(株)アサカ理研□企業情報

主市場業種証券コード/EDINET英名称
東証STD非鉄金属5724/E21649Asaka Riken Co.,Ltd.

日証金(2024-04-18付)

信用売り残高
0株
前日比
0%
信用買い残高
7万7900株
前日比
0%

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東証(2024-04-12付)

信用売り残高
0株
前週比
0%
信用買い残高
16万2100株
前週比
4.51%

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日々公表信用残(2019-06-18付)

信用売り残高
0株
前日比
-100%
信用買い残高
16万9100株
前日比
-2.59%

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日証協(2024-04-12付)

貸付残高
19万5500株
前週比
3.82%
貸付新規
4万3100株
前週比
779.59%

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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
2021/05/10モルガン・スタンレーMUFG1.130%+0.100%58,300株+4,800
2021/05/10Merrill Lynch international0.600%+0.020%30,900株+1,000
2021/05/07モルガン・スタンレーMUFG1.030%+0.150%53,500株+8,200
2021/05/06Deutsche Bank London0.900%+0.090%46,700株+4,700
2021/04/30Nomura AM(Global Funds)1.790%-0.020%92,300株-1,200
2021/04/30モルガン・スタンレーMUFG0.880%-0.020%45,300株-1,400
2021/04/30Merrill Lynch international0.580%+0.050%29,900株+2,600
2021/04/28Nomura AM(Global Funds)1.810%-0.180%93,500株-9,200
2021/04/28Merrill Lynch international0.530%+0.030%27,300株+1,100
2021/04/27Credit Suisse AG1.990%-0.030%102,800株-1,500
2021/04/27Merrill Lynch international0.500%0%26,200株再IN(前回2021-04-20)
2021/04/23モルガン・スタンレーMUFG0.900%+0.080%46,700株+4,400
2021/04/22モルガン・スタンレーMUFG0.820%+0.050%42,300株+2,200
2021/04/21Credit Suisse AG2.020%+0.060%104,300株+3,000
2021/04/21モルガン・スタンレーMUFG0.770%+0.080%40,100株+4,600
2021/04/21Deutsche Bank London0.810%-0.110%42,000株-5,600
2021/04/20Merrill Lynch international0.410%-0.100%21,100株-5,300報告義務消失
2021/04/19Credit Suisse AG1.960%+0.080%101,300株+4,500
2021/04/19モルガン・スタンレーMUFG0.690%-0.090%35,500株-5,000
2021/04/19Merrill Lynch international0.510%-0.020%26,400株-1,000
2021/04/16Credit Suisse AG1.880%-0.080%96,800株-4,100
2021/04/16Merrill Lynch international0.530%-0.010%27,400株-800
2021/04/15Sjunde AP-Fonden(Nomura)1.100%+0.010%56,700株+400
2021/04/15モルガン・スタンレーMUFG0.780%-0.070%40,500株-3,700
2021/04/15Merrill Lynch international0.540%0%28,200株再IN(前回2021-04-07)
2021/04/13モルガン・スタンレーMUFG0.850%-0.140%44,200株-6,900
2021/04/09モルガン・スタンレーMUFG0.990%-0.100%51,100株-5,000
2021/04/07Merrill Lynch international0.340%-0.200%17,500株-10,600報告義務消失
2021/04/06Credit Suisse AG1.960%+0.190%100,900株+9,500
2021/04/06モルガン・スタンレーMUFG1.090%-0.050%56,100株-2,900
2021/04/06Merrill Lynch international0.540%-0.020%28,100株-800
2021/04/05Credit Suisse AG1.770%+0.100%91,400株+5,000
2021/04/05Sjunde AP-Fonden(Nomura)1.090%-0.010%56,300株-700
2021/04/05Merrill Lynch international0.560%+0.020%28,900株+900
2021/04/02Credit Suisse AG1.670%-0.230%86,400株-11,600
2021/04/02モルガン・スタンレーMUFG1.140%-0.070%59,000株-3,600
2021/04/02Merrill Lynch international0.540%-0.210%28,000株-10,700
2021/03/31Credit Suisse AG1.900%-0.190%98,000株-9,800
2021/03/31モルガン・スタンレーMUFG1.210%+0.020%62,600株+1,000
2021/03/31Merrill Lynch international0.750%-0.050%38,700株-2,500
2021/03/30Credit Suisse AG2.090%-0.110%107,800株-5,500
2021/03/30モルガン・スタンレーMUFG1.190%-0.140%61,600株-7,300
2021/03/30Merrill Lynch international0.800%-0.020%41,200株-1,500
2021/03/29Merrill Lynch international0.820%-0.010%42,700株-300
2021/03/26Credit Suisse AG2.200%-0.100%113,300株-5,200
2021/03/25モルガン・スタンレーMUFG1.330%+0.090%68,900株+4,700
2021/03/25Merrill Lynch international0.830%-0.070%43,000株-3,700
2021/03/24Credit Suisse AG2.300%+0.100%118,500株+4,900
2021/03/24Nomura AM(Global Funds)1.990%+0.230%102,700株+11,800
2021/03/24Sjunde AP-Fonden(Nomura)1.100%+0.100%57,000株+5,500
2021/03/24Merrill Lynch international0.900%-0.030%46,700株-1,200
2021/03/23Sjunde AP-Fonden(Nomura)1.000%+0.020%51,500株+800
2021/03/23Merrill Lynch international0.930%-0.080%47,900株-4,200
2021/03/22Nomura AM(Global Funds)1.760%+0.120%90,900株+6,500
2021/03/22Sjunde AP-Fonden(Nomura)0.980%+0.180%50,700株+9,300
2021/03/22Merrill Lynch international1.010%-0.050%52,100株-2,800
2021/03/19Nomura AM(Global Funds)1.640%+0.070%84,400株+3,200
2021/03/19Merrill Lynch international1.060%+0.030%54,900株+1,400
2021/03/18Nomura AM(Global Funds)1.570%+0.150%81,200株+7,700
2021/03/18Sjunde AP-Fonden(Nomura)0.800%+0.150%41,400株+7,800
2021/03/18Merrill Lynch international1.030%-0.080%53,500株-3,800
2021/03/17Credit Suisse AG2.200%+0.030%113,600株+1,900
2021/03/17Merrill Lynch international1.110%-0.080%57,300株-4,300
2021/03/16Credit Suisse AG2.170%+0.150%111,700株+7,300
2021/03/16Nomura AM(Global Funds)1.420%+0.140%73,500株+7,400
2021/03/16Sjunde AP-Fonden(Nomura)0.650%+0.150%33,600株+7,700
2021/03/16モルガン・スタンレーMUFG1.240%-0.110%64,200株-5,600
2021/03/16Merrill Lynch international1.190%-0.050%61,600株-2,700
2021/03/15Nomura AM(Global Funds)1.280%+0.150%66,100株+7,900
2021/03/15Sjunde AP-Fonden(Nomura)0.500%0%25,900株
2021/03/15Merrill Lynch international1.240%-0.010%64,300株-200
2021/03/12Credit Suisse AG2.020%-0.310%104,400株-15,800
2021/03/11Nomura AM(Global Funds)1.130%+0.050%58,200株+2,200
2021/03/11モルガン・スタンレーMUFG1.350%-0.060%69,800株-3,100
2021/03/11Merrill Lynch international1.250%-0.010%64,500株-800
2021/03/10Nomura AM(Global Funds)1.080%+0.100%56,000株+5,500
2021/03/10モルガン・スタンレーMUFG1.410%+0.040%72,900株+2,300
2021/03/09モルガン・スタンレーMUFG1.370%+0.220%70,600株+11,000
2021/03/09Merrill Lynch international1.260%-0.010%65,300株-100
2021/03/08モルガン・スタンレーMUFG1.150%-0.380%59,600株-19,500
2021/03/08Merrill Lynch international1.270%+0.010%65,400株+400
2021/03/04Merrill Lynch international1.260%+0.020%65,000株+800
2021/03/02Merrill Lynch international1.240%+0.010%64,200株+900
2021/03/01Merrill Lynch international1.230%+0.020%63,300株+1,000
2021/02/25Nomura AM(Global Funds)0.980%+0.100%50,500株+5,200
2021/02/24Merrill Lynch international1.210%+0.010%62,300株+100
2021/02/22Nomura AM(Global Funds)0.880%+0.090%45,300株+4,400
2021/02/22Merrill Lynch international1.200%-0.070%62,200株-3,400
2021/02/22Deutsche Bank London0.920%+0.080%47,600株+3,900
2021/02/19モルガン・スタンレーMUFG1.530%+0.050%79,100株+2,700
2021/02/18Credit Suisse AG2.330%+0.080%120,200株+4,200
2021/02/18Deutsche Bank London0.840%+0.140%43,700株+7,600
2021/02/17Credit Suisse AG2.250%+0.120%116,000株+6,100
2021/02/17モルガン・スタンレーMUFG1.480%-0.020%76,400株-900
2021/02/16Credit Suisse AG2.130%+0.040%109,900株+1,900
2021/02/16モルガン・スタンレーMUFG1.500%+0.060%77,300株+3,100
2021/02/16Deutsche Bank London0.700%+0.070%36,100株+3,500
2021/02/12Credit Suisse AG2.090%-0.030%108,000株-1,100
2021/02/09Credit Suisse AG2.120%+0.080%109,100株+3,900
2021/02/09モルガン・スタンレーMUFG1.440%+0.200%74,200株+10,000

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