975株 | -197,000 | |
2017/07/14 | Credit Suisse Securities | 1.590% | -0.050% | 3,124,975株 | -99,000 | |
2017/07/10 | Credit Suisse Securities | 1.640% | -0.150% | 3,223,975株 | -285,000 | |
2017/07/06 | Credit Suisse Securities | 1.790% | -0.130% | 3,508,975株 | -252,000 | |
2017/07/06 | モルガン・スタンレーMUFG | 0.970% | -0.040% | 1,908,332株 | -78,000 | |
2017/07/05 | Credit Suisse Securities | 1.920% | -0.090% | 3,760,975株 | -181,548 | |
2017/07/05 | モルガン・スタンレーMUFG | 1.010% | +0.110% | 1,986,332株 | +222,000 | |
2017/07/04 | Credit Suisse Securities | 2.010% | -0.160% | 3,942,523株 | -320,000 | |
2017/06/29 | モルガン・スタンレーMUFG | 0.900% | +0.060% | 1,764,332株 | +119,000 | |
2017/06/28 | Merrill Lynch international | 0.430% | -0.100% | 843,096株 | -211,000 | 報告義務消失 |
2017/06/27 | Credit Suisse Securities | 2.170% | -0.100% | 4,262,523株 | -182,000 | |
2017/06/27 | モルガン・スタンレーMUFG | 0.840% | -0.060% | 1,645,332株 | -121,000 | |
2017/06/27 | Merrill Lynch international | 0.530% | -0.040% | 1,054,096株 | -71,000 | |
2017/06/26 | モルガン・スタンレーMUFG | 0.900% | +0.050% | 1,766,332株 | +86,000 | |
2017/06/26 | Merrill Lynch international | 0.570% | -0.020% | 1,125,096株 | -36,000 | |
2017/06/22 | Merrill Lynch international | 0.590% | -0.010% | 1,161,096株 | -26,000 | |
2017/06/21 | Merrill Lynch international | 0.600% | -0.010% | 1,187,096株 | -25,000 | |
2017/06/20 | Merrill Lynch international | 0.610% | -0.010% | 1,212,096株 | -2,000 | |
2017/06/19 | Credit Suisse Securities | 2.270% | +0.070% | 4,444,523株 | +125,000 | |
2017/06/19 | Merrill Lynch international | 0.620% | +0.040% | 1,214,096株 | +69,000 | |
2017/06/19 | Deutsche Bank London | 0.000% | -0.560% | 0株 | -1,105,721 | ポジション解消 |
2017/06/16 | Merrill Lynch international | 0.580% | -0.010% | 1,145,096株 | -14,000 | |
2017/06/16 | Deutsche Bank London | 0.560% | 0% | 1,105,721株 | | 再IN(前回2016-11-11) |
2017/06/15 | モルガン・スタンレーMUFG | 0.850% | +0.070% | 1,680,332株 | +141,000 | |
2017/06/14 | Merrill Lynch international | 0.590% | +0.020% | 1,159,096株 | +38,000 | |
2017/06/13 | Merrill Lynch international | 0.570% | +0.020% | 1,121,096株 | +44,000 | |
2017/06/12 | Merrill Lynch international | 0.550% | -0.030% | 1,077,096株 | -61,000 | |
2017/06/09 | Merrill Lynch international | 0.580% | -0.010% | 1,138,096株 | -31,000 | |