コーセル(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PRM電気機器6905/E01856COSEL CO.,LTD.35,712,000株100株

日証金(2024-03-12付)

信用売り残高
0株
前日比
0%
信用買い残高
2万株
前日比
-0.5%

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東証(2024-03-08付)

信用売り残高
1万9800株
前週比
-1%
信用買い残高
15万8700株
前週比
-2.7%

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日証協(2024-03-01付)

貸付残高
39万8330株
前週比
-5.96%
貸付新規
6万900株
前週比
236.06%

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逆日歩(品貸料)

2023-11-16
4.10円/1日
2023-07-06
2023-06-13
2023-06-09
0.05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
2019/04/01Deutsche Bank London0.770%-0.110%287,300株-42,300
2019/03/20Deutsche Bank London0.880%-0.110%329,600株-42,300
2019/03/08Deutsche Bank London0.990%-0.090%371,900株-30,900
2019/02/25Deutsche Bank London1.080%-0.020%402,800株-9,300
2019/02/20Deutsche Bank London1.100%+0.100%412,100株+38,600
2019/01/28Deutsche Bank London1.000%+0.090%373,500株+33,900
2019/01/10Deutsche Bank London0.910%+0.080%339,600株+29,600
2019/01/04Deutsche Bank London0.830%+0.130%310,000株+47,700
2018/12/25Deutsche Bank London0.700%+0.090%262,300株+34,500
2018/12/20Deutsche Bank London0.610%+0.110%227,800株+40,800
2018/12/10Deutsche Bank London0.500%0%187,000株
2018/04/06モルガン・スタンレーMUFG0.000%-0.500%0株-188,645ポジション解消
2018/03/19モルガン・スタンレーMUFG0.500%0%188,645株
2017/08/23Nomura AM(Global Funds)0.490%-0.100%186,000株-35,300報告義務消失
2017/06/23Nomura AM(Global Funds)0.590%-0.010%221,300株-4,500
2017/03/24Nomura AM(Global Funds)0.600%+0.010%225,800株+3,200
2017/02/27Nomura AM(Global Funds)0.590%-0.010%222,600株-1,300
2017/02/21Nomura AM(Global Funds)0.600%+0.080%223,900株+27,000
2017/01/04Nomura AM(Global Funds)0.520%+0.216%196,900株+78,200
2013/10/03Nomura AM(Global Funds)0.304%+0.014%118,700株+5,500
2013/10/02Nomura AM(Global Funds)0.290%+0.013%113,200株+5,000
2013/10/01Nomura AM(Global Funds)0.277%+0.006%108,200株+2,500
2013/09/19Nomura AM(Global Funds)0.271%-0.019%105,700株-7,300
2013/09/17Sjunde AP-Fonden(Nomura)0.275%0%107,300株-400
2013/09/04Nomura AM(Global Funds)0.290%+0.006%113,000株+2,400
2013/08/07Nomura AM(Global Funds)0.284%-0.010%110,600株-3,500
2013/08/02Nomura AM(Global Funds)0.293%-0.014%114,100株-5,300
2013/08/01Nomura AM(Global Funds)0.306%+0.007%119,400株+2,700
2013/07/17Nomura AM(Global Funds)0.299%-0.009%116,700株-3,300
2013/07/09Nomura AM(Global Funds)0.308%-0.012%120,000株-4,900
2013/07/08Nomura AM(Global Funds)0.320%-0.018%124,900株-7,000
2013/07/02Nomura AM(Global Funds)0.338%-0.021%131,900株-8,100
2013/07/02BlackRock(Pan Asia)0.240%-0.010%93,900株-5,800報告義務消失
2013/07/01BlackRock(Pan Asia)0.250%0%99,700株-1,400
2013/06/28BlackRock(Pan Asia)0.250%-0.020%101,100株-7,800
2013/06/25BlackRock(Pan Asia)0.270%-0.030%108,900株-9,600
2013/06/21BlackRock(Pan Asia)0.300%-0.010%118,500株-4,400
2013/06/20BlackRock(Pan Asia)0.310%-0.010%122,900株-5,400
2013/06/19Nomura AM(Global Funds)0.359%+0.002%140,000株+900
2013/06/19BlackRock(Pan Asia)0.320%-0.010%128,300株-1,500
2013/06/18BlackRock(Pan Asia)0.330%-0.020%129,800株-7,900
2013/06/13Nomura AM(Global Funds)0.357%+0.007%139,100株+2,400
2013/06/13BlackRock(Pan Asia)0.350%0%137,700株-2,600
2013/06/11Nomura AM(Global Funds)0.350%0%136,700株-200
2013/06/06BlackRock(Pan Asia)0.350%-0.010%140,300株-3,300
2013/06/05BlackRock(Pan Asia)0.360%-0.010%143,600株-2,500
2013/06/04Nomura AM(Global Funds)0.351%-0.065%136,900株-25,200
2013/06/04BlackRock(Pan Asia)0.370%-0.010%146,100株-2,800
2013/05/31Nomura AM(Global Funds)0.416%-0.005%162,100株-1,900
2013/05/29Nomura AM(Global Funds)0.420%-0.006%164,000株-2,000
2013/05/23BlackRock(Pan Asia)0.380%0%148,900株-2,500
2013/05/22Nomura AM(Global Funds)0.426%-0.011%166,000株-4,200
2013/05/22BlackRock(Pan Asia)0.380%-0.010%151,400株-2,000
2013/05/21Nomura AM(Global Funds)0.436%-0.002%170,200株-600
2013/05/21Sjunde AP-Fonden(Nomura)0.276%-0.006%107,700株-2,400
2013/05/21BlackRock(Pan Asia)0.390%0%153,400株-1,400
2013/05/15Nomura AM(Global Funds)0.438%0%170,800株-500
2013/05/15Sjunde AP-Fonden(Nomura)0.282%-0.002%110,100株-500
2013/05/14Sjunde AP-Fonden(Nomura)0.284%0%110,600株-300
2013/05/13Nomura AM(Global Funds)0.439%0%171,300株-500
2013/05/13Sjunde AP-Fonden(Nomura)0.284%-0.003%110,900株-1,000
2013/05/08Sjunde AP-Fonden(Nomura)0.287%-0.002%111,900株-900
2013/04/26Sjunde AP-Fonden(Nomura)0.289%-0.006%112,800株-2,200
2013/04/23Nomura AM(Global Funds)0.440%-0.005%171,800株-1,800
2013/04/17Nomura AM(Global Funds)0.445%+0.005%173,600株+2,000
2013/04/12Nomura AM(Global Funds)0.440%-0.012%171,600株-4,800
2013/04/09BlackRock(Pan Asia)0.390%0%154,800株-100
2013/04/05Nomura AM(Global Funds)0.452%+0.063%176,400株+24,700
2013/04/04BlackRock(Pan Asia)0.390%0%154,900株-200
2013/04/02BlackRock(Pan Asia)0.390%0%155,100株-300
2013/03/28BlackRock(Pan Asia)0.390%0%155,400株-300
2013/03/26Nomura AM(Global Funds)0.389%0%151,700株+300
2013/03/26Sjunde AP-Fonden(Nomura)0.295%-0.006%115,000株-2,500
2013/03/26BlackRock(Pan Asia)0.390%-0.010%155,700株-400
2013/03/21Sjunde AP-Fonden(Nomura)0.301%-0.009%117,500株-3,600
2013/03/21BlackRock(Pan Asia)0.400%0%156,100株-300
2013/03/19Nomura AM(Global Funds)0.388%-0.006%151,400株-2,300
2013/03/19BlackRock(Pan Asia)0.400%0%156,400株-500
2013/03/14BlackRock(Pan Asia)0.400%0%156,900株-500
2013/03/12BlackRock(Pan Asia)0.400%0%157,400株-800
2013/03/07Nomura AM(Global Funds)0.394%-0.002%153,700株-600
2013/03/06BlackRock(Pan Asia)0.400%+0.010%158,200株+2,300
2013/02/27BlackRock(Pan Asia)0.390%0%155,900株+400
2013/02/26BlackRock(Pan Asia)0.390%0%155,500株+2,700
2013/02/25Sjunde AP-Fonden(Nomura)0.310%-0.009%121,100株-3,500
2013/02/21Nomura AM(Global Funds)0.396%-0.004%154,300株-1,200
2013/02/15BlackRock(Pan Asia)0.390%0%152,800株+500
2013/02/14BlackRock(Pan Asia)0.390%+0.010%152,300株+1,900
2013/02/13BlackRock(Pan Asia)0.380%0%150,400株+1,900
2013/02/12BlackRock(Pan Asia)0.380%+0.010%148,500株+1,800
2013/02/08BlackRock(Pan Asia)0.370%0%146,700株+2,100
2013/02/07Nomura AM(Global Funds)0.399%+0.032%155,500株+12,400
2013/02/07BlackRock(Pan Asia)0.370%+0.010%144,600株+1,900
2013/02/06BlackRock(Pan Asia)0.360%+0.010%142,700株+5,300
2013/02/05BlackRock(Pan Asia)0.350%+0.010%137,400株+3,100
2013/02/01BlackRock(Pan Asia)0.340%+0.010%134,300株+3,300
2013/01/31BlackRock(Pan Asia)0.330%+0.010%131,000株+2,600
2013/01/30Nomura AM(Global Funds)0.367%+0.008%143,100株+3,100
2013/01/30Sjunde AP-Fonden(Nomura)0.319%-0.008%124,600株-2,800
2013/01/30BlackRock(Pan Asia)0.320%0%128,400株+1,700

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